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CITY OF STATE CENTER CITY OF STATE CENTER CITY OF STATE CENTER CITY OF MELBOURNE YOUR ONLINE SOURCE FOR PUBLIC NOTICES IN IOWA. Thursday, JUNE 24, 2021, ENTERPRISE-PAGE 6 PUBLIC NOTICE City of Melbourne Regular City Council Meeting June 14, 2021 Melbourne City Council met in regular session on June 14, 2021 at 7 pm. Members and Clerk were all seated a minimum of 6’ apart per social distancing protocol. Council members present were David Gibbs, Carrie White. Goodrich and Hauser notified clerk they would be late. Also present were Mayor John White, Clerk Mary Pothast and resi- dents Nathan Karr and Shannon Peters. Mayor White called the meeting to order at 7:11 pm with the pledge of allegiance. Mayor asked that the date on the agenda be changed to June due to a clerical error. Mo- tion by Gibbs, 2nd by C. White. Vote was all ayes. Motion to approve consent agenda— agenda, minutes and bills made by C. White, 2nd by Stahl. Vote was all ayes. In public comment, Mayor White updated the Council on the 911 Commission news. They did not vote on the radio issue because the County wanted the 911 Board to add tower rent and equipment maintenance into their budget. This is due to the fact that the fire districts can’t pay more money, so 911 Board was asked to pay for this. When it was set up, the 911 Board was only responsible for salaries and benefits, not buildings maintenance or vehicles. Supervisor Patten suggested he go back to the Board of Supervisors and further discuss the issue. Mayor White postponed the building per- mits and variances until the other council members arrived. Moving on, White opened the public hearing for the second budget amendment for FY 20/21. Clerk had pub- lished notice and had no input from the pub- lic. Clerk gave reasons for the amendment including Manatt’s able to come in before end of year, water department needing more from their reserves for leak, floor waxing at rec center, electrical repairs at ball diamond came up unexpectedly and needed to be re- paired per Alliant and new revenue from FEMA and an insurance payment for the grass rig. Public hearing was closed. Motion to approve the budget amendment with Res- olution 21-06-01 made by Gibbs, 2nd by C. White. Roll call vote was all ayes. Motion passed and Resolution approved. The sec- ond public hearing of the night regarding the renewal of our contract with Iowa Regional Utilities Association (IRUA) to provide bulk water for the term of 30 years at the current price was opened. (Goodrich arrived at 7:21 pm). There was no additional discussion. Hearing was closed. Motion to approve the contract with Resolution 21-06-03 was made by C. White, 2nd by Stahl. Roll call vote was all ayes. Motion and resolution approved. In new business, Shawn Goodrich turned in her resignation effective at the end of the current meeting—July 14, 2021. We would like to thank her for her time and service to the City. (Hauser arrived at 7:25 pm) Clerk presented Resolution 2021-06-02 to fill the vacancy by appointment. The appointee will take office July 14 and and serve through the rest of the year. The position will be up for election at the November election for a 2 year term. Clerk mentioned that there will also be two 4-year Council terms as well as the Mayor on the ballot. Motion to approve the resolution made by Gibbs with 2nd by Stahl. Vote was all ayes. Mayor moved the order of business back to the public hearing for Nathan & Kelly Karr variance request at 303 Main Street. The variance requested that both the north and east 7’ property allowance be waived to build a 20’ x 30’ garage. Clerk had had a written response to the variance letter against the build, and the mayor had had two verbal responses against the build. Gibbs, from the fire chief perspective, stated he had concerns regarding the proximity to the neighbor’s garage as well. It would be ap- proximately 32” from the fence and 8-9’ from the neighbors’ garage. Although steel siding is planned, Gibbs concern was that a fire could spread between those two building too quickly and the department would not be able to get their equipment in to put it out. In dis- cussion with N. Karr, he and Council agreed that if he could move it approximately 5’ to the south it would be fine. Karr stated it would have to be 6’ to accommodate his construc- tion plans. If it was moved that distance, it would no longer require a variance on the north and Council would ok the east side due to the fact others on the alley are approxi- mately the same distance. Karr agreed to change the building size. Motion made by Gibbs that pending approval of space by Al- liant and Partner Communications, the east variance would be approved; the north amount would be widened to accommodate the 7’ distance required by Code; and the building built to 20’ x 24’ in size. 2nd by Hauser. Vote was all ayes. Second building permit was a request from David Gibbs at 108 2nd Avenue to make a small addition to his existing garage to square it off. Since all the other lot distances would remain the same, Motion made by C. White with 2nd by Stahl, Vote was 4 ayes with 1 abstaining (Gibbs) due to it being his permit request. Motion passed. Back to new business, clerk presented a resolution to transfer funds. Motion by Gibbs to approve Resolution 12-06-04, 2nd by Goodrich. Vote was all ayes, resolution ap- proved. The park has an electrical issue with its electric meter and the panels providing power to the park lights. Alliant contacted the City and gave them a 30 day notice to repair it. Bids were received from Reisetter Electric for $8250 and from Pat Malloy for 3 options, starting at $8364 and up to $24,987. Motion by C. White to go with Reisetter Electric, 2nd by Hauser. Vote was all ayes. The funds to pay for the project are as follows: $6000 from general fund from the City and the remainder from Melbourne Little League. The City had an issue with Top Notch Tree Service taking oversized tree debris to the lagoon. PW will have a problem moving the items with the skidloader due to its size— some up to 3’ in diameter (6” is the maximum allowed at the lagoon, and they have been told on at least 2 occasions). Clerk was told to send a letter asking them to remove the oversized pieces, and not allow them to take debris there until it is taken care of with a re- minder that only Melbourne tree debris is al- lowed. The status of the water leak location is pending. The employee from the city of Bed- ford will come to train our PW/clerks on usage. We are hoping for this week. They have had a leak of their own to repair and that has held up our obtaining the equipment. Manatt’s blacktopping of Butler Street is com- plete, and manholes are also done as of Monday the 14th. Carol Dean has resigned from the library as of May 25. We thank her for her time and service to the city. Summer reading program will be on Mondays at 10 am. Swimming les- sons began on the 14th for Melbourne area kids and there is an additional session in July for Baxter kids. The Dr. Pepper pop machine at the pool was having some issues and Theresa Daters requested it be replaced or repaired. The company cited vandalism and refused to repair or replace the machine. Daters asked them to remove it. Pepsi will be replacing the machine with another of theirs to provide a variety of drinks, including Gatorade. The machine is fully maintained and filled by Pepsi. DNR water survey showed minor recom- mendations and they are already being taken care of and the report will be submitted prior to the June 20th deadline. Chief Ball is look- ing into solar powered lights for the Children at Play signs. Clerk has spoken with Gary and he thinks there may be another sign in the Morton Building he will look for. The fire department will be doing fireworks on July 3. The annual fish fry by the fire department will be held on Friday, August 6, kicking off a re- newal of Mousehole Days. Masons are will- ing to do a Pedal Tractor Pull that Friday as well and Clerk has put out a call for volun- teers. First meeting is Tuesday, June 15 at 5:30 at City Hall. Election candidate filing is August 23- September 16, ending at 5 pm. All paperwork must be turned into City Hall by the 5 pm deadline. Seats open will be that of Council persons Gibb and Stall and Mayor White— all 4 year terms; and that of Goodrich which is a 2 year term. They all begin in January 2022. Those interested are encouraged to contact City Hall with questions. As an additional public comment, Gibbs stated that the fire department may stop col- lecting cans. They have found rotten food and dirty diapers in the bags containing cans and that is unacceptable. He will keep the Council updated. Goodrich had a citizen complaint about cars parking by the College Hills signs on both sides and making it diffi- cult to pull a trailer through the area. Council recommended posting it no parking from 12- 6 and suggesting parking behind the rec cen- ter in the large parking lot available. Motion to adjourn made by Gibbs with 2nd by C. White. Vote was all ayes. Meeting adjourned at 8:06 pm. REVENUES: GENERAL $60,740.08, ROAD USE $8457.38, EMP BENEFITS $1150.53, EMERGENCY $201.35, LOST FIRE $1039.99, LOST 1ST RESP $1039.99, POOL $1045.02, LOST REC CENTER $1067.56, WATER $18,929.31, SEWER $17,784.21. TOTAL $111,455.42. EXPENSES: GENERAL $65,679.95, ROAD USE $2364.16, EMP BENEFITS $10,320.12, LOST FIRE $7106.42, LOST 1ST RESP $320.70, WATER $17,296.55, SEWER $9690.36. TOTAL $112,778.26. PUBLISHED PRIOR TO APPROVAL. CLAIMS REPORT CITY OF MELBOURNE MAY 2021 VENDOR REFERENCE AMOUNT ACCESS SYSTEMS COPIER LEASE 160.81 ALLIANT ENERGY UTILITY (ELECTRIC) 46.35 ALLIANT ENERGY UTILITY (ELECTRIC) 2,735.77 BRADSHAW FOWLER PROCTOR&FAIRGR-ZONING QUESTION 32.00 BRIAN'S COLLISION CLINIC PARTS ORDERED FOR GRASS RIG 604.24 CITY OF MARSHALLTOWN MONTHLY LABS APRIL 2021 286.00 CLEMENT HEATING & COOLING INSTALL A/C ON GROUND @ RECCTR 2,975.00 COLONIAL LIFE PROCESS. CENTER COLONIAL LIFE 14.49 COLONIAL LIFE PROCESS. CENTER COLONIAL LIFE 28.98 CONSUMERS ENERGY LAGOON 932.39 IOWA DEPT OF NATURAL RESOURCESJIM PFANTZ LICENSE RENEWAL 120.00 IOWA DEPT OF NATURAL RESOURCESGARY FRICKE 120.00 DEAN SCHOPPE CONSTRUCTION JET CULVERT 100.00 DEPT OF INSPECT. & APPEALS FOOD SERVICE EST. LICENSE 153.75 E&E CONCRETE SERVICES CONCRETE WORK 1,200.00 GARY FRICKE PHONE 65.00 HAWKINS,INC WATER CHEMICALS 232.85 HAWKINS,INC WATER CHEMICALS 491.65 HAWKINS,INC pH sensor 118.00 I M W C A WORK COMP 13,146.00 IOWA ONE CALL IOWA ONE CALL 29.30 IOWA REGIONAL UTIL ASSN 2,209,000 GALLONS 7,444.33 IPERS IPERS 1,165.93 IPERS IPERS 1,169.79 IPERS IPERS 1,152.91 JAMES PFANTZ PHONE 65.00 JIM COLEMAN, LTD KITS FOR 1ST RESP 247.40 JOHN DEERE FINANCIAL 2 MAPLES, 1 OAK, MIRACLE GRO 512.71 JORDAN'S CARPET CLEANING REC CENTER BANQ ROOM,HALLWAY 3,252.00 MARY POTHAST MILEAGE TO PICKUP LAPTOP 94.12 MELBOURNE FIRE FIGHTERS' ASSOC RESPONDING FEES 1,972.50 MELBOURNE POSTMASTER UTILITY BILLS 91.35 MENARD'S PARK TOILETS 57.24 MID IOWA ENTERPRISE LEGAL PUBLICATIONS 209.80 MIDWESTONE BANK - PAYROLL FED/FICA TAX 1,701.03 MIDWESTONE BANK - PAYROLL FED/FICA TAX 1,702.00 MIDWESTONE BANK - PAYROLL FED/FICA TAX 1,718.48 MIDWESTONE BANK - PAYROLL FED/FICA TAX 168.35 MIDWESTONE BANK CAR WASH 14.00 MIDWESTONE BANK CAR WASH FOR TRUCK 6.50 MIKE BALL PHONE 65.00 MARSHALLTOWN WATER WORKS COLISURE ANALYSIS 14.00 NEEDHAM LANDSCAPING IRRIGATION HYDRANT 247.50 NEW CENTURY F S GAS 777.96 PARTNER COMMUNICATIONS, INC. MONTHLY PHONE BILL 462.60 POOL PETTY CASH POOL PETTY CASH FOR DRAWER 150.00 QUALITY ROOFING & SIDING 507 BUTLER STREET REPAIRS 30,025.00 REGION 6 PLANNING COMMISSION $338 GENERAL, $4291 TECHNICAL 4,629.00 SANDRY FIRE SUPPLY, LLC USED AIR CYLINDERS QTY 31 7,240.25 SCHENDEL PEST CONTROL WASP SPRAYING MONTHLY 45.00 SCHENDEL PEST CONTROL 2ND TIME SPRAYING 5/10/21 45.00 STATE TREASURER OF IOWA STATE TAX 245.00 STATE TREASURER OF IOWA STATE TAXES 505.00 STATE TREASURER OF IOWA WET APRIL 2021 875.00 STONE SANITATION GARBAGE HAULING 153.92 THE AMERICAN BOTTLING CO pop for machine 131.20 TIAA BANK LIBRARY COPIER/PRINTER 46.84 U S CELLULAR TABLET 1ST RESP 33.23 VISA - CITY HALL SPEAKER & TABLET FOR POOL 614.42 VISA - CITY HALL SPEAKER/TABLET 614.42 VISA - LIBRARY MIDWESTONE CC LIBRARY 384.83 VISA - LIBRARY MISC 384.83 VISA - MELB FIRE FIGHTERS PARTS FOR REPAIRS 302.18 VISA - MELB FIRST RESPOND BOUND TREE MED SUPPLIES 73.30 WESTRUM LEAK DETECTION INC. MOBILIZATION 314.50 Accounts Payable Total 94,718.00 Refund Checks Total Total Paid On: 5/03/21 5,785.80 Total Paid On: 5/17/21 5,798.63 Total Paid On: 5/19/21 671.90 Total Paid On: 5/28/21 5,953.92 Total Payroll Paid 18,210.25 ***** REPORT TOTAL ***** 112,928.25 ORDINANCE NO. 360 AN ORDINANCE AMENDING SECTION 99.02 OF THE CODE OF ORDINANCES OF THE CITY OF STATE CENTER, IOWA, SPECIAL RATES OR WAIVER OF CHARGES. BE IT ORDAINED by the City Council of the City of State Center, Iowa: SECTION 1. SECTION MODIFIED. Section 99.02 of the Code of Ordinances for the City of State Center, Iowa is amended to provide for waiver of sanitary sewer charges under specific circumstances. 99.06   SPECIAL RATES OR WAIVER OF CHARGES. Where, in the judgement of the Council, special conditions exist sur- rounding use of the City water to the extent that the application of the sanitary sewer service charges, rentals or rates specified herein would be inequitable or unfair to either the City or the customers, the Council may establish a special rate applying to such cus- tomers. Such special rates when adopted by ordinance by the Council shall apply to all customers to the sanitary utilities of the City under like circumstances. 1. Special rates may include, among other, the following cases: a. Where the nature of the use of the City water is such that the resulting sewage or in- dustrial waste discharged into the sanitary sewer system of the City has characteristics making it more or less difficult to treat than ordinary domestic waste. 2.There shall be no waiver of sanitary sewer charges with the following exceptions. a. City equipment is faulty. b. Pool fills only if City Hall staff is con- tacted for meter reads prior to fill. c. Where a utility customer has pur- chased, had installed by a plumber, and had inspected by the City, a separate meter for the purpose of metering outdoor water use. In this case, the separate meter would be read monthly with the regular meter and the sewer charges related to the outdoor water use would be deducted from the monthly bill. d. Extreme Circumstances, such as when above average water use does not enter the sanitary sewer system and is above 75,000 gallons. This would have to be brought before the council for approval of waiver of charges. SECTION 2. REPEALER. All ordi- nances or part of ordinances in conflict with the provisions of this Ordinance are hereby repealed. SECTION 3. SEVERABILITY CLAUSE. If any section, provision, or part of this Ordi- nance shall be adjudged invalid, unconstitu- tional, or unenforceable for any reason, such adjudication shall not affect the validity or en- forcement of the remaining provisions. SECTION 4. WHEN EFFECTIVE. This ordinance shall be in effect after its final pas- sage, approval and publication as provided by law. 1st Reading May 18, 2021: 2nd Reading June 15, 2021 3rd Reading Waived June 15, 2021 Ordinance 360 is passed and adopted by the City Council of the City of State Center the 15th day of June 2021. Effective upon publication in the Mid Iowa Enterprise. Steve Sodders, Mayor Attest: Lori Bearden, City Clerk ORDINANCE NO. 362 AN ORDINANCE COMBINING CHAP- TER 23 PARK AND RECREATION COM- MISSION AND CHAPTER 24 ROSE GARDENT BOARD INTO CHAPTER 23 AS ONE BOARD. WHEREAS the City of Council of the City of State Center recognizes that the Park and Recreation Commission and the Rose Gar- den Board are often comprised of many of the same volunteer members and that the two have many common qualifications, pow- ers, and duties; and, WHEREAS the chairpersons of the afore mentioned commission and board have ap- proached the City Council with the idea that the Park and Recreation Commission and the Rose Garden Board and their respective City Code Chapters would best serve the City as a combined unit; BE IT ORDAINED by the City Council of the City of State Center that Chapters 23 and 24 as adopted November 17, 2020, and on December 3, 2020, published notice of the same, are hereby rescinded and the follow- ing Chapter 23 Park, Recreation and Rose Garden Board be adopted: SECTION 1. CHAPTER MODIFIED: CHAPTER 23 PARK, RECREATION AND ROSE GARDEN BOARD 1. Board Created 2. Qualifications of Board Members 3. Compensation 4. Officers 5. Board Meetings 6. Vacancies 7. Records 8. Jurisdiction 10. Powers and Duties 11. Accounting 12. Termination of Board 23.01 BOARD CREATED. The Park, Recreation and Rose Garden Board, consist- ing of five members with the Mayor serving as an ex officio member of the Board, is hereby created as an administrative agency of the City to maintain and improve the public parks of the City including the State Center Rose Gardens, such Board to have com- mensurate authority to perform such duty. Board members shall be nominated by the Board President and appointed by the Mayor with consent of the Council. The Mayor, with the approval of the Council, may appoint such other ex officio members as may be beneficial to the park, recreation, and Rose Garden programs of the City. 23.02 QUALIFICATIONS OF BOARD MEMBERS. All five members of the Board shall be bona fide residents of the City and all shall be over the age of 18 years. 23.03 COMPENSATION. The members of the Board shall receive no compensation for their services. 23.04 TERMS OF OFFICE. All appoint- ments to the Board shall be for staggered, five-year terms, and shall coincide with the City fiscal year of July 1 to June 30. 23.05 OFFICERS. The officers of the Board to be elected at the annual organiza- tional meeting shall be a President, Vice President and Secretary-Treasurer. Meetings of the Board shall be presided over by the President and in the absence of the Presi- dent by the Vice President. The Secretary- Treasurer shall prepare and preserve minutes of all meetings of the Board and shall prepare and preserve a complete ac- counting of all financial affairs of the Board. 23.06 BOARD MEETINGS. During the month of July of each year the Board shall hold an organizational meeting on the call of the President. At the organizational meeting, the Board shall elect from among its mem- bers officers to serve during the fiscal year and shall fix a schedule of regular meetings for the fiscal year. Special meetings of the Board may be held on call of the President or a majority of the members. The failure of a member to attend at least 50 percent of the regular meetings of the Board during a fiscal year shall constitute a resignation from the Board by such member. 23.07 VACANCIES. A vacancy on the Board shall be filled by the Board even if the remaining members of the Board do not con- stitute a quorum. All appointments by the Board shall be subject to and become effec- tive upon approval of the Mayor and Council. The appointment to fill a scheduled vacancy for a regular five-year term commencing on July 1 shall be accomplished during the pre- ceding June. An appointment to fill a vacancy for the remainder of an unexpired term shall be accomplished within 60 days after the va- cancy occurs. 23.08 RECORDS. The Board shall keep a permanent record of all its meetings and shall deliver to the Clerk copies of the min- utes of each and every meeting of the Board within a reasonable time after each meeting but never less than two days before the next scheduled meeting of the Council. 23.09 JURISDICTION. The Board shall have, subject to the direction of the Council when and as the Council may deem advis- able, control of the City's public parks, Rose Garden, playgrounds, and recreation centers whether within or without the corporate limits of the City and the ordinances of the City shall be in full force and effect in and over those areas under the jurisdiction of the Board. 23.10 POWERS AND DUTIES. The Board shall possess and exercise the follow- ing powers and duties: 1. Recommendations. Develop and rec- ommend to the Council policies, rules, regu- lations, ordinances, and budgets relating to the care, use, government and management of the parks, playgrounds, Rose Garden and recreation centers over which the Board has jurisdiction. 2. Annual Reports. Transmit to the Coun- cil during the month of July of each year a re- port of the Board's activities and recommendations for the development and operation of the parks, playgrounds, recre- ation centers and programs over which the Board has jurisdiction. 3. Program Integration. Be responsible for integrating its programs with other gov- ernmental agencies, including, but not limited to, the City, the Community School Districts, the County and other municipalities within the area. 4. Personnel. Employ any such person- nel as may be necessary for the proper man- agement of the parks, playgrounds, recreation centers and programs and to fix their terms of employment, duties, and com- pensation subject to approval by the Coun- cil. 5. Funds. Have control of the expenditure of funds allocated for park, playground, recreation, and program purposes by the Council, and of all moneys available by gift or otherwise under the rules established by the Board; provided, however, any expendi- ture in excess of $1,000.00 must have the prior approval of the Council and the Board must stay within its budget. 6. Contracts. Enter into contracts subject to the approval of the Council. 7. Gifts. Accept gifts, devises, and be- quests of real property subject to the ap- proval of the Council and of personal property, either outright or in trust, and en- force the performance of conditions which may be attached to such gifts, devises, or be- quests. XX.11 ACCOUNTING. All funds re- ceived by the Board from appropriations by the Council or by gifts from private citizens or from any other sources shall be deposited in a Federally insured bank account and dis- bursed therefrom upon the order of the Board by checks co-signed by the President and Secretary-Treasurer. The Board shall cooperate with and provide to the City Clerk all requested documents required for the an- nual financial audit. XX.12 TERMINATION OF BOARD. In the event that the Board ceased to exist as an administrative agency of the City, the ac- cumulated and unexpended funds of the Board shall be allocated by the Council to a special trust fund to be used for accomplish- ing the purposes for which the Board was created. SECTION 2. CHAPTER DELETED. Chapter 24 is removed from the 2020 State Center Code of Ordinances SECTION 3. REPEALER. All ordi- nances or part of ordinances in conflict with the provisions of this Ordinance are hereby repealed. SECTION 4. SEVERABILITY CLAUSE. If any section, provision, or part of this Ordi- nance shall be adjudged invalid, unconstitu- tional, or unenforceable for any reason, such adjudication shall not affect the validity of en- forcement of the remaining provisions. SECTION 5. WHEN EFFECTIVE. This ordinance shall be in effect after its final pas- sage, approval and publication as provided by law. 1st Reading, May 18, 2021 2nd Reading, June 15, 2021 3rd Reading, Waived June 15, 2021 Ordinance 362 is passed and adopted by the City Council of the City of State Center the 15th day of June 2021. Effective upon publication in the Mid Iowa Enterprise. Steve Sodders, Mayor Attest: Lori Bearden, City Clerk State Center City Council Regular Meeting Minutes June 15, 2021 State Center City Council met in regular session on Tuesday, June 15, 2021 at the City Hall Council Chambers. Mayor Sodders called the meeting to order at 6:30 p.m. All rose for the Pledge of Allegiance. Present were Councilors Darrow, Nichols, Quick, Shaffar and Wilkinson. Also present: L. Bearden, K. Yates, K. O’Hare, J. Robinson, Z. Faught, and B. Pfantz, C. Davis, Heather Thomas, K. Nieland, Robert Grant. Mayor Sodders opened the public hear- ing to hear comments for or against pro- posed entering into a General Obligation Annual Appropriation Street Improvement and Refunding Loan Agreement not to ex- ceed $900,000.00. None present com- mented nor had any written comments been received at City Hall. Sodders closed the meeting at 6:32. Mayor Sodders opened the public hear- ing to hear comments for or against pro- posed voluntary annexation of approximately 41.85 acres north of 235th St and east of the current eastern city limits and north to the UPRR right-of-way. The clerk was informed the week prior by Harlan & Jeanette Klop- penborg that land previously owned by them now belonged to someone else. Those new owners will need to be contacted. None present commented nor had any written comments been received at City Hall. Sod- ders closed the meeting at 6:34. The clerk requested that a claim payment to Astra Security in amount of $11,361.00 be removed from the consent claims as Chief Thomas reported that the improvements that the payment was for were not working to ex- pectation yet and that there was not a trans- fer resolution as listed on agenda. Motion by Quick, 2nd by Darrow that the consent agenda be approved with these omissions. Motion passes 5-0. Motion by Darrow, 2nd by Wilkinson that Ordinance 362 combining the Park & Rec Commission and Rose Garden Board into one board. Motion passes 5-0 roll call. Mo- tion by Wilkinson, 2nd by Shaffar that the 3rd reading of Ordinance be waived. Motion passes 5-0 roll call. Motion by Shaffar, 2nd by Darrow that Ordinance 362 be adopted at this time and shall be in effect upon the mayor’s signature and publication. Motion passes 5-0 roll call. Darrow introduced and moved to adopt Res. 21-62 approving that the City enter into an agreement not to exceed $10,000.00 with Region 6 for the purpose of updating the City’s Comprehensive Plan. Quick 2nd. Res. 21-62 is adopted 5-0 roll call. There was no one present to speak on the cat issue. The FEMA grant letter of intent has moved to the state level and then if there are no corrections go on to the federal level. There was nothing reported on the 4th Street or 7th St NW projects. Shaffer intro- duced and moved to adopt Res.21-70 ap- proving of pay estimate #1 to Con-Struct for work done on the E Main/2nd St NW project in total amount of $48,599.15. Wilkinson 2nd; Res. 21-70 is adopted 5-0 roll call. Shaf- far introduced and moved to adopt Res. 21- 71 approving of Change Order #1 adding 4 blocks to the East Main portion of the project for the amount of $157,441.00. Darrow 2nd. Res. 21-71 is adopted 5-0 roll call. H. Thomas of CGA reported that Rex Day, general contractor has passes away and that his family will completing the project with the subcontractor. Darrow introduced and moved to adopt Res. 21-63 approving of pay estimate #1 in total amount of $63,063.02 to Day Construction upon receipt of legally signed estimate documents. Shaf- far 2nd; Res. 21-63 is adopted 5-0 roll call. Wilkinson introduced and moved to adopt Res. 21-64 approving entering into a 4-year agreement with CIT Sewer Solutions for maintenance of sewer mains. Darrow 2nd, Res. 21-64 is adopted 5-0 roll call. Quick introduced and moved to adopt Res. 21-65 approving entering into a 5-year shared maintenance agreement for shared public roads. Darrow 2nd, Res. 21-65 is adopted 4-0 roll call, Wilkinson abstained. Motion by Darrow that Ordinance 360, amending section 99.02 of the State Center Code by identifying instances that sanitary sewer charges might be waived be given its 2nd reading. 2nd by Wilkinson, motion passes 5-0 roll call. Motion by Shaffar, 2nd by Wilkinson that the 3rd reading of Ordi- nance 360 be waived. Motion passes 5-0 roll call. Motion by Darrow, 2nd by Shaffar that Ordinance 360 be adopted at this time and shall be in effect upon the mayor’s signature and publication. Motion passes 5-0 roll call. There has been a request from Dean Schoppe to vacate a partial alley dividing two parcels he owns north of 5th St. SW. The section of alley directly east has already been vacated. Motion by Wilkinson, 2nd by Darrow that the City proceed to vacate this alley following vacation procedure including identification of necessary utility easements and with Schoppe paying for legal costs. Motion passes 3-0 with Shaffar and Quick abstaining. Darrow introduced and moved to adopt Res. 21-66 approving of agreement with Legacy Powerline for replacement of rural transmission lines on 235th St east of the city limits not to exceed 3 miles at $18,600.00 per mile. Nichols 2nd; Res. 21-66 is adopted 5- 0 roll call. Jeff reported that the electric department is moving forward with ordering a new bucket truck $155,008.00 (being budgeted over two years as orders are 12 months out) from ABM Equipment and Supply as they were the best quote received. Shaffar introduced and moved to adopt Res. 21-69 authorizing and approving Loan Agreement, providing for the issuance of a $900,000.00 General Obligation Annual Ap- propriation Street Improvement and Refund- ing Note, Series 2021 and providing for the levy of taxes (subject to non-appropriation) to pay the same. Wilkinson 2nd; Res. 21-69 is adopted 5-0 roll call. Wilkinson introduced and moved to adopt Res. 21-67 approving of advisory agreement with Northland Securities for the purpose of securing an SFR loan for upcoming utility projects. Quick 2nd; Res. 21-67 is adopted 5-0 roll call. Wilkinson, personnel committee chair re- ported that it is the consensus of the commit- tee that the permanent position City employees be awarded a 2% wage raise to take effect as of the first paycheck in FY22. With the recommendation acting as a first and second, Res. 21-68 is adopted 5-0 roll call. Motion by Nichols, 2nd by Wilkinson that late claims totaling $17,520.26 be approved. Motion passes 5-0 roll call. The clerk informed that she had pre- sented to the state treasury that State Center requests its allocation of ARPA dollars. Other items: it may be time for the city to consider a mobile food truck ordinance, she and M. Kielly will be meeting with a Habitat for Hu- manity representative, the time period to sub- mit nomination papers for the 2021 City election begins in August, Lori is attending clerk classes in July, and she will be meeting with a representative for the purpose of de- signing a new website. Robert Grant asked if the council had pursued paving of 6th St. SW. The public works director will explore seal coat costs for next month’s meeting. Zach stated that there may need to be a limit to the splash pad op- eration if lack of rain continues. There being no further business, Wilkin- son moved to adjourn, Shaffar 2nd. Motion passes 5-0. Steven J. Sodders, Mayor Attest: Lori Bearden, City Clerk CLAIMS APPROVED 06.15.21 VENDER DESCRIPTION AMOUNT 1ST AYD 900 BLUE WIPERS 129.20 AIRGAS USA LLC CYLINDER RENTALS 146.93 ALLIANT ENERGY NATURAL GAS 732.78 ARNOLD MOTOR SUPPLY VEHICLE MAINTENANCE 392.47 ASTRA SECURITY SECURITY MONITORING 11790.7 BARCO MUNICIPAL PRODUCTS SURVEY FLAGS 904.83 BOUND TREE MEDICAL FIRE & EMS SUPPLIES 779.48 BRIAN'S COLLISION TRUCK REPAIRS 756.00 BROWN SUPPLY CURB BOX 117.50 CAPITOL ONE TRADE CREDIT ELECTRIC WIRING 105.49 CENTRAL IOWA EXPO POICE TRAINING 500.00 CENTRAL STATE BANK-VISA OFF SUPPLY 481.62 CENTRAL STATE BANK-VISA FUEL, PARK LIGHTS 250.11 CIT SEWER SOLUTIONS TELEVISING E MAIN 900.00 CGA ENGINEERING SERVICES 2,835.43 CORE & MAIN SEWER SUPPLIES 265.00 CRAWFORD TRENCHING SUPPLIES & SERVICE CALL 310.49 CROP RITE INC HERBICIDE SPRAY 265.25 DAN'S AUTO VEHICLE REPAIRS 1,400.00 DITCH WITCH OF MN & IA EQUIPMENT REPAIR 661.49 ECKHARDT ENTERPRISES BOILER/MACHINERY POLICY 4,666.00 EMC FIRE EMS/FIRE EQUIPMENT 550.00 FASTENAL TOOLS 23.16 FIERROS, ANA JANITORIAL SERVICES 250.00 FLETCHER-REINHARDT CO ELECTRIC DISTRIB 140.44 HAWKINS CHLORINE CYLINDERS 20.00 HEIMAN FIRE EQUIPMENT COATS & PANTS 11,938.30 HOMETOWN FOODS SUPPLY 12.67 I&S GROUP ENGINEERING SERVICES 11,170.38 IDNR OPERATOR CERT 120.00 IOWA ONE CALL LOCATES 116.10 IOWA UTILTIES BOARD FY21 OCA FEES 52.80 IRBY CO, STUART C ELECTRIC DISTRIB 4,522.00 JET DRAIN SERVICE CITY HALL SEWER REPAIR 16,512.21 JOHN DEERE FINANCIAL SUPPLY, TOOLS 451.78 KELTEK PD EQUIPMENT 440.40 KEYSTONE LABS TESTING 54.50 LEDFORD TREE SERVICE STUMP GRINDING 350.00 MACQUEEN EQUIPMENT STREET SWEEPER BROOMS 551.84 MALLOY, NICHOLE REBATES 600.00 MARSHALLTOWN TESTS 220.00 MARTIN MARIETTA ROCK 117.84 MENARDS TOOLS/SUPPLY 475.70 MID-IOWA ENTERPRISE PUBLICATIONS 593.55 MIKE WALTON WINDOW CLEANING 50.00 NEW CENTURY FS FUEL CHARGES 1,890.68 PARTNER COMM TELECOMMUNICATION 1,054.37 POSTMASTER UTILITY BILLING POST 825.00 PUSH PEDAL PULL ELLIPTICAL REPAIRS 900.27 RACOM CORP LED LIGHTS, G2 LICENSE 1,385.00 RANDY'S PEST CONTROL PEST CONTROL 185.00 SCHINDLER ELEVATOR ANNUAL CONTRACT 2,112.48 SPEEDPRO IMAGING WINDOW FILM 449.16 STANDARD & ASSOC LAW ENFORCEMENT TESTING 67.00 STATION AUTOMATION INC ANNUAL LICENSE & SCBA 1,433.33 STONE SANITATION GARBAGE SERVICE 308.97 STRUTHERS BROS VEHICLE MAINTENANCE 231.32 JON THOMAS EQUIPMENT & TRAINING 1,173.83 THOMPSON, RICK GUTTERS/DOWNSPOUTS 1,612.00 US CELLULAR MONTHLY CHARGES 401.81 VIBBARD, JEFF & ROBIN REBATE 200.00 WAL-MART CHARGE JANITORIAL SUPPLIES 12.10 WESCO DISRIBUTING ELECTRIC DISTRIB 3,446.86 WITMER PUBLIC SAFETY FIRE EQUIPMENT 479.57 XEROX CORP COPIER CONTRACT 598.90 CITY SUB-TOTAL 96,492.09 HILLDALE GROUNDS 100.00 READER SERVICE BOOKS 102.76 XEROX COPIER CONTRACT 44.45 PREMIER OFFICE SUPPLY 57.65 BAKER & TAYLOR BOOKS 180.04 NAGLE SIGN DEPOSIT BLDG MAINT 205.29 QUILL OFFICE SUPPLY 76.31 CRAWFORD TRENCH BLDG/GRNDS 427.53 MIDWEST TAPE VIDWO 39.96 MENARDS PROGRAMS 161.52 ZOOM OFFICE SUPPLY 142.90 CENTRAL STATE BANK LOAN PAYMENT 23,427.08 HINKLEY LIGHTING BLDG 235.32 AMAZON PROGRAMS 227.30 ADVANCE ARCHIVES PERIODICAL 286.20 CONTROLL INSTALL OF IA SERVIE 206.80 LIBRARY SUBTOTAL 25,921.11 PAYROLL 05.28.21 05.28.21 26,729.49 GTSB PAYROLL 06.04.21 06.04.21 1,421.43 PAYROLL 06.11.21 06.11.21 34,200.54 A FIERROS - MAY CLEANING 250.00 IDR SALES TAX 3,704.00 IDR WETAX 2,264.00 IFA SWR UTILITY NOTE PAYMT 51,570.00 RPGI PURCHASED POWER 51,961.01 UMB BANK PAYOFF W MAIN NOTE 623,085.00 UMB BANK 3RD ST NW NOTE PAYMT 114,568.75 J FINN DEPOSIT REFUND 116.83 J GALLEGOS DEPOSIT REFUND 200.00 CSBANK SOLAR NOTE PAYOFF 250,389.67 PSN MONTHLY FEE 94.85 MID IA ENTERPRISE KAUFFMAN 31.61 BOTANICAL CENTER KAUFFMAN 100.00 REIMEN GARDEN KAUFFMAN 250.00 ADVANTAGE ADMIN MONTHLY FEE 52.50 ADVANTAGE ADMIN HRA PAYOUTS 4,255.76 MID-CYCLE CLAIMS PAID 1,165,245.44 TOTAL APPROVED BY COUNCIL 1,287,658.64 APPROVED BY FUND GENERAL FUND 100,243.06 ROAD USE 9,234.90 KAUFFMAN 381.61 CAPITAL PRJ 4,233.89 DEBT SERVICE 737,653.75 WATER UTILITY 11,054.12 SEWER UTILITY 63,965.95 ELECTRIC UTILITY 357,609.15 STORM WATER 3,282.21 TOTAL 1,287,658.64 MAY REVENUE BY FUND GENERAL FUND 22,510.81 ROAD USE 16,115.36 LOST 14,889.07 E'EE BENEFIT 3,538.11 EMERGENCY LEVY 325.79 TIF 1,472.94 DEBT SERVICE LEVY 1,395.68 WATER UTILITY 35,024.55 WATER IMPRV 2,729.88 SEWER UTILITY 14,481.83 SEWER IMPRV 8,331.43 ELECTRIC UTILITY 125,375.13 STORM WATER UTILITY 4,952.23 TOTAL 251,142.81

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CITY OF STATE CENTERCITY OF STATE CENTER

CITY OF STATE CENTER

CITY OF MELBOURNE

YOUR ONLINE SOURCE FORPUBLIC NOTICES IN IOWA.

Thursday, JUNE 24, 2021, ENTERPRISE-PAGE 6 PUBLIC NOTICECity of Melbourne

Regular City Council MeetingJune 14, 2021

Melbourne City Council met in regularsession on June 14, 2021 at 7 pm. Membersand Clerk were all seated a minimum of 6’apart per social distancing protocol. Councilmembers present were David Gibbs, CarrieWhite. Goodrich and Hauser notified clerkthey would be late. Also present were MayorJohn White, Clerk Mary Pothast and resi-dents Nathan Karr and Shannon Peters.Mayor White called the meeting to order at7:11 pm with the pledge of allegiance. Mayorasked that the date on the agenda bechanged to June due to a clerical error. Mo-tion by Gibbs, 2nd by C. White. Vote was allayes. Motion to approve consent agenda—agenda, minutes and bills made by C. White,2nd by Stahl. Vote was all ayes. In publiccomment, Mayor White updated the Councilon the 911 Commission news. They did notvote on the radio issue because the Countywanted the 911 Board to add tower rent andequipment maintenance into their budget.This is due to the fact that the fire districtscan’t pay more money, so 911 Board wasasked to pay for this. When it was set up, the911 Board was only responsible for salariesand benefits, not buildings maintenance orvehicles. Supervisor Patten suggested he goback to the Board of Supervisors and furtherdiscuss the issue.

Mayor White postponed the building per-mits and variances until the other councilmembers arrived. Moving on, White openedthe public hearing for the second budgetamendment for FY 20/21. Clerk had pub-lished notice and had no input from the pub-lic. Clerk gave reasons for the amendmentincluding Manatt’s able to come in before endof year, water department needing more fromtheir reserves for leak, floor waxing at reccenter, electrical repairs at ball diamondcame up unexpectedly and needed to be re-paired per Alliant and new revenue fromFEMA and an insurance payment for thegrass rig. Public hearing was closed. Motionto approve the budget amendment with Res-olution 21-06-01 made by Gibbs, 2nd by C.White. Roll call vote was all ayes. Motionpassed and Resolution approved. The sec-ond public hearing of the night regarding therenewal of our contract with Iowa RegionalUtilities Association (IRUA) to provide bulkwater for the term of 30 years at the currentprice was opened. (Goodrich arrived at 7:21pm). There was no additional discussion.Hearing was closed. Motion to approve thecontract with Resolution 21-06-03 was madeby C. White, 2nd by Stahl. Roll call vote wasall ayes. Motion and resolution approved.

In new business, Shawn Goodrich turnedin her resignation effective at the end of thecurrent meeting—July 14, 2021. We wouldlike to thank her for her time and service tothe City. (Hauser arrived at 7:25 pm) Clerkpresented Resolution 2021-06-02 to fill thevacancy by appointment. The appointee willtake office July 14 and and serve through therest of the year. The position will be up forelection at the November election for a 2 yearterm. Clerk mentioned that there will also betwo 4-year Council terms as well as theMayor on the ballot. Motion to approve theresolution made by Gibbs with 2nd by Stahl.Vote was all ayes. Mayor moved the order ofbusiness back to the public hearing forNathan & Kelly Karr variance request at 303Main Street. The variance requested thatboth the north and east 7’ property allowancebe waived to build a 20’ x 30’ garage. Clerkhad had a written response to the varianceletter against the build, and the mayor hadhad two verbal responses against the build.Gibbs, from the fire chief perspective, statedhe had concerns regarding the proximity tothe neighbor’s garage as well. It would be ap-proximately 32” from the fence and 8-9’ fromthe neighbors’ garage. Although steel sidingis planned, Gibbs concern was that a firecould spread between those two building tooquickly and the department would not be ableto get their equipment in to put it out. In dis-cussion with N. Karr, he and Council agreedthat if he could move it approximately 5’ tothe south it would be fine. Karr stated it wouldhave to be 6’ to accommodate his construc-tion plans. If it was moved that distance, itwould no longer require a variance on thenorth and Council would ok the east side dueto the fact others on the alley are approxi-mately the same distance. Karr agreed tochange the building size. Motion made byGibbs that pending approval of space by Al-liant and Partner Communications, the eastvariance would be approved; the northamount would be widened to accommodatethe 7’ distance required by Code; and thebuilding built to 20’ x 24’ in size. 2nd byHauser. Vote was all ayes. Second buildingpermit was a request from David Gibbs at108 2nd Avenue to make a small addition to

his existing garage to square it off. Since allthe other lot distances would remain thesame, Motion made by C. White with 2nd byStahl, Vote was 4 ayes with 1 abstaining(Gibbs) due to it being his permit request.Motion passed.

Back to new business, clerk presented aresolution to transfer funds. Motion by Gibbsto approve Resolution 12-06-04, 2nd byGoodrich. Vote was all ayes, resolution ap-proved. The park has an electrical issue withits electric meter and the panels providingpower to the park lights. Alliant contacted theCity and gave them a 30 day notice to repairit. Bids were received from Reisetter Electricfor $8250 and from Pat Malloy for 3 options,starting at $8364 and up to $24,987. Motionby C. White to go with Reisetter Electric, 2ndby Hauser. Vote was all ayes. The funds topay for the project are as follows: $6000 fromgeneral fund from the City and the remainderfrom Melbourne Little League.

The City had an issue with Top NotchTree Service taking oversized tree debris tothe lagoon. PW will have a problem movingthe items with the skidloader due to its size—some up to 3’ in diameter (6” is the maximumallowed at the lagoon, and they have beentold on at least 2 occasions). Clerk was toldto send a letter asking them to remove theoversized pieces, and not allow them to takedebris there until it is taken care of with a re-minder that only Melbourne tree debris is al-lowed.

The status of the water leak location ispending. The employee from the city of Bed-ford will come to train our PW/clerks onusage. We are hoping for this week. Theyhave had a leak of their own to repair andthat has held up our obtaining the equipment.Manatt’s blacktopping of Butler Street is com-plete, and manholes are also done as ofMonday the 14th.

Carol Dean has resigned from the libraryas of May 25. We thank her for her time andservice to the city. Summer reading programwill be on Mondays at 10 am. Swimming les-sons began on the 14th for Melbourne areakids and there is an additional session in Julyfor Baxter kids. The Dr. Pepper pop machineat the pool was having some issues andTheresa Daters requested it be replaced orrepaired. The company cited vandalism andrefused to repair or replace the machine.Daters asked them to remove it. Pepsi will bereplacing the machine with another of theirsto provide a variety of drinks, includingGatorade. The machine is fully maintainedand filled by Pepsi.

DNR water survey showed minor recom-mendations and they are already being takencare of and the report will be submitted priorto the June 20th deadline. Chief Ball is look-ing into solar powered lights for the Childrenat Play signs. Clerk has spoken with Garyand he thinks there may be another sign inthe Morton Building he will look for. The firedepartment will be doing fireworks on July 3.The annual fish fry by the fire department willbe held on Friday, August 6, kicking off a re-newal of Mousehole Days. Masons are will-ing to do a Pedal Tractor Pull that Friday aswell and Clerk has put out a call for volun-teers. First meeting is Tuesday, June 15 at5:30 at City Hall.

Election candidate filing is August 23-September 16, ending at 5 pm. All paperworkmust be turned into City Hall by the 5 pmdeadline. Seats open will be that of Councilpersons Gibb and Stall and Mayor White—all 4 year terms; and that of Goodrich whichis a 2 year term. They all begin in January2022. Those interested are encouraged tocontact City Hall with questions.

As an additional public comment, Gibbsstated that the fire department may stop col-lecting cans. They have found rotten foodand dirty diapers in the bags containing cansand that is unacceptable. He will keep theCouncil updated. Goodrich had a citizencomplaint about cars parking by the CollegeHills signs on both sides and making it diffi-cult to pull a trailer through the area. Councilrecommended posting it no parking from 12-6 and suggesting parking behind the rec cen-ter in the large parking lot available. Motionto adjourn made by Gibbs with 2nd by C.White. Vote was all ayes. Meeting adjournedat 8:06 pm.

REVENUES: GENERAL $60,740.08,ROAD USE $8457.38, EMP BENEFITS$1150.53, EMERGENCY $201.35, LOSTFIRE $1039.99, LOST 1ST RESP $1039.99,POOL $1045.02, LOST REC CENTER$1067.56, WATER $18,929.31, SEWER$17,784.21. TOTAL $111,455.42.

EXPENSES: GENERAL $65,679.95,ROAD USE $2364.16, EMP BENEFITS$10,320.12, LOST FIRE $7106.42, LOST1ST RESP $320.70, WATER $17,296.55,SEWER $9690.36. TOTAL $112,778.26.

PUBLISHED PRIOR TO APPROVAL.

CLAIMS REPORT CITY OF MELBOURNE MAY 2021VENDOR REFERENCE AMOUNTACCESS SYSTEMS COPIER LEASE 160.81 ALLIANT ENERGY UTILITY (ELECTRIC) 46.35 ALLIANT ENERGY UTILITY (ELECTRIC) 2,735.77 BRADSHAW FOWLER PROCTOR&FAIRGR-ZONING QUESTION 32.00 BRIAN'S COLLISION CLINIC PARTS ORDERED FOR GRASS RIG 604.24 CITY OF MARSHALLTOWN MONTHLY LABS APRIL 2021 286.00 CLEMENT HEATING & COOLING INSTALL A/C ON GROUND @ RECCTR 2,975.00 COLONIAL LIFE PROCESS. CENTER COLONIAL LIFE 14.49 COLONIAL LIFE PROCESS. CENTER COLONIAL LIFE 28.98 CONSUMERS ENERGY LAGOON 932.39 IOWA DEPT OF NATURAL RESOURCES JIM PFANTZ LICENSE RENEWAL 120.00 IOWA DEPT OF NATURAL RESOURCESGARY FRICKE 120.00 DEAN SCHOPPE CONSTRUCTION JET CULVERT 100.00 DEPT OF INSPECT. & APPEALS FOOD SERVICE EST. LICENSE 153.75 E&E CONCRETE SERVICES CONCRETE WORK 1,200.00 GARY FRICKE PHONE 65.00 HAWKINS,INC WATER CHEMICALS 232.85 HAWKINS,INC WATER CHEMICALS 491.65 HAWKINS,INC pH sensor 118.00 I M W C A WORK COMP 13,146.00 IOWA ONE CALL IOWA ONE CALL 29.30 IOWA REGIONAL UTIL ASSN 2,209,000 GALLONS 7,444.33 IPERS IPERS 1,165.93 IPERS IPERS 1,169.79 IPERS IPERS 1,152.91 JAMES PFANTZ PHONE 65.00 JIM COLEMAN, LTD KITS FOR 1ST RESP 247.40 JOHN DEERE FINANCIAL 2 MAPLES, 1 OAK, MIRACLE GRO 512.71 JORDAN'S CARPET CLEANING REC CENTER BANQ ROOM,HALLWAY 3,252.00 MARY POTHAST MILEAGE TO PICKUP LAPTOP 94.12 MELBOURNE FIRE FIGHTERS' ASSOC RESPONDING FEES 1,972.50 MELBOURNE POSTMASTER UTILITY BILLS 91.35 MENARD'S PARK TOILETS 57.24 MID IOWA ENTERPRISE LEGAL PUBLICATIONS 209.80 MIDWESTONE BANK - PAYROLL FED/FICA TAX 1,701.03 MIDWESTONE BANK - PAYROLL FED/FICA TAX 1,702.00 MIDWESTONE BANK - PAYROLL FED/FICA TAX 1,718.48 MIDWESTONE BANK - PAYROLL FED/FICA TAX 168.35 MIDWESTONE BANK CAR WASH 14.00 MIDWESTONE BANK CAR WASH FOR TRUCK 6.50 MIKE BALL PHONE 65.00 MARSHALLTOWN WATER WORKS COLISURE ANALYSIS 14.00 NEEDHAM LANDSCAPING IRRIGATION HYDRANT 247.50 NEW CENTURY F S GAS 777.96 PARTNER COMMUNICATIONS, INC. MONTHLY PHONE BILL 462.60 POOL PETTY CASH POOL PETTY CASH FOR DRAWER 150.00 QUALITY ROOFING & SIDING 507 BUTLER STREET REPAIRS 30,025.00 REGION 6 PLANNING COMMISSION $338 GENERAL, $4291 TECHNICAL 4,629.00 SANDRY FIRE SUPPLY, LLC USED AIR CYLINDERS QTY 31 7,240.25 SCHENDEL PEST CONTROL WASP SPRAYING MONTHLY 45.00 SCHENDEL PEST CONTROL 2ND TIME SPRAYING 5/10/21 45.00 STATE TREASURER OF IOWA STATE TAX 245.00 STATE TREASURER OF IOWA STATE TAXES 505.00 STATE TREASURER OF IOWA WET APRIL 2021 875.00 STONE SANITATION GARBAGE HAULING 153.92 THE AMERICAN BOTTLING CO pop for machine 131.20 TIAA BANK LIBRARY COPIER/PRINTER 46.84 U S CELLULAR TABLET 1ST RESP 33.23 VISA - CITY HALL SPEAKER & TABLET FOR POOL 614.42 VISA - CITY HALL SPEAKER/TABLET 614.42 VISA - LIBRARY MIDWESTONE CC LIBRARY 384.83 VISA - LIBRARY MISC 384.83 VISA - MELB FIRE FIGHTERS PARTS FOR REPAIRS 302.18 VISA - MELB FIRST RESPOND BOUND TREE MED SUPPLIES 73.30 WESTRUM LEAK DETECTION INC. MOBILIZATION 314.50 Accounts Payable Total 94,718.00 Refund Checks Total Total Paid On: 5/03/21 5,785.80 Total Paid On: 5/17/21 5,798.63 Total Paid On: 5/19/21 671.90 Total Paid On: 5/28/21 5,953.92 Total Payroll Paid 18,210.25 ***** REPORT TOTAL ***** 112,928.25

ORDINANCE NO. 360AN ORDINANCE AMENDING SECTION

99.02 OF THE CODE OF ORDINANCESOF THE CITY OF STATE CENTER, IOWA,SPECIAL RATES OR WAIVER OFCHARGES.

BE IT ORDAINED by the City Council ofthe City of State Center, Iowa:

SECTION 1. SECTION MODIFIED.Section 99.02 of the Code of Ordinances forthe City of State Center, Iowa is amended toprovide for waiver of sanitary sewer chargesunder specific circumstances.

99.06   SPECIAL RATES OR WAIVEROF CHARGES. Where, in the judgement ofthe Council, special conditions exist sur-rounding use of the City water to the extentthat the application of the sanitary sewerservice charges, rentals or rates specifiedherein would be inequitable or unfair to eitherthe City or the customers, the Council mayestablish a special rate applying to such cus-tomers. Such special rates when adopted byordinance by the Council shall apply to allcustomers to the sanitary utilities of the Cityunder like circumstances.

1. Special rates may include, amongother, the following cases:

a. Where the nature of the use of the Citywater is such that the resulting sewage or in-dustrial waste discharged into the sanitarysewer system of the City has characteristicsmaking it more or less difficult to treat thanordinary domestic waste.

2.There shall be no waiver of sanitarysewer charges with the following exceptions.

a. City equipment is faulty.b. Pool fills only if City Hall staff is con-

tacted for meter reads prior to fill.

c. Where a utility customer has pur-chased, had installed by a plumber, and hadinspected by the City, a separate meter forthe purpose of metering outdoor water use.In this case, the separate meter would beread monthly with the regular meter and thesewer charges related to the outdoor wateruse would be deducted from the monthly bill.

d. Extreme Circumstances, such aswhen above average water use does notenter the sanitary sewer system and is above75,000 gallons. This would have to bebrought before the council for approval ofwaiver of charges.

SECTION 2. REPEALER. All ordi-nances or part of ordinances in conflict withthe provisions of this Ordinance are herebyrepealed.

SECTION 3. SEVERABILITY CLAUSE.If any section, provision, or part of this Ordi-nance shall be adjudged invalid, unconstitu-tional, or unenforceable for any reason, suchadjudication shall not affect the validity or en-forcement of the remaining provisions.

SECTION 4. WHEN EFFECTIVE. Thisordinance shall be in effect after its final pas-sage, approval and publication as providedby law.

1st Reading May 18, 2021:2nd Reading June 15, 20213rd Reading Waived June 15, 2021Ordinance 360 is passed and adopted by

the City Council of the City of State Centerthe 15th day of June 2021.

Effective upon publication in the Mid IowaEnterprise.

Steve Sodders, MayorAttest: Lori Bearden, City Clerk

ORDINANCE NO. 362AN ORDINANCE COMBINING CHAP-

TER 23 PARK AND RECREATION COM-MISSION AND CHAPTER 24 ROSEGARDENT BOARD INTO CHAPTER 23 ASONE BOARD.

WHEREAS the City of Council of the Cityof State Center recognizes that the Park andRecreation Commission and the Rose Gar-den Board are often comprised of many ofthe same volunteer members and that thetwo have many common qualifications, pow-ers, and duties; and,

WHEREAS the chairpersons of the aforementioned commission and board have ap-proached the City Council with the idea thatthe Park and Recreation Commission andthe Rose Garden Board and their respectiveCity Code Chapters would best serve theCity as a combined unit;

BE IT ORDAINED by the City Council ofthe City of State Center that Chapters 23 and24 as adopted November 17, 2020, and onDecember 3, 2020, published notice of thesame, are hereby rescinded and the follow-ing Chapter 23 Park, Recreation and RoseGarden Board be adopted:

SECTION 1. CHAPTER MODIFIED: CHAPTER 23 PARK, RECREATION

AND ROSE GARDEN BOARD1. Board Created2. Qualifications of Board Members3. Compensation4. Officers5. Board Meetings6. Vacancies7. Records8. Jurisdiction10. Powers and Duties11. Accounting12. Termination of Board23.01 BOARD CREATED. The Park,

Recreation and Rose Garden Board, consist-ing of five members with the Mayor servingas an ex officio member of the Board, ishereby created as an administrative agencyof the City to maintain and improve the publicparks of the City including the State CenterRose Gardens, such Board to have com-mensurate authority to perform such duty.Board members shall be nominated by theBoard President and appointed by the Mayorwith consent of the Council. The Mayor, withthe approval of the Council, may appointsuch other ex officio members as may bebeneficial to the park, recreation, and RoseGarden programs of the City.

23.02 QUALIFICATIONS OF BOARDMEMBERS. All five members of the Boardshall be bona fide residents of the City andall shall be over the age of 18 years.

23.03 COMPENSATION. The membersof the Board shall receive no compensationfor their services.

23.04 TERMS OF OFFICE. All appoint-ments to the Board shall be for staggered,five-year terms, and shall coincide with theCity fiscal year of July 1 to June 30.

23.05 OFFICERS. The officers of theBoard to be elected at the annual organiza-tional meeting shall be a President, VicePresident and Secretary-Treasurer. Meetingsof the Board shall be presided over by thePresident and in the absence of the Presi-dent by the Vice President. The Secretary-Treasurer shall prepare and preserveminutes of all meetings of the Board andshall prepare and preserve a complete ac-counting of all financial affairs of the Board.

23.06 BOARD MEETINGS. During themonth of July of each year the Board shallhold an organizational meeting on the call ofthe President. At the organizational meeting,the Board shall elect from among its mem-bers officers to serve during the fiscal yearand shall fix a schedule of regular meetingsfor the fiscal year. Special meetings of theBoard may be held on call of the Presidentor a majority of the members. The failure ofa member to attend at least 50 percent of theregular meetings of the Board during a fiscalyear shall constitute a resignation from theBoard by such member.

23.07 VACANCIES. A vacancy on theBoard shall be filled by the Board even if theremaining members of the Board do not con-stitute a quorum. All appointments by theBoard shall be subject to and become effec-tive upon approval of the Mayor and Council.The appointment to fill a scheduled vacancyfor a regular five-year term commencing onJuly 1 shall be accomplished during the pre-ceding June. An appointment to fill a vacancyfor the remainder of an unexpired term shallbe accomplished within 60 days after the va-cancy occurs.

23.08 RECORDS. The Board shall keepa permanent record of all its meetings andshall deliver to the Clerk copies of the min-

utes of each and every meeting of the Boardwithin a reasonable time after each meetingbut never less than two days before the nextscheduled meeting of the Council.

23.09 JURISDICTION. The Board shallhave, subject to the direction of the Councilwhen and as the Council may deem advis-able, control of the City's public parks, RoseGarden, playgrounds, and recreation centerswhether within or without the corporate limitsof the City and the ordinances of the Cityshall be in full force and effect in and overthose areas under the jurisdiction of theBoard.

23.10 POWERS AND DUTIES. TheBoard shall possess and exercise the follow-ing powers and duties:

1. Recommendations. Develop and rec-ommend to the Council policies, rules, regu-lations, ordinances, and budgets relating tothe care, use, government and managementof the parks, playgrounds, Rose Garden andrecreation centers over which the Board hasjurisdiction.

2. Annual Reports. Transmit to the Coun-cil during the month of July of each year a re-port of the Board's activities andrecommendations for the development andoperation of the parks, playgrounds, recre-ation centers and programs over which theBoard has jurisdiction.

3. Program Integration. Be responsiblefor integrating its programs with other gov-ernmental agencies, including, but not limitedto, the City, the Community School Districts,the County and other municipalities withinthe area.

4. Personnel. Employ any such person-nel as may be necessary for the proper man-agement of the parks, playgrounds,recreation centers and programs and to fixtheir terms of employment, duties, and com-pensation subject to approval by the Coun-cil.

5. Funds. Have control of the expenditureof funds allocated for park, playground,recreation, and program purposes by theCouncil, and of all moneys available by giftor otherwise under the rules established bythe Board; provided, however, any expendi-ture in excess of $1,000.00 must have theprior approval of the Council and the Boardmust stay within its budget.

6. Contracts. Enter into contracts subjectto the approval of the Council.

7. Gifts. Accept gifts, devises, and be-quests of real property subject to the ap-proval of the Council and of personalproperty, either outright or in trust, and en-force the performance of conditions whichmay be attached to such gifts, devises, or be-quests.

XX.11 ACCOUNTING. All funds re-ceived by the Board from appropriations bythe Council or by gifts from private citizensor from any other sources shall be depositedin a Federally insured bank account and dis-bursed therefrom upon the order of theBoard by checks co-signed by the Presidentand Secretary-Treasurer. The Board shallcooperate with and provide to the City Clerkall requested documents required for the an-nual financial audit.

XX.12 TERMINATION OF BOARD. Inthe event that the Board ceased to exist asan administrative agency of the City, the ac-cumulated and unexpended funds of theBoard shall be allocated by the Council to aspecial trust fund to be used for accomplish-ing the purposes for which the Board wascreated.

SECTION 2. CHAPTER DELETED.Chapter 24 is removed from the 2020 StateCenter Code of Ordinances

SECTION 3. REPEALER. All ordi-nances or part of ordinances in conflict withthe provisions of this Ordinance are herebyrepealed.

SECTION 4. SEVERABILITY CLAUSE.If any section, provision, or part of this Ordi-nance shall be adjudged invalid, unconstitu-tional, or unenforceable for any reason, suchadjudication shall not affect the validity of en-forcement of the remaining provisions.

SECTION 5. WHEN EFFECTIVE. Thisordinance shall be in effect after its final pas-sage, approval and publication as providedby law.

1st Reading, May 18, 20212nd Reading, June 15, 20213rd Reading, Waived June 15, 2021Ordinance 362 is passed and adopted by

the City Council of the City of State Centerthe 15th day of June 2021.

Effective upon publication in the Mid IowaEnterprise.

Steve Sodders, MayorAttest: Lori Bearden, City Clerk

State Center City CouncilRegular Meeting Minutes

June 15, 2021State Center City Council met in regular

session on Tuesday, June 15, 2021 at theCity Hall Council Chambers. Mayor Sodderscalled the meeting to order at 6:30 p.m. Allrose for the Pledge of Allegiance. Presentwere Councilors Darrow, Nichols, Quick,Shaffar and Wilkinson. Also present: L.Bearden, K. Yates, K. O’Hare, J. Robinson,Z. Faught, and B. Pfantz, C. Davis, HeatherThomas, K. Nieland, Robert Grant.

Mayor Sodders opened the public hear-ing to hear comments for or against pro-posed entering into a General ObligationAnnual Appropriation Street Improvementand Refunding Loan Agreement not to ex-ceed $900,000.00. None present com-mented nor had any written comments beenreceived at City Hall. Sodders closed themeeting at 6:32.

Mayor Sodders opened the public hear-ing to hear comments for or against pro-posed voluntary annexation of approximately41.85 acres north of 235th St and east of thecurrent eastern city limits and north to theUPRR right-of-way. The clerk was informedthe week prior by Harlan & Jeanette Klop-penborg that land previously owned by themnow belonged to someone else. Those newowners will need to be contacted. Nonepresent commented nor had any writtencomments been received at City Hall. Sod-ders closed the meeting at 6:34.

The clerk requested that a claim paymentto Astra Security in amount of $11,361.00 beremoved from the consent claims as ChiefThomas reported that the improvements thatthe payment was for were not working to ex-pectation yet and that there was not a trans-fer resolution as listed on agenda. Motion byQuick, 2nd by Darrow that the consentagenda be approved with these omissions.Motion passes 5-0.

Motion by Darrow, 2nd by Wilkinson thatOrdinance 362 combining the Park & RecCommission and Rose Garden Board intoone board. Motion passes 5-0 roll call. Mo-tion by Wilkinson, 2nd by Shaffar that the 3rdreading of Ordinance be waived. Motionpasses 5-0 roll call. Motion by Shaffar, 2ndby Darrow that Ordinance 362 be adopted atthis time and shall be in effect upon themayor’s signature and publication. Motionpasses 5-0 roll call.

Darrow introduced and moved to adoptRes. 21-62 approving that the City enter intoan agreement not to exceed $10,000.00 withRegion 6 for the purpose of updating theCity’s Comprehensive Plan. Quick 2nd.Res. 21-62 is adopted 5-0 roll call.

There was no one present to speak onthe cat issue.

The FEMA grant letter of intent hasmoved to the state level and then if there areno corrections go on to the federal level.

There was nothing reported on the 4thStreet or 7th St NW projects. Shaffer intro-duced and moved to adopt Res.21-70 ap-proving of pay estimate #1 to Con-Struct forwork done on the E Main/2nd St NW projectin total amount of $48,599.15. Wilkinson2nd; Res. 21-70 is adopted 5-0 roll call. Shaf-far introduced and moved to adopt Res. 21-71 approving of Change Order #1 adding 4blocks to the East Main portion of the projectfor the amount of $157,441.00. Darrow 2nd.Res. 21-71 is adopted 5-0 roll call.

H. Thomas of CGA reported that RexDay, general contractor has passes awayand that his family will completing the projectwith the subcontractor. Darrow introducedand moved to adopt Res. 21-63 approving ofpay estimate #1 in total amount of$63,063.02 to Day Construction upon receiptof legally signed estimate documents. Shaf-far 2nd; Res. 21-63 is adopted 5-0 roll call.

Wilkinson introduced and moved to adoptRes. 21-64 approving entering into a 4-yearagreement with CIT Sewer Solutions formaintenance of sewer mains. Darrow 2nd,

Res. 21-64 is adopted 5-0 roll call.Quick introduced and moved to adopt

Res. 21-65 approving entering into a 5-yearshared maintenance agreement for sharedpublic roads. Darrow 2nd, Res. 21-65 isadopted 4-0 roll call, Wilkinson abstained.

Motion by Darrow that Ordinance 360,amending section 99.02 of the State CenterCode by identifying instances that sanitarysewer charges might be waived be given its2nd reading. 2nd by Wilkinson, motionpasses 5-0 roll call. Motion by Shaffar, 2ndby Wilkinson that the 3rd reading of Ordi-nance 360 be waived. Motion passes 5-0 rollcall. Motion by Darrow, 2nd by Shaffar thatOrdinance 360 be adopted at this time andshall be in effect upon the mayor’s signatureand publication. Motion passes 5-0 roll call.

There has been a request from DeanSchoppe to vacate a partial alley dividing twoparcels he owns north of 5th St. SW. Thesection of alley directly east has alreadybeen vacated. Motion by Wilkinson, 2nd byDarrow that the City proceed to vacate thisalley following vacation procedure includingidentification of necessary utility easementsand with Schoppe paying for legal costs.Motion passes 3-0 with Shaffar and Quickabstaining.

Darrow introduced and moved to adoptRes. 21-66 approving of agreement withLegacy Powerline for replacement of ruraltransmission lines on 235th St east of the citylimits not to exceed 3 miles at $18,600.00 permile. Nichols 2nd; Res. 21-66 is adopted 5-0 roll call.

Jeff reported that the electric departmentis moving forward with ordering a new buckettruck $155,008.00 (being budgeted over twoyears as orders are 12 months out) fromABM Equipment and Supply as they werethe best quote received.

Shaffar introduced and moved to adoptRes. 21-69 authorizing and approving LoanAgreement, providing for the issuance of a$900,000.00 General Obligation Annual Ap-propriation Street Improvement and Refund-ing Note, Series 2021 and providing for thelevy of taxes (subject to non-appropriation)to pay the same. Wilkinson 2nd; Res. 21-69is adopted 5-0 roll call.

Wilkinson introduced and moved to adoptRes. 21-67 approving of advisory agreementwith Northland Securities for the purpose ofsecuring an SFR loan for upcoming utilityprojects. Quick 2nd; Res. 21-67 is adopted5-0 roll call.

Wilkinson, personnel committee chair re-ported that it is the consensus of the commit-tee that the permanent position Cityemployees be awarded a 2% wage raise totake effect as of the first paycheck in FY22.With the recommendation acting as a firstand second, Res. 21-68 is adopted 5-0 rollcall.

Motion by Nichols, 2nd by Wilkinson thatlate claims totaling $17,520.26 be approved.Motion passes 5-0 roll call.

The clerk informed that she had pre-sented to the state treasury that State Centerrequests its allocation of ARPA dollars. Otheritems: it may be time for the city to considera mobile food truck ordinance, she and M.Kielly will be meeting with a Habitat for Hu-manity representative, the time period to sub-mit nomination papers for the 2021 Cityelection begins in August, Lori is attendingclerk classes in July, and she will be meetingwith a representative for the purpose of de-signing a new website.

Robert Grant asked if the council hadpursued paving of 6th St. SW. The publicworks director will explore seal coat costs fornext month’s meeting. Zach stated that theremay need to be a limit to the splash pad op-eration if lack of rain continues.

There being no further business, Wilkin-son moved to adjourn, Shaffar 2nd. Motionpasses 5-0.

Steven J. Sodders, MayorAttest: Lori Bearden, City Clerk

CLAIMS APPROVED 06.15.21VENDER DESCRIPTION AMOUNT1ST AYD 900 BLUE WIPERS 129.20AIRGAS USA LLC CYLINDER RENTALS 146.93ALLIANT ENERGY NATURAL GAS 732.78ARNOLD MOTOR SUPPLY VEHICLE MAINTENANCE 392.47ASTRA SECURITY SECURITY MONITORING 11790.7BARCO MUNICIPAL PRODUCTS SURVEY FLAGS 904.83BOUND TREE MEDICAL FIRE & EMS SUPPLIES 779.48BRIAN'S COLLISION TRUCK REPAIRS 756.00BROWN SUPPLY CURB BOX 117.50CAPITOL ONE TRADE CREDIT ELECTRIC WIRING 105.49CENTRAL IOWA EXPO POICE TRAINING 500.00CENTRAL STATE BANK-VISA OFF SUPPLY 481.62CENTRAL STATE BANK-VISA FUEL, PARK LIGHTS 250.11CIT SEWER SOLUTIONS TELEVISING E MAIN 900.00CGA ENGINEERING SERVICES 2,835.43CORE & MAIN SEWER SUPPLIES 265.00CRAWFORD TRENCHING SUPPLIES & SERVICE CALL 310.49CROP RITE INC HERBICIDE SPRAY 265.25DAN'S AUTO VEHICLE REPAIRS 1,400.00DITCH WITCH OF MN & IA EQUIPMENT REPAIR 661.49ECKHARDT ENTERPRISES BOILER/MACHINERY POLICY 4,666.00EMC FIRE EMS/FIRE EQUIPMENT 550.00FASTENAL TOOLS 23.16FIERROS, ANA JANITORIAL SERVICES 250.00FLETCHER-REINHARDT CO ELECTRIC DISTRIB 140.44HAWKINS CHLORINE CYLINDERS 20.00HEIMAN FIRE EQUIPMENT COATS & PANTS 11,938.30HOMETOWN FOODS SUPPLY 12.67I&S GROUP ENGINEERING SERVICES 11,170.38IDNR OPERATOR CERT 120.00IOWA ONE CALL LOCATES 116.10IOWA UTILTIES BOARD FY21 OCA FEES 52.80IRBY CO, STUART C ELECTRIC DISTRIB 4,522.00JET DRAIN SERVICE CITY HALL SEWER REPAIR 16,512.21JOHN DEERE FINANCIAL SUPPLY, TOOLS 451.78KELTEK PD EQUIPMENT 440.40KEYSTONE LABS TESTING 54.50LEDFORD TREE SERVICE STUMP GRINDING 350.00MACQUEEN EQUIPMENT STREET SWEEPER BROOMS 551.84MALLOY, NICHOLE REBATES 600.00MARSHALLTOWN TESTS 220.00MARTIN MARIETTA ROCK 117.84MENARDS TOOLS/SUPPLY 475.70MID-IOWA ENTERPRISE PUBLICATIONS 593.55MIKE WALTON WINDOW CLEANING 50.00NEW CENTURY FS FUEL CHARGES 1,890.68PARTNER COMM TELECOMMUNICATION 1,054.37POSTMASTER UTILITY BILLING POST 825.00PUSH PEDAL PULL ELLIPTICAL REPAIRS 900.27RACOM CORP LED LIGHTS, G2 LICENSE 1,385.00RANDY'S PEST CONTROL PEST CONTROL 185.00SCHINDLER ELEVATOR ANNUAL CONTRACT 2,112.48SPEEDPRO IMAGING WINDOW FILM 449.16STANDARD & ASSOC LAW ENFORCEMENT TESTING 67.00STATION AUTOMATION INC ANNUAL LICENSE & SCBA 1,433.33STONE SANITATION GARBAGE SERVICE 308.97STRUTHERS BROS VEHICLE MAINTENANCE 231.32JON THOMAS EQUIPMENT & TRAINING 1,173.83THOMPSON, RICK GUTTERS/DOWNSPOUTS 1,612.00US CELLULAR MONTHLY CHARGES 401.81VIBBARD, JEFF & ROBIN REBATE 200.00WAL-MART CHARGE JANITORIAL SUPPLIES 12.10WESCO DISRIBUTING ELECTRIC DISTRIB 3,446.86WITMER PUBLIC SAFETY FIRE EQUIPMENT 479.57XEROX CORP COPIER CONTRACT 598.90CITY SUB-TOTAL 96,492.09HILLDALE GROUNDS 100.00 READER SERVICE BOOKS 102.76 XEROX COPIER CONTRACT 44.45 PREMIER OFFICE SUPPLY 57.65 BAKER & TAYLOR BOOKS 180.04 NAGLE SIGN DEPOSIT BLDG MAINT 205.29 QUILL OFFICE SUPPLY 76.31 CRAWFORD TRENCH BLDG/GRNDS 427.53 MIDWEST TAPE VIDWO 39.96 MENARDS PROGRAMS 161.52 ZOOM OFFICE SUPPLY 142.90 CENTRAL STATE BANK LOAN PAYMENT 23,427.08 HINKLEY LIGHTING BLDG 235.32 AMAZON PROGRAMS 227.30 ADVANCE ARCHIVES PERIODICAL 286.20 CONTROLL INSTALL OF IA SERVIE 206.80 LIBRARY SUBTOTAL 25,921.11PAYROLL 05.28.21 05.28.21 26,729.49 GTSB PAYROLL 06.04.21 06.04.21 1,421.43 PAYROLL 06.11.21 06.11.21 34,200.54 A FIERROS - MAY CLEANING 250.00 IDR SALES TAX 3,704.00 IDR WETAX 2,264.00 IFA SWR UTILITY NOTE PAYMT 51,570.00 RPGI PURCHASED POWER 51,961.01 UMB BANK PAYOFF W MAIN NOTE 623,085.00 UMB BANK 3RD ST NW NOTE PAYMT 114,568.75 J FINN DEPOSIT REFUND 116.83 J GALLEGOS DEPOSIT REFUND 200.00 CSBANK SOLAR NOTE PAYOFF 250,389.67 PSN MONTHLY FEE 94.85 MID IA ENTERPRISE KAUFFMAN 31.61 BOTANICAL CENTER KAUFFMAN 100.00 REIMEN GARDEN KAUFFMAN 250.00 ADVANTAGE ADMIN MONTHLY FEE 52.50 ADVANTAGE ADMIN HRA PAYOUTS 4,255.76 MID-CYCLE CLAIMS PAID 1,165,245.44 TOTAL APPROVED BY COUNCIL 1,287,658.64 APPROVED BY FUNDGENERAL FUND 100,243.06 ROAD USE 9,234.90 KAUFFMAN 381.61 CAPITAL PRJ 4,233.89 DEBT SERVICE 737,653.75 WATER UTILITY 11,054.12 SEWER UTILITY 63,965.95 ELECTRIC UTILITY 357,609.15 STORM WATER 3,282.21 TOTAL 1,287,658.64 MAY REVENUE BY FUNDGENERAL FUND 22,510.81 ROAD USE 16,115.36 LOST 14,889.07 E'EE BENEFIT 3,538.11 EMERGENCY LEVY 325.79 TIF 1,472.94 DEBT SERVICE LEVY 1,395.68 WATER UTILITY 35,024.55 WATER IMPRV 2,729.88 SEWER UTILITY 14,481.83 SEWER IMPRV 8,331.43 ELECTRIC UTILITY 125,375.13 STORM WATER UTILITY 4,952.23 TOTAL 251,142.81