Loading...
2020-08-13 Council Work Session Packet - BudgetCITY OF MENDOTA HEIGHTS CITY COUNCIL WORK SESSION AGENDA August 13, 2020 1:30 pm Mendota Heights City Hall 1. Call to Order 2. Discussion of FY 2021 Proposed Budget A. Overview B. Departmental Reviews 3. Discuss City Hall Space Needs Study 4. Adjourn (3:30 PM) 1101 Ji una Clurvv I 1M in`b Iv I{i uilih I`^"N hbHH NO . ,,..... i�wumremmuwwmuuo F'al 9'.>2.Ir".dl L7hnfti Ca xl�'!Clwl ir)f,7x wvru.ric;hi,a h= 17ts vr7 " utir ev AEP,,JV ,.6Cl._f QBC rFHT,S DATE: August 18, 2020 TO: Mayor and City Council FROM: Kristen Schabacker, Finance Director Mark McNeill, City Administrator SUBJECT: 2021 Budget Work Session COMMENT. 1. Overview pp. 1-4 2. Department Review: a. Police 13-17 BIP 54,55 b. Public Works i. Streets 23-25 BIP 57-63 ii. Parks 26-28 BIP 64 iii. Utilities 35-41 iv. Street Lights 52 BIP 67 c. Recreation 29-30 BIP 66 i. Par 3 42-45 BIP 68 d. Engineering 33-34 i. Nat Res BIP 64, 65 ii. Facilities 46-48 e. Community Devel 31-32 i. Bldg Insp 22 f. Mayor/Council 5-6 g. Admin (Finance, Clerk, IT) 7-12 3. Set Meeting Time for 8/18 Work session 4. Adjourn (by 3:30 PM) To: Mayor and City Council From: Kristen Schabacker, Finance Director Mark McNeill, City Administrator Subject: Preliminary FY 2021 Budget Date: August 13, 2020 COMMENT: Introduction: The City Council will meet at 1:30 PM on Thursday, August 13, to review the proposed FY2021 City Operating Budget. The meeting will need to end by 3:30 PM, so that the Council can travel to the Village Lots groundbreaking event. A second work session has also been scheduled, and will begin mid-afternoon on Tuesday, August 18. The exact starting time of the second workshop will be determined by how much work remains as a result of the first meeting. Fire and Fire Relief have been scheduled for this work session. That meeting will need to be completed by 4:45 PM, so that the Council Chambers can be set up for the regular City Council meeting, which follows at 5:00 PM. Background: As has been done in previous years, city staff was directed to prepare its requests for next year’s operating budget, with the existing levels of service to remain—see attached memo dated June 18th. In that, staff was also told that Budget Improvement Packages (BIP’s) would be hard-pressed to be funded. Overview: First, the good news regarding the FY21 budget preparation: • Residential Market Values--Market values in Mendota Heights are anticipated to increase by 4.1% from last year. While that is down slightly from previous years, it still shows a solid local residential market. • Employee Numbers Unchanged--There are no additional employee positions which have been requested, and no “partial year” employees were added in 2020 which would impact the FY21 levy. • Health Insurance--The City continues to see the benefits of changing most employees to the State’s employee health insurance program last year. PEIP has been generally well-received by our users, resulting in a cost savings to many of them. In addition, the reduction in overall premiums will mean that no levy increase is necessary for next year. • No Elections--2021 is not an election year, which allows for a budget reduction of approximately $62,000. • The Fire Relief Association has not requested an increase for FY 2021. However, Tom Mattaini of the Relief Association has requested time at the August 18th workshop to express the Association’s appreciation for past support, and give his thoughts about looking to the future. • Par 3 Bonds--Looking ahead, FY 2022 will be the last year that the City will have to levy for the Par 3 bonds. Beginning then, the City will have approximately $245,000 annually to use for tax relief by not levying, or to designate for other expenditures. The bad news: • Pandemic Economy--There is a major uncertainty as to what the impact will be on City revenues caused by the general economy. As a result, we have budgeted for a decrease in overall permit revenues; note that these amounts are only estimates. While the City saw the first half property tax revenues in July as being stable, we will not know if property tax payments will remain as projected for the second half payments until December. If there is a significant reduction of payment seen then, the City may need to do budget adjustments after the levy is set in order to provide for a balanced budget. • Bond Structuring—The street improvement bonds that were sold in 2012 were structured so that there would be a jump in the amount of payments due, beginning in 2021. Specifically, annual payments will go from $88,000, to $189,000 in 2021, resulting in a 1% overall levy increase for that reason alone. Anticipated Impacts: The largest portion of the property tax impact is the General Fund. The preliminary levy increase is proposed in these pages at 4.32%. From a property tax increase standpoint, the City’s overall tax capacity value over the past year has increased from $27.1 million to approximately $28.8 million. We have not yet received the necessary information from Dakota County to determine what the net tax increase a typical valued home ($409,200) will see for FY21. We hope to have that information in time for the second budget workshop. Major Operational Topics: Worker’s Comp—This continues to be a challenge for the City. The premium in 2020 was $392,000, but the city budgeted for only $298,000 of that amount. The shortfall was made up by an anticipated underspending of the operating budget. The levy for this year is $328,000. As with last year, any premium payment which is in excess of next year’s budgeted amount should be funded through any budgetary underspend, or, if necessary, come from fund reserves. Labor Costs—All four of the City’s labor contracts will be entering the second half of a two year contact. The Cost of living increase for 2021 is 3%. By practice, the COLA’s for non-contract employees matches that. Athletic Fields: Most of the anticipated $30,000 which had been budgeted for revenue in FY 2019 wasn’t received, and as a result, the FY 2020 revenue was reduced to $10,000. We have not increased that amount for FY21. Fireworks: The proposed FY 2021 budget continues to provide $14,000. Capital Improvements/Budget Improvement Packages Attached are 15 requested BIP’s which are major expenditures not otherwise provided in the operating budget. While these are all important, the only one which might be considered a “Gotta have” for next year is the $225,000 which has been requested by the Fire Department to replace the self-contained breathing apparatus (SCBA) air packs. Due to safety regulations, those cannot be used by firefighters after February 28, 2021. Therefore, that BIP will absolutely need to be funded. Regarding any other proposals that the Council wants to fund, financing could come from dipping into the fund balance. Alternatively, for some BIP’s (specifically equipment), the City could sell bonds. The selling of equipment notes had been anticipated for next year, but that was in conjunction with the anticipated purchase of a new fire truck. However, the ordering of the fire truck is not going to happen in FY21, and so we aren’t proposing to sell bonds at this time. What we propose instead, in order to fund the air packs and a limited amount of other BIP’s, is to use the remaining proceeds of the sale of the Village lots. The sale of the Village lots netted $1.11 million. These are “one time” funds. The Village lots proceeds have been previously directed by the Council to pay for the overage on the Fire Station addition/remodeling project, and the City’s share of the Valencour property acquisition (including ancillary costs, like demolition). After factoring in the savings from the Fire Station materials sales tax exemption, the city should be able to fund the air packs, and have perhaps $150,000 to $200,000 for either funding other Budget Improvements Packages, or provide additional tax relief. We look forward to discussions of the FY21 budget with you. Kristen Schabacker Mark McNeill Finance Director City Administrator To: Personnel Involved With Budget Preparation From: Mark McNeill, City Administrator Subject: Budget Instructions for FY 2021 Date: June 18, 2020 COMMENT: Attached are the budget preparation sheets for the fiscal year starting January 1, 2021. The preparation for next year’s budget will be very similar to previous years. However, there is a major uncertainty this year in an unknown, but anticipated impact on the City’s revenues caused by the COVID-19 economy. There will probably be on our primary source of funding— property taxes—but that won’t be known until December. We anticipate that revenue from other fees will be down as well. Therefore, whatever preliminary budget may be adopted in September could be subject to further changes late in the year, if it is anticipated that further spending reductions will be needed to make ends meet. Therefore, you should not propose to add any personnel positions; capital items will be very difficult to fund for next year. Operating Budget--As with previous budgets for Mendota Heights, you are being provided with information containing the actual expenditures for 2019, this year’s (2020) approved budget, and space to make your budget requests for FY21. Base Budget—In the “Base Budget”, you should list only the line item expenditures needed to provide the same level of service in FY 20 as your department/division is providing currently; in effect, the same number of personnel or amount of services. Do not add any new programs. You should factor in known increases due to contractual increases, or anticipated inflationary amounts. The Finance Director and the Assistant City Administrator will fill in personnel costs for you; leave those blank. You should briefly note reasons for any major line item variations by adding an object code and explanation as a footnote at the bottom of the sheet; i.e. “4400-Conferences and Schools— Attendance at State Stormwater Resources Conference”. Improvement Package--Beyond the Base Budget, if you have a proposal which would add something different than what your department/division is currently providing in FY 20, a separate sheet will need to be completed. Again, because of the anticipated revenue concerns, these should be very limited. Those proposing to modify a personnel position should discuss that with the City Administrator. Capital Budget—If you have the responsibility for preparation of the City’s capital budget (life expectancy of 5 years or more, and a cost of greater than $5000), you will need to update your department’s CIP sheets for FY21. Last year there was a discussion of selling a General Obligation bond for major equipment or other capital purchases in 2021; we will have to determine the City’s capacity to do that once proposed expenditure requests have been received. Schedule—Please be aware of the following dates for presentation to the City Council: Week of June 15th Budget Worksheets Distributed July 8th Worksheets Due to Finance July 9th-24th Review of Requests with Finance/Administration August 13th 1:30 PM (Thursday) Council holds workshops to review 18th TBD (Tuesday) 20th 1;30 PM (Thursday, if needed) September 1st (or 15th) Preliminary Levy Set by September 30 Specific dates for Department reviews will be assigned. You should contact either Kristin Schabacker or me with any questions. If you can return your proposed budget prior to July 8th, please do so. Thank you. Mark McNeill City Administrator Additional Information Recent Budget Levies: 2016 $7,406,399 5.81% 2017 7,990,330 7.88% 2018 8,591,146 7.52% 2019 9,435,150 9.82% 2020 10,048,724 6.50% 2021 10,482,617 4.32% (proposed) Cost of Living Increase-Wages 2016 2.0% 2017 2.5% 2018 2.5% 2019 2.75% 2020 3.0% 2021 3.0% (2nd yr of 4 yr contracts) Proceeds from Village Lots Sales/Proposed Distributions 1,110,000 Land Sales price -300,000 Fire Station Shortage—w/bond proceeds, sales tax refund, conting 800,000 MINUS 150,000 Valencour Acq(city purchase, demo, archeological study) 225,000 Fire Air Packs 425,000 53,000 (Replenish 2020 reserve fund levies) $372,000 Available for Budget Imp Packages Budget Improvements Packages Recommendations: 41 Police Squad Addition $27,000 44 Track Loader 55,000 46 Disc Mower 5,000 47 Tire Changer 13,200 48 Column Jacks 55,000 411 Natural Resources Plan 55,000 412 Native Plantings 10,000 TOTAL $220,700 Balance avail for other expenditures $151,300 CITY OF MENDOTA HEIGHTS 2020 BUDGET TAX LEVY SUMMARY 2019 2020 2021 % CHANGE GENERAL FUND $7,305,004 $7,761,373 $8,014,118 3.26% EMERGENCY PREPAREDNESS $25,000 $25,000 $25,000 0.00% FIRE RELIEF $162,000 $180,000 $180,000 0.00% INFRASTRUCTURE/FACILITY RESERVE $20,000 $0 $0 0.00% EQUIPMENT RESERVE $33,000 $0 $0 0.00% LEGAL AND CONTINGENCY $40,000 $40,000 $40,000 0.00% GENERAL FUND LEVY $7,585,004 $8,006,373 $8,259,118 3.16% IMPROVEMENT BONDS $1,004,844 $1,092,926 $1,273,037 16.48% FIRE STATION LEVY $519,932 $623,543 $624,173 0.10% EQUIPMENT CERTIFICATES - DUMP TRUCK $28,770 $28,442 $28,114 -1.15% TOTAL SPECIAL LEVY $1,553,545 $1,744,911 $1,925,324 10.34% MARKET VALUE REFERENDUM LEVY $243,600 $244,440 $245,175 0.30% STREETLIGHT TAXING DISTRICT $53,000 $53,000 $53,000 0.00% TOTAL TAX LEVY $9,435,149 $10,048,724 $10,482,617 4.32% Page 1 GENERAL FUND FUND 01 DEPARTMENT 2017 ACTUAL 2018 ACTUAL 2020 Budget 2021 budget % CHANGE CITY COUNCIL $42,946 $44,965 $48,371 $47,586 -1.62% ADMINISTRATION $1,115,527 $1,203,238 $1,215,671 $1,256,790 3.38% ELECTIONS $45,719 $42,465 $106,662 $44,452 -58.32% IT $69,582 $110,285 $217,930 $206,630 -5.19% POLICE $3,240,751 $3,851,567 $4,357,107 $4,501,180 3.31% FIRE $441,180 $498,662 $558,454 $553,906 -0.81% CODE ENFORCEMENT $109,066 $112,290 $118,625 $118,625 0.00% PUBLIC WORKS-STREETS $968,025 $1,120,780 $1,155,776 $1,202,882 4.08% PUBLIC WORKS-PARKS $710,761 $854,346 $900,377 $959,017 6.51% RECREATION $33,721 $47,317 $55,650 $57,650 3.59% COMMUNITY DEVELOPMENT $203,513 $169,927 $203,521 $208,965 2.67% RECYCLING $11,995 $41,201 $31,600 $31,600 0.00% ENGINEERING $375,410 $507,778 $548,827 $567,403 3.38% TOTAL GENERAL FUND $7,368,196 $8,604,822 $9,518,571 $9,756,686 2.50% GENERAL FUND CONTINGENCY $102,652 $102,652 $40,000 $40,000 0.00% Page 2 GENERAL FUND FUND 01 REVENUE SOURCE 2019 ACTUAL 2019 BUDGET 2020 BUDGET 2021 BUDGET % CHANGE TAXES CURRENT TAX LEVY $7,347,521 $7,305,004 $7,761,373 $8,014,118 3.26% LICENSES AND PERMITS CIGARETTE LICENSES $2,700 $1,800 $1,800 $1,800 0.00% RUBBISH LICENSES $1,275 $1,400 $1,400 $1,400 0.00% DOG LICENSES $1,520 $2,000 $0 $0 0.00% CONTRACTOR LICENSES $15,350 $15,000 $0 $0 0.00% LIQUOR LICENSES $31,600 $30,000 $30,000 $25,000 -16.67% BUILDING PERMITS $324,783 $260,000 $270,000 $235,000 -12.96% HEATING PERMITS $48,621 $35,000 $40,000 $30,000 -25.00% PLUMBING PERMITS $32,760 $18,000 $25,000 $20,000 -20.00% RIGHT OF WAY PERMITS $20,839 $10,000 $15,000 $15,000 0.00% MASSAGE PERMITS $800 $1,500 $1,500 $1,000 -33.33% TOTAL LICENSES AND PERMITS $480,249 $374,700 $384,700 $329,200 -14.43% FINES AND FORFEITS COURT FINES $113,643 $67,000 $80,000 $100,000 25.00% FALSE ALARMS FINES $7,550 $4,500 $3,000 $3,000 0.00% DOG IMPOUNDING $0 $1,000 $1,000 $300 -70.00% TOTAL FINES AND FORFEITS $121,193 $72,500 $84,000 $103,300 22.98% CHARGES FOR SERVICES ACCIDENT REPORTS $0 $0 $0 $0 0.00% RECREATION PROGRAMS $41,523 $38,000 $40,000 $35,000 -12.50% PARK USE FEES $14,925 $5,500 $5,500 $5,500 0.00% FIELD USE FEES $0 $30,000 $10,000 $10,000 0.00% SOFTBALL LEAGUES $10,782 $10,000 $10,000 $10,000 0.00% MAPS AND ORDINANCES $9 $0 $0 $0 SURCHARGES ($36)$0 $0 $0 PLANNING FEES $26,253 $20,000 $18,000 $15,000 -16.67% FIRE CONTRACTS $173,314 $172,015 $193,551 $170,606 -11.85% LILYDALE POLICING $261,324 $261,321 $273,249 $296,850 8.64% MENDOTA POLICING $60,384 $60,386 $60,558 $66,992 10.62% POLICE SECURITY (OFF DUTY OT)$18,404 $10,000 $10,000 $10,000 0.00% STREET MAINT. CHARGES $1,600 $1,000 $1,000 $1,000 0.00% ASSESSMENT SEARCHES/SPLITS $15 $0 $0 $0 0.00% ENGINEERING CHARGES $51,214 $57,000 $30,000 $40,000 33.33% STREET CHARGES $0 $0 $0 $0 0.00% FILING FEES $0 $20 $20 $0 -100.00% LEASE MAINTENANCE CHARGES $4,374 $3,000 $4,000 $4,000 0.00% TOTAL CHARGES FOR SERVICES $664,085 $668,242 $655,878 $664,948 1.38% Page 3 INTERGOVERNMENTAL MSA MAINTENANCE $150,714 $135,000 $150,000 $150,000 0.00% POLICE STATE AID $163,345 $130,000 $135,000 $145,000 7.41% SCHOOL RESOURCES OFFICER $103,984 $105,000 $105,000 $105,000 0.00% FEDERAL AND STATE GRANTS $91,035 $20,000 $20,000 $40,000 100.00% DAKOTA COUNTY GRANT $0 $10,000 $10,000 $10,000 0.00% PERA AID $9,073 $9,070 $9,070 $9,070 0.00% PEACE OFFICER INSUR REIMBURSE $0 $0 $10,000 $10,000 0.00% ELECTION REIMBURSEMENT $0 $0 $10,000 $0 -100.00% TOTAL INTERGOVERNMENTAL $518,151 $409,070 $449,070 $469,070 4.45% MISCELLANEOUS REVENUE SUNDRY REVENUE $5,852 $5,000 $5,000 $5,000 0.00% DONATIONS $4,864 $0 $0 $0 0.00% CELL TOWER REVENUE $75,000 $75,000 $75,000 $70,000 -6.67% INTEREST $176,757 $35,000 $35,000 $30,000 -14.29% TOTAL MISCELLANEOUS $262,473 $115,000 $115,000 $105,000 -8.70% DAKOTA COUNTY WASTE MANAGEMENT $30,868 $30,000 $21,000 $23,500 11.90% TOTAL DAKOTA COUNTY $30,868 $30,000 $21,000 $23,500 11.90% OTHER REVENUE UNAPPROPRIATED FUND TRANSFER $47,550 $47,550 $47,550 $47,550 0.00% TOTAL OTHER REVENUE $47,550 $47,550 $47,550 $47,550 0.00% TOTAL GENERAL FUND REVENUE $9,472,089 $9,022,066 $9,518,571 $9,756,686 2.50% Page 4 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE CITY COUNCIL 4110 SALARIES-REGULAR $22,592 $22,431 $22,500 $22,500 0.00% 4133 WORKERS COMPENSATION $119 $164 $150 $165 10.00% 4135 FICA $1,728 $1,716 $1,721 $1,721 0.00% TOTAL HUMAN RESOURCES $24,439 $24,310 $24,371 $24,386 0.06% 4220 PROFESSIONAL SERVICES $780 $0 $1,000 $1,000 0.00% 4400 TRAINING $0 $225 $1,500 $1,000 -33.33% 4490 HALLOWEEN BONFIRE $1,197 $418 $1,500 $1,200 -20.00% 4490 FIREWORKS $10,000 $14,250 $14,000 $14,000 0.00% 4490 MISCELLANEOUS $2,382 $5,763 $6,000 $6,000 0.00% TOTAL OTHER CHARGES $14,359 $20,655 $24,000 $23,200 -3.33% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $38,798 $44,965 $48,371 $47,586 -1.62% CAPITAL OUTLAY ITEMS REQUESTED APPROVED CAT OBJ DESCRIPTION Page 5 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET CITY COUNCIL EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL NEIL GARLOCK 1/1 $5,700 $5,700 $0 $0 $5,700 $0 $353 $83 $0 $6,136 ULTAN DUGAN 1/1 $4,200 $4,200 $0 $0 $4,200 $0 $260 $61 $0 $4,521 JAY MILLER 1/1 $4,200 $4,200 $0 $0 $4,200 $0 $260 $61 $0 $4,521 LIZ PETSCHEL 1/1 $4,200 $4,200 $0 $0 $4,200 $0 $260 $61 $0 $4,521 JOEL PAPER 1/1 $4,200 $4,200 $0 $0 $4,200 $0 $260 $61 $0 $4,521 TOTALS $22,500 $0 $1,395 $326 $0 $24,221 CITY COUNCIL SAL-REG $22,500 PERA $0 FICA $1,395 MEDICARE $326 INSURANCE $0 TOTAL $24,221 Page 6 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE ADMINISTRATION 4110 SALARIES-REGULAR $528,782 $570,869 $608,489 $635,342 4.41% 4115 SALARIES-OVERTIME $58 $0 $0 $0 0.00% 4131 INSURANCE $79,041 $83,728 $128,016 $128,016 0.00% 4133 WORKERS COMPENSATION $9,248 $12,290 $10,980 $12,078 10.00% 4134 PERA $37,827 $41,170 $45,637 $47,651 4.41% 4135 FICA $38,506 $42,319 $46,549 $48,603 4.41% 4137 EMPLOYEE ASSISTANCE PROGRAM $1,632 $1,754 $1,700 $1,700 0.00% TOTAL HUMAN RESOURCES $695,094 $752,130 $841,371 $873,390 3.81% 4200 RENTALS AND LEASES $146 $111 $400 $200 -50.00% 4209 CITY HALL RENT $65,000 $65,000 $65,000 $65,000 0.00% 4210 TELEPHONE $6,842 $6,267 $8,000 $2,000 -75.00% 4220 CITY ATTORNEY $10,004 $6,901 $12,000 $11,000 -8.33% 4220 AUDITOR $23,327 $24,095 $24,000 $25,000 4.17% 4220 CODIFIER-LINK TO CITY CODE $0 $0 $1,000 $500 -50.00% 4220 CODIFICATION SERVICES $3,165 $1,778 $4,500 $4,500 0.00% 4220 PROF SERVICES - JOB EVALUATION $2,688 $0 $1,000 $1,000 0.00% 4220 STAFF TRAINING $0 $0 $6,000 $4,500 -25.00% 4220 SAFETY TRAINING $0 $0 $2,400 $2,000 -16.67% 4220 COUNCIL RECORDING SERVICES $4,017 $3,797 $4,500 $5,000 11.11% 4220 MISCELLANEOUS $3,454 $20,124 $10,000 $13,000 30.00% 4221 RETAINER-CITY ATTORNEY $5,200 $7,100 $7,800 $8,400 7.69% 4240 LEGAL PUBLICATIONS $1,809 $2,181 $1,900 $2,200 15.79% 4250 LIABILITY AND AUTO INSURANCE $105,106 $101,547 $125,000 $135,000 8.00% 4268 NEWSLETTER $10,028 $14,507 $16,000 $17,000 6.25% TOTAL CONTRACTUAL SERVICES $240,786 $253,409 $289,500 $296,300 2.35% 4300 OFFICE SUPPLIES $6,794 $9,596 $7,000 $7,000 0.00% 4306 RECRUITMENT COSTS $140 $0 $500 $3,000 500.00% 4318 POSTAGE $1,946 $1,747 $2,000 $2,000 0.00% 4320 FUEL $1,170 $1,528 $1,200 $1,500 25.00% 4330 EQUIPMENT REPAIR $8,633 $5,033 $4,000 $7,500 87.50% 4331 MISCELLANEOUS FURNITURE/EQUIP $0 $0 $500 $500 0.00% TOTAL COMMODITIES $18,683 $17,903 $15,200 $21,500 41.45% CAT OBJ DESCRIPTION Page 7 4400 TRAINING $5,626 $7,272 $7,000 $7,500 7.14% 4402 BOOKS AND SUBSCRIPTIONS $0 $0 $3,100 $3,100 0.00%Polco 4404 MEMBERSHIP DUES $16,739 $16,883 $18,000 $17,000 -5.56% 4415 MILEAGE AND AUTO ALLOWANCE $2,573 $449 $500 $500 0.00% 4437 CREDIT CARD FEES $2,782 $3,798 $4,000 $4,000 0.00% 4480 CONTINGENCY $25,855 $31,600 $30,000 $28,000 -6.67% WSP ICE ARENA CONTRIBUTION $65,212 $114,637 $0 $0 0.00% 4490 MISCELLANEOUS $2,231 $3,884 $6,000 $4,500 -25.00% 4490 ARC PER DIEM $1,000 $1,275 $1,000 $1,000 0.00% TOTAL OTHER CHARGES $122,018 $179,796 $69,600 $65,600 -5.75% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $1,076,581 $1,203,238 $1,215,671 $1,256,790 3.38% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Page 8 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET ADMINISTRATION EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL MARK MCNEILL 2/23/2015 20 7 $148,313 $150,290 $0 $2,400 $152,690 $11,452 $9,467 $2,214 $20,160 $195,983 LORRI SMITH 0.75 6/11/2012 11 7 $64,775 $88,957 $0 $0 $66,718 $5,004 $4,137 $967 $15,120 $91,945 JOCELYN STEERE 0.8 8/23/2016 5 $29,224 $37,627 $0 $0 $30,101 $2,258 $1,866 $436 $9,677 $44,338 CHERYL JACOBSON 12/27/2016 17 7 $122,511 $126,186 $0 $0 $126,186 $9,464 $7,824 $1,830 $20,160 $165,463 KRISTEN SCHABACKER 0.77 8/31/1998 17 7 $94,333 $126,186 $0 $0 $97,163 $7,287 $6,024 $1,409 $15,523 $127,407 PAM DEEB 0.5 3/20/2006 4 7 $28,719 $29,581 $0 $0 $29,581 $2,219 $1,834 $429 $10,080 $44,142 KRISTIN WITTROCK 0.5 4/23/2018 4 $27,435 $9,527 $19,720 $0 $29,247 $2,194 $1,813 $424 $10,080 $43,758 SHARON HINZE 0.25 4/24/2006 5 7 $15,221 $62,711 $0 $0 $15,678 $1,176 $972 $227 $5,040 $23,093 SHARON DEZIEL 7/30/2018 8 $24,778 $15,187 $11,228 $0 $26,415 $1,981 $1,638 $383 $0 $30,417 VOLUNTEER COORDINATOR $0 $0 $0 SHEILA ROBERTSON $46,726 $8,893 $46,023 $54,917 $4,119 $3,405 $796 $20,160 $83,397 NANCY BAUER 0.1 4/27/1987 6 7 $6,454 $66,474 $0 $0 $6,647 $499 $412 $96 $2,016 $9,670 WORKERS COMP NA NA NA $10,980 $12,078 $0 $0 $12,078 $0 $0 $0 $0 $12,078 TOTALS $635,342 $47,651 $39,391 $9,212 $128,016 $871,691 ADMINISTRATION SAL-REG $635,342 INS CONT $1,680 PERA $47,651 FICA $39,391 MEDICARE $9,212 INSURANCE $128,016 WORK COMP $12,078 TOTAL $871,691 Page 9 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE ELECTIONS 4110 SALARIES-REGULAR $26,343 $27,403 $28,045 $28,887 3.00% 4115 SALARIES-OVERTIME $5,505 $0 $8,000 $0 -100.00% 4125 SALARIES-ELECTION JUDGES $23,949 $0 $36,000 $0 -100.00% 4130 SALARIES-TEMPORARY $0 $0 $0 $0 0.00% 4131 INSURANCE $3,998 $4,893 $7,056 $7,056 0.00% 4134 PERA $2,385 $2,050 $2,703 $2,166 -19.87% 4135 FICA $2,865 $2,045 $2,758 $2,210 -19.87% TOTAL HUMAN RESOURCES $65,045 $36,391 $84,562 $40,319 -52.32% 4220 CONSULTING FEES $285 $0 $350 $0 -100.00% 4240 LEGAL PUBLICATIONS $218 $0 $300 $0 -100.00% TOTAL CONTRACTUAL SERVICES $503 $0 $650 $0 -100.00% 4300 OFFICE SUPPLIES $2,974 $1,369 $4,500 $0 -100.00% 4318 POSTAGE $1,844 $163 $3,000 $0 -100.00% 4330 DAKOTA COUNTY SHARED EQUIPMENT $0 $0 $0 $0 0.00% 4330 BALLOT COUNTER MAINTENANCE $3,083 $0 $3,100 $3,083 -0.55%LIC & MAINT ON ice MACH 4330 ELECTRONIC POLL BOOKS $2,286 $2,286 $2,300 $0 -100.00% 4330 ELECTRONIC POLL BOOK MAINTENANC $0 $0 $1,400 $1,050 -25.00%KNOWINC LIC SHARE TOTAL COMMODITIES $10,187 $3,817 $14,300 $4,133 -71.10% 4415 MILEAGE AND AUTO ALLOWANCE $386 $64 $450 $0 -100.00% 4490 MISCELLANEOUS $2,889 $344 $4,400 $0 -100.00% 4490 10 NEW VOTING BOOTHS $1,687 $1,850 $2,300 $0 -100.00% TOTAL OTHER CHARGES $4,962 $2,258 $7,150 $0 -100.00% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $80,697 $42,465 $106,662 $44,452 -58.32% CAPITAL OUTLAY ITEMS REQUESTED APPROVED CAT OBJ DESCRIPTION Page 10 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET ELECTIONS EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL LORRI SMITH (.25)6/11/2012 11 7 $21,592 $88,957 $0 $0 $22,239 $1,668 $1,379 $322 $5,040 $30,648 NANCY BAUER (0.10)4/27/1987 6 7 $6,454 $66,474 $0 $0 $6,647 $499 $412 $96 $2,016 $9,670 ELECTION JUDGES NA NA NA $36,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 STAFF OVERTIME NA NA NA $8,000 $0 $0 $0 $0 $0 $0 $0 $0 $0 TOTALS $28,887 $2,166 $1,791 $419 $7,056 $40,319 ELECTIONS SAL-REG $28,887 INS CONT $1,680 SAL-OT $0 SAL-TEMP $0 PERA $2,166 FICA $1,791 MEDICARE $419 INSURANCE $7,056 TOTAL $40,319 Page 11 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE IT 4110 SALARIES-REGULAR $0 $0 $0 $0 0.00% 4115 SALARIES-OVERTIME $0 $0 $0 $0 0.00% 4110 IT STAFF POSITION $0 $0 $0 $0 0.00% 4131 INSURANCE $0 $0 $0 $0 0.00% 4134 PERA $0 $0 $0 $0 0.00% 4135 FICA $0 $0 $0 $0 0.00% TOTAL HUMAN RESOURCES $0 $0 $0 $0 0.00% 4210 TELEPHONE $490 $115 $24,000 $15,800 -34.17% 4220 WEBSITE COSTS $0 $0 $1,500 $3,000 100.00% LOGIS SUPPORT $49,020 $47,420 $30,000 $30,000 0.00% WEB SERVICES $1,300 $1,300 $1,500 $1,500 0.00% STATE OF MN LINE FEES (FIBER FEE)$1,332 $1,332 $12,600 $6,000 -52.38% SERVER HOSTING $0 $0 $28,000 $31,580 12.79% DAKOTA BROADBAND (DBB)$0 $2,230 $15,000 $17,500 16.67% TOTAL CONTRACTUAL SERVICES $52,142 $52,397 $112,600 $105,380 -6.41% 4301 COMPUTER SOFTWARE AND HARDWARE MICROSOFT LICENSES & CALS $0 $0 $21,150 $21,150 0.00% COMPUTER REPLACEMENT $13,420 $38,488 $23,200 $21,550 -7.11% MMD SYSTEM $0 $0 $7,000 $7,000 0.00% MISC HARDWARE & SOFTWARE $18,088 $0 $3,500 $3,500 0.00% LASERFICHE MAINTENANCE $9,764 $9,764 $10,300 $11,000 6.80% ADDITIONAL LASERFICHE LICENSES $0 $1,694 $2,500 $2,500 0.00% SOFTWARE MAINTENANCE/RENEWALS $0 $7,480 $13,800 $20,100 45.65% SERVER REPLACEMENT AND MAINTENAN $0 $0 $13,670 $6,700 -50.99% FIREWALL $0 $0 $7,460 $5,000 -32.98% DOOR ACCESS SYSTEM MAINTENANCE $0 $462 $2,000 $2,000 0.00% TOTAL COMMODITIES $41,272 $57,888 $104,580 $100,500 -3.90% 4400 TRAINING $0 $0 $750 $750 0.00% 4490 MISCELLANEOUS $0 $0 $0 $0 0.00% TOTAL OTHER CHARGES $0 $0 $750 $750 0.00% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $93,414 $110,285 $217,930 $206,630 -5.19% CAPITAL OUTLAY ITEMS REQUESTED APPROVED CAT OBJ DESCRIPTION Page 12 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE POLICE 4110 SALARIES-REGULAR/PATROL $1,165,930 $1,321,643 $1,361,231 $1,395,255 2.50% 4110 SALARIES-REGULAR/ADMINISTRATION $616,533 $694,060 $794,370 $814,663 2.55% 4115 SALARIES-OVERTIME/PATROL $34,142 $37,952 $80,946 $80,946 0.00% 4130 SALARIES-TEMPORARY $3,840 $2,363 $10,400 $10,400 0.00% 4131 INSURANCE $391,128 $450,512 $594,720 $614,880 3.39% 4133 WORKERS COMPENSATION $114,332 $151,950 $135,765 $149,342 10.00% 4134 PERA/PATROL $186,065 $218,958 $247,701 $257,497 3.95% 4134 PERA/ADMINISTRATION $90,860 $104,853 $128,183 $131,402 2.51% 4135 FICA/PATROL $19,495 $22,929 $21,062 $23,529 11.71% 4135 FICA/ADMINISTRATION $15,635 $17,148 $22,363 $19,589 -12.40% TOTAL HUMAN RESOURCES $2,637,960 $3,022,367 $3,396,741 $3,497,503 2.97% 4200 RENTALS AND LEASES $64,526 $68,896 $73,992 $73,992 0.00% 4209 CITY HALL RENT $76,803 $76,803 $76,803 $76,803 0.00% 4210 TELEPHONE $19,587 $17,722 $20,000 $20,000 0.00% 4220 POST LICENSE RENEWALS $810 $360 $810 $810 0.00% 4220 ATTORNEY FEES $6,247 $8,483 $4,000 $4,000 0.00% 4220 OTHER PROFESSIONAL SERVICES $3,387 $2,146 $5,000 $5,000 0.00% 4220 IT SERVICES - LOGIS $13,014 $18,054 $40,000 $40,000 0.00% 4222 PROSECUTIONS $70,692 $70,692 $70,692 $70,692 0.00% 4225 ANIMAL IMPOUNDING FEES $3,489 $315 $3,250 $2,000 -38.46% 4223 OTHER CONTRACTUAL SERVICES LEXIPOL $0 $8,312 $0 $8,500 100.00% BCA DEPARTMENT ACCESS CHARGE $0 $0 $1,100 $1,100 0.00% BCA MOBILE ACCESS CHARGE $2,880 $2,880 $3,000 $3,000 0.00% RECORDS MANAGEMENT SYSTEM $23,634 $25,594 $24,000 $24,000 0.00% AIRCARD $4,201 $4,437 $4,500 $4,500 0.00% LOGIS-APS TICKET WRITER $0 $0 $2,000 $2,000 0.00% LOGIS-APPLICATION SUPPORT $27,151 $37,452 $32,000 $32,000 0.00% LOGIS-SYSTEM DEVELOPMENT $1,548 $0 $1,548 $1,548 0.00% LOGIS INET $0 $0 $11,000 $11,000 0.00% LOGIS ANY CONNECT/MAPS $0 $0 $1,650 $1,650 0.00% LEASE LINE MN OFFICE TECH GROUP $1,488 $1,473 $3,000 $3,000 0.00% CJIIN $10,697 $11,219 $13,000 $13,000 0.00% INT. ASSOCIATION OF POLICE CHIEFS $825 $0 $850 $850 0.00% AUTOMATED PAWN $204 $0 $205 $0 -100.00% LEXISNEXIS $1,299 $1,853 $2,000 $2,000 0.00% LANGUAGE LINE - INTERPRETER SVCS $591 $497 $600 $600 0.00% TLO INVESTIGATIONS $567 $1,375 $4,000 $5,000 25.00% MISCELLANEOUS $0 $2,218 $0 $0 0.00% ELECTRONIC CRIMES TASK FORCE $18,000 $18,000 $18,000 $18,000 0.00% 4275 DCC ANNUAL RADIO FEE $10,638 $11,455 $13,095 $13,495 3.05% 4275 DCC ANNUAL FEE $193,873 $205,699 $232,171 $264,037 13.73% RADIO MAINTENANCE AGREEMENT $706 $0 $2,000 $2,000 0.00% TOTAL CONTRACTUAL SERVICES $556,857 $595,933 $664,266 $704,577 6.07% CAT OBJ DESCRIPTION Page 13 4300 OFFICE SUPPLIES $4,178 $3,133 $5,500 $5,500 0.00% 4301 COMPUTER SOFTWARE/HARDWARE $12,181 $26,000 $25,000 $25,000 0.00% 4305 OPERATING SUPPLIES $33,812 $12,184 $40,000 $40,000 0.00% 4305 POLICE RESERVES $0 $403 $4,000 $4,000 0.00% 4306 RECRUITMENT COSTS $22,056 $10,496 $15,000 $15,000 0.00% 4318 POSTAGE $655 $365 $1,000 $1,000 0.00% 4320 GAS AND OIL $42,672 $49,333 $45,000 $45,000 0.00% 4330 EQUIPMENT REPAIR/GENERAL $21,667 $36,241 $25,000 $25,000 0.00% 4330 EQUIPMENT REPAIR/CAR SET UP $3,660 $24,828 $45,000 $45,000 0.00% 4331 MISCELLANEOUS FURNITURE/EQUIP $9,080 $4,712 $11,000 $11,000 0.00% TOTAL COMMODITIES $149,961 $167,695 $216,500 $216,500 0.00% 4400 TRAINING $41,810 $37,980 $40,000 $40,000 0.00% 4402 BOOKS AND SUBSCRIPTIONS $173 $68 $500 $500 0.00% 4404 MEMBERSHIP DUES $9,831 $10,566 $12,000 $15,000 25.00% 4410 CLOTHING AND EQUIPMENT $12,708 $15,584 $20,000 $20,000 0.00%Increase in SWAT 4430 CAR WASHES $0 $0 $1,000 $1,000 0.00% 4490 MISCELLANEOUS $609 $521 $5,100 $5,100 0.00% 4490 SHREDDING $656 $853 $1,000 $1,000 0.00% TOTAL OTHER CHARGES $65,787 $65,571 $79,600 $82,600 3.77% 4610 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $3,410,565 $3,851,567 $4,357,107 $4,501,180 3.31% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Page 14 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET POLICE DEPARTMENT EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL KELLY MCCARTHY x 11/1/2016 $129,861 $133,757 $0 $0 $133,757 $23,675 $0 $1,939 $20,160 $179,531 WAYNE WEGENER 4/16/2018 $115,576 $119,043 $0 $0 $119,043 $21,071 $0 $1,726 $20,160 $162,000 PEYTON FLEMING (SGT)x 7/1/2007 $109,859 $101,028 $12,123 $0 $113,151 $20,028 $0 $1,641 $20,160 $154,980 E-12 TANNER SPICER (SGT)x 1/18/2000 $109,087 $103,080 $9,277 $0 $112,357 $19,887 $0 $1,629 $20,160 $154,034 E-9 NICK GORGOS x 1/18/2000 $112,090 $101,028 $9,093 $0 $110,121 $19,491 $0 $1,597 $20,160 $151,369 E-9 JOHN LARRIVE x 8/11/2014 INV 36 $96,129 $88,800 $7,992 $4,020 $100,812 $17,844 $0 $1,462 $20,160 $140,277 E-9 TRISTA MILLER x 12/19/2005 $60,884 $62,711 $0 $0 $62,711 $4,703 $3,888 $909 $20,160 $92,372 SHAYNA HOECSHT (0.5 FT x 1/11/2016 $30,442 $62,711 $0 $0 $31,356 $2,352 $1,944 $455 $10,080 $46,186 KIM RICHTER (0.5 FTE)x 1/16/2013 $30,442 $62,711 $0 $0 $31,356 $2,352 $1,944 $455 $10,080 $46,186 CHAD WILLSON x 1/22/2001 POL 36 $94,644 $87,036 $10,444 $0 $97,480 $17,254 $0 $1,413 $20,160 $136,308 E-12 ALEXANDER RANDALL x POL 36 $71,702 $50,680 $27,168 $7,006 $84,854 $15,019 $0 $1,230 $20,160 $121,264 ANTHONY PATTON x 7/31/2017 POL 36 $88,691 $87,036 $0 $7,833 $94,869 $16,792 $0 $1,376 $20,160 $133,197 E-9 Page 15 PHILLIP MCCARTY x 5/18/2015 POL 36 $88,729 $87,036 $0 $4,352 $91,388 $16,176 $0 $1,325 $20,160 $129,049 E-5 New Officer x 1/20/2000 POL 36 $92,243 $35,160 $38,010 $3,421 $76,591 $13,557 $0 $1,111 $20,160 $111,418 E-9 STEVE HILYAR x 4/27/2015 POL 36 $90,664 $87,036 $1,935 $4,352 $93,323 $16,518 $0 $1,353 $20,160 $131,354 SRO E-5 WESTON RABERGE x 8/17/2016 POL $92,109 $87,036 $0 $7,833 $94,869 $16,792 $0 $1,376 $20,160 $133,197 E-9 RYAN YAUCH x 1/22/2018 POL 36 $86,250 $87,036 $7,833 $0 $94,869 $16,792 $0 $1,376 $20,160 $133,197 E-9 THOMAS ALBINDIA x 1/22/2018 POL 36 $86,250 $87,036 $7,833 $0 $94,869 $16,792 $0 $1,376 $20,160 $133,197 E-9 JARED POWELL x 7/8/1996 POL 36 $93,967 $66,518 $10,188 $3,835 $80,541 $14,256 $0 $1,168 $20,160 $116,124 CARA HOGAN 6/19/2017 $89,424 $87,036 $0 $7,833 $94,869 $16,792 $0 $1,376 $20,160 $133,197 E-9 PETER RENTERIA 6/19/2017 $89,424 $87,036 $0 $7,833 $94,869 $16,792 $0 $1,376 $20,160 $133,197 LEIF VANDERSTEEN 12/3/2018 $83,830 $33,960 $50,771 $7,626 $92,357 $16,347 $0 $1,339 $20,160 $130,203 E-9 ERIC HAGELEE $82,620 $50,940 $32,639 $7,522 $91,101 $16,125 $0 $1,321 $20,160 $128,706 E-9 COMMUNITY SERVICE OFFICER $42,739 $21,417 $0 $21,417 $0 $1,328 $311 $10,080 $33,135 INSURANCE $0 $0 $0 $0 $0 $161,280 $161,280 L-9 TEMPORARY SUPPORT NA NA NA $10,400 $10,400 $0 $0 $10,400 $0 $645 $151 $0 $11,196 OVERTIME NA NA NA $42,500 $42,500 $0 $0 $42,500 $7,523 $0 $616 $0 $50,639 DTF OVERTIME NA NA NA $18,500 $18,500 $0 $0 $18,500 $3,275 $0 $268 $0 $22,043 MAAG OVERTIME NA NA NA $7,500 $7,500 $0 $0 $7,500 $1,328 $0 $109 $0 $8,936 SOT OVERTIME NA NA NA $4,000 $4,000 $0 $0 $4,000 $708 $0 $58 $0 $4,766 OFF DUTY OVERTIME NA NA NA $8,446 $8,446 $0 $0 $8,446 $1,495 $0 $122 $0 $10,063 WORKERS COMPENSATION NA NA NA $135,765 $149,342 $0 $0 $149,342 $0 $0 $0 $0 $149,342 DC TRAFFIC SAFETY NA NA NA $5,000 $5,000 $0 $0 $5,000 $885 $0 $73 $0 $5,958 HOLIDAY PAY X NA NA NA $77,947 $86,988 $0 $0 $86,988 $15,397 $0 $1,261 $0 $103,646 COMP TIME PAYOUTS X NA NA NA $5,000 $5,000 $0 $0 $5,000 $885 $0 $73 $0 $5,958 TOTALS $2,450,605 $388,899 $9,749 $33,368 $614,880 $3,497,501 Page 16 ALL DEPARTMENT $73,467 SAL-REG $2,209,918 INS CONT $1,680 SAL-OTHER $10,400 PERA $388,899 FICA $9,749 $3,497,501 MEDICARE $33,368 OT $80,946 INSURANCE $614,880 WORK COMP $149,342 TOTAL $3,497,501 VERIFY $3,497,501 ADMINISTRATION SAL-REG $814,663 SAL-OTHER PERA $131,402 FICA $7,776 MEDICARE $11,813 OT INSURANCE $161,280 WORK COMP $149,342 TOTAL $1,276,276 PATROL SAL-REG $1,395,255 SAL-OTHER $10,400 PERA $257,497 FICA $1,973 MEDICARE $21,556 OT $80,946 INSURANCE $453,600 WORK COMP TOTAL $2,221,226 Page 17 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE FIRE 4110 SALARIES-REGULAR/ADMIN $45,148 $46,330 $75,221 $77,477 3.00% 4110 SALARIES-REGULAR/FIREFIGHTERS $158,575 $185,620 $175,131 $180,385 3.00% 4131 INSURANCE $4,594 $4,820 $5,040 $5,040 0.00% 4132 INSURANCE-LONG TERM DISABILITY $2,848 $3,049 $3,000 $3,000 0.00% 4133 WORKERS COMPENSATION $39,512 $52,514 $46,920 $51,612 10.00% 4134 PERA/ADMIN $3,389 $3,474 $3,565 $3,672 3.00% 4135 FICA/ADMIN $3,447 $3,532 $5,755 $5,927 2.99% 4135 FICA/FIREFIGHTERS $3,496 $4,921 $2,539 $2,616 3.03% TOTAL HUMAN RESOURCES $261,009 $304,260 $317,171 $329,729 3.96% 4200 RENTALS AND LEASES $16 $570 $100 $100 0.00% 4210 TELEPHONE $5,058 $4,491 $5,500 $6,400 16.36% 4210 DAKOTA COUNTY FIBER LEASE $3,000 $0 -100.00% 4211 ELECTRICAL SERVICE $8,331 $8,235 $18,000 $10,000 -44.44% 4212 GAS SERVICE $4,991 $7,378 $10,000 $10,000 0.00% 4213 SOLAR LEASE $1,724 $1,903 $1,983 $2,079 4.84% PROFESSIONAL SERVICES 4220 LOGIS - IT SERVICES $2,097 $8,307 $4,000 $4,000 0.00% 4220 AUDIT $7,125 $7,200 $7,000 $7,500 7.14% 4220 LEGAL $1,643 $1,465 $1,500 $1,500 0.00% 4220 OTHER PROFESSIONAL SERVICES $6,921 $0 $2,000 $2,000 0.00% 4240 LEGAL PUBLICATIONS $37 $271 $500 $500 0.00% 4244 MEDICAL EXAMS $6,766 $3,226 $8,000 $8,000 0.00% 4268 SNOWPLOW FIREFIGHTER DRIVEWAYS $14,175 $15,560 $7,000 $12,000 71.43% 4268 DEPARTMENT REPORT PRINTING $3,063 $2,835 $3,250 $3,500 7.69% 4268 STATIC TESTING $2,877 $7,073 $8,650 $8,850 2.31% 4275 DCC FEE $17,339 $18,616 $18,300 $8,898 -51.38% 4280 RUBBISH COLLECTION $1,337 $1,636 $1,300 $1,400 7.69% TOTAL CONTRACTUAL SERVICES $83,500 $88,766 $100,083 $86,727 -13.34% 4300 OFFICE SUPPLIES $241 $302 $1,500 $1,500 0.00% 4301 COMPUTER SOFTWARE $2,974 $3,222 $6,900 $4,700 -31.88% 4301 COMPUTER HARDWARE $10,849 $0 $4,000 $2,000 -50.00% 4305 OPERATING SUPPLIES BOOTS/BUNKERPANTS/COATS $20,093 $567 $18,500 $19,000 2.70% HOSE/NOZZELS/FITTINGS $2,355 $1,145 $5,000 $5,000 0.00% MISCELLANEOUS OPERATING SUPPLIES $22,399 $13,349 $17,000 $17,000 0.00% FIRE PREVENTION $2,690 $0 $7,000 $7,000 0.00% 4318 POSTAGE $172 $278 $300 $300 0.00% 4320 GAS AND OIL $5,825 $6,126 $6,500 $6,500 0.00% 4330 EQUIPMENT REPAIR COPIER MAINTENANCE $944 $534 $1,500 $1,500 0.00% RADIO REPAIRS AND MAINTENANCE $1,849 $460 $1,000 $1,000 0.00% APPARATUS REPAIRS AND MAINTENANCE $52,562 $15,338 $25,000 $25,000 0.00% SCBA SERVICE $0 $0 $2,500 $1,000 -60.00% OTHER REPAIRS AND MAINTENANCE $0 $10,110 $2,000 $2,000 0.00% 4331 EQUIPMENT $1,500 $0 $0 $0 0.00% 4335 BUILDING MAINTENANCE $11,705 $8,465 $10,000 $10,000 0.00% TOTAL COMMODITIES $136,158 $59,897 $108,700 $103,500 -4.78% CAT OBJ DESCRIPTION Page 18 4400 TRAINING $19,478 $32,813 $15,000 $15,000 0.00% 4402 BOOKS AND SUBSCRIPTIONS $1,460 $857 $1,500 $1,500 0.00% 4403 TRAINING EXPENSES TRAINING $3,083 $2,479 $5,000 $5,000 0.00% 4404 MEMBERSHIP DUES $0 $555 $1,750 $1,750 0.00% 4410 UNIFORMS $3,249 $7,647 $5,500 $7,000 27.27% 4415 MILEAGE $0 $0 $250 $250 0.00% 4425 WATER SERVICE $1,881 $1,300 $2,500 $2,500 0.00% 4490 MISCELLANEOUS $1,138 $88 $1,000 $950 -5.00% TOTAL OTHER CHARGES $30,289 $45,739 $32,500 $33,950 4.46% 4630 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $510,956 $498,662 $558,454 $553,906 -0.81% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Page 19 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET FIRE EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL DAVE DREELAN 8/1/1990 NA $19,794 $20,388 $0 $0 $20,388 $1,529 $1,264 $296 $0 $23,477 SCOTT GOLDENSTEIN 12/1/1999 NA $11,601 $11,949 $0 $0 $11,949 $896 $741 $173 $0 $13,759 NANCY BAUER 0.25 4/27/1987 $16,135 $66,474 $0 $0 $16,619 $1,246 $1,030 $241 $5,040 $24,176 JIM LEE $27,691 $28,522 $0 $0 $28,522 $0 $1,768 $414 $0 $30,704 CAPTAINS (4) NA $7,458 $7,682 $0 $0 $7,682 $0 $0 $111 $0 $7,793 LIETENANTS (2) NA $1,638 $1,687 $0 $0 $1,687 $0 $0 $24 $0 $1,712 TRAINING OFFICER NA $4,096 $4,219 $0 $0 $4,219 $0 $0 $61 $0 $4,280 TRAINING ASSISTANT NA $1,638 $1,687 $0 $0 $1,687 $0 $0 $24 $0 $1,712 FIRE CALLS NA $67,908 $69,945 $0 $0 $69,945 $0 $0 $1,014 $0 $70,959 TRAINING/SPECIALS NA $63,307 $65,206 $0 $0 $65,206 $0 $0 $945 $0 $66,152 CLEAN UP NA $10,959 $11,288 $0 $0 $11,288 $0 $0 $164 $0 $11,451 MEETINGS NA $8,190 $8,436 $0 $0 $8,436 $0 $0 $122 $0 $8,558 FIRE PREVENTION NA $9,937 $10,235 $0 $0 $10,235 $0 $0 $148 $0 $10,384 WORKERS COMP NA $46,920 $51,612 $0 $0 $51,612 $0 $0 $0 $0 $51,612 DISABILITY/LIFE NA $3,000 $3,000 $0 $0 $3,000 $0 $0 $0 $0 $3,000 TOTALS $312,474 $3,672 $4,804 $3,739 $5,040 $329,728 Page 20 FIRE DEPARTMENT SAL-REG $257,862 INS CONT $1,680 PERA $3,672 FICA $4,804 MEDICARE $3,739 VERIFY $329,728 INSURANCE $5,040 DIS/LIFE $3,000 WORK COMP $51,612 TOTAL $329,728 ADMIN SAL-REG $77,477 PERA $3,672 FICA $4,804 MEDICARE $1,123 INSURANCE $5,040 DIS/LIFE $3,000 WORK COMP $51,612 $146,728 STAFF SAL-REG $180,385 PERA $0 FICA $0 MEDICARE $2,616 INSURANCE $0 DIS/LIFE $0 WORK COMP $0 $183,001 $329,728 Page 21 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE BUILDING OFFICIAL 4110 SALARIES-REGULAR $0 $0 $0 $0 0.00% 4115 SALARIES-OVERTIME $0 $0 $0 $0 0.00% 4131 INSURANCE $0 $0 $0 $0 0.00% 4133 INSURANCE-WORKERS COMPENSATION $0 $0 $0 $0 0.00% 4134 PERA $0 $0 $0 $0 0.00% 4135 FICA $0 $0 $0 $0 0.00% TOTAL HUMAN RESOURCES $0 $0 $0 $0 0.00% 4209 CITY HALL RENT $12,000 $12,000 $12,000 $12,000 0.00% 4210 TELEPHONE $4,270 $5,296 $5,500 $5,500 0.00% 4220 PROFESSIONAL SERVICES $0 $500 $500 0.00% CITY ATTORNEY $1,369 $116 $1,500 $1,500 0.00% CITY ENGINEER/GOPHER ONE $504 $764 $0 $0 0.00% 4231 CONTRACTED INSPECTIONS $80,745 $91,998 $95,000 $95,000 0.00% 4240 LEGAL PUBLICATION $0 $0 $0 $0 0.00% TOTAL CONTRACTUAL SERVICES $98,888 $110,174 $114,500 $114,500 0.00% 4300 OFFICE SUPPLIES $1,249 $380 $1,250 $1,250 0.00% 4305 OPERATING SUPPLIES $1,246 $544 $500 $500 0.00% 4318 POSTAGE $1,003 $940 $1,000 $1,000 0.00% 4320 GAS AND OIL $0 $0 $0 $0 0.00% 4330 VEHICLE MAINTENANCE $882 $117 $0 $0 0.00% TOTAL COMMODITIES $4,380 $1,981 $2,750 $2,750 0.00% 4400 TRAINING $0 $0 $500 $500 0.00% 4402 BOOKS AND SUBSCRIPTIONS $0 $0 $250 $250 0.00% 4404 MEMBERSHIP DUES $135 $135 $125 $125 0.00% 4490 MISCELLANEOUS $4 $0 $500 $500 0.00% TOTAL OTHER CHARGES $139 $135 $1,375 $1,375 0.00% 4620 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $103,407 $112,290 $118,625 $118,625 0.00% CAPITAL OUTLAY ITEMS REQUESTED APPROVED CAT OBJ DESCRIPTION Page 22 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE PW - STREETS 4110 SALARIES-REGULAR $357,206 $343,091 $353,875 $379,423 7.22% 4115 SALARIES-OVERTIME $9,887 $12,912 $22,375 $22,375 0.00% 4130 SALARIES-TEMPORARY $3,905 $9,484 $5,000 $5,000 0.00% 4131 INSURANCE $94,718 $98,013 $107,654 $107,654 0.00% 4133 WORKERS COMPENSATION $46,238 $61,452 $54,905 $60,396 10.00% 4134 PERA $26,183 $26,162 $28,219 $30,135 6.79% 4135 FICA $27,189 $27,703 $29,165 $31,120 6.70% TOTAL HUMAN RESOURCES $565,326 $578,817 $601,193 $636,103 5.81% 4200 RENTALS AND LEASES $3,882 $3,937 $5,500 $5,500 0.00% 4210 TELEPHONE $3,800 $3,273 $4,000 $4,000 0.00% 4211 ELECTRICAL-STREET LIGHTS $21,524 $20,568 $22,500 $22,500 0.00% 4211 ELECTRICAL-PUBLIC WORKS GARAGE $2,292 $2,210 $3,000 $3,000 0.00% 4211 ELECTRICAL-TRAFFIC SIGNALS $3,635 $3,546 $4,000 $4,000 0.00% 4212 GAS SERVICE $4,091 $4,258 $5,000 $5,000 0.00% 4213 SOLAR LEASE $1,714 $1,902 $1,983 $2,079 4.84% 4220 PROFESSIONAL SERVICES $17,888 $2,214 $15,000 $5,000 -66.67% 4220 CITY ATTORNEY $405 $481 $1,000 $1,000 0.00% 4240 LEGAL PUBLICATIONS $365 $22 $500 $500 0.00% 4280 RUBBISH REMOVAL $1,418 $2,100 $2,500 $2,500 0.00% TOTAL CONTRACTUAL SERVICES $61,014 $44,512 $64,983 $55,079 -15.24% 4300 OFFICE SUPPLIES $1,173 $725 $1,000 $1,000 0.00% 4305 OPERATING SUPPLIES $12,553 $21,585 $18,000 $18,000 0.00% 4306 RECRUITMENT COSTS $0 $0 $500 $500 0.00% 4318 POSTAGE $28 $35 $50 $50 0.00% 4320 GAS AND OIL $29,548 $29,212 $30,000 $30,000 0.00% 4330 EQUIPMENT REPAIR $86,741 $85,173 $60,000 $75,000 25.00% 4331 MISC OFFICE/COMPUTER EQUIPMENT $895 $1,023 $1,000 $1,000 0.00% 4335 PUBLIC WORKS GARAGE MAINTENANCE BUILDING MAINTENANCE $6,421 $8,451 $6,000 $7,500 25.00% CUSTODIAL SERVICES $800 $800 $1,750 $1,600 -8.57% 4336 SNOW REMOVAL DAMAGE REPAIR $3,383 $1,683 $5,000 $5,000 0.00% 4340 STORM DAMAGE $0 $18 $0 $0 0.00% TOTAL COMMODITIES $141,542 $148,705 $123,300 $139,650 13.26% CAT OBJ DESCRIPTION Page 23 4400 TRAINING $1,710 $798 $2,500 $2,500 0.00% 4404 MEMBERSHIP DUES $0 $300 $150 $300 100.00% 4410 CLOTHING AND EQUIPMENT $4,042 $4,839 $5,000 $5,000 0.00% 4415 MILEAGE AND AUTO ALLOWANCE $248 $27 $250 $250 0.00% 4420 STREET SIGNS AND POSTS $7,243 $11,230 $12,000 $12,000 0.00% 4421 SAND AND SALT $116,013 $101,154 $125,000 $125,000 0.00% 4422 STREET MAINTENANCE MATERIAL $20,766 $36,005 $30,000 $30,000 0.00% 4423 CRACK SEALING/CHIP SEALING $104,642 $119,640 $100,000 $100,000 0.00% 4424 STREET SWEEPING AND STRIPING $53,606 $40,855 $50,000 $50,000 0.00% 4425 WATER SERVICE-PUBLIC WORKS $303 $273 $500 $500 0.00% 4426 BONFIRE CLEAN UP $0 $863 $500 $1,000 100.00% 4490 MISCELLANEOUS $269 $1,946 $400 $500 25.00% 4500 TREE REMOVAL $29,756 $30,816 $40,000 $45,000 12.50% TOTAL OTHER CHARGES $338,598 $348,746 $366,300 $372,050 1.57% 4620 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $1,106,480 $1,120,780 $1,155,776 $1,202,882 4.08% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Page 24 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET STREETS EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL JOHN BOLAND 0.34 12/23/1991 34 E $31,099 $39,816 $57,695 $0 $33,154 $2,487 $2,056 $481 $6,854 $45,031 JOHN AMBROSE 12/8/1997 LEAD $70,013 $72,114 $0 $0 $72,114 $5,409 $4,471 $1,046 $20,160 $103,199 NICK COURTEAU 9/29/2014 MECH $70,013 $72,114 $0 $0 $72,114 $5,409 $4,471 $1,046 $20,160 $103,199 RYAN CROULEY 4/27/2015 MAIN II $67,164 $69,181 $0 $0 $69,181 $5,189 $4,289 $1,003 $20,160 $99,822 JASON EVAZICH 10/12/2017 MAIN III $57,793 $15,917 $33,218 $17,295 $66,430 $4,982 $4,119 $963 $20,160 $96,654 TOM ROUSE 10/12/2017 MAIN III $57,793 $15,917 $33,218 $17,295 $66,430 $4,982 $4,119 $963 $20,160 $96,654 OVERTIME $22,375 $22,375 $0 $0 $22,375 $1,678 $1,387 $324 $0 $25,765 SEASONAL STAFF $5,000 $5,000 $0 $0 $5,000 $0 $310 $73 $0 $5,383 WORKERS COMP NA NA NA $54,905 $60,396 $0 $0 $60,396 $0 $0 $0 $0 $60,396 TOTALS $406,798 $30,135 $25,221 $5,899 $107,654 $636,102 ADMINISTRATION SAL-REG $379,423 INS CONT $1,680 SAL-TEMP $5,000 OVERTIME $22,375 PERA $30,135 FICA $25,221 MEDICARE $5,899 INSURANCE $107,654 WORK COM $60,396 TOTAL $636,102 Page 25 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE PW - PARKS 4110 SALARIES-REGULAR $315,333 $332,791 $305,559 $343,912 12.55% 4115 SALARIES-OVERTIME $22,403 $25,304 $10,000 $10,000 0.00% 4130 SALARIES-TEMPORARY $46,513 $43,055 $60,000 $50,000 -16.67% 4131 INSURANCE $77,229 $85,922 $104,227 $104,227 0.00% 4133 WORKERS COMPENSATION $18,495 $24,579 $21,960 $24,156 10.00% 4134 PERA $23,912 $26,454 $23,667 $26,543 12.15% 4135 FICA $29,312 $32,573 $28,731 $30,900 7.55% TOTAL HUMAN RESOURCES $533,197 $570,678 $554,144 $589,738 6.42% 4200 RENTALS AND LEASES $11,704 $17,798 $15,000 $18,000 20.00% 4210 TELEPHONE $3,189 $4,747 $3,500 $4,000 14.29% 4211 ELECTRICAL-PW/WARMING HOUSES $2,292 $2,210 $3,000 $3,000 0.00% 4211 ELECTRICAL-COMF. STAT./AERATOR $6,491 $4,842 $6,000 $6,000 0.00% 4212 GAS SERVICE $4,787 $5,026 $7,500 $7,500 0.00% 4213 SOLAR LEASE $1,818 $1,902 $1,983 $2,079 4.84% 4220 PROFESSIONAL SERVICES CITY ATTORNEY $285 $1,697 $500 $500 0.00% HR TRAINING/TESTING $1,549 $1,575 $1,000 $1,600 60.00% 4240 LEGAL PUBLICATION $214 $287 $0 $0 0.00% 4268 OTHER CONTRACT SERVICES SIBLEY PARK MAINTENANCE $19,722 $21,153 $22,500 $22,500 0.00% 4280 RUBBISH REMOVAL $1,418 $1,751 $2,500 $2,500 0.00% TOTAL CONTRACTUAL SERVICES $53,469 $62,988 $63,483 $67,679 6.61% 4300 OFFICE SUPPLIES $1,777 $1,134 $1,750 $1,750 0.00% 4305 OPERATING SUPPLIES $14,402 $15,536 $18,000 $18,000 0.00% 4306 RECRUITMENT COSTS $0 $315 $2,000 $2,000 0.00% 4318 POSTAGE $129 $150 $150 $150 0.00% 4320 GAS AND OIL $15,340 $15,472 $17,500 $17,500 0.00% 4330 EQUIPMENT REPAIRS AND MAINTENANCE EQUIPMENT REPAIRS/MAINTENANCE $43,784 $34,698 $47,500 $46,500 -2.11% PARKS MAINTENANCE SUPPLIES $67,629 $67,603 $50,000 $60,000 20.00% CHEMICALS AND FERTILIZER $0 $0 $14,000 $14,000 0.00% PARK MAINTENANCE COSTS $3,353 $0 $19,000 $19,000 0.00% ERADICATE INVASIVE PLANTS $10,000 $21,096 $30,000 $30,000 0.00% TOWN CENTRE LANDSCAPE MAINT.$5,726 $0 $9,000 $9,000 0.00% PILOT KNOB RESTORATION $10,700 $5,000 $11,000 $11,000 0.00% 4331 MISC OFFICE/COMPUTER EQUIP $895 $523 $1,000 $1,000 0.00% 4335 BUILDING MAINTENANCE BUILDING MAINTENANCE $7,185 $10,766 $6,000 $7,500 25.00% CUSTODIAL SERVICES $800 $800 $1,750 $1,600 -8.57% TOTAL COMMODITIES $181,720 $173,093 $228,650 $239,000 4.53% 4400 TRAINING $1,952 $2,973 $7,000 $7,000 0.00% 4404 MEMBERSHIP DUES $615 $864 $750 $750 0.00% 4410 CLOTHING AND EQUIPMENT $2,840 $4,734 $2,500 $5,000 100.00% 4415 MILEAGE AND AUTO ALLOWANCE $79 $17 $250 $250 0.00% 4425 WATER SERVICE PUBLIC WORKS $303 $273 $500 $500 0.00% PARKS $12,888 $15,008 $15,000 $16,000 6.67% CAT OBJ DESCRIPTION Page 26 4490 MISCELLANEOUS $501 $2,759 $1,000 $1,000 0.00% 4490 COMMISSIONER PER DIEM $1,925 $0 $2,100 $2,100 0.00% 4500 TREE REMOVAL $11,628 $20,958 $25,000 $30,000 20.00% TOTAL OTHER CHARGES $32,731 $47,587 $54,100 $62,600 15.71% 4600 CAPITAL OUTLAY $19,330 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $19,330 $0 $0 $0 0.00% TOTAL EXPENDITURES $820,447 $854,346 $900,377 $959,017 6.51% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Page 27 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET PARKS EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL JOHN BOLAND 0.33 12/23/1991 34 E $30,185 $39,816 $57,695 $0 $32,179 $2,413 $1,995 $467 $6,653 $43,706 TIM OSTER 11/8/1995 LEAD $70,013 $72,114 $0 $0 $72,114 $5,409 $4,471 $1,046 $20,160 $103,199 TOM WEISS 3/25/2019 MAIN III $55,115 $47,752 $17,295 $0 $65,047 $4,879 $4,033 $943 $20,160 $95,062 JARRETT KRENSING 4/1/2019 MAIN III $50,035 $48,447 $10,612 $0 $59,058 $4,429 $3,662 $856 $20,160 $88,165 ANDREW BRENNAN $46,821 $53,291 $5,306 $0 $58,597 $4,395 $3,633 $850 $20,160 $87,635 MEREDITH LAWRENCE 0.84 11/8/2017 $53,391 $56,138 $11,621 $0 $56,918 $4,269 $3,529 $825 $16,934 $82,475 OVERTIME $10,000 $10,000 $0 $0 $10,000 $750 $620 $145 $0 $11,515 SEASONAL STAFF (MNT) $25,000 $25,000 $0 $0 $25,000 $0 $1,550 $363 $0 $26,913 SEASONAL STAFF (PRK)$35,000 $25,000 $0 $0 $25,000 $0 $1,550 $363 $0 $26,913 WORKERS COMP NA NA NA $21,960 $24,156 $0 $0 $24,156 $0 $0 $0 $0 $24,156 TOTALS $403,912 $26,543 $25,043 $5,857 $104,227 $589,738 ADMINISTRATION SAL-REG $343,912 INS CONT $1,680 SAL-SEAS $50,000 SAL-OT $10,000 PERA $26,543 FICA $25,043 MEDICARE $5,857 INSURANCE $104,227 WORK COM $24,156 TOTAL $589,738 Page 28 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE RECREATION RECREATION CIVICREC SOFTWARE $0 $7,500 $0 $0 0.00% 4435 SOFTBALL LEAGUES $7,017 $7,034 $7,750 $7,750 0.00% 4435 TENNIS LESSONS $1,341 $3,010 $3,000 $3,000 0.00% 4435 SUMMER CONCERTS $2,091 $4,657 $4,000 $4,750 18.75% 4435 SAFETY CAMP $1,616 $231 $1,700 $1,700 0.00% 4435 PRINCESS BALL/SUPERHERO $1,029 $1,189 $1,500 $1,500 0.00% 4435 TOUR DE REC $0 $0 $1,000 $1,000 0.00% WORKOUTS IN THE PARK $0 $0 $500 $0 -100.00% CONTRACTED PROGRAMS $0 $7,390 $3,000 $11,250 275.00% SENIORS PROGRAMMING $0 $0 $1,000 $1,000 0.00% 4435 SUMMER PLAYHOUSE $455 $0 $0 $0 0.00% 4435 PROGRAM SUPPLIES/EQUIPMENT $0 $2,785 $1,600 $1,800 12.50% 4435 FIELD TRIPS $2,130 $3,086 $6,000 $5,000 -16.67% 4435 SUMMER PLAYGROUND PROGRAM $970 $2,285 $2,700 $1,500 -44.44% 4435 RECREATION OFFICE SUPPLIES $191 $0 $550 $550 0.00% 4435 KIDS FISHING DERBY $1,470 $1,719 $1,750 $1,750 0.00% 4435 YOUTH AND STAFF SHIRTS $2,497 $2,455 $2,500 $2,500 0.00% 4435 SKATEBOARD CAMPS/CLINICS $4,188 $0 $3,750 $0 -100.00%Moved to contracted services 4435 SCHOLARSHIP PROGRAM $0 $1,000 $1,000 0.00% PARK CELEBRATION $910 $1,973 $4,000 $2,000 -50.00% TRANSLATION SERVICES $0 $0 $0 $900 100.00% MISCELLANEOUS $0 $1,000 $1,000 0.00% 4436 ONLINE REGISTRATION FEES $1,801 $2,004 $1,900 $2,250 18.42% 4400 CONFERENCES AND SCHOOLS $842 $0 $2,450 $2,450 0.00% 4400 TUITION REIMBURSEMEN $0 $0 $3,000 $3,000 0.00% TOTAL RECREATION CHARGES $28,548 $47,317 $55,650 $57,650 3.59% BUDGET IMPROVEMENT REQUEST CAT OBJ DESCRIPTION Page 29 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE COMMUNITY DEVELOPMENT 4110 SALARIES-REGULAR $98,284 $104,662 $111,039 $118,372 6.60% 4115 SALARIES-OVERTIME $0 $0 $0 $0 0.00% 4130 SALARIES-TEMPORARY $0 $0 $0 $0 0.00% 4131 INSURANCE $19,200 $20,160 $20,160 $20,160 0.00% 4133 WORKERS COMPENSATION $0 $0 $0 $0 0.00% 4134 PERA $7,371 $7,850 $8,328 $8,878 6.60% 4135 FICA $6,455 $7,020 $8,494 $9,055 6.60% TOTAL HUMAN RESOURCES $131,310 $139,692 $148,021 $156,465 5.70% 4220 PROFESSIONAL SERVICES CONSULTING PLANNER $0 $0 $10,000 $10,000 0.00% COMP PLAN UPDATE $36,353 $7,848 $10,000 $5,000 -50.00% CITY ATTORNEY $11,111 $8,544 $13,000 $13,000 0.00% OPEN TO BUSINESS - DAKOTA COUNTY $2,755 $2,755 $2,600 $2,600 0.00% DAKOTA COUNTY CHAMBER DIRECTORIES $0 $0 $1,000 $1,000 0.00% PLANNING COMMISSIONER-MINUTES $2,369 $2,858 $2,000 $3,000 50.00% RESOLUTION FILING WITH COUNTY $1,046 $1,813 $1,500 $1,500 0.00% OTHER PROFESSIONAL SERVICES $1,200 $0 $500 $500 0.00% 4222 PROSECUTIONS $0 $0 $2,000 $2,000 0.00% 4240 LEGAL PUBLICATIONS $978 $1,259 $2,000 $2,000 0.00% TOTAL CONTRACTUAL SERVICES $55,812 $25,076 $44,600 $40,600 -8.97% 4300 OFFICE SUPPLIES $2,577 $1,084 $2,500 $2,500 0.00% 4318 POSTAGE $925 $821 $1,500 $1,500 0.00% 4330 EQUIPMENT REPAIR - VEHICLE MNTCE $0 $0 $500 $500 0.00% TOTAL COMMODITIES $3,502 $1,905 $4,500 $4,500 0.00% 4400 TRAINING $815 $278 $2,500 $3,500 40.00% 4402 BOOKS AND SUBSCRIPTIONS $0 $0 $100 $100 0.00% 4404 MEMBERSHIP DUES $414 $414 $500 $500 0.00% 4415 MILEAGE AND AUTO ALLOWANCES $0 $0 $300 $300 0.00% 4490 PLANNING COMMISSION PER DIEM $2,475 $1,750 $2,500 $2,500 0.00% 4490 MISCELLANEOUS $897 $812 $500 $500 0.00% TOTAL OTHER CHARGES $4,601 $3,254 $6,400 $7,400 15.63% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $195,225 $169,927 $203,521 $208,965 2.67% CAPITAL OUTLAY ITEMS REQUESTED APPROVED CAT OBJ DESCRIPTION Page 30 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET PLANNING EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL TIM BENETTI 2/20/2017 $111,039 $19,170 $99,203 $0 $118,372 $8,878 $7,339 $1,716 $20,160 $156,466 TOTALS $118,372 $8,878 $7,339 $1,716 $20,160 $156,466 CITY COUNCIL SAL-REG $118,372 INS CONT $1,680 PERA $8,878 FICA $7,339 MEDICARE $1,716 INSURANCE $20,160 TOTAL $156,466 Page 31 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE RECYCLING 4110 SALARIES-REGULAR $0 $0 $0 $0 0.00% 4115 SALARIES-OVERTIME $0 $0 $0 $0 0.00% 4131 INSURANCE $0 $0 $0 $0 0.00% 4133 WORKERS COMPENSATION $0 $0 $0 $0 0.00% 4134 PERA $0 $0 $0 $0 0.00% 4135 FICA $0 $0 $0 $0 0.00% TOTAL HUMAN RESOURCES $0 $0 $0 $0 0.00% 4220 CLEAN UP DAY/RECYCLING SUPPLIES $11,939 $17,063 $12,800 $12,800 0.00% 4220 SHARED RECYCLING POSITION $21,617 $24,138 $18,200 $18,200 0.00% 4268 CITY NEWSLETTER $260 $0 $0 $0 0.00% TOTAL CONTRACTUAL SERVICES $33,816 $41,201 $31,000 $31,000 0.00% 4300 OFFICE SUPPLIES $0 $0 $0 $0 0.00% 4318 POSTAGE $0 $0 $0 $0 0.00% TOTAL COMMODITIES $0 $0 $0 $0 0.00% 4415 MILEAGE AND AUTO ALLOWANCE $0 $0 $100 $100 0.00% 4490 MISCELLANEOUS $0 $0 $500 $500 0.00% TOTAL OTHER CHARGES $0 $0 $600 $600 0.00% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $33,816 $41,201 $31,600 $31,600 0.00% CAPITAL OUTLAY ITEMS REQUESTED APPROVED NONE CAT OBJ DESCRIPTION Page 32 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE ENGINEERING 4110 SALARIES-REGULAR $253,963 $304,362 $315,497 $330,683 4.81% 4115 SALARIES-OVERTIME $3,070 $6,418 $10,000 $10,000 0.00% 4130 SALARIES-TEMPORARY $0 $0 $10,000 $10,000 0.00% 4131 INSURANCE $52,456 $69,665 $72,778 $72,778 0.00% 4133 WORKERS COMPENSATION $4,961 $6,594 $5,895 $6,485 10.01% 4134 PERA $18,415 $22,708 $24,412 $25,551 4.67% 4135 FICA $19,072 $24,281 $25,666 $26,827 4.52% TOTAL HUMAN RESOURCES $351,937 $434,029 $464,248 $482,324 3.89% 4200 RENTALS AND LEASES $846 $870 $900 $900 0.00% 4209 CITY HALL RENT $49,329 $49,329 $49,329 $49,329 0.00% 4210 TELEPHONE $3,928 $3,033 $4,000 $4,000 0.00% 4220 PROFESSIONAL SERVICES CITY AUDIT $3,325 $3,195 $3,500 $3,500 0.00% OTHER PROFESSIONAL SERVICES $51 $37 $2,000 $2,000 0.00% 4250 LIABILITY AND AUTO INSURANCE $1,530 $10,376 $10,000 $10,500 5.00% TOTAL CONTRACTUAL SERVICES $59,009 $66,840 $69,729 $70,229 0.72% 4300 OFFICE SUPPLIES $1,406 $1,064 $2,000 $2,000 0.00% 4301 COMPUTER SOFTWARE $0 $0 $0 $0 0.00% 4305 OPERATING SUPPLIES $2,196 $555 $1,200 $1,200 0.00% 4318 POSTAGE $33 $112 $300 $300 0.00% 4320 GAS AND OIL $1,575 $1,829 $2,000 $2,000 0.00% 4330 EQUIPMENT REPAIR $2,895 $480 $1,500 $1,500 0.00% 4331 MISCELLANEOUS OFFICE/COMPUTER EQUIPMENT MISCELLANEOUS EQUIPMENT $0 $0 $3,000 $3,000 0.00% TOTAL COMMODITIES $8,105 $4,041 $10,000 $10,000 0.00% 4400 TRAINING $650 $2,509 $2,500 $2,500 0.00% 4402 BOOKS AND SUBSCRIPTIONS $0 $0 $100 $100 0.00% 4404 MEMBERSHIP DUES $123 $0 $500 $500 0.00% 4410 CLOTHING AND EQUIPMENT $0 $267 $500 $500 0.00% 4415 MILEAGE AND AUTO ALLOWANCE $0 $0 $1,000 $1,000 0.00% 4490 MISCELLANEOUS $228 $93 $250 $250 0.00% TOTAL OTHER CHARGES $1,001 $2,869 $4,850 $4,850 0.00% 4620 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $420,052 $507,778 $548,827 $567,403 3.38% CAPITAL OUTLAY ITEMS REQUESTED APPROVED CAT OBJ DESCRIPTION Page 33 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET ENGINEERING EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL RYAN RUZEK 8/9/2004 35 E $126,568 $133,757 $0 $0 $133,757 $10,032 $8,293 $1,939 $20,160 $174,181 BOBBY CRANE 8/3/2009 25 E $81,477 $83,921 $0 $0 $83,921 $6,294 $5,203 $1,217 $20,160 $116,795 KRISTA SPREITER 9/4/2018 $64,606 $45,386 $23,487 $68,873 $5,166 $4,270 $999 $20,160 $99,468 NANCY BAUER 0.55 4/24/1987 14 E $35,496 $66,474 $0 $0 $36,561 $2,742 $2,267 $530 $11,088 $53,188 KRISTEN SCHABACKER 0.06 8/31/1998 39 E $735 $126,186 $0 $0 $7,571 $568 $469 $110 $1,210 $9,928 OVERTIME $10,000 $10,000 $0 $0 $10,000 $750 $620 $145 $0 $11,515 INTERN $10,000 $0 $0 $0 $10,000 $0 $620 $145 $0 $10,765 WORKERS COMP NA NA NA $5,895 $6,485 $0 $0 $6,485 $0 $0 $0 $0 $6,485 TOTALS $350,683 $25,551 $21,742 $5,085 $72,778 $482,324 ADMINISTRATION SAL-REG $330,683 INS CONT $1,680 SAL-SEAS $10,000 SAL-OT $10,000 PERA $25,551 FICA $21,742 MEDICARE $5,085 INSURANCE $72,778 WORK COM $6,485 TOTAL $482,324 Page 34 UTILITY FUND FUND 15 REVENUES REVENUE SOURCE 2018 ACTUAL 2019 ACTUAL 2019 BUDGET 2020 BUDGET 2021 BUDGET % CHANGE SEWER RENTAL $2,006,458 $2,041,989 $2,292,000 $2,292,000 $2,178,802 -4.94% SEWER PERMITS $3,150 $1,350 $1,500 $1,500 $1,500 0.00% LILYDALE LIFT STATION MAINT.$2,500 $2,500 $3,000 $3,000 $3,000 0.00% MISCELLANEOUS INCOME $13,798 $13,576 $10,000 $10,000 $10,000 0.00% INTERST INCOME $10,000 $10,000 $10,000 $10,000 $10,000 0.00% UNAPPROPRIATED TRANSFER -$11,150 -$11,150 -$11,150 -$11,150 -$11,150 0.00% TOTAL UTILITY FUND REVENUE $2,024,756 $2,058,265 $2,305,350 $2,305,350 $2,192,152 -4.91% Page 35 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE SEWER UTILITY 4110 SALARIES-REGULAR $138,071 $130,169 $137,990 $143,219 3.79% 4115 SALARIES-OVERTIME $1,615 $2,214 $5,000 $5,000 0.00% 4130 SALARIES-TEMPORARY $3,077 $4,000 $5,500 $5,500 0.00% 4131 INSURANCE $24,328 $23,382 $38,102 $38,102 0.00% 4133 WORKERS COMPENSATION $10,837 $14,404 $12,870 $14,157 10.00% 4134 PERA $12,661 $5,837 $10,724 $11,116 3.66% 4135 FICA $11,615 $10,640 $11,359 $11,760 3.53% 4139 OPEB $1,991 -$3,684 $0 $0 0.00% TOTAL HUMAN RESOURCES $204,195 $186,962 $221,545 $228,854 3.30% 4200 RENTALS AND LEASES $2,237 $2,549 $7,000 $7,000 0.00% 4209 CITY HALL RENT $6,907 $6,907 $6,904 $6,904 0.00% 4210 TELEPHONE $7,559 $6,990 $8,000 $8,000 0.00% 4211 ELECTRIC SERVICE PUBLIC WORKS GARAGE $2,292 $2,210 $3,000 $3,000 0.00% LIFT STATIONS $10,794 $12,241 $12,000 $12,500 4.17% 4212 GAS SERVICE PUBLIC WORKS GARAGE $4,091 $4,258 $5,000 $5,000 0.00% LIFT STATIONS $1,244 $1,440 $1,250 $1,500 20.00% 4213 SOLAR LEASE $1,610 $1,902 $1,983 $2,079 4.84% 4220 PROFESSIONAL SERVICES $15,000 $15,000 0.00% CITY ENGINEER $7,710 $5,455 $0 $0 0.00% CITY AUDIT $2,834 $2,881 $3,000 $3,000 0.00% SUMP PUMP INSPECTIONS $6,991 $0 $0 $0 0.00% TRAINING $0 $0 $500 $500 0.00% OTHER PROFESSIONAL SERVICES $1,710 $4,546 $0 $0 0.00% 4240 LEGAL PUBLICATIONS $101 $51 $250 $250 0.00% 4250 LIABILITY AND AUTO INSURANCE $8,387 $9,026 $9,000 $9,500 5.56% 4280 RUBBISH REMOVAL $6,346 $1,751 $2,500 $2,500 0.00% TOTAL CONTRACTUAL SERVICES $70,813 $62,208 $75,387 $76,733 1.79% 4300 OFFICE SUPPLIES $1,317 $1,378 $2,000 $2,000 0.00% 4305 OPERATING SUPPLIES $9,059 $9,453 $15,000 $15,000 0.00% 4318 POSTAGE $4,752 $4,307 $5,000 $5,000 0.00% 4320 GAS AND OIL $4,289 $3,668 $5,000 $5,000 0.00% 4330 EQUIPMENT REPAIRS AND MAINTENANCE SEWER CLEANING/TELEVISING $69,585 $123,007 $62,000 $62,000 0.00% SEWER LINING $0 $0 $250,000 $125,000 -50.00% ROOT CHEMICALS $5,412 $7,933 $5,000 $5,000 0.00% HYDRANT MARKERS $0 $467 $750 $750 0.00% SOFTWARE SUPPORT $0 $795 $2,000 $2,000 0.00% LIFT STATIONS MAINTENANCE $0 $0 $15,000 $15,000 0.00% MISCELLANEOUS EQUIPMENT REPAIRS $39,258 $32,273 $30,000 $35,000 16.67% 4331 FURNITURE/EQUIPMENT $895 $523 $1,200 $1,200 0.00% 4335 PUBLIC WORKS GARAGE MAINTENANCE BUILDING MAINTENANCE $6,314 $8,372 $5,000 $7,500 50.00% CUSTODIAL SERVICES $800 $800 $1,500 $1,600 6.67% TOTAL COMMODITIES $141,681 $192,975 $399,450 $282,050 -29.39% CAT OBJ DESCRIPTION Page 36 4400 TRAINING $1,386 $2,220 $2,500 $2,500 0.00% 4404 MEMBERSHIP DUES $911 $0 $500 $500 0.00% 4410 CLOTHING AND EQUIPMENT $0 $1,248 $750 $750 0.00% 4415 MILEAGE AND AUTO ALLOWANCE $16 $0 $250 $250 0.00% 4425 WATER SERVICE $303 $273 $300 $300 0.00% 4437 CREDIT CARD FEES $787 $1,068 $900 $1,000 11.11% 4449 MWCC CHARGES $1,343,712 $1,363,415 $1,387,527 $1,467,725 5.78% 4490 MISCELLANEOUS $7,591 $4,480 $4,000 $4,000 0.00% 4491 DEPRECIATION $177,821 $181,575 $178,000 $178,000 0.00% TOTAL OTHER CHARGES $1,532,527 $1,554,280 $1,574,727 $1,655,025 5.10% 4600 CAPITAL OUTLAY $0 $0 $605,000 $0 -100.00% TOTAL CAPITAL OUTLAY $0 $0 $605,000 $0 -100.00% TOTAL EXPENDITURES $1,949,216 $1,996,426 $2,876,109 $2,242,662 -22.02% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Ridge Place $315,000 Page 37 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET UTILITY EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL JOHN BOLAND 0.33 12/23/1991 34 E $30,185 $39,816 $57,695 $0 $32,179 $2,413 $1,995 $467 $6,653 $43,706 RICHARD BURROWS 11/13/1995 LEAD $70,013 $72,114 $0 $0 $72,114 $5,409 $4,471 $1,046 $20,160 $103,199 SHARON HINZE 0.5 4/24/2006 12 E $30,442 $62,711 $0 $0 $31,356 $2,352 $1,944 $455 $10,080 $46,186 KRISTEN SCHABACKER 0.06 8/31/1998 39 E $7,351 $126,186 $0 $0 $7,571 $568 $469 $110 $1,210 $9,928 OVERTIME NA NA NA $5,000 $5,000 $0 $0 $5,000 $375 $310 $73 $0 $5,758 SEASONAL NA NA NA $5,500 $5,500 $0 $0 $5,500 $0 $341 $80 $0 $5,921 WORKERS COMP NA NA NA $12,870 $14,157 $0 $0 $14,157 $0 $0 $0 $0 $14,157 TOTALS $153,719 $11,116 $9,531 $2,229 $38,102 $228,855 ADMINISTRATION SAL-REG $143,219 INS CONT $1,680 SAL-SEAS $5,500 SAL-OT $5,000 PERA $11,116 FICA $9,531 MEDICARE $2,229 INSURANCE $38,102 WORK COMP $14,157 TOTAL $228,855 Page 38 STORM WATER UTILITY FUND 29 REVENUES REVENUE SOURCE 2018 ACTUAL 2019 ACTUAL 2019 BUDGET 2020 BUDGET 2021 BUDGET % CHANGE STORM WATER UTILITY FEES $501,173 $507,769 $476,000 $476,000 $550,000 15.55% MISCELLANSOUS INCOME $5,800 $400 $0 $0 $0 0.00% INTEREST INCOME $3,056 $11,188 $1,500 $1,500 $1,500 0.00% UNAPPROPRIATED TRANSFER -$9,650 -$9,650 -$9,650 -$9,650 -$9,650 0.00% TOTAL STORM UTILITY FUND REVENUE $500,379 $509,707 $467,850 $467,850 $541,850 15.82% Page 39 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE STORM WATER UTILITY 4110 SALARIES-REGULAR $21,249 $22,084 $22,572 $23,249 3.00% 4131 INSURANCE $3,312 $4,093 $6,250 $6,250 0.00% 4134 PERA $349 $923 $1,693 $1,744 3.01% 4135 FICA $1,589 $1,628 $1,726 $1,778 3.01% 4139 OPEB $255 -$238 $0 $0 0.00% TOTAL HUMAN RESOURCES $26,754 $28,491 $32,241 $33,021 2.42% 4209 CITY HALL RENT $6,904 $6,904 $6,904 $6,904 0.00% 4214 SOFTWARE MAINTENANCE $0 $0 $200 $200 0.00% 4220 PROFESSIONAL SERVICES CITY AUDIT $1,063 $1,048 $1,100 $1,100 0.00% WMO MEETINGS $0 $0 $6,000 $6,000 0.00% NPDES ENGINEERING FEES $6,134 $20,033 $35,000 $35,000 0.00% RAIN GARDEN DESIGN/CONSTRUCTION $593 $6,358 $35,000 $35,000 0.00% SURFACE WATER TREATMENT $8,692 $18,543 $7,500 $10,000 33.33% OTHER PROFESSIONAL SERVICES $19,677 $5,380 $2,500 $2,500 0.00% 4240 LEGAL PUBLICATIONS $201 $90 $250 $250 0.00% TOTAL CONTRACTUAL SERVICES $43,264 $58,356 $94,454 $96,954 2.65% 4300 OFFICE SUPPLIES $22 $0 $250 $250 0.00% 4318 POSTAGE $0 $26 $25 $25 0.00% 4330 EQUIPMENT REPAIR $254 $3,706 $3,000 $3,000 0.00% 4337 STORM SEWER MAINTENANCE $30,780 $37,042 $75,000 $50,000 -33.33% 4339 POND MAINTENANCE $110,720 $78,316 $0 $0 0.00% TOTAL COMMODITIES $141,776 $119,090 $78,275 $53,275 -31.94% 4404 MEMBERSHIP DUES $19,490 $20,635 $20,000 $24,000 20.00% 4460 CONSTRUCTION COSTS $0 $0 $0 $0 0.00% 4490 MISCELLANEOUS $1,048 $2,071 $500 $500 0.00% 4491 DEPRECIATION $52,726 $46,964 $53,000 $53,000 0.00% TOTAL OTHER CHARGES $73,264 $69,670 $73,500 $77,500 5.44% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $285,058 $275,607 $278,470 $260,750 -6.36% CAPITAL OUTLAY ITEMS REQUESTED APPROVED CAT OBJ DESCRIPTION Page 40 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET STORM UTILITY EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL SHARON HINZE 0.25 4/24/2006 12 E $15,221 $62,711 $0 $0 $15,678 $1,176 $972 $227 $5,040 $23,093 KRISTEN SCHABACKER 0.06 8/31/1998 39 E $7,351 $126,186 $0 $0 $7,571 $568 $469 $110 $1,210 $9,928 TOTALS $23,249 $1,744 $1,441 $337 $6,250 $33,021 ADMINISTRATION SAL-REG $23,249 INS CONT $1,680 SAL-SEAS $0 SAL-OT $0 PERA $1,744 FICA $1,441 MEDICARE $337 INSURANCE $6,250 WORK COMP $0 TOTAL $33,021 Page 41 PAR 3 REVENUES REVENUE SOURCE 2018 ACTUAL 2019 ACTUAL 2019 BUDGET 2020 BUDGET 2021 BUDGET % CHANGE GREEN FEES $84,049 $93,078 $100,000 $100,000 $100,000 0.00% RECREATION PROGRAMS $29,970 $33,229 $38,000 $40,000 $35,000 -12.50% CONCESSIONS $18,047 $19,538 $18,000 $19,000 $19,000 0.00% SUNDRY REVENUE $454 $280 $0 $0 $0 0.00% INTEREST $425 $1,067 $250 $450 $450 0.00% TOTAL PAR THREE FUND REVENUE $132,945 $147,192 $156,250 $159,450 $154,450 -3.14% Page 42 2018 2109 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE PAR 3 4110 SALARIES-ADMIN $17,775 $18,480 $23,601 $24,676 4.55% 4115 SALARIES-OVERTIME(HOLIDAY)$1,557 $29 $300 $300 0.00% 4110 SALARIES-CLUBHOUSE $26,963 $27,146 $34,000 $34,000 0.00% 4110 SALARIES - MAINTENANCE $16,160 $17,187 $22,000 $22,000 0.00% 4131 INSURANCE $6,336 $6,653 $6,653 $6,653 0.00% 4133 WORKERS COMPENSATION $2,103 $2,794 $2,500 $2,750 10.00% 4134 PERA -$16,164 $2,206 $4,320 $4,401 1.88% 4135 FICA $4,688 $4,671 $6,113 $6,195 1.34% 4138 UNEMPLOYMENT $0 $403 $0 $0 0.00% 4139 OPEB $297 $0 $0 $0 0.00% TOTAL HUMAN RESOURCES $59,715 $79,568 $99,487 $100,975 1.50% 4200 RENTALS AND LEASES $2,819 $3,832 $4,750 $4,750 0.00% 4210 TELEPHONE $3,652 $3,981 $3,750 $3,200 -14.67% 4211 ELECTRIC SERVICE CLUBHOUSE $751 $826 $800 $850 6.25% MAINTENANCE $3,409 $1,800 $5,500 $4,500 -18.18% 4212 GAS SERVICE $786 $564 $800 $800 0.00% 4213 SOLAR LEASE $1,578 $1,751 $1,700 $1,915 12.65% 4220 PROFESSIONAL SERVICES CITY AUDIT $2,725 $2,776 $2,850 $2,850 0.00% CITY ATTORNEY $0 $0 $0 $0 0.00% SYSTEM INSPECTIONS $3,455 $531 $1,000 $1,000 0.00% DEPT OF AG LICENSE $0 $0 $100 $100 0.00% 4250 LIABILITY AND AUTO INSURANCE $3,834 $4,739 $4,200 $4,800 14.29% 4268 CONTRACT SERVICES IRRIGATION SYSTEM SERVICES $0 $0 $3,000 $4,500 50.00% CITY NEWSLETTER $284 $235 $400 $0 -100.00% 4280 RUBBISH REMOVAL $658 $736 $700 $800 14.29% TOTAL CONTRACTUAL SERVICES $23,951 $21,772 $29,550 $30,065 1.74% 4300 OFFICE SUPPLIES $467 $103 $600 $600 0.00% 4305 GOLF SUPPLIES $2,876 $1,597 $1,500 $1,500 0.00% 4310 CONCESSIONS FOOD $1,460 $1,697 $3,300 $3,300 0.00% POP $2,126 $1,659 $2,250 $2,250 0.00% 4320 GAS AND OIL $1,614 $1,554 $1,750 $1,750 0.00% 4330 REPAIRS AND MAINTENANCE GROUNDSKEEPING EQUIPMENT REPAIR $9,928 $4,342 $10,000 $10,000 0.00% 4334 COURSE MAINTENANCE #DIV/0! MISCELLANEOUS $0 $0 $3,500 $3,500 0.00% CHEMICALS AND FERTILIZER $7,155 $12,086 $11,000 $15,000 36.36% IRRIGATION SYSTEM REPAIR $1,151 $2,225 $2,750 $2,750 0.00% COURSE BEAUTIFICATION $1,555 $2,568 $1,500 $1,500 0.00% SOIL/SAND $510 $510 $600 $600 0.00% 4335 BUILDING MAINTENANCE $3,922 $7,752 $6,000 $6,000 0.00% TOTAL COMMODITIES $32,764 $36,093 $44,750 $48,750 8.94% CAT OBJ DESCRIPTION Page 43 4400 TRAINING $0 $266 $100 $300 200.00% 4404 MEMBERSHIP DUES $290 $90 $300 $450 50.00% 4410 CLOTHING AND EQUIPMENT $0 $901 $1,750 $1,750 0.00% 4415 MILEAGE AND AUTO ALLOWANCE $0 $0 $0 $0 0.00% 4425 WATER SERVICE $340 $316 $480 $480 0.00% 4427 SEWER SERVICE $1,366 $1,366 $1,400 $1,400 0.00% 4436 ONLINE REGISTRATION FEE $1,192 $1,169 $1,475 $1,475 0.00% 4437 CREDIT CARD FEES $2,639 $2,588 $2,800 $2,800 0.00% 4490 MISCELLANEOUS $2,712 $2,080 $2,000 $2,000 0.00% 4480 CONTINGENCY $0 $0 $0 $0 0.00% 4491 DEPRECIATION $12,358 $0 $8,000 $0 -100.00% 4500 TREE REMOVAL $0 $0 $1,500 $1,500 0.00% TOTAL OTHER CHARGES $20,897 $8,776 $19,805 $12,155 -38.63% 4620 CAPITAL OUTLAY $0 $71,723 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $71,723 $0 $0 0.00% TOTAL EXPENDITURES $137,327 $217,932 $193,592 $191,945 -0.85% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Page 44 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET PAR 3 EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL MEREDITH LAWRENCE 0.16 11/7/2018 $10,170 $56,138 $11,621 $0 $10,841 $813 $672 $157 $3,226 $15,710 JOCELYN STEERE 0.20 8/23/2016 $7,306 $37,627 $0 $0 $7,525 $564 $467 $109 $2,419 $11,085 KRISTEN SCHABACKER 0.05 8/31/1998 $6,126 $126,186 $0 $0 $6,309 $473 $391 $91 $1,008 $8,273 CLUBHOUSE NA NA NA $34,000 $34,000 $0 $0 $34,000 $2,550 $2,108 $493 $0 $39,151 OVERTIME $300 $300 $0 $0 $300 $0 $19 $4 $0 $323 MAINTENANCE $22,000 $22,000 $0 $0 $22,000 $0 $1,364 $319 $0 $23,683 WORKERS COMP NA NA NA $2,500 $2,750 $0 $0 $2,750 $0 $0 $0 $0 $2,750 TOTALS $58,676 $4,401 $5,021 $1,174 $6,653 $100,974 ADMINISTRATION SAL-REG $24,676 INS CONT $1,680 SAL-SEAS $34,000 SAL - MAINT $22,000 SAL-OT $300 PERA $4,401 FICA $5,021 MEDICARE $1,174 INSURANCE $6,653 WORK COMP $2,750 TOTAL $100,974 Page 45 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE CITY HALL 4110 SALARIES-REGULAR $62,918 $65,999 $66,747 $68,765 3.02% 4115 SALARIES-OVERTIME $2,642 $935 $0 $0 0.00% 4130 SALARIES-TEMPORARY $0 $0 $0 $0 0.00% 4131 INSURANCE $10,622 $19,375 $20,160 $20,160 0.00% 4133 WORKERS COMPENSATION $5,549 $7,374 $6,590 $7,249 10.00% 4134 PERA $349 $2,296 $5,005 $5,157 3.04% 4135 FICA $5,506 $5,545 $5,106 $5,260 3.02% 4139 OPEB $826 $1,040 $0 $0 0.00% TOTAL HUMAN RESOURCES $88,412 $102,563 $103,608 $106,591 2.88% 4211 ELECTRIC SERVICE $30,332 $20,537 $30,000 $30,000 0.00% 4212 GAS SERVICE $6,823 $6,993 $7,500 $7,500 0.00% 4213 SOLAR LEASE $652 $3,923 $3,911 $4,161 6.39% 4220 PROFESSIONAL SERVICES MISC PROFESSIONAL SERVICES $709 $0 $1,000 $1,000 0.00% 4240 LEGAL PUBLICATION $0 $0 $0 $0 0.00% 4250 LIABILITY AND AUTO INSURANCE $5,991 $6,206 $6,000 $6,500 8.33% 4280 RUBBISH SERVICE $2,169 $2,852 $2,500 $3,000 20.00% TOTAL CONTRACTUAL SERVICES $46,676 $40,511 $50,911 $52,161 2.46% 4331 FURNITURE/EQUIPMENT $0 $0 $1,800 $1,800 0.00% 4335 BUILDING MAINTENANCE $53,733 $42,947 $46,500 $46,500 0.00% TOTAL COMMODITIES $53,733 $42,947 $48,300 $48,300 0.00% 4404 MEMBERSHIP DUES $0 $0 $50 $50 0.00% 4415 MILEAGE $0 $0 $100 $100 0.00% 4425 WATER SERVICE $3,271 $3,869 $4,000 $4,000 0.00% 4480 CONTINGENCY/RESERVE $0 $0 $10,000 $10,000 0.00% 4490 MISCELLANEOUS $0 $112 $250 $250 0.00% 4491 DEPRECIATION $79,714 $35,419 $80,000 $80,000 0.00% TOTAL OTHER CHARGES $82,985 $39,401 $94,400 $94,400 0.00% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $271,806 $225,421 $297,219 $301,452 1.42% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Pumps Boilers LED Conversion Parking Lot CAT OBJ DESCRIPTION Page 46 MENDOTA HEIGHTS HR CALCULATIONS 2021 BUDGET CITY HALL EMPLOYEE ANN DATE GRADE STEP 2020 SAL 2021 W1 2021 W2 2021 W3 2021 TOTAL PERA FICA MED INSURANCE TOTAL TERRY SULLIVAN 6/20/2011 16 E $66,747 $68,765 $0 $0 $68,765 $5,157 $4,263 $997 $20,160 $99,343 WORKERS COMP NA NA NA $6,590 $7,249 O O $7,249 $0 $0 $0 $0 $7,249 TOTALS $76,014 $5,157 $4,263 $997 $20,160 $106,592 ADMINISTRATION SAL-REG $68,765 INS CONT $1,680 SAL-SEAS $0 SAL-OT $0 PERA $5,157 FICA $4,263 MEDICARE $997 INSURANCE $20,160 WORK COMP $7,249 TOTAL $106,592 Page 47 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE EMERGENCY PREPAREDNESS 4110 SALARIES-REGULAR $0 $0 $0 $0 0.00% 4115 SALARIES-OVERTIME $0 $0 $0 $0 0.00% 4130 SALARIES-TEMPORARY $0 $0 $0 $0 0.00% 4131 INSURANCE $0 $0 $0 $0 0.00% 4133 WORKERS COMPENSATION $0 $0 $0 $0 0.00% 4134 PERA $0 $0 $0 $0 0.00% 4135 FICA $0 $0 $0 $0 0.00% 4138 UNEMPLOYMENT $0 $0 $0 $0 0.00% TOTAL HUMAN RESOURCES $0 $0 $0 $0 0.00% 4211 ELECTRIC SERVICE $0 $0 $0 $0 0.00% 4220 PROFESSIONAL SERVICES $0 $0 $7,000 $7,000 0.00% TOTAL CONTRACTUAL SERVICES $0 $0 $7,000 $7,000 0.00% 4305 OPERATING SUPPLIES $1,179 $322 $1,500 $1,500 0.00% 4330 REPAIRS AND MAINTENANCE SIREN MAINTENANCE AGREEMENT $0 $0 $5,000 $5,000 0.00% N95 MASK TESTING $0 $0 $700 $700 0.00% PHSYICALS $0 $0 $3,000 $3,000 0.00% DAKOTA COUNTY SPECIAL OPS $5,434 $5,577 $3,000 $3,000 0.00% EOC SUPPLIES $0 $0 $1,000 $1,000 0.00% TOTAL COMMODITIES $6,613 $5,899 $14,200 $14,200 0.00% 4400 AMEM ANNUAL CONFERENCE $0 $0 $1,200 $1,200 0.00% 4400 TRAINING $0 $0 $5,000 $5,000 0.00% 4400 CONTINGENCY $0 $0 $0 $0 0.00% 4400 DAKOTA COUNTY EMER. PREP. CMTE.$3,353 $3,378 $4,000 $4,000 0.00% 4400 DRILL CONSULTANT/EXPENSES $0 $0 $0 $0 0.00% 4490 MISCELLANEOUS $577 $0 $0 $0 0.00% TOTAL OTHER CHARGES $3,930 $3,378 $10,200 $10,200 0.00% 4620 CAPITAL OUTLAY $0 $0 $12,200 $12,200 0.00% TOTAL CAPITAL OUTLAY $0 $0 $12,200 $12,200 0.00% TOTAL EXPENDITURES $10,543 $9,277 $43,600 $43,600 0.00% CAPITAL OUTLAY ITEMS REQUESTED APPROVED SIREN ESCROW $12,200 CAT OBJ DESCRIPTION Page 48 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE FIRE RELIEF 4110 SALARIES-REGULAR $0 $0 $0 $0 0.00% 4115 SALARIES-OVERTIME $0 $0 $0 $0 0.00% 4130 SALARIES-TEMPORARY $0 $0 $0 $0 0.00% 4131 INSURANCE $0 $0 $0 $0 0.00% 4133 WORKERS COMPENSATION $0 $0 $0 $0 0.00% 4134 PERA $0 $0 $0 $0 0.00% 4135 FICA $0 $0 $0 $0 0.00% 4138 UNEMPLOYMENT $0 $0 $0 $0 0.00% TOTAL HUMAN RESOURCES $0 $0 $0 $0 0.00% 4200 RENTALS AND LEASES $0 $0 $0 $0 0.00% TOTAL CONTRACTUAL SERVICES $0 $0 $0 $0 0.00% 4300 OFFICE SUPPLIES $0 $0 $0 $0 0.00% TOTAL COMMODITIES $0 $0 $0 $0 0.00% 4490 FIRE AID $100,975 $104,236 $100,000 $105,000 5.00% 4490 CITY CONTRIBUTION $128,680 $152,640 $180,000 $180,000 0.00% 4490 SUPPLEMENTAL BENEFIT ADMIN $0 $0 $1,000 $1,000 0.00% TOTAL OTHER CHARGES $229,655 $256,876 $281,000 $286,000 1.78% 4600 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $229,655 $256,876 $281,000 $286,000 1.78% CAPITAL OUTLAY ITEMS REQUESTED APPROVED NONE CAT OBJ DESCRIPTION Page 49 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE SPECIAL PARK 4110 SALARIES-REGULAR $0 $0 $0 $0 0.00% 4115 SALARIES-OVERTIME $0 $0 $0 $0 0.00% 4130 SALARIES-TEMPORARY $0 $0 $0 $0 0.00% 4131 INSURANCE $0 $0 $0 $0 0.00% 4133 WORKERS COMPENSATION $0 $0 $0 $0 0.00% 4134 PERA $0 $0 $0 $0 0.00% 4135 FICA $0 $0 $0 $0 0.00% 4138 UNEMPLOYMENT $0 $0 $0 $0 0.00% TOTAL HUMAN RESOURCES $0 $0 $0 $0 0.00% 4220 CITY AUDIT $1,226 $1,205 $1,250 $1,250 0.00% 4220 CITY ENGINEER $0 $0 $0 $0 0.00% TOTAL CONTRACTUAL SERVICES $1,226 $1,205 $1,250 $1,250 0.00% 4300 OFFICE SUPPLIES $0 $0 $0 $0 0.00% TOTAL COMMODITIES $0 $0 $0 $0 0.00% 4460 CONSTRUCTION COSTS $10,549 $32,249 $5,000 $5,000 0.00% 4490 MISCELLANEOUS $0 $26,364 $500 $500 0.00% TOTAL OTHER CHARGES $10,549 $58,613 $5,500 $5,500 0.00% 4620 CAPITAL OUTLAY $140,981 $328,696 $610,000 $0 -100.00% TOTAL CAPITAL OUTLAY $140,981 $328,696 $610,000 $0 -100.00% TOTAL EXPENDITURES $152,756 $388,515 $616,750 $6,750 -98.91% CAPITAL OUTLAY ITEMS REQUESTED APPROVED Wentworth Tennis Courts $60,000 2021 Wentworth Parking Lot/Trails $90,000 2021 Marie Park Playground $160,000 2021 Dugouts $100,000 2021 CAT OBJ DESCRIPTION Page 50 CITY OF MENDOTA HEIGHTS 2020 BUDGET DEBT SUMMARY IMPROVEMENT BONDS 2019 LEVY 2020 LEVY 2021 LEVY END DATE 2009 $25,491 $0 2/1/2020 2010 $43,043 $0 2/1/2030 2011 $218,832 $0 2/1/2031 2012 $88,034 $88,641 $188,998 2/1/2032 2013 $125,393 $127,913 $123,661 2/1/2034 2014 Refunding $64,518 $64,186 $69,104 2/1/2027 2014 $69,703 $69,831 $69,566 2/1/2035 2015 Refunding $157,329 $148,509 $139,794 2/1/2028 2015 $48,558 $48,697 $48,836 2/1/2036 2016 $75,624 $80,819 $80,543 2/1/2037 2017 $88,318 $86,911 $91,632 2/1/2030 2018 $0 $101,617 $109,447 2/1/2030 FIRE STATION $0 $623,543 $624,173 2/1/2035 2019 $0 $275,802 $351,455 TOTAL $1,004,843 $1,716,469 $1,897,210 EQUIPMENT CERTIFICATES 2019 LEVY 2020 LEVY 2018 LEVY END DATE FIRE TRUCK $0 $0 $0 2/1/2020 DUMP TRUCK $28,770 $28,442 $28,114 2/1/2025 PAR THREE BONDS 2019 LEVY 2020 LEVY 2018 LEVY END DATE PAR THREE $243,600 $244,440 $245,175 2/1/2023 GRAND TOTAL $1,277,213 $1,989,351 $2,170,499 Page 51 2018 2019 2020 2021 % ACTUAL ACTUAL BUDGET PRELIMINARY CHANGE STREET LIGHT MAINTENANCE 4110 SALARIES-REGULAR $0 $0 $0 $0 0.00% 4115 SALARIES-OVERTIME $0 $0 $0 $0 0.00% 4130 SALARIES-TEMPORARY $0 $0 $0 $0 0.00% 4131 INSURANCE $0 $0 $0 $0 0.00% 4133 WORKERS COMPENSATION $0 $0 $0 $0 0.00% 4134 PERA $0 $0 $0 $0 0.00% 4135 FICA $0 $0 $0 $0 0.00% 4138 UNEMPLOYMENT $0 $0 $0 $0 0.00% TOTAL HUMAN RESOURCES $0 $0 $0 $0 0.00% 4211 ELECTRICAL SERVICES $12,456 $10,049 $17,500 $17,500 0.00% 4220 PROFESSIONAL SERVICES $0 $0 $500 $500 0.00% TOTAL CONTRACTUAL SERVICES $12,456 $10,049 $18,000 $18,000 0.00% 4330 REPAIRS AND MAINTENANCE $7,471 $32,637 $35,000 $35,000 0.00% TOTAL COMMODITIES $7,471 $32,637 $35,000 $35,000 0.00% 4490 MISCELLANEOUS $0 $0 $0 $0 0.00% TOTAL OTHER CHARGES $0 $0 $0 $0 0.00% 4620 CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL CAPITAL OUTLAY $0 $0 $0 $0 0.00% TOTAL EXPENDITURES $19,927 $42,686 $53,000 $53,000 0.00% CAPITAL OUTLAY ITEMS REQUESTED APPROVED NONE CAT OBJ DESCRIPTION Page 52 Budget Improvement Packages 1. Police – Marked Ford Explorer $745.55 mo./$18,000 one time 2. Police – Pole Camera $5,000 3. Fire – SCBA $225,000 4. Streets – Compact Track Loader $55,000 5. Streets – Plow Truck $191,000 6. Streets – Disc Mower for John Deere Tractor $9,000 7. Public Works – Tire Changer/Balancer $13,200 8. Public Works – Column Jacks $55,500 9. Public Works – Shop Painting $30,000 10. Public Works – Salt Storage Bin $201,000 11. Parks – Natural Resources Plan $55,000 12. Parks – Native Plantings $10,000 13. Parks – Skate Park Maintenance & Improvements $50,000 14. Street Light Utility – Street Light Painting $20,000 15. Par 3 – Well Pump & Motor $17,000-$21,000 Page 53 BIP #1 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: July 8, 2020 Prepared By: Captain Wayne Wegener Department: Police Division Description: Marked Ford Explorer (Leased Unit) Reason for Request: The police department’s current patrol fleet is 7 squad cars. This includes 6 squads for patrol officers and 1 squad for patrol sergeants. There are many times the police department is faced with not having a full complement of fleet vehicles, which in turn can impact the patrol officers. These shortages are oftentimes due to squads needing maintenance, warranty repairs, body repairs, etc. The police department’s patrol schedule also impacts the number of squads needed. Our patrol shifts overlap during the evening and early overnight hours. During these times, more squads are needed to ensure everyone has a patrol vehicle. Finally, we recently encountered times of civil unrest where officers were needed outside of regular patrol shifts to ensure public safety. These officers also needed to use squad cars, which further limited our patrol needs. Cost: Monthly lease fee of $745.55 (2020 rate) and a one-time cost of $18,000.00 for emergency equipment, computer, graphics, etc. to outfit the vehicle. Impact of Funding/Not Funding This proposal: Funding: Funding this proposal would allow for the police department to have one more squad car in its fleet for patrol. This would help ensure enough patrol vehicles are available during times when squads are out-of-service. It would also help ensure there are enough vehicles during times when more squads are needed such as when officers’ schedules overlap and when additional officers are working special details. Not Funding: Not funding this proposal would keep the police fleet’s patrol unit as is. Desired Date of Implementation: Quarter 1 of 2021 – depending on availability Page 54 BIP #2 City of Mendota Heights FY 2021 Budget Improvement Package Preparation Date: July 6, 2020 Prepared By: Captain Wayne Wegener Department: Police Division Description: Purchase Pole Camera Reason for Request: Many police agencies utilize pole cameras with great success. They allow officers to monitor areas where criminal activity has increased, while deterring others from committing crimes. A pole camera would aid the police department in several ways. For example, if a particular area of the city is being inundated with a crime, such as thefts from vehicles or damage to property, the camera could be deployed to assist with identifying the criminals. The camera could also proactively be placed in an area to deter criminal activity. This could be at a city park that is experiencing vandalism or an event that would attract a large number of people. This capital item was approved for 2020. However, due to budget constraints the purchase was not made. This request is to purchase the camera that was approved in 2020. Cost: $10,000.00 Impact of Funding/Not Funding This proposal: Funding would allow the police department to place a camera in areas where criminal activity has increased. It can be used to help apprehend those responsible for crimes and deter others from committing them. Should the council choose to not fund the request, the police department will continue to work diligently to apprehend criminals, deter individuals from committing crimes, and keep Mendota Heights a safe community. Desired Date of Implementation: Quarter 1 of 2021 Page 55 BIP #3 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: July 1, 2020 Prepared By: Fire Chief Dreelan Department: Fire Description: Self Contained Breathing Apparatus (SCBA) Reason for Request: Included in the Fire Department’s 2021 CIP expenditures budget is the replacement self-contained breathing apparatus (SCBA) in the amount of $225,000. This safety equipment is critically & vitally important to our firefighters as it is what allows the firefighters to enter hot, toxic, and immediately dangerous environments. The department currently has 26 complete SCBA units, 32 spare cylinders, and 40 individual face pieces. The propose expenditure is for the replacement of the same amount of units. Our current SCBA’s were manufactured by the MSA Company 15 years ago. Federal standers mandate the cylinders be retired after 15 years of service. Other components of our SCBA are outdated and need to be upgraded or replaced. The cost of replacing the cylinders, preforming the required updates and the enhancements found in modern SCBA justify the cost of buying new ones. Cost: $225,000 Impact of Funding/Not Funding This proposal: Our SCBA cylinders expire in February of 2021. If they are not replaced will be in violation of several Federal and Local standards. Desired Date of Implementation: Specification Development – fall of 2020 Issue purchase agreement - November 15, 2020 Product delivery – January 2, 2021 In-service and training - January/February 2021 Page 56 BIP #4 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek/John Boland Department: Streets Description: Compact Track Loader (Skid Steer) Reason for Request: A 2008 Bobcat Skid Steer is requested to be replaced. Public Works has identified a tracked skid steer would improve operations in many conditions. This skid steer would replace a 2008 bobcat 5250 with 3842 hours. Cost: Compact Track Loader $70,000 Trade-in $15,000 Total Cost $55,000 Impact of Funding/Not Funding This proposal: Maintenance costs are increasing on the 2008 unit. Public Works has rented track machines which would no longer be necessary. Desired Date of Implementation: April 2021 Page 57 BIP #5 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek/John Boland Department: Streets Description: 2020 Western Star Plow Truck Reason for Request: A 2007 Mack Plow truck is due for replacement. Public Works is looking to purchase a Western Star Truck versus a Mack. Staff met with the City of Edina and was able to test drive with positive feedback. This truck would include a longer box, was quieter, and provides better visibility and turning radius. The truck will also be equipped with saddles for pre-wetting salt. Cost: $191,000 after a $40,000 trade-in value. Cab/Chassis $116,000 TowMaster Package $111,000 Trade-in $40,000 Impact of Funding/Not Funding This proposal: The large plow trucks are the backbone of the city plowing operations. When even one plow (of 4) is out of service, the city needs to rely on the smaller vehicles to plow streets which also adds additional wear to other fleet vehicles. Desired Date of Implementation: April 2021 Page 58 BIP #6 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek/John Boland Department: Streets Description: Disc Mower for John Deere Tractor Reason for Request: A disc mower can mow unmaintained right-of-way areas without the need to use a brush mower which will reduce boulevard erosion. Cost: $9,000 Impact of Funding/Not Funding This proposal: Staff has received complaints regarding the existing brush mower causing damage to vegetation. This style of mower is better suited for boulevard mowing while the brush mower will continue to have its own uses. Desired Date of Implementation: April 2021 Page 59 BIP #7 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek/John Boland Department: Facility – Public Works Description: Tire Changer/Balancer Reason for Request: The tire changer at the shop is 30 years old and parts to repair are obsolete. Cost: $13,200 (Split between Streets, Parks, and Sanitary Utility) Impact of Funding/Not Funding This proposal: Funding a new tire changer will allow tire changing in house on trucks and has capabilities to change small mower tires. Desired Date of Implementation: April 2021 Page 60 BIP #8 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek/John Boland Department: Facility – Public Works Description: Column Jacks Reason for Request: The Column Jacks can be used outside of the shop. Fire trucks are too large for the current hoist and could also be used on plow trucks. These would provide an option for doing additional maintenance in-house. They would also provide a backup if the built-in hoists fail or in emergency situations. Cost: $55,500 (Split between Streets, Parks, and Sanitary Utility, Fire) Impact of Funding/Not Funding This proposal: Efficiency would be improved due to only being able work on half of a truck at a time. Desired Date of Implementation: April 2021 Page 61 BIP #9 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek/John Boland Department: Facility – Public Works Description: Shop Painting Reason for Request: The existing ceiling is dark and in need of painting. New paint would brighten the work area and potentially improve safety. Cost: $30,000 (Split between Streets, Parks, and Sanitary Utility) Impact of Funding/Not Funding This proposal: The area is dark in winter months. Desired Date of Implementation: April 2021 Page 62 BIP #10 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek/John Boland Department: Facility – Public Works Description: Salt Storage Bin Reason for Request: Street deicing material (salt) is currently stored in a side garage of the public works facility. The salt is causing corrosion of metal surfaces and deteriorating concrete surfaces. An exterior storage bin is proposed to prevent premature deterioration of the public works facility building. Relocating the salt storage will accommodate additional storage of attachments which currently do not have space to be stored indoors. Cost: $201,000 (Split between Streets, Parks, and Sanitary Utility) Impact of Funding/Not Funding This proposal: Further deterioration of the building will continue to occur. Desired Date of Implementation: April 2021 Page 63 BIP # 11 City of Mendota Heights FY 2020Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek Department: Parks Description: Natural Resources Plan Reason for Request: Natural Resources has been a growing priority in the city. The city has an out dated Natural Resource Plan from 2002. A proposal of the Comprehensive plan is to establish a Natural Resources Commission which can help guide the development of a new plan. Council authorized the Phase 1 of this plan in May, 2020. This request is to complete Phase 2 of the Plan Cost: $55,000 Impact of Funding/Not Funding This proposal: The need for a Natural Resources Plan will continue to grow as the vast open areas of the city are in need of management. Desired Date of Implementation: March 2021 Page 64 BIP #12 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek Department: Parks Description: Native Plantings Reason for Request: Mendota Heights has made a declaration of being a pollinator friendly city. Staff desires to install and maintain Native Plantings in the city parks as recurring item. Cost: $10,000 Impact of Funding/Not Funding This proposal: Funding this item may reduce areas of general mowing and can beautify the parks while providing a natural benefit. Desired Date of Implementation: March 2021 Page 65 BIP #13 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/8/2020 Prepared By: Ryan Ruzek Department: Parks Description: Skate Park Maintenance and Improvements Reason for Request: Mendota Heights committed to providing a skate park in the early 2000’s. Since its opening, the park see regular use. To date, the city has not added any new features. A quote was solicited form 3rd Lair. 3Rd Lair held a focus group meeting on this park and provided a maintenance and expansion quote. A year 2 improvement would include the construction of new features. Future additions could include bowl corners to increase the flow of the park. Cost: $10,000 Impact of Funding/Not Funding This proposal: The users of this park enjoy the simplicity of the features provided. Making improvements as proposed would make a larger scale reconstruction unnecessary. Desired Date of Implementation: March 2021 Page 66 BIP #14 City of Mendota Heights FY 2020 Budget Improvement Package Preparation Date: 7/9/2020 Prepared By: Ryan Ruzek Department: Street Lighting Utility Description: Paint Street Light poles Reason for Request: Mendota Heights owns 110 street light poles. A majority of the poles were installed in 1986. The light poles were last painted in 2008. The lights are showing visible corrosion and are in need of repainting. Staff received a quote in 2019 of $820 per pole to blast and repaint. Staff is proposing to budget $20,000 per year to begin rehabilitation of the poles. This would accomplish repainting around 24 poles per year. Cost: $20,000 Impact of Funding/Not Funding This proposal: Corrosion to the poles will shorten their useful life and could cause a pole to fall over. Desired Date of Implementation: June 2021 Page 67 BIP #15 City of Mendota Heights FY 2021 Budget Improvement Package Preparation Date: July 20, 2020 Prepared By: Meredith Lawrence Department: Par 3 Description: Removal of deep well irrigation pump for general well maintenance and to replace the pump and motor. Reason for Request: The City’s water source for irrigating the golf course is supplied by a well. Staff uses the irrigation system each day to monitor water levels based on weather conditions and maintenance practices. Records indicate that the well’s pump has not been inspected for at least 15 years. The age of the pump and motor is unknown. This season, the pump has needed to be reset multiple times due to various code faults on the pump’s box. Staff have consulted with two well companies and have been informed that the well’s pump and motor is reaching its end of life and its continued operation is uncertain. Cost: It is unclear whether the golf course’s well has a 40hp or 50 hp pump/motor. If the well’s current pump utilizes a 40hp system, the maintenance and replacement cost is estimated to be $17,000. If the well’s current pump utilizes a 50hp system, the maintenance and replacement cost is estimated to be $21,000. Impact of Funding/Not Funding This proposal: Due to a lack of documentation on the system and uncertainty about the condition of the current pump, if the pump/motor went out, the City would have no way to water the golf course, as the irrigation system has no access to city water. On especially warm days or windy days, the course cannot go more than two days without water. Desired Date of Implementation: Fall of 2021 Page 68