COMMON COUNCIL MEETING – 7:00 P.M. NOVEMBER 24, 2014
Transcription
COMMON COUNCIL MEETING – 7:00 P.M. NOVEMBER 24, 2014
CITY OF CEDARBURG COMMON COUNCIL MEETING NOVEMBER 24, 2014 – 7:00 P.M. A meeting of the Common Council of the City of Cedarburg, Wisconsin, will be held on Monday, November 24, 2014, at 7:00 p.m. at City Hall, W63 N645 Washington Avenue, Cedarburg, WI, in the second floor Council Chambers. AGENDA 1. CALL TO ORDER - Mayor Kip Kinzel 2. MOMENT OF SILENCE 3. PLEDGE OF ALLEGIANCE 4. ROLL CALL: 5. STATEMENT OF PUBLIC NOTICE 6. APPROVAL OF MINUTES* - November 11, 2014 7. COMMENTS AND SUGGESTIONS FROM CITIZENS** Comments from citizens on a listed agenda item will be taken when the item is addressed by the Council. At this time individuals can speak on any topic not on the agenda for up to 5 minutes, time extensions at the discretion of the Mayor. No action can be taken on items not listed except as a possible referral to committees, individuals or a future Council agenda item. 8. PUBLIC HEARINGS * A. Public Hearing – Consider Resolution No. 2014-19 amending the Comprehensive Land Use Plan for the property at N22 W6377 Fairfield Street from the Mixed Single-Family/Two-Family Residential classification to the High Density Residential classification; and action thereon (Plan Comm. 10/6/14) * B. Public Hearing – Consider Ordinance No. 2014-19 rezoning the property at N22 W6377 Fairfield Street from RS-6 Single-Family/Two Family Residential District to RM-2 Multi-Family Residential District; and action thereon (Plan Comm. 10/6/14) 9. UNFINISHED BUSINESS * A. Present - Common Council – Mayor Kip Kinzel, Council Members John Czarnecki, Ron Reimer, Art Filter, Paul Radtke, Mitch Regenfuss, Patricia Thome, Mike O’Keefe Further consideration of the proposed 2015 Budget; discussion, and direction thereon Page 1 of 99 10. NEW BUSINESS * A. Consider Ordinance No. 2014-20 levying property taxes on the General, Debt Service, Special Revenue, and Capital Improvement Funds for fiscal year 2015; and action thereon * B. Consider Ordinance No. 2014-21 appropriating the necessary funds for the operation of the Government and Administration of the City of Cedarburg for fiscal year 2015; and action thereon * C. Consider Ordinance No. 2014-22 appropriating the necessary funds for the 2015 Capital Improvement budget; and action thereon * D. Consider Ordinance No. 2014-23 establishing the user charge schedule and appropriating the necessary funds for the Sewerage Fund for the operation of the Wastewater Treatment Plant for fiscal year 2015; and action thereon * E. Consider Ordinance No. 2014-24 appropriating the necessary funds for the operation of the Special Revenue Funds and adopting the indicated budgets for fiscal year 2015; and action thereon * F. Consider Ordinance No. 2014-25 creating a Public Art Committee; and action thereon * G. Consider engineering proposals received to develop NR 333 compliance alternatives for Cedarburg dams; and action thereon * H. Consider Resolution No. 2014-20 requesting an Exception to Standards from Wisconsin DOT to omit designated bicycle lanes as part of the 2015 Sheboygan Road reconstruction; and action thereon * I. Consider switching dental insurance providers to Assurant; and action thereon * J. Consider payment of bills for the period 11/06/14 through 11/13/14, ACH transfers for the period 11/04/14 through 11/19/14, and payroll for the period 10/26/14 through 11/08/14; and action thereon * K. Consider application of Deelish LLC, Christian Leonard, Agent, for a Class “B” beer license for Sal’s Pizza, W63 N635 Washington Avenue; and action thereon *** L. Consider approval of new Operator’s License applications for the period ending June 30, 2015 for the following; and action thereon Jeanette L. Gabrys M. Consider recommendation of Police Chief to deny new operator’s license application of Matthew A. Tonn; and action thereon Page 2 of 99 11. REPORTS OF CITY OFFICERS & DEPARTMENT HEADS Administrator’s Report * A. 12. COMMUNICATIONS ** A. B. C. 13. ADJOURNMENT * ** Information attached for Council; available through City Clerk’s Office. Citizen comments should be primarily one-way, from citizen to the Council. Each citizen who wishes to speak shall be accorded one opportunity at the beginning of the meeting and one opportunity at the end of the meeting. Comments should be kept brief. If the comment expressed concerns a matter of public policy, response from the Council will be limited to seeking information or acknowledging that the citizen has been understood. It is out of order for anyone to debate with a citizen addressing the Council or for the Council to take action on a matter of public policy. The Council may direct that the concern be placed on a future agenda. Citizens will be asked to state their name and address for the record and to speak from the lectern for the purposes of recording their comments. Information available through the Clerk’s Office. *** Comments and suggestions from citizens Comments and announcements by Council Members Mayor’s Report 1. Proclamation Honoring Armbruster Jewelers 130th Anniversary UPON REASONABLE NOTICE, EFFORTS WILL BE MADE TO ACCOMMODATE THE NEEDS OF INDIVIDUALS WITH DISABILITIES. PLEASE CONTACT THE CITY CLERK’S OFFICE AT (262) 375-7606 E-MAIL: cityhall@ci.cedarburg.wi.us 11/20/14 ckm Page 3 of 99 CITY OF CEDARBURG CC20141110-1 JOINT MEETING OF THE COMMON COUNCIL UNAPPROVED AND PUBLIC WORKS AND SEWERAGE COMMISSION November 10, 2014 A joint meeting of the Common Council and Public Works and Sewerage Commission of the City of Cedarburg, Wisconsin, was held on Monday, November 10, 2014, at City Hall, W63 N645 Washington Avenue, second floor, Council Chambers. Mayor Kinzel called the meeting to order at 7:00 p.m. ROLL CALL: Present - Common Council: Mayor Kip Kinzel, Council Members John Czarnecki, Art Filter, Paul Radtke, Mitch Regenfuss, Patricia Thome, Mike O’Keefe Excused - Council Member Ron Reimer Present - Public Works Commission – Mayor Kip Kinzel, Bill Oakes, Sandra Beck, Charles Schumacher, Robert Dries, Gary Graham, Jim Slavin Excused - Randy Roupp, Council Member Ron Reimer Also Present - City Administrator/Treasurer Christy Mertes, Director of Engineering and Public Works Tom Wiza, Deputy City Clerk Amy Kletzien, City Attorney Michael Herbrand, Planner Jon Censky, Police Chief Thomas Frank, Parks, Recreation & Forestry Director Mikko Hilvo, Economic Development Coordinator Mary Sheffield, Public Works Superintendent Jeff Boerner, Library Director Linda Pierschalla, Library Board President Sue Karlman, Library Board Member Steve Ruggieri interested citizens and news media STATEMENT OF PUBLIC NOTICE At Mayor Kinzel’s request, Deputy City Clerk Kletzien verified that notice of this meeting was provided to the public by forwarding the agenda to the City’s official newspaper, the News Graphic, to all news media and citizens who requested copies, and by posting in accordance with the Wisconsin Open Meetings law. Citizens present were welcomed and encouraged to provide their input during the citizen comment portion of the meeting. APPROVAL OF MINUTES Motion made by Council Member Filter, seconded by Council Member Czarnecki, to approve the Common Council minutes from the October 27, 2014 meeting. Motion carried without a negative vote with Council Member Reimer excused. COMMENTS AND SUGGESTIONS FROM CITIZENS - None PUBLIC HEARING: CONSIDER ORDINANCE NO. 2014-17 AMENDING SECTIONS 131-54 AND 13-1-55 OF THE ZONING CODE TO PERMIT MICRO-DISTILLERIES AS A Page 4 of 99 COMMON COUNCIL November 10, 2014 CC20141110-2 UNAPPROVED CONDITIONAL USE IN THE B-2 COMMUNITY BUSINESS DISTRICT AND IN THE B-3 CENTRAL BUSINESS DISTRICT AND TO AMEND SECTION 13-1-240 TO DEFINE MICRO-DISTILLERIES; AND ACTION THEREON Mayor Kinzel declared the public hearing open at 7:02 p.m. to consider Ordinance No. 2014-17 amending Sections 13-1-54 and 13-1-55 of the Zoning Code to permit micro-distilleries as a Conditional Use in the B-2 Community Business District and in the B-3 Central Business District and to amend Section 13-1-240 to define micro-distilleries. Planner Censky explained that micro-distilleries are becoming very popular throughout the State of Wisconsin. Currently, micro-distilleries can be found in New Richmond, Middleton, Carlsville, Sturgeon Bay, Monroe, Milwaukee, Madison and Coleman. This amendment is being addressed at the request of Charles Radtke who has expressed the intent to pursue a micro-distillery. The distillation process is the same as that used in large distilleries involving heat and highly flammable vapors; therefore, certain inherent dangers will need to be addressed as the City considers requests of this nature in the future. Building Inspector Baier studied the State Building Code and advises that those issues are addressed therein and the applicant understands that future requests of this nature will need to comply with all State requirements and standards, as micro-distilleries are licensed by the State. Planner Censky stated that the Fire Department will also be part of the review process. Planner Censky further explained that the intent of the conditional use is to give the City the authority to grant conditions. The Plan Commission unanimously recommended adding distilleries as a conditional use in the B-2 and B-3 Districts at their October 6 meeting. In answer to Council Member Filter’s question, Planner Censky explained that no conditions have been established to-date. All applications will be reviewed by the State, City, and the Fire Department to determine what conditions are necessary. There was no public comment. Motion made by Council Member Radtke, seconded by Council Member O’Keefe, to close the public hearing at 7:08 p.m. In answer to Council Member Radtke’s question, Planner Censky stated that he is not aware of any issues with smell from a distillery. Council Member O’Keefe stated there is a micro-distillery in the historic City of Galena, Illinois that was required to add scrubbers to their process as a conditional use by the City. Council Member Thome confirmed that the City of Cedarburg can put controls or parameters on a micro-distillery in Cedarburg by using the conditional use process. Mayor Kinzel expressed enthusiasm for a new business in Cedarburg that could add to the City’s destination appeal. Page 5 of 99 COMMON COUNCIL November 10, 2014 CC20141110-3 UNAPPROVED Motion made by Council Member O’Keefe, seconded by Council Member Thome, to approve Ordinance No. 2014-17 amending Sections 13-1-54 and 13-1-55 of the Zoning Code to permit Micro-Distilleries as a Conditional Use in the B-2 Community Business District and in the B-3 Central Business District and to amend Section 13-1-240 to define Micro-Distilleries. Motion carried without a negative vote with Council Member Reimer excused. NEW BUSINESS REVIEW KUENY ARCHITECTS CONCEPTUAL LAYOUTS FOR THE PROPOSED PUBLIC WORKS FACILITY; AND ACTION THEREON Jon Wellenkamp of Kueny Architects presented conceptual layouts for the proposed public works facility with a goal of looking beyond the building and into the operations of the Department. He discussed the following in his presentation: Working Site Plan – all the major garage doors are off of the major streets, the best façade will be chosen for the citizens, stormwater will need to be held for quality, and what will be on the site needs to be determined. Working Plan – all the equipment was inventoried to determine the appropriate bay size for longevity and use. Maintenance will be able to be done in the bays. The following areas are being considered: parking configuration, administration area, vehicle repairs, small engines, fabrication, fluids, signs and wash bays (automated and manual). Vehicle Parking Bay includes the following considerations: traffic patterns, adequate stall width, preventative maintenance, natural light, zoned/variable exhaust, infrared heating to maintain a 55 degree temperature, fume actuated controls and adequate door size. Vehicle Repair Bay – possible sizing for other vehicles is being considered, such as a fire truck. Considerations include outsourcing vs. doing the work in-house. Parts & Small Equipment – will be programmed for certain equipment. Vehicle Wash Systems – Includes manual and automated systems using rainwater. Sustainable Design Upgrades – setup will be considered for future energy panels. Office & Administration – will be designed to be functional and last for 75 years. Facility – The design will be simple and durable. Type of Construction – the goal is to build a facility that will last 75 years. Mr. Wellenkamp explained that he is looking for input and feedback from the Council and based upon what he hears, he will provide the numbers. In answer to Council Member Filter’s question, Mr. Wellenkamp explained that the construction costs will include every possible fee including demolition of the old building. It is possible that one half of the new building will be built at a time, to allow work to continue in the other half during construction. Council Member Radtke stated that the City needs a new facility; however, he expressed concern for being able to justify anything. He asked the architects to be cautious and practical in regard to paybacks. Page 6 of 99 COMMON COUNCIL November 10, 2014 CC20141110-4 UNAPPROVED In answer to Council Member Filter’s question, Mr. Wellenkamp confirmed that he is working with Cedarburg Light & Water on the plans. Mr. Wellenkamp stated that he continually looks for feedback from past buildings that were built the last 20 years. Council Member Czarnecki expressed concern for increasing the building size for improved efficiencies and the need for an under body flush system for the trucks. Director Wiza explained that the wash bays are important. The chloride, salt and other corrosive material needs to be washed off from all parts of the trucks. A catwalk would allow them to clean out the boxes in the trucks. The vehicles are large investments that need to be maintained. The collection of rainwater to use for cleaning is an ingenious idea. If the rainwater is captured from the roof, it will not go into the stormwater and will save the City in that area alone. As far as solar panels are concerned, they could be added in the future, if the prewiring is done in advance. Director Wiza also explained that the Public Works Department has a constant to-do list that cannot be completed. By adding more efficiency to the building, the crew will have more time to work on this list. Finally, he explained that OSHA and Code compliance are an important issue that may not exist in the present building. Council Member Czarnecki stated that he does not think that the citizens of Cedarburg are complaining about leaves or the time it takes to remove snow. He believes it is excessive to increase the size of the facility from 20,000 sq. ft. to 60,000 sq. ft. He challenged the Public Works and Sewerage Commission to downsize the project. Mr. Wellenkamp said that the costs should be brought down proportionately. Every garage door is an additional $12,000. Commissioner Dries asked how much was being built into the project for future growth. Mr. Wellenkamp replied that the plan includes growth similar to now. The current bays are figured for the 16 foot wings on the plows to be down and includes five small vehicles used at City Hall. This plan does not have any extra spaces. Mayor Kinzel stated that increased efficiency would reduce overtime costs. He asked to see building plans that are $4 million or $6 million rather than $8 million. He questioned what could be stored in less expensive cold storage. Mr. Wellenkamp stated that a tempered building (30 – 40 degrees) could be added. Mayor Kinzel asked that the Lincoln Boulevard side be attractive. Council Member Radtke stated that the side facing the tennis courts and the Zeunert Park overlook will remain visible and should also be attractive, especially considering that the Amcast property may be redeveloped at some point. All outside areas should remain attractive as well. Page 7 of 99 COMMON COUNCIL November 10, 2014 CC20141110-5 UNAPPROVED In answer to Council Member Czarnecki’s questions, Mr. Wellenkamp stated that large privately owned vehicle fleets may be stored outside but are likely turned over quicker than Municipal vehicles. In regard to the administrative areas including offices, training room, lunch room, locker room and restrooms are a total of 3,582 sq. ft. The current public works facility has less than 1,000 sq. ft. of this type of space. Commissioner Schumacher stated that he is aware of large private sector companies with large fleets who keep their vehicles indoors and plug them in during extremely cold weather or they would not start. In answer to Council Member Regenfuss’ question, Mr. Wellenkamp explained that the site contains bedrock in the center of the property that will need to be filled and raised. The current plan raises the site 23 feet to the east. Also they may need a new storm sewer to connect to the existing system. In answer to Mayor Kinzel’s question, Mr. Wellenkamp stated that the residential drop-off area will be out of the way from any major equipment and will have easy access allowing the area to be open extended periods of time for residents. In answer to Council Member Radtke’s question, Mr. Wellenkamp is familiar with the Village of Grafton drop-off site and this could be accomplished in Cedarburg, allowing residents 24/7 access in the northwest section of the property. Mr. Wellenkamp explained that Kueny Architects wants to make the design specifically for Cedarburg. Council Member Czarnecki stated that he wants to see a design that is dramatically less in size. He cannot see going from a 20,000 sq. ft. facility to a 60,000 sq. ft. facility. He questioned whether or not a 40,000 sq. ft. facility would meet the needs of Cedarburg. Mayor Kinzel asked for the best case scenario. What could the City be comfortable with and still meet all their needs. Council Member Thome asked what the City can afford to lose in the current design. Mr. Wellenkamp stated that he received good feedback and he will work with staff going forward with these ideas. Council Member Radtke asked for more options in striking a happy medium. In answer to Council Member Regenfuss’ question, Mr. Wellenkamp explained that the outside building material has not been decided on. Mr. Wellenkamp also explained that there is plenty of time to get the design right for the City and he will come back with additional scenarios. Page 8 of 99 COMMON COUNCIL November 10, 2014 CC20141110-6 UNAPPROVED Commissioner Beck stated that this was a good meeting and asked the Council if they had an idea on what they want to spend on a new facility. Council Member Czarnecki would like the facility to be as small as possible. Council Member Thome does not want all efficiencies sacrificed. Director Wiza stated that the City wants a quality building that will last and also be attractive to the area. It was determined that the Common Council and Public Works & Sewerage Commission will have another joint meeting to review new options. In answer to Council Member Czarnecki’s question, Council Member Thome assured him that the Public Works & Sewerage Commission have done their homework and are working hard on this project. Mayor Kinzel stated that the Library project was tempered with budget parameters and the City ended up with a very nice facility. Council Member Filter suggested that the facility be built to be expandable as the City grows. CONSIDER AWARD OF ENGINEERING DESIGN CONTRACT FOR THE 2015 STREET AND UTILITY PROJECT; AND ACTION THEREON Director Wiza explained that staff requested proposals from a total of four engineering consulting firms for design of the 2015 Street and Utility Project. A detailed Request for Proposal (RFP) was sent to each firm, and the scope of work was well defined. Three of the four firms submitted responsive proposals, and the lowest overall fee for service was submitted by M Squared Engineering of Cedarburg. The 2015 project includes the reconstruction of Sheboygan Road, Lincoln and McKinley Boulevards from Washington Avenue to Pioneer Road, and the storm sewer main through the public works yard. The lowest bid of $39,600 from M Squared Engineering would be split proportionately between the streets capital, storm water capital, sanitary sewer reconstruction fund and Light & Water budgets. In answer to Commissioner Dries’ question, Director Wiza stated that M Squared Engineering is familiar with municipal work and were entrusted by the State to do the Wauwatosa Road project last summer. Motion made by Commissioner Beck, seconded by Commissioner Slavin, to award the engineering design contract for the 2015 Street and Utility project to M Squared Engineering in an amount not to exceed $39,600. Motion carried without a negative vote with Council Member Reimer and Randy Roupp excused. Motion made by Council Member Radtke, seconded by Council Member Thome, to award the engineering design contract for the 2015 Street and Utility project to M Squared Engineering in an Page 9 of 99 COMMON COUNCIL November 10, 2014 CC20141110-7 UNAPPROVED amount not to exceed $39,600. Motion carried without a negative vote with Council Member Reimer excused. CONSIDER ORDINANCE NO. 2014-18 ESTABLISHING A VEHICLE “NO STOPPING OR STANDING” ZONE ON THE EAST AND WEST SIDES OF WASHINGTON AVENUE FROM THE NORTH CURB LINE EXTENDED OFF LINCOLN BOULEVARD TO A POINT 150 FEET NORTH; AND ACTION THEREON Director Wiza explained that with the new traffic lane delineations and turn arrow added to Washington Avenue just north of Lincoln Boulevard; staff is recommending that “No Stopping or Standing” signage be added on both sides of the street to prohibit motorists from stopping in traffic to drop off passengers. Starbucks Coffee and the Out and Out Restaurant are destinations where this may occur, and is causing concern that this would create traffic problems or even an accident. By adding this signage it also makes it enforceable for the Police Department to issue tickets. Motion made by Commissioner Beck, seconded by Commissioner Oakes, to adopt Ordinance No. 2014-18 establishing a vehicle “No Stopping or Standing” Zone on the east and west sides of Washington Avenue from the north curb line extended off Lincoln Boulevard to a point 150 feet north. Motion carried without a negative vote with Council Member Reimer and Randy Roupp excused. Motion made by Council Member Radtke, seconded by Council Member Thome, to adopt Ordinance No. 2014-18 establishing a vehicle “No Stopping or Standing” Zone on the east and west sides off Washington Avenue from the north curb line extended of Lincoln Boulevard to a point 150 feet north. Motion carried without a negative vote with Council Member Reimer excused. The Public Works and Sewerage Commission were excused at 8:23 p.m. CONSIDER PAYMENT OF BILLS FOR THE PERIOD 10/23/14 THROUGH 10/30/14, ACH TRANSFERS FOR THE PERIOD 10/22/14 THROUGH 11/03/14, AND PAYROLL FOR THE PERIOD 10/12/14 THROUGH 10/25/14; AND ACTION THEREON Motion made by Council Member Filter, seconded by Council Member Czarnecki, to approve the payment of bills for the period 10/23/14 through 10/30/14, ACH transfers for the period 10/22/14 through 11/03/14, and payroll for the period 10/12/14 through 10/25/14. Motion carried without a negative vote with Council Member Reimer excused. LICENSE APPLICATIONS Motion made by Council Member O’Keefe, seconded by Council Member Thome, to table this item to allow the Clerk’s Office to notify the applicant that his license is being recommended for denial by the Police Department at the next meeting. Motion carried without a negative vote with Council Member Reimer excused. UNFINISHED BUSINESS Page 10 of 99 COMMON COUNCIL November 10, 2014 CC20141110-8 UNAPPROVED FURTHER CONSIDERATION OF THE PROPOSED 2015 BUDGET, DISCUSSION, AND DIRECTION THEREON City Administrator/Treasurer Mertes directed the Council’s attention to the Budget Summary, which shows a 2% decrease in the tax levy/rate or $6.97 per $1,000 of assessed value. Part of this reduction is due to the change in health insurance from a 5% increase to a 4% increase (actual decrease will be 3%, as of today). Currently, the City is looking at the dental insurance, due to a large increase from the current provider. It is possible that a new provider could result in a $28,000 savings with no change in coverage. In answer to Council Member Radtke’s question, City Administrator/Treasurer Mertes confirmed that the aerators and improvements for Willowbrooke Park are in this budget. City Administrator/Treasurer Mertes pointed out that the Cedarburg School District tax levy is going down 4¢ and MATC is going down 40% due to receiving State aide. In answer to Council Member Czarnecki’s question, City Administrator/Treasurer Mertes stated that the Council will be considering the ordinances for the final budget on November 24. Chief Frank asked for consideration of barricades for Festivals for $3,640 from the unfunded list. He explained that they are filled with water and weigh 80 lbs. when empty and 1,200 lbs. when full. His concern is for the safety of pedestrians downtown during Festivals. An incident occurred at the last Festival that involved a person driving into the crowd. The barricades are one measure that can be taken to secure the area better. There is some interest from other agencies in the area to share the cost; however, it is too early to get a commitment. In answer to Council Member Radtke’s question regarding how easily the barricades can be moved overnight, Chief Frank stated that there has been some discussion about opening only one lane of traffic for local traffic only on Saturday night. Driveways would have to remain open. In answer to Council Member Thome’s question, Director Wiza explained that the barricades would be filled with water on-site. If they would need to be moved; that could be done with a forklift. There are details left to work out. The main issue is site security. In answer to Council Member Czarnecki’s question, Chief Frank stated that the emergency management vehicles could be used in conjunction with the barricades; however, there has also been some interest from the car dealerships to park a vehicle in one lane. Chief Frank stated that these barricades would only be used on Washington Avenue and Columbia Road. The other side roads would be blocked with trucks. Council Members Radtke, O’Keefe, and Thome expressed support for the expenditure. Council Member Filter said that this item is a Festival driven item and should not come out of the Police Department budget. Page 11 of 99 COMMON COUNCIL November 10, 2014 CC20141110-9 UNAPPROVED City Administrator/Treasurer Mertes stated that the barricades would be paid through Celebrations. It was the consensus of the Common Council to include $3,600 in the budget for barricades for Festivals. Council Member Thome asked for additional signage for public restrooms. Library Director Pierschalla asked the Common Council to consider funding $17,333 for maintenance of the building. The budget draft was submitted in July and it did not include these items. It is primarily the weekend cleaners, grounds maintenance, maintenance agreements, security system, and the fire and sprinkler systems. The elevator maintenance and snow removal figures are still uncertain. In answer to Council Member Radtke’s questions, City Administrator/Treasurer Mertes stated that the proposed budget (total expenditures) for the Library is $823,420 and the fund balance is $99,062. After making the proposed changes as discussed and adding the $17,333 to the budget, the tax levy increase may only be 1¢. In answer to Council Member O’Keefe’s question, City Administrator/Treasurer Mertes confirmed that the repair for the high school tennis courts is included in the budget. In answer to Council Member Radtke’s question, City Administrator/Treasurer Mertes stated that the proceeds from the sale of the former library are budgeted to help pay down the debt in the future. It was the consensus of the Common Council to add the barricades and the Library expenditures to the budget and to keep the tax rate at $6.97. CITY ADMINISTRATOR’S REPORT City Administrator/Treasurer Mertes added that health insurance meetings are scheduled for enrollment and to reeducate the employees on the health and dental plans and the health risk assessments through Healics. COMMENTS AND ANNOUNCEMENTS FROM COUNCIL MEMBERS Council Member Czarnecki offered to hold an informal TIF education listening session to describe basic TIF functions. Council Member Thome offered to assist and suggested holding it at the Library. MAYOR’S REPORT Mayor Kinzel issued a Proclamation honoring Cedarburg High School on receiving the National Blue Ribbon Program Award. He will present it at an assembly on Friday, November 14. Page 12 of 99 COMMON COUNCIL November 10, 2014 CC20141110-10 UNAPPROVED ADJOURNMENT – CLOSED SESSION Motion made by Council Member Radtke, seconded by Council Member Filter, to adjourn to closed session at 9:02 p.m. pursuant to State Statutes 19.85(1)(g) to confer with legal counsel who is rendering oral or written advice concerning strategy to be adopted by the Council with respect to litigation in which it is or is likely to become involved, more specifically, to discuss the Prochnow Landfill. Approval of closed session minutes of October 13, 2014. Motion carried unanimously on a roll call vote with Council Member Reimer excused. ADJOURNMENT Motion made by Council Member Filter, seconded by Council Member O’Keefe, to adjourn the meeting at 9:20 p.m. Motion carried without a negative vote with Council Member Reimer excused. Amy D. Kletzien, MMC/WCPC Deputy City Clerk Page 13 of 99 CITY OF CEDARBURG MEETING DATE: November 24, 2014 ITEM NO: 8. A. TITLE: Consider Resolution No. 2014-19 amending the Comprehensive Land Use Plan for the property at N22 W6377 Fairfield Street from the Mixed Single-Family/Two-Family classification to the High Density Residential classification; and action thereon ISSUE SUMMARY: The applicant has recently purchased this property and hopes to develop a multi-family project similar to the adjacent Fairfield Street Apartment Complex. Before he can pursue those plans however, the property will need to be rezoned to accommodate multi-family housing. As Council Members may recall, this is a two-step process where the Comprehensive Land Use Map must first be amended to reflect the applicant’s intent and then the property rezoned in accordance with the Land Use Plan. The site currently supports a single-family home and is classified on the Comprehensive Land Use Map as Mixed SingleFamily/Two-Family Residential. Resolution No. 2014-19 will serve to change that classification to High Density Residential (10.9 to 16.1 Units/Acre) in preparation for a future multi-family project. The proposed High-density Residential classification matches that designation shown on the map for property located to the south, west and north of this property is consistent with the development pattern along this section of Fairfield Street. BOARD, COMMISSION OR COMMITTEE RECOMMENDATION: The Plan Commission unanimously voted to recommend adoption of Resolution No. 2014-19 amending the Comprehensive Land Use Plan–2025 from the Mixed Single-Family/Two-Family Residential use classification to High-Density Residential at their October 6, 2014 meeting. BUDGETARY IMPACT: N/A ATTACHMENTS: Resolution No. 2014-19 Map Showing the Fairfield Street Site. Approved October 6, 2014, Plan Commission Minutes. Reference letters. INITIATED/REQUESTED BY: Patrick Kennedy, Cardinal Investments FOR MORE INFORMATION CONTACT: Jonathan Censky, City Planner, 262-375-7610 Page 14 of 99 RESOLUTION NO. 2014-19 A Resolution Amending the City of Cedarburg Comprehensive Land Use Plan - 2025 for the property at N22 W6377 Fairfield Street WHEREAS, the City of Cedarburg, pursuant to the provisions of Section 62.23 of the Wisconsin Statutes, has created a City Plan Commission; and WHEREAS, the City Plan Commission has prepared a plan for the physical development of the City of Cedarburg and environs, said plan known as The City of Cedarburg Smart Growth Comprehensive Plan -2025 and WHEREAS, the City Plan Commission on the 7th day of January 2008 recommended the aforementioned Comprehensive Plan and on the 25th day of February 2008 the Common Council adopted the plan; and WHEREAS, the adopted Land Use Plan recommends Single-Family/Two-Family Residential District as show on the Land Use Map for the subject property located at N22 W6377 Fairfield Street; and WHEREAS, a proposal to build three, four-unit apartment buildings on this site would require amending the Single-Family/Two-Family Use Classification to the Multi-Family Residential Use Classification; and WHEREAS, the Plan Commission reviewed the requested amendment and the Common Council held a public hearing on November 24, 2014 to consider amending the Plan and found such change to be appropriate and compatible with the existing and future nearby uses. NOW, THEREFORE, BE IT RESOLVED that pursuant to Section 66.1001(4)(b) of the Wisconsin Statutes, the City of Cedarburg Common Council on the 24th day of November 2014, hereby amends The City of Cedarburg Smart Growth Comprehensive Land Use Plan -2025, as follows: the subject property at N22 W6377 Fairfield Street is hereby classified as Multi-Family Use in the Comprehensive Land Use Plan – 2025. Passed and adopted this 24th day of November 2014. _________________________________ Kip Kinzel, Mayor Attest: ___________________________________ Constance K. McHugh, City Clerk Approved as to form: ___________________________________ Michael P. Herbrand, City Attorney Page 15 of 99 Page 16 of 99 Page 17 of 99 Page 18 of 99 Page 19 of 99 Page 20 of 99 Page 21 of 99 Page 22 of 99 Page 23 of 99 CITY OF CEDARBURG MEETING DATE: October 24, 2014 ITEM NO: 8. B. TITLE: Consider Ordinance No. 2014–19 rezoning the parcel at N22 W6377 Fairfield Street from RS-6 Single-Family/Two-Family Residential to RM-2 Multi-Family Residential District; and action thereon ISSUE SUMMARY: The applicant is requesting approval to rezoning this 1.114-acre parcel from RS-6 Single/Two-Family to the RM-2 Multi-Family District in support of his future multi-family residential project. The proposed development will consist of three, four-unit buildings situated in a tandem layout heading south from Fairfield Street similar to the development pattern of the adjacent Fairfield Street Apartment Complex located directly east which the applicant developed in the 1980’s. As noted in the previous memo, this is a two-step process with the revision to the Land Use Map needed first and then the rezoning to follow. The rezoning to RM-2 Multi-Family District will provide the necessary consistency with the High Density Residential classification of the Land Use Plan being considered under item number 8-A of this agenda. This property is directly east of property zoned RM-2 Multi-Family Residential District and is directly south of property zoned RM-1 Lower Density Multi-Family District. To the east and northeast of this property, the area will remain zoned RS-6 Single-Family/Two-Family which provides a good transition from the commercial development along Washington Avenue to the higher density residential development under consideration here. Accordingly, staff feels that this request is consistent with nearby development patterns and will be appropriate for the area. BOARD, COMMISSION OR COMMITTEE RECOMMENDATION: The Plan Commission voted to recommend rezoning of the parcel from RS-6 Single-Family/Two-Family to the RM-2 Multi-Family Residential District at their October 6, 2014 meeting by unanimous vote. BUDGETARY IMPACT: N/A ATTACHMENTS: Ordinance No. 2014-19 Existing and Proposed Zoning Maps Approved October 6, 2014 Plan Commission Minutes INITIATED/REQUESTED BY: Patrick Kennedy, Cardinal Investments FOR MORE INFORMATION CONTACT: Jonathan Censky, City Planner, 262-375-7610 Page 24 of 99 ORDINANCE NO. 2014-19 An Ordinance Rezoning the Parcel at N22 W6377 Fairfield Street The proposed ordinance having been submitted to the City Plan Commission for recommendation and notice having been given pursuant to Wis. Statute, the Common Council of the City of Cedarburg, Wisconsin, does hereby ordain as follows: The following described real estate located at N22 W6377 Fairfield Street, presently being in the RS-6 Single-Family/Two-Family District is hereby rezoned to RM-2 Multi-Family District: Being Lot 4 of Block 3 of Cedarburg Homesteads located in the north half of the southeast quarter of Section 34, Town 10 North, Range 21 East, City of Cedarburg, Ozaukee County, Wisconsin. Tax Key #13-064-03-04.000 Containing 1.039 acres, more or less, total. This ordinance shall take effect upon its passage and publication as provided by law. Passed and adopted this 24th day of November, 2014 ________________________________ Kip Kinzel, Mayor Countersigned: ______________________________ Constance K. McHugh, City Clerk Approved as to form: _________________________________ Michael P. Herbrand, City Attorney Page 25 of 99 Page 26 of 99 Page 27 of 99 City of Cedarburg—Tax Levy History City Tax Levies 2011 2012 2013 2014 ACTUAL ACTUAL ACTUAL ACTUAL 2015 Adpopted % CHANGE 15/14 General Fund Levy—Operating 5,123,465 5,259,335 5,410,911 5,568,212 5,626,518 1.0% Capital Improvement Levy 1,073,980 1,090,000 1,106,500 1,235,000 1,435,000 16.2% Special Revenue Fund Levy—Library 428,454 490,000 490,000 490,000 657,842 34.3% Debt Service Levy 880,000 914,042 956,118 972,917 619,532 -36.3% 7,505,899 7,753,377 7,963,529 8,266,129 8,338,892 12,161,771 11,208,647 11,052,752 11,689,535 11,768,557 0.7% 2,039,075 2,081,789 2,143,072 2,243,675 2,227,614 -0.7% 198,621 199,629 196,847 196,308 201,463 2.6% Total City Levy 0.9% Other Taxing Bodies Cedarburg Schools—Operating Ozaukee County—Operating State of Wisconsin M.A.T.C.—Operating Total Tax Levy (Gross) - State School Credit Total Tax Levy (Net) Equalized Valuation City Equalized Tax Rate 2,245,896 2,289,003 2,456,955 2,460,817 1,507,980 -38.7% 24,151,262 23,532,445 23,813,155 24,856,464 24,044,506 -3.3% (1,941,694) (1,942,291) (1,899,259) (1,838,119) 22,209,568 21,590,154 21,913,896 23,018,345 -100.0% 24,044,506 4.5% 1,170,383,900 1,176,320,900 1,159,925,700 1,156,752,200 1,187,131,800 2.6% 6.41 6.59 6.87 7.15 7.02 -1.7% School District Equalized Tax Rate 10.42 9.55 9.55 10.13 9.94 -1.9% Total Equalized Tax Rate 18.99 18.37 18.92 19.93 20.30 1.8% 1,155,644,680 1,160,817,740 1,165,210,300 1,183,410,760 1,196,486,770 1.1% Assessed Valuation Assessment Ratio 98.74% 98.68% 100.46% 102.30% 100.91% 6.49 6.68 6.83 6.99 6.97 -0.3% 10.55 9.68 9.51 9.90 9.86 -0.4% Ozaukee County 1.76 1.79 1.84 1.90 1.86 -2.1% State of Wisconsin 0.17 0.17 0.17 0.17 0.17 0.0% M.A.T.C. 1.94 1.97 2.11 2.08 1.26 -39.4% 20.91 20.29 20.46 21.04 20.12 -4.4% (1.68) (1.67) (1.63) (1.55) 0.00 -100.0% 19.23 18.62 18.83 19.49 20.12 3.2% Tax Rates (Per $1,000 A.V.) City of Cedarburg Cedarburg School District Total Tax Rate (Gross) - State School Credit Total Tax Rate (Net) Page 28 of 99 All Funds Actual Revenues Budget 2013 General Fund Cemetery Room Tax Recreation Programs Swimming Pool Subdividers Deposits Library Debt Service Capital Improvements Sewer Utility Internal Service Total Expenditures General Fund Cemetery Room Tax Recreation Programs Swimming Pool Subdividers Deposits Library Debt Service Capital Improvements Sewer Utility Internal Service Total Revenues-Expenditures 7,986,292 30,204 69,138 127,741 312,128 8,978 632,487 1,065,510 1,349,957 2,548,426 366,427 14,497,288 2014 8,166,224 33,940 62,000 122,191 338,546 150 633,578 1,140,642 2,395,000 2,307,902 295,618 15,495,791 Estimated 2014 8,164,791 34,690 60,000 120,601 313,888 2,203 635,906 1,146,586 2,756,378 2,325,217 344,563 15,904,823 Budget 2015 8,317,454 31,540 60,000 121,670 326,743 125 813,929 1,806,444 2,352,755 2,291,665 305,482 16,427,807 Actual Budget Estimated Budget 2013 8,094,836 45,873 69,138 129,979 312,585 76,570 693,352 1,118,057 4,816,582 2,494,763 278,179 18,129,914 2014 8,220,339 46,444 62,000 135,672 338,546 40,000 698,994 1,190,567 6,933,659 2,612,819 287,955 20,566,995 2014 8,148,338 53,797 60,000 133,320 313,889 0 675,225 1,190,567 4,552,401 2,303,784 334,994 17,766,315 2015 8,371,454 53,797 60,000 121,312 326,743 75,000 813,929 1,806,444 2,847,700 2,591,901 303,074 17,371,354 (3,632,626) (5,071,204) (1,861,492) (943,547) Page 29 of 99 General Fund Fund 100 Revenues Public Improvement Revenues Intergovernmental Revenues Regulation & Compliance Law & Ordinance Violations Public Charges for Services Intergovernmental Charges Commercial Revenues Property Taxes Total Expenditures General Government Public Safety Engineering & Public Works Parks, Recreation & Forestry Conservation & Development Other Transfers to Other Funds Total Revenues - Expenditures Fund Balance 2011 2,652 1,047,079 334,158 72,912 52,125 202,684 178,225 5,743,936 7,633,771 2011 1,075,355 3,570,525 2,282,915 728,414 53,879 0 41,606 7,752,694 2012 2,533 1,007,343 358,956 62,479 68,801 192,605 178,722 5,929,290 7,800,729 2012 1,014,785 3,630,311 2,191,333 791,127 63,571 0 40,842 7,731,969 2013 7,031 969,979 382,757 51,976 69,567 200,061 156,998 6,147,922 7,986,291 2014 2014 Budget Estimated 2,500 1,007,221 338,040 83,000 59,940 208,584 162,576 6,304,363 8,166,224 2,500 1,016,832 338,790 63,000 72,041 209,084 158,181 6,304,363 8,164,791 2014 2014 2013 1,094,827 3,700,377 2,335,053 858,224 49,038 0 57,311 8,094,830 Budget 1,113,648 3,782,738 2,387,819 805,330 72,130 0 58,675 8,220,339 Estimated 1,079,648 3,766,139 2,346,121 803,563 71,843 0 81,024 8,148,338 (54,115) (118,923) 68,760 (108,539) 2,172,482 2,241,242 2,132,703 Page 30 of 99 2,078,588 16,453 2,149,156 2015 % Change Adopted 2015/2014 2,800 1,008,588 336,590 83,000 66,619 206,333 173,034 6,440,490 8,317,454 2015 12.00% 0.14% -0.43% 0.00% 11.14% -1.08% 6.43% 2.16% 1.85% %Change Adopted 2015/2014 1,100,925 -1.14% 3,803,127 0.54% 2,404,063 0.68% 873,323 8.44% 73,655 2.11% 54,000 0.00% 62,361 6.28% 8,371,454 1.84% (54,000) 2,095,156 -0.21% Special Revenue—Cemetery Fund 200 2011 Beginning Fund Balance $355,062 Revenues 465500 465550 481100 482170 486000 2011 Property Sales Monuments & Markers Interest Income Rental Income Cemetery—Misc. Revenue Total Revenues 2012 $349,464 2013 $332,013 2012 2013 111 112 125 151 152 154 155 159 165 2014 Budget $316,344 2014 Estimated 2015 Adopted % Change 2015/2014 $304,590 2015 Adopted % CHANGE 2014/2013 19,325 1,000 2,901 11,940 3,500 11,250 2,750 1,384 11,940 2,880 13,500 1,000 3,500 11,940 4,000 16,650 1,000 1,100 11,940 4,000 13,500 1,000 1,100 11,940 4,000 0.00% 0.00% -68.57% 0.00% 0.00% 47,594 38,666 30,204 33,940 34,690 31,540 -7.07% 2011 2012 2013 2014 Budget 2014 Estimated 2015 Adopted % Change 2015/2014 Salaries (.17 FTE) Overtime Part time/Seasonal (.53 FTE) Social Security Retirement Health Insurance Life Insurance Longevity Workers' Comp. Insurance 9,508 178 10,408 1,195 1,528 2,491 8 332 778 12,800 40 8,206 1,620 1,755 3,672 3 343 824 10,417 42 8,968 1,503 1,007 4,305 0 353 838 10,016 500 10,475 1,633 762 2,943 13 364 806 10,016 200 10,475 1,611 741 2,734 13 364 806 10,217 500 10,475 1,650 754 2,939 12 374 720 2.01% 0.00% 0.00% 1.03% -1.03% -0.14% -7.69% 2.75% -10.67% Total 26,426 29,263 27,433 27,512 26,959 27,641 0.47% 544210 Operating 210 222 225 226 230 240 245 350 380 510 $316,344 2014 Estimated 28,900 1,000 3,204 10,945 3,545 544210 Personnel 2014 Budget 2011 Professional Services Electric Telephone Water Service Grounds Maintenance Repair & Maintenance House Maintenance Operating Supplies Equipment Property/Liability Insurance Fund Balance 2012 2013 2014 Budget 2014 Estimated 2015 Adopted % Change 2015/2014 19,533 305 131 606 2,885 1,472 754 691 0 389 8,257 312 128 730 2,387 2,036 630 971 11,083 320 9,689 308 138 608 2,837 694 1,881 683 1,203 399 11,600 335 140 552 2,800 2,000 1,000 700 0 358 11,600 335 140 552 2,800 2,000 1,000 700 0 358 11,680 342 140 634 2,800 2,000 1,000 700 6,500 360 0.69% 2.00% 0.00% 14.86% 0.00% 0.00% 0.00% 0.00% 0.00% 0.56% Total 26,766 26,854 18,440 19,485 19,485 26,156 34.24% Total Expenditures 53,192 56,117 45,873 46,997 46,444 53,797 14.47% Revenue - Expenditures (5,598) (17,451) (15,669) (13,057) (11,754) (22,257) Ending Fund Balance 349,464 332,013 316,344 303,287 304,590 282,333 2011 Designated Cemetery Fund Balance $266,962 Designated for Perpetual Care 82,502 Total Fund Balance 349,464 2012 $237,963 94,050 332,013 2013 $220,419 95,925 316,344 Page 31 of 99 2014 Budget $205,112 98,175 303,287 2014 Estimated $205,890 98,700 304,590 2015 Adopted $181,908 100,425 282,333 Special Revenue Fund—Room Tax Fund 210 Revenues 2011 411500 Room Taxes 481100 Interest Income Total Revenues 61,787 150 61,937 2012 68,614 0 68,614 2013 69,138 0 69,138 566700 Operating 721 2011 Chamber Tourism & Development Total 58,698 58,698 2012 65,183 65,183 2013 65,681 65,681 592000 Operating 701 Transfer to General Fund Total Total Expenditures 2011 3,089 3,089 2012 3,431 3,431 2013 3,457 3,457 2014 2014 2015 % CHANGE Budget Estimated Adopted 2015/2014 62,000 0 62,000 60,000 0 60,000 60,000 0 60,000 2014 2014 2015 % CHANGE Budget Estimated Adopted 2015/2014 59,000 59,000 2014 Budget 3,000 3,000 57,000 57,000 2014 Estimated 3,000 3,000 57,000 57,000 2015 Adopted 3,000 3,000 61,787 68,614 69,138 62,000 60,000 60,000 Revenue - Expenditures 150 0 0 0 0 0 Beginning Fund Balance $312 $462 $462 $462 $462 $462 Total Fund Balance $462 $462 $462 $462 $462 $462 Page 32 of 99 -3.23% 0.00% -3.23% -3.39% -3.39% % CHANGE 2015/2014 0.00% 0.00% -3.23% Special Revenue Fund—Recreation Programs (Self Supporting) Fund 220 Revenues 435434 467201 467202 467310 467316 467317 467318 467319 467320 467322 467323 467324 467325 467325 467327 467328 467329 467331 467335 467336 467431 484410 485550 467352 481120 486000 491100 Recreation Programs Grants Gym Rentals Athletic Field Rentals Summer/Winter Recreation Fees WPRA Ticket Sales Revenue Youth Football Registration Safety Training Basketball Fees Softball Fees Gymnastics Fees Volleyball Fees Aquatics Fees Concession Revenue Special Recreation Programs Solar Recreation Summer Sand Volleyball Summer Soccer Banner Advertising Low Impact Fitness-Swing and Easy Fitness Civic Band Revenue Gym Vending Machine Receipts Youth Center Receipts Donations Recreation Brochure Sponsorships Youth Center Interest Miscellaneous Revenue General Fund Transfer—CIVIC Band Total Revenues 2011 625 380 0 51,588 428 7,795 1,560 20,691 15,156 324 3,471 1,850 800 4,631 5,115 1,900 110 1,750 7,395 2,630 527 434 933 4,645 0 493 0 135,231 2012 400 0 0 45,171 381 5,805 3,300 17,810 14,918 224 3,604 3,640 800 0 10,933 2,000 215 1,050 7,060 2,270 0 172 1,100 4,100 0 2,532 0 127,485 Page 33 of 99 2013 0 760 0 45,068 270 6,445 2,770 17,535 14,309 140 3,067 4,720 800 0 5,574 1,900 0 350 7,605 3,680 353 609 1,780 5,700 0 3,306 1,000 127,741 2014 Budget 0 240 0 42,000 300 5,760 3,000 21,241 14,500 250 2,750 3,000 800 0 6,000 1,800 0 1,050 7,000 2,250 0 500 500 5,000 0 3,250 1,000 122,191 2014 Estimated 0 423 300 45,000 300 5,375 1,850 15,000 10,322 130 2,750 4,500 800 1,435 8,156 1,500 270 350 7,144 2,250 0 250 1,996 5,500 0 4,000 1,000 120,601 2015 Adopted 0 240 300 45,520 300 5,760 3,200 15,000 14,500 250 2,750 4,000 800 0 6,000 1,800 300 700 7,000 2,250 0 250 1,000 5,500 0 3,250 1,000 121,670 % Change 2015/2014 0.00% 0.00% 0.00% 8.38% 0.00% 0.00% 6.67% -29.38% 0.00% 0.00% 0.00% 33.33% 0.00% 0.00% 0.00% 0.00% 0.00% -33.33% 0.00% 0.00% 0.00% -50.00% 100.00% 10.00% 0.00% 0.00% 0.00% -0.43% 555390 Personnel 111 125 128 127 130 151 152 154 155 159 161 165 2011 Salaries/Rec. Superv. (.25 FTE) Part time/Seasonal Maint/Public Works Salaries Exercise/Fitness Salaries Part-Time/Maintenance Salaries Social Security Retirement Health Insurance Life Insurance Longevity EAP/125 Administration Workers' Comp. Insurance Total 16,234 49,317 5,803 3,923 1,056 5,129 1,836 4,315 0 142 0 2,512 90,267 2012 14,593 50,563 5,276 5,166 0 5,835 1,412 2,324 0 0 0 3,053 88,222 2013 225 290 309 310 320 330 336 340 347 350 354 372 380 386 510 701 Telephone Contracted Services Recreation Brochure Expenses Office Supplies Publications & Dues Travel & Training Transportation PW/Field Maintenance Supplies Supplies and Expenses Operating supplies Gym Vending Machine Expenses Safety equipment Equipment Outlay/Lease Civic Band Expenses Insurance Charges Transfer to General Fund Total Total Expenditures Revenue - Expenditures Beginning Fund Balance Total Fund Balance 2011 0 3,920 4,679 0 0 0 1,325 6,084 13,545 7,296 224 0 0 2,130 2,041 13,000 54,244 2012 1,114 3,325 4,539 492 606 706 355 4,174 10,891 6,481 0 165 17,337 2,400 758 0 53,343 2014 2015 % Change Estimated Adopted 2015/2014 15,613 52,503 0 5,670 0 5,610 1,487 2,627 2 0 0 3,006 86,518 8,845 57,599 0 6,300 0 5,565 619 1,687 2 0 60 2,890 83,567 9,748 55,000 0 6,000 107 5,420 619 1,679 2 0 60 2,890 81,525 9,945 53,205 0 6,000 0 5,290 677 1,705 2 0 60 2,536 79,420 2013 991 7,663 5,086 263 125 676 1,106 0 20,182 1,112 0 880 0 4,671 706 0 43,461 2014 Budget 1,200 19,550 5,000 500 185 800 1,090 0 16,913 1,060 0 1,050 800 3,250 707 0 52,105 2014 Estimated 1,080 19,550 5,000 500 190 800 1,245 0 16,913 1,060 0 700 800 3,250 707 0 51,795 2015 Adopted 1,080 6,550 5,200 600 185 1,650 1,090 0 18,028 1,060 0 1,050 1,500 3,250 649 0 41,892 555390 Operating 2014 Budget 144,511 141,565 129,979 135,672 133,320 121,312 (9,280) (14,080) (2,238) (13,481) (12,719) 358 $90,394 $81,114 $67,034 $64,796 $64,796 $52,077 $81,114 $67,034 $64,796 $51,315 $52,077 $52,435 Page 34 of 99 12.43% -7.63% 0.00% -4.76% 0.00% -4.94% 9.34% 1.04% 0.00% 0.00% 0.00% -12.25% -4.96% % Change 2015/2014 -10.00% -66.50% 4.00% 20.00% 0.00% 106.25% 0.00% 0.00% 6.59% 0.00% 0.00% 0.00% 87.50% 0.00% -8.20% 0.00% -19.60% -10.58% Special Revenue Fund—Swimming Pool Fund 240 Revenues 467340 467341 467342 467343 467344 467345 467346 467351 473118 482215 491100 Daily Pool Admissions Passes Lessons Water Aerobics Uniforms/Miscellaneous Concessions Swim Team Swimming Pool Banner Program Town Pool Contribution* Facility Rentals City Pool Contribution Total Revenues 2014 2014 2015 % Change 2011 86,403 69,798 28,000 3,707 1,012 50,302 3,229 1,050 15,528 3,125 41,606 303,760 2012 97,054 87,460 33,023 5,000 1,230 50,618 5,590 3,050 16,196 3,585 40,852 343,658 2013 77,974 70,496 24,621 4,654 3,554 39,593 6,115 4,319 22,981 1,510 56,311 312,128 Budget 85,000 78,000 28,341 4,150 1,200 50,000 5,000 3,500 22,430 3,250 57,675 338,546 Estimated 64,926 62,865 23,420 3,462 3,413 33,803 6,020 2,700 31,120 2,136 80,024 313,888 Adopted 81,589 72,655 27,266 4,200 1,200 43,579 5,300 3,050 23,863 2,680 61,361 326,743 2015/2014 -4.01% -6.85% -3.79% 1.20% 0.00% -12.84% 6.00% -12.86% 6.39% -17.54% 6.39% -3.49% 2014 2014 2015 % Change 2011 2012 2013 Budget Estimated Adopted 2015/2014 20,457 115,565 20,000 2,017 12,090 2,832 3,712 3 0 6,716 183,392 21,879 121,065 19,000 3,600 12,664 2,780 3,750 3 0 5,397 190,138 12.41% -7.86% 0.00% 5.26% -4.46% 3.24% 1.03% 0.00% 0.00% -19.64% -4.77% 555320 Personnel 111 125 128 132 151 152 154 155 159 165 Salaries/Rec. Superv. (.55 FTE) Part-Time Salaries/Seasonal Salaries/City DPW (.35 FTE) Part-Time/Maintenance Salaries Social Security Retirement Health Insurance Life Insurance Longevity Workers' Comp. Insurance Total 17,612 118,657 16,016 1,895 11,403 4,243 9,844 0 173 6,083 185,926 18,312 136,865 19,593 2,996 13,556 3,799 5,852 0 0 7,079 208,052 19,388 118,736 16,838 2,603 12,076 2,652 4,810 0 0 6,985 184,088 555320 Total 2011 1,744 16,121 8,395 549 8,969 2,278 325 259 17,131 1,612 16,130 4,252 1,081 3,178 82,024 2012 1,926 16,509 10,654 500 10,464 995 325 1,344 11,671 1,836 23,016 11,716 1,845 2,725 95,526 2013 3,644 16,324 10,679 610 7,628 1,167 325 144 12,919 1,559 16,908 17,719 834 3,496 93,956 2014 Budget 2,450 16,500 12,000 600 9,000 2,500 400 350 14,000 1,200 19,000 16,427 1,200 3,226 98,853 2014 Estimated 2,824 16,000 19,000 384 8,500 2,450 400 300 17,118 1,650 21,100 14,600 1,006 3,227 108,559 2015 Adopted 2,450 16,830 11,000 440 9,760 6,000 400 600 14,000 1,200 20,000 14,004 1,000 3,000 100,684 % Change 2015/2014 0.00% 2.00% -8.33% -26.67% 8.44% 140.00% 0.00% 71.43% 0.00% 0.00% 5.26% -14.75% -16.67% -7.01% 1.85% Total 2011 9,801 750 10,551 2012 12,452 945 13,397 2013 10,747 822 11,569 2014 Budget 12,500 956 13,456 2014 Estimated 8,347 639 8,986 2015 Adopted 11,000 842 11,842 % Change 2015/2014 -12.00% -12.00% -12.00% Total 2011 330 25,053 841 26,224 2012 330 24,655 1,700 26,685 2013 330 21,926 716 22,972 2014 Budget 330 25,000 1,250 26,580 2014 Estimated 330 12,622 0 12,952 2015 Adopted 330 23,000 750 24,080 % Change 2015/2014 0.00% -8.00% -40.00% -9.41% Operating 210 222 224 225 226 290 324 330 340 346 350 380 390 510 Professional Services Electric Natural Gas Telephone Water Service Contracted Services Permits & Licenses Travel & Training Repair & Maintenance Supplies Uniforms Operating Supplies/Chemicals Equipment Other Expenses Property/Liability Insurance 555321—Concessions Personnel 125 151 Part Time Salaries/Seasonal Social Security 555321—Concessions Operating 324 350 380 19,464 131,394 19,000 3,420 13,256 2,692 3,712 3 0 6,716 199,657 Permits & Licenses Operating Supplies Equipment Total Swimming Pool Expenses 304,725 Revenue - Expenditures (965) Beginning Fund Balance Total Fund Balance 343,660 (2) 312,585 (457) 338,546 (0) 313,889 (0) 326,743 (0) 20,025 19,060 19,058 18,601 18,601 18,601 19,060 19,058 18,601 18,601 18,601 18,600 Page 35 of 99 -3.49% Special Revenue Fund—Park Subdivider Deposits Fund 250 2011 0 1,829 271 2012 2,217 4,980 317 2013 751 8,023 204 2014 Budget 0 0 150 2014 Estimated 0 2,078 125 2,100 7,514 8,978 150 2,203 2012 18,357 2013 76,570 2014 Budget 40,000 0 18,357 76,570 40,000 0 75,000 2,100 (10,843) (67,592) (39,850) 2,203 (74,875) Beginning Fund Balance $196,411 $198,511 $187,668 $120,076 $120,076 $122,279 Total Fund Balance $198,511 $187,668 $120,076 $80,226 $122,279 $47,404 Revenues 467500 Subdivider Park Fees 467510 Park Equipment Impact Fee 481100 Interest Income Total Revenues 592000 Operating 706 Transfer to Capital Improvements Total Expenditures Revenue - Expenditures 2011 0 Page 36 of 99 2014 Estimated 0 2015 % Change Adopted 2015/2014 0 0.00% 0 0.00% 125 -16.67% 125 -16.67% 2015 % Change Adopted 2015/2014 75,000 87.50% 87.50% Special Revenue Fund—Library Fund 260 Revenues 411111 435432 467100 467110 467150 473200 482215 City Property Taxes Grants Library Fines and Fees Library Other Revenues—County Library Other Revenues—Copies Library Donations Rent of City Property Total Revenues 2014 2014 2015 2011 2012 2013 Budget Estimated Adopted 428,454 490,000 490,000 490,000 490,000 657,842 815 715 762 715 715 715 24,335 21,351 19,606 21,000 20,000 25,000 125,423 105,475 119,106 118,863 118,863 125,872 3,192 3,043 3,013 3,000 3,000 3,500 0 0 0 0 2,828 0 0 0 0 0 500 1,000 582,219 620,584 632,487 555110 Personnel 111 124 125 128 135 151 152 154 155 159 161 165 Total Salaries (7.0 FTE) Bonuses Part Time Salaries (3.06 PTE) Maint/PW Salaries (.50 PTE) Sick Leave Payout Social Security Retirement Health Insurance Life Insurance Longevity EAP/125 Admin. Workers' Comp. Insurance 555110 Operating 210 211 222 223 224 225 226 230 240 290 308 310 312 313 315 319 320 330 336 350 380 381 382 395 510 Total Professional Services Attorney/Consultant Electric Marketing Natural Gas Telephone Water Service Grounds Maintenance Repair and Maintenance Maint./Contracted Services Program Supplies Office supplies Computer Supplies Printing—Newsletters, Etc. Postage Publications and Subscriptions Prof. Publications and Dues Travel & Training Transportation Operating Supplies Equipment/Capital Outlay Shared System Services Library Technology Employment Expenses Property Insurance 2011 263,989 2,457 68,049 6,918 906 26,034 35,276 70,474 155 7,970 48 1,040 483,316 2012 278,600 0 67,235 7,622 1,240 27,329 28,329 80,566 177 7,592 48 1,133 499,871 2013 315,916 0 69,436 7,703 75 29,966 24,129 88,381 183 7,371 0 1,240 544,400 633,578 635,906 813,929 28.47% 2014 2014 2015 % Change Budget Estimated Adopted 2015/2014 278,450 0 90,050 15,905 84 29,940 27,397 72,210 145 6,890 100 1,041 522,212 344,576 2,000 107,186 15,094 84 36,325 32,289 88,744 107 5,891 100 1,016 633,412 13.95% 0.00% 31.15% 52.94% -19.23% 18.13% 48.61% -0.58% -38.15% -25.19% 0.00% -2.40% 16.22% 302,400 0 81,726 9,869 104 30,751 21,727 89,263 173 7,875 100 1,041 545,029 2014 2014 2015 2011 2012 2013 Budget Estimated Adopted 1,500 0 0 0 0 0 0 0 0 1,205 263 0 14,510 15,249 15,372 18,529 14,000 14,280 35 0 172 500 500 500 4,787 3,695 5,063 7,830 7,830 7,830 1,449 1,317 1,541 1,560 3,000 2,640 1,404 1,383 1,339 1,736 1,747 2,770 449 0 0 454 450 0 7,036 13,740 4,998 9,457 5,475 5,000 1,470 818 1,322 1,200 1,000 27,202 0 0 0 0 0 500 3,925 3,437 4,971 4,500 10,003 4,000 2,084 1,736 5,644 2,300 2,659 3,000 1,282 684 1,182 1,200 1,314 1,500 1,194 1,424 1,489 2,000 500 500 78,385 80,652 82,935 78,283 78,280 80,000 519 524 309 524 530 550 1,001 723 989 1,000 1,000 4,000 144 420 526 600 820 1,000 974 1,698 1,182 2,000 1,500 1,000 687 1,682 648 0 0 0 10,454 9,602 10,708 10,996 10,996 14,096 2,035 1,684 3,374 2,250 5,255 2,000 99 110 63 450 500 500 5,973 5,973 5,125 5,391 5,391 7,649 141,396 146,551 148,952 153,965 153,013 180,517 Total Expenditures 624,712 646,422 693,352 698,994 675,225 813,929 Revenues - Expenditures (42,493) (25,838) (60,865) (65,416) (39,319) 0 Beginning Fund Balance 228,258 185,765 159,927 99,062 99,062 59,743 Total Fund Balance 185,765 159,927 99,062 33,646 59,743 59,743 Page 37 of 99 % Change 2015/2014 34.25% 0.00% 19.05% 5.90% 16.67% 0.00% 0.00% % Change 2015/2014 0.00% -100.00% -22.93% 0.00% 0.00% 69.23% 59.56% -100.00% -47.13% 2166.83% 0.00% -11.11% 30.43% 25.00% -75.00% 2.19% 4.96% 300.00% 66.67% -50.00% 0.00% 28.19% -11.11% 11.11% 41.88% 17.25% 16.44% Debt Service Fund—Fund 300 2014 Revenues 411111 423500 467530 456305 481100 491000 491350 491400 2011 Property Taxes Swimming Pool Impact Fees Police Impact Fee Build America Bond Reimbursement Interest Revenue Proceeds from Borrowing Transfer from TIF Transfer from Capital Improvements 880,000 685 4,197 8,412 181 2012 581566 581567 581568 581580 581582 581565 581520 581521 581570 2004 G.O. Capital Improvement Notes 2007 G.O. Capital Improvement Notes 2008 G.O. Capital Improvement Notes 2007 TIF #2 Notes 2010 Capital improvement Notes 2012 G.O. Capital Improvement Notes 2014 Internal Borrowing 2015 G.O. Capital Improvement Notes 2012 G.O. TIF #2 Refunding Budget Estimated 914,042 956,118 972,917 12,020 10,819 99 3,389 9,781 104 8,729 75 972,917 3,536 2,611 8,101 500 71,585 1,802,625 40,000 40,000 96,118 158,921 158,921 Total Revenues 1,005,060 2,779,605 Expenditures 2013 2014 2011 2012 139,850 135,975 125,066 127,014 614,705 593,685 71,585 1,802,625 98,686 98,686 1,065,510 1,140,642 2013 131,850 128,776 591,678 93,973 98,686 70,948 2,146 Total Expenditures 1,049,892 2,757,985 2014 Budget 137,363 154,892 568,960 156,775 98,686 71,745 2,146 1,118,057 1,190,567 Adopted 2015/2014 -36.32% 7,632 500 755,000 283,780 140,000 -12.57% 566.67% 1,146,586 1,806,444 58.37% 2014 Estimated 137,363 154,892 568,960 156,775 98,686 71,745 2,146 21,620 (52,547) (49,925) (43,981) Beginning Ending 2011 156,861 112,029 2012 112,029 133,649 2013 133,649 81,102 2014 Budget 81,102 31,177 2014 Adopted 81,102 37,121 78.57% 2015 % CHANGE Adopted 2015/2014 -100.00% 150,452 -2.87% -100.00% 112,035 -28.54% 98,686 0.00% 351,045 389.30% 910,663 0.00% 11,818 0.00% 171,745 7903.03% 1,190,567 1,806,444 (44,832) Page 38 of 99 % Change 619,532 Revenues over/(under) Expenditures Fund Balance 2015 0 2015 Proposed 37,121 37,121 51.73% -100.00% Debt Obligations Payment Schedule Capital Improvements—Stormwater Date 3/1/2007 Purpose of Borrowing, Amount, Interest Rate G.O. Promissory Notes $355,000 3.07% to 3.75% Term: 11 years Balance 12/31/2014 $140,000 P I Payment Dates 3/1 3/1, 9/1 Total 2015 45,000 4,373 2016 45,000 2,708 2017 50,000 938 49,373 47,708 50,938 2015 75,000 26,079 2016 85,000 23,119 2017 85,000 19,953 Library—Municipal building Date 3/1/2007 Purpose of Borrowing, Amount, Interest Rate G.O. Promissory Notes $1,060,000 3.70% to 3.90% Term: 16 years Balance 12/31/2014 $720,000 P I Payment Dates 3/1 3/1, 9/1 Total 101,079 108,119 104,953 2018 95,000 16,554 111,554 2019 95,000 12,920 107,920 Capital Improvements—Streets Date 6/1/2010 Purpose of Borrowing, Amount, Interest Rate State Trust Fund Loan $800,000 4.25% Term: 10 years Balance 12/31/2014 $513,087 P I Payment Dates 3/15 3/15 Total 2015 76,880 21,806 2016 80,097 18,590 2017 83,552 15,135 2018 87,102 11,584 2019 90,804 7,882 98,686 98,687 98,687 98,686 98,686 2015 280,000 71,045 2016 270,000 69,535 2017 500,000 66,725 2018 500,000 62,225 2019 500,000 56,850 351,045 339,535 566,725 562,225 556,850 11,818 2016 135,000 23,264 2017 135,000 22,319 2018 135,000 21,003 2019 135,000 19,349 11,818 158,264 157,319 156,003 154,349 1,522,664 752,313 978,622 928,468 917,805 Library—Municipal Building Date 9/3/2012 Purpose of Borrowing, Amount, Interest Rate G.O. Promissory Notes $5,175,000 1.667% Term: 15 years Balance 12/31/2014 $5,175,000 P I Payment Dates 3/1 3/1, 9/1 Total 2014 Capital Projects Date 9/1/2014 Purpose of Borrowing, Amount, Interest Rate Interfund Loan - L&W $895,000 1.75% Term: Less than 24 months Balance 12/31/2014 $895,000 Payment Dates P I 9/1 Total 2015 895,000 15,663 910,663 2015 Capital Projects Date 6/25/2015 Purpose of Borrowing, Amount, Interest Rate G.O. Promissory Notes $1,420,000 .55%-2.5% Term: 10 years Balance 12/31/2014 P I Payment Dates 3/1 9/1 Total Total Debt Principal and Interest Payments for the Year Less Other Sources for Payments: Debt Service Fund Balance—Interest Transfer from Capital Improvements—reimbursement & unused funds 2014 Build America Bonds Refund Page 39 of 99 2015 2015 (500) (895,000) (7,632) 2016 2017 2018 2019 Debt Obligations Payment Schedule Capital Improvements—Stormwater Purpose of Borrowing, Date Amount, Interest Rate Annual Tax Levy Support Needed Balance 12/31/2014 Payment Dates 2015 619,532 2016 752,313 2017 978,622 928,468 917,805 0.72 0.70 Change from Prior Year Tax Rate (Equalized) 0.51 Page 40 of 99 0.61 0.78 Debt Obligations Payment Schedule Capital Improvements—Stormwater Date Purpose of Borrowing, Amount, Interest Rate Balance 12/31/2014 Payment Dates 2015 Balance 12/31/2014 $110,000 Payment Dates 3/1 3/1, 9/1 2015 110,000 2,035 2016 Tax Incremental Fund No. 2 Date 3/1/2007 Purpose of Borrowing, Amount, Interest Rate G.O. Tax Exempt Notes G.O. Tax Promissory Notes $1,875,000 3.7% to 3.9% Term: 16 years P I Total 112,035 Tax Incremental Fund No. 2 Date 6/13/2012 Purpose of Borrowing, Amount, Interest Rate G.O. Tax Exempt Notes G.O. Tax Promissory Notes $390,000 1.667% Term: 15 years Balance 12/31/2014 $390,000 P I Payment Dates 3/1 3/1, 9/1 Total Page 41 of 99 2015 170,000 1,745 2016 220,000 660 171,745 220,660 2017 Capital Improvements Fund 400 2014 Budget Beginning Fund Balance 2014 Estimated 2015 Adopted 2016 Projected 2017 Projected 2018 Projected 2019 Projected 3,284,730 3,284,730 1,488,707 993,762 1,599,912 1,020,912 1,066,662 345,000 400,000 270,000 220,000 345,000 400,000 270,000 220,000 275,000 475,000 300,000 375,000 10,000 350,000 800,000 350,000 275,000 10,000 400,000 850,000 410,000 350,000 10,000 400,000 1,000,000 475,000 435,000 10,000 400,000 1,050,000 475,000 400,000 10,000 Revenues Property Tax Levy General Projects Street Improvements Equipment Replacements Storm Water Improvements Environmental Reserve General Fund Transfer Trust & Agency Transfer Swimming Pool Transfer Parks & Playground Transfer Library Impact Fees Local Road Improvements Grant Proceeds from Borrowing HUD Grant DNR Urban Storm Water Mgt. Grant Special Assessments DNR Stewardship—Creekwalk Donations Interest Income Sale/Rent of Property Total Revenues Expenditures General Government Complex Improvements City Hall Improvements City Hall Vehicles Lincoln Center Improvements Total Public Safety Police Department Squad Cars Computers/Use of Force Simulator Station Improvements Officer Equipment Total 5,255 40,000 75,000 25,000 150,000 500,000 1,522 42,000 995,000 895,000 730,500 42,000 8,100,000 100,000 85,000 85,000 15,000 25,000 8,000 531,856 15,000 20,000 30,000 25,000 30,000 30,000 30,000 30,000 30,000 2,395,000 2,756,378 2,352,755 10,090,000 2,105,000 2,480,000 2,877,000 2014 2014 2015 2016 2017 2018 2019 Budget Estimated Adopted Projected Projected Projected Projected 90,000 75,000 110,000 115,000 50,000 90,000 75,000 31,000 141,000 115,000 50,000 0 0 2014 2014 2015 2016 2017 2018 2019 Budget 120,000 Estimated 106,847 Adopted 40,000 Projected 80,000 Projected 120,000 Projected 80,000 Projected 40,000 68,000 33,600 80,000 40,000 7,000 8,970 10,000 30,000 20,000 30,000 127,000 115,817 118,000 163,600 150,000 Page 42 of 99 Fire Department 2014 2014 2015 2016 2017 2018 2019 Budget Estimated Adopted 70,000 Projected 35,000 Projected 42,000 Projected Projected 75,000 Station Improvements Auxiliary Police/ Emergency Management 2014 2014 2015 2016 2017 2018 2019 Budget Estimated Adopted Projected Projected 36,000 36,000 20,000 Projected 50,000 20,000 20,000 Projected 50,000 20,000 Total 36,000 36,000 20,000 70,000 20,000 70,000 0 Total Public Safety 163,000 151,817 208,000 268,600 212,000 150,000 115,000 Vehicles Siren Upgrade Public Works Equipment Replacement Street Improvements Stormwater Improvements Public Works Garage Expansion Total Parks, Recreation & Forestry Equipment Replacement Park Improvements Park Equipment Creek Walk Senior Van Replacement 2014 2014 2015 2016 2017 2018 2019 Budget 195,000 803,500 203,000 Estimated 197,782 755,000 203,000 Adopted 327,000 1,175,000 405,000 Projected 585,000 870,000 115,250 Projected 425,000 1,045,000 427,000 Projected 365,000 1,073,000 556,250 Projected 325,000 1,055,000 337,000 350,000 277,500 1,551,500 1,433,282 1,897,000 1,994,250 1,717,000 7,000,000 1,907,000 8,570,250 2014 2014 2015 2016 2017 2018 2019 Budget 111,000 70,000 60,000 302,986 Estimated 84,526 45,498 59,292 287,986 Adopted 18,000 383,700 40,000 Projected 220,000 240,000 Projected 30,000 Projected 50,000 170,000 Projected 77,000 500,000 543,986 477,302 441,700 460,000 220,000 577,000 400,000 25,000 Total Health and Sanitation Environmental Expenses Dams—Engineering/Repairs Total Transfer to Other Funds 455,000 2014 2014 2015 2016 2017 2018 2019 Budget 30,000 200,000 Estimated 30,000 60,000 Adopted 10,000 Projected 10,000 Projected 10,000 Projected 10,000 Projected 10,000 230,000 90,000 10,000 10,000 10,000 10,000 10,000 2016 Projected 2017 Projected 2018 Projected 2019 Projected 2014 Budget 2014 Estimated 2015 Adopted 140,000 60,000 60,000 60,000 60,000 Total Expenditures 6,933,659 4,552,401 2,847,700 9,483,850 2,684,000 2,434,250 2,479,000 Revenues - Expenditures (4,538,659) (1,796,023) (494,945) 606,150 (579,000) 45,750 398,000 Ending Fund Balance (1,253,929) 1,488,707 993,762 1,599,912 1,020,912 1,066,662 1,464,662 2014 Budget $124,289 $12,086 $183,611 $48,618 $165,256 $31,632 ($1,819,421) 2014 Estimated $243,029 $12,086 $183,611 $95,946 $213,756 $31,632 $708,647 2015 Adopted $26,084 $12,086 $183,611 $55,946 $5,756 $1,632 $708,647 2016 Projected $57,484 $12,086 $183,611 $250,946 $285,756 $161,382 $648,647 2017 Projected ($54,516) $12,086 $183,611 $115,946 $90,756 $84,382 $588,647 2018 Projected $185,484 $12,086 $183,611 $75,946 $17,756 $63,132 $528,647 2019 Projected $510,484 $12,086 $183,611 $108,946 $54,756 $126,132 $468,647 (1,253,929) 1,488,707 993,762 1,599,912 1,020,912 1,066,662 1,464,662 Transfer to Debt Service Fund Balance Uncommitted Economic Development Environmental Equipment Replacement Street Improvements Storm Water Improvements Library Encumbrances Total Fund Balance Page 43 of 99 Sewer Utility Fund—601 573805—Administrative 2011 Personnel 111 112 135 151 152 154 155 159 161 165 Salaries ( 3.41 FTE) Overtime Sick Pay Out Social Security Retirement Health Insurance Life Insurance Longevity EAP/125 Admin. Workers' Comp. Insurance Total 210,026 110 819 15,392 14,213 42,630 11 1,994 342 169 285,706 2012 205,189 0 842 15,929 10,770 44,843 53 2,206 117 190 280,139 2013 198,059 0 563 15,031 9,213 52,801 53 2,040 392 197 278,349 573810—General Labor 2011 Personnel 111 112 135 151 152 154 155 159 165 Salaries (4.0 FTE) Overtime Sick Payout Social Security Retirement Health Insurance Life Insurance Longevity Workers' Comp. Insurance Total 228,369 8,664 2,359 18,198 28,343 56,367 128 5,103 18,234 365,765 2012 229,595 8,359 776 18,185 25,217 57,500 102 5,313 19,221 364,268 2013 210,251 6,751 716 15,883 14,887 62,297 12 2,079 18,714 331,590 573815—Collection System Personnel 111 112 135 151 152 154 155 159 2011 Salaries (1.75 FTE) Overtime—Festivals Sick Pay Out Social Security Retirement Health Insurance Life Insurance Longevity Total 80,433 2,493 0 6,266 9,847 11,138 38 1,449 111,664 2012 63,361 2,518 625 5,227 7,848 6,745 34 1,512 87,870 2013 95,311 3,579 594 7,731 6,867 14,288 39 1,575 129,984 573835 Operating 226 293 296 298 347 359 360 2011 Sewer Cleaning Water Root Control Televising Cleaning Supplies Repair Manhole Adjustment 2012 2013 2014 Budget 212,883 0 737 16,509 15,055 41,120 77 2,189 500 166 289,236 2014 Budget 215,871 8,248 784 17,374 15,843 58,684 32 2,205 17,992 337,033 2014 Budget 90,210 3,360 686 7,336 6,665 11,810 39 1,638 121,743 2014 Budget 2014 Estimated 214,000 0 788 16,700 15,226 35,543 55 3,512 440 166 286,430 2014 Estimated 194,200 4,000 0 15,193 13,902 41,436 15 400 17,992 287,138 2014 Estimated 60,717 3,000 420 7,336 6,600 16,009 60 1,600 95,742 2015 Adopted 218,264 0 1,559 17,096 15,091 41,761 118 3,660 500 135 298,185 2015 Adopted 195,930 7,854 0 15,623 13,887 37,742 14 441 18,240 289,731 2015 Adopted 98,824 4,506 417 7,500 6,856 19,784 60 1,701 139,648 2014 Estimated 2015 Adopted % CHANGE 2015/2014 2.53% 0.00% 111.53% 3.56% 0.24% 1.56% 53.38% 67.21% 0.00% -18.67% 3.09% % CHANGE 2015/2014 -9.24% -4.78% -100.00% -10.08% -12.34% -35.69% -56.88% -80.00% 1.38% -14.03% % CHANGE 2015/2014 9.55% 34.11% -39.24% 2.24% 2.87% 67.52% 53.85% 3.85% 14.71% % CHANGE 2015/2014 Total 153 3,927 908 4,457 2,328 (465) 0 11,308 263 4,180 1,061 3,952 3,050 5,422 0 17,928 2,299 3,439 7,577 2,614 875 2,486 0 19,290 400 4,200 2,800 5,500 3,000 4,500 600 21,000 400 4,200 2,000 5,500 3,000 325 0 15,425 400 4,200 7,800 7,500 3,000 4,500 600 28,000 0.00% 0.00% 178.57% 36.36% 0.00% 0.00% 0.00% 33.33% Total Expenditures 122,972 105,798 149,274 142,743 111,167 167,648 17.45% Page 44 of 99 573825—WWTP Operations Operating 217 222 224 225 226 294 312 370 371 372 373 374 2011 Outside Lab Testing Electric Natural Gas Telephone Water Service Sludge Hauling Computer Supplies Lab Supplies Coagulants Safety Equipment Chlorine/SO 2 Diesel Fuel Total 8,520 101,419 7,291 3,037 4,172 337,962 12,516 3,494 15,099 3,673 0 0 497,183 2012 12,361 100,112 5,599 3,958 5,994 367,190 5,594 3,768 12,148 2,809 0 0 519,533 2013 7,775 105,094 6,342 3,777 7,262 281,622 4,470 6,789 9,320 4,349 0 0 436,800 573830—WWTP Maintenance Operating 297 340 342 350 362 2011 Refuse Collection Maintenance Supplies Janitorial Supplies Operating Supplies Tools Total 17,000 23,972 1,578 702 144 43,396 2012 17,600 27,718 1,236 245 0 46,799 2013 18,200 50,262 1,252 245 342 70,301 573840—Lift Station Operating 222 224 226 299 340 2011 Electric Natural Gas Water Service Odor Control Maintenance Supplies Total 31,334 837 728 7,842 8,627 49,368 2012 31,917 1,019 731 31 14,908 48,606 2013 32,666 765 453 0 40,350 74,234 573845—Transportation Operating 240 351 2011 Repair and Maintenance Fuel/Oil Total 1,581 9,780 11,361 2012 1,571 9,762 11,333 2013 1,960 9,461 11,421 573850—Administrative Services Operating 210 211 215 216 218 310 320 323 330 390 510 2011 Administrative Services Legal Engineering Light & Water Billing Audit Office Supplies Publications/Dues DNR Fees Travel/Training Other Expenses Property—Liability Insurance Total 10,250 1,500 5,620 82,458 5,500 1,125 0 9,846 2,675 0 14,408 133,382 2012 10,250 0 1,585 94,495 5,500 974 0 9,168 1,269 233 12,596 136,070 Page 45 of 99 2013 10,250 0 1,120 98,335 5,500 1,128 0 8,530 2,702 118 17,305 144,988 2014 Budget 16,000 110,777 12,480 4,200 4,900 300,000 8,000 5,750 20,500 5,900 1,250 1,200 490,957 2014 Budget 20,000 35,656 2,500 3,500 500 62,156 2014 Budget 33,828 3,800 2,500 6,000 18,435 64,563 2014 Budget 4,200 9,996 14,196 2014 Budget 10,250 5,000 10,000 108,700 5,500 1,500 600 11,000 2,600 500 15,284 170,934 2014 Estimated 9,000 90,000 10,500 3,600 4,900 225,000 6,000 5,750 12,000 5,900 0 1,000 373,650 2015 Budget 2015 Adopted 16,000 112,200 12,500 4,200 5,390 300,000 10,000 6,000 18,000 7,000 1,000 1,200 493,490 2015 Adopted 16,000 35,000 1,500 2,000 500 55,000 20,000 40,000 2,500 3,500 1,000 67,000 2014 Estimated 2015 Adopted 31,000 2,000 1,000 1,000 14,965 49,965 37,680 3,800 2,750 3,000 20,000 67,230 2014 Estimated 2015 Adopted 4,200 8,000 12,200 5,000 9,900 14,900 2014 Estimated 2015 Adopted 10,250 0 5,000 108,700 5,500 1,000 0 10,000 2,000 500 15,284 158,234 10,250 5,000 20,000 108,800 5,500 1,500 600 11,000 5,000 500 15,567 183,717 % CHANGE 2015/2014 0.00% 1.28% 0.16% 0.00% 10.00% 0.00% 25.00% 4.35% -12.20% 18.64% -20.00% 0.00% 0.52% % CHANGE 2015/2014 0.00% 12.18% 0.00% 0.00% 100.00% 7.79% % CHANGE 2015/2014 11.39% 0.00% 10.00% -50.00% 8.49% 4.13% % CHANGE 2015/2014 19.05% -0.96% 4.96% % CHANGE 2015/2014 0.00% 0.00% 100.00% 0.09% 0.00% 0.00% 0.00% 0.00% 92.31% 0.00% 1.85% 7.48% 573855-990 Sewer Contingency Account Operating 990 2011 Sewer Contingency Account Total 0 0 2012 0 0 2013 0 0 573865-530 Lease Expense & Maintenance Operating 530 2011 Lease Expense & Maintenance Total 0 0 2012 459 459 2013 2,152 2,152 573870-540 Depreciation Expense Operating 540 2011 Depreciation Expense 2012 2013 2014 Budget 31,000 31,000 2014 Budget 0 0 2014 Estimated 0 0 2014 Estimated 2015 Adopted 40,000 40,000 2015 Adopted 0 0 2015 Adopted 0.00% 0.00% % CHANGE 2015/2014 -100.00% -100.00% % CHANGE 2015/2014 978,987 978,987 995,649 995,649 970,000 970,000 970,000 970,000 970,000 970,000 0.00% 0.00% Total Sewer Expenses 2,482,074 2,491,992 2,494,758 2,612,818 2,303,784 2,591,901 -0.80% 2011 2012 2013 2014 Budget 2014 Estimated 2015 Adopted Residential Commercial Industrial Public Authority Water Remediation Miscellaneous Biosolids Impact Fee Sewer Connection Fee Reserve Capacity Fee Septage Hauler Revenues Total Operating Revenues 1,382,787 401,366 257,158 81,897 0 5,119 1,290 10,233 5,413 129,047 2,274,310 1,448,783 432,134 258,765 84,109 283 4,147 965 15,458 6,710 105,649 2,357,003 1,419,844 428,676 268,923 77,167 28 2,861 0 1,226 0 83,249 2,281,974 1,462,383 435,997 271,745 80,739 653 0 0 0 0 43,785 2,295,302 1,462,383 435,997 271,745 80,700 113 3,426 1,711 1,259 1,172 54,100 2,312,606 1,432,871 447,644 276,331 79,214 5 0 0 0 0 43,000 2,279,065 Sewer Fund Operating Income (207,764) (134,989) (212,784) (317,516) 8,822 (312,836) 2011 2012 2013 2014 Budget 0 2,115 11,317 6,449 (0) 17 1 19,899 254,303 1,494 6,472 4,169 0 14 1 266,453 2011 2012 2013 (184,987) (115,090) Revenues—Non-Operating Revenues/Expenses Miscellaneous Revenues—Interest Capital Contributions from Developer Unrestricted Funds WWTF Replacement Fund Collection System Reconstruction Special Assessments Impact Fees Rent—City Property Total Miscellaneous Revenues Net Cost of Program % CHANGE 2015/2014 972,941 972,941 Public Charges for Services 473900 481100 481121 481122 481110 481127/9 482215 40,000 40,000 2014 Estimated Total Revenues—Operating 464111 464112 464113 464114 464116 464200 464210 464215 464220 464310 2014 Budget 0 2,411 12,807 7,530 12 16 1 22,777 Page 46 of 99 53,669 0 1,500 7,000 4,100 0 0 0 12,600 2014 Budget (304,916) % CHANGE 2015/2014 -2.02% 2.67% 1.69% -1.89% 0.00% 0.00% 0.00% 0.00% 0.00% -1.79% -0.71% 2014 Estimated 2015 Adopted 0 1,500 7,000 4,100 0 10 1 12,611 0 1,500 7,000 4,100 0 0 0 12,600 2014 Estimated 2015 Adopted % CHANGE 2015/2014 (300,236) -1.54% 21,433 % CHANGE 2015/2014 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% 0.00% Sewer Capital Projects Collection System Fund 2015 2016 2017 2018 2019 2020 2021 Sommerset Ave.—Pioneer to Wirth Fair St.—Evergreen to Washington 70,000 Highland —Cedar Creek to Portland Rd 290,000 Portland Rd.—Hilbert to Highland 45,000 Bridge Rd.—Mequon to Columbia 314,000 Johnson Ave. - lift station forcemain replacement 226,000 St. John—Cleveland to Western 200,000 St. John—Bridge to Washington 100,000 Highwood—Bywater to Appletree Hilgen—Hamilton to Spring Engineering 30,000 Sheboygan—Washington to Willowbrooke Lateral 55,000 Johnson Ave.—Lincoln to Wurthmann 30,000 30,000 30,000 30,000 30,000 101,500 Pine St.—Evergreen to Tower 290,000 Jackson/Hilgen—Washington to Hamilton 75,000 Jackson St.—Kennedy to Hanover 46,200 Sunnyside—Edgewater to Highland 153,500 Madison—Walnut to Fair 95,000 Hillcrest Ave.—Jackson to Lincoln 233,000 Highland Lift Station 1,300,000 Sheboygan—Washington to Dorchester 160,000 McKinley—Lincoln to Pioneer 25,000 Hanover—Jackson to Lincoln 213,880 Franklin—Bridge to Walnut 60,000 Subtotal Collection System 270,000 Waste Water Treatment Plant Equipment Replacement Fund 2015 Aeration Bearings Replacement (32) 20,000 Vehicle Replacement #61 42,000 931,580 2016 491,500 230,000 935,000 1,375,000 2017 2018 2019 2020 Vehicle Replacement #63 0 2021 40,000 Vehicle Replacement #62 Vehicle Replacement #60 28,000 Jetter-Vac #66 300,000 UV Bulbs (Bank A) 15,000 UV Bulbs (Bank B) 15,000 Miscellaneous Equipment 40,000 Rebuild #3 RAS Pump 10,000 Rebuild Raw Sewage Pumps #1, 2 & 3 60,000 40,000 40,000 40,000 40,000 40,000 40,000 55,000 383,000 40,000 40,000 80,000 40,000 2018 2019 Replace Valves & Piping at Garfield Lift Station Subtotal Treatment Plant Unrestricted Fund 172,000 2015 Subtotal Unrestricted 2016 2017 2020 2021 0 0 0 0 0 0 0 Total Sewer Utility Capital $442,000 $986,580 $874,500 $270,000 $975,000 $1,455,000 $40,000 Page 47 of 99 Internal Service—Risk Management Fund 700 519400 2014 2014 2011 2012 2013 Budget Estimated Workers' Compensation Insurance 154,508 167,002 149,909 149,318 156,943 Unemployment Compensation 9,516 3,027 229 1,000 639 Property—Auto Insurance 38,199 43,058 47,361 46,781 54,148 General Liability Insurance 58,604 59,525 59,525 59,714 60,981 Employment Practices Insurance 8,021 7,990 9,554 12,926 11,202 Boiler Insurance 694 665 682 716 1,367 2010 Liability Claims Paid 2,879 0 0 0 0 2011 Liability Claims Paid 28,511 3,758 0 0 0 2012 Liability Claims Paid 0 11,079 105 2,500 0 2013 Liability Claims Paid 0 0 10,814 5,000 13,292 2014 Liability Claims Paid 0 0 0 10,000 36,422 2015 Liability Claims Paid 0 0 0 0 0 Total Expenditures 300,932 296,104 278,179 287,955 334,994 2015 Adopted 155,377 0 64,453 59,081 15,156 1,507 0 0 0 2,500 5,000 10,000 303,074 % Change 2015/2014 4.06% -100.00% 37.78% -1.06% 17.25% 110.47% 0.00% 0.00% -100.00% -50.00% 0.00% 100.00% 5.25% 2014 2014 2011 2012 2013 Budget Estimated Interest Income 4,243 2,664 2,433 2,500 1,700 Dividend Income/WC Dividend 13,670 44,751 66,145 19,000 19,701 Insurance Recoveries 17,193 10,643 3,030 0 45,856 Workers' Compensation-Wage Recovery 3,202 2,475 9,761 0 1,635 Charges to General Fund 212,150 210,666 228,231 223,578 222,536 Charges to Cemetery Fund 1,167 1,144 1,237 1,003 1,164 Charges to Recreation Programs Fund 4,552 3,811 3,712 1,164 3,598 Charges to Swimming Pool Fund 9,261 9,804 10,481 9,942 9,942 Charges to Library 5,828 4,746 4,976 4,785 4,785 Transfer from Sewer Fund 32,811 32,006 36,217 33,442 33,442 Transfer from Trust & Agency Fund 205 210 204 204 204 Total Revenues 304,282 322,920 366,427 295,618 344,563 2015 Adopted 1,700 20,057 0 0 231,749 1,080 3,184 8,396 5,193 33,942 180 305,482 % Change 2015/2014 -32.00% 5.56% 0.00% 0.00% 3.65% 7.67% 173.56% -15.55% 8.52% 1.50% -11.53% 3.34% Operating Expenditures 165 393 510 512 513 515 546 547 548 549 550 551 Revenues 481100 481195 484000 482000 491100 491200 491220 491240 491260 491601 491800 Net Cost of Program 2010 2011 2013 2014 2014 2015 % Change Budget Estimated Adopted 2015/2014 3,350 26,816 88,248 7,663 9,569 2,408 Fund Balance—January 1 711,049 714,399 741,215 829,463 829,463 839,032 Fund Balance—December 31 714,399 741,215 829,463 837,126 839,032 841,440 Page 48 of 99 -68.58% CITY OF CEDARBURG MEETING DATE: November 24, 2014 ITEM NO: 10. A. through 10. E. TITLE: A. Consider Ordinance No. 2014-20 levying property taxes on the General, Debt Service, Special Revenue, and Capital Improvement Funds for fiscal year 2015; and action thereon B. Consider Ordinance No. 2014-21 appropriating the necessary funds for the operation of the Government and Administration of the City of Cedarburg for fiscal year 2015; and action thereon C. Consider Ordinance No. 2014-22 appropriating the necessary funds for the 2015 Capital Improvement budget; and action thereon D. Consider Ordinance No. 2014-23 establishing the user charge schedule and appropriating the necessary funds for the Sewerage Fund for the operation of the Wastewater Treatment Plant for fiscal year 2015; and action thereon E. Consider Ordinance No. 2014-24 appropriating the necessary funds for the operation of the Special Revenue Funds and adopting the indicated budgets for fiscal year 2015; and action thereon ISSUE SUMMARY: Ordinances need to be adopted for the budgeted revenues and expenditures of all funds, along with the tax levy and sewer rates. STAFF RECOMMENDATION: N/A BOARD, COMMISSION OR COMMITTEE RECOMMENDATION: N/A BUDGETARY IMPACT: Budget adoption ATTACHMENTS: Ordinance Nos. 2014-20 through 2014-24 INITIATED/REQUESTED BY: Christy Mertes, City Administrator/Treasurer FOR MORE INFORMATION CONTACT: Christy, 376-3907 Page 49 of 99 ORDINANCE NO. 2014-20 An Ordinance Levying Property Taxes for the General, Debt Service, Special Revenue and Capital Improvement Funds of the City of Cedarburg for the Year 2015 The Common Council of the City of Cedarburg, Wisconsin, does ordain as follows: SECTION 1. There is hereby levied a tax of $8,338,892 on all the taxable property, within the City of Cedarburg as returned by the Assessor in the year 2014, for the uses and purposes set forth in the 2015 budgets as set forth below, and the City Clerk is hereby authorized and directed to spend this tax on the current tax roll of the City of Cedarburg. SECTION 2. The tax to be levied will fund the following purposes: General Fund (Operating) Capital Improvements Special Revenue (Library) Debt Service $5,626,518 1,435,000 657,842 619,532 Total $8,338,892 SECTION 3. This ordinance shall take effect and be in force from and after its passage and publication as provided by law. Passed and adopted this 24th day of November, 2014. Kip Kinzel, Mayor Attest: Constance K. McHugh, City Clerk Approved as to form: Michael P. Herbrand, City Attorney Page 50 of 99 ORDINANCE NO. 2014-21 An Ordinance Appropriating the Necessary Funds for the Operation of the Government and Administration of the City of Cedarburg for the Year 2015 The Common Council of the City of Cedarburg, Wisconsin, does ordain as follows: SECTION 1. There is hereby appropriated out of the receipts of the City of Cedarburg for the year 2015, including monies received from the General Property Tax Levy and other revenues, as monies may be designated to the various accounts and purposes for the operation of the City as set forth below: EXPENDITURES General Government Public Safety Engineering and Public Works Parks and Recreation Conservation and Development Contingency Reserves Transfer to other funds Subtotal General Fund Debt Service $1,100,925 3,803,127 2,404,063 873,323 73,655 54,000 62,361 $8,371,454 $1,806,444 TOTAL EXPENDITURES $10,177,898 SECTION 2. This ordinance shall take effect and be in force from and after its passage and publication as provided by law. Passed and adopted this 24th day of November 2014. Kip Kinzel, Mayor Attest: Constance K. McHugh, City Clerk Approved as to form: Michael P. Herbrand, City Attorney Page 51 of 99 ORDINANCE NO. 2014-22 An Ordinance Appropriating the Necessary Funds for the 2015 Capital Improvement Budget The Common Council of the City of Cedarburg, Wisconsin, does ordain as follows: SECTION 1. There is hereby appropriated out of the receipts of the City of Cedarburg Capital Improvement Fund for the year 2015, monies as may be designated to the various accounts and purposes in the budget as set forth below: EXPENDITURES General Government Public Safety Public Works Parks and Recreation Health and Sanitation Transfers to Other Funds $ 141,000 208,000 1,907,000 441,700 10,000 140,000 TOTAL EXPENDITURES $2,847,700 SECTION 2. This ordinance shall take effect and be in force from and after its passage and publication as provided by law. Passed and adopted this 24th day of November, 2014. Kip Kinzel, Mayor Attest: Constance K. McHugh, City Clerk Approved as to form: Michael P. Herbrand, City Attorney Page 52 of 99 ORDINANCE NO. 2014-23 An Ordinance Appropriating the Necessary Funds for the Operation of the Special Revenue Funds and Adopting the Indicated Budgets The Common Council of the City of Cedarburg, Wisconsin, does ordain as follows: SECTION 1. There is hereby appropriated out of the receipts of the City of Cedarburg Special Revenue Funds for the year 2015, monies as may be designated to the various accounts and purposes in the budgets for each fund as set forth below: EXPENDITURES Cemetery Room Tax Recreation Programs (self-supporting) Swimming Pool Park Subdivider Deposit Library TOTAL $ 53,797 60,000 121,312 326,743 75,000 813,929 $1,450,781 SECTION 2. This ordinance shall take effect and be in force from and after its passage and publication as provided by law. Passed and adopted this 24th day of November, 2014. Kip Kinzel, Mayor Attest: Constance K. McHugh, City Clerk Approved as to form: Michael P. Herbrand, City Attorney Page 53 of 99 ORDINANCE NO. 2014-24 An Ordinance Establishing the User Fee Schedule and Appropriating the Necessary Funds from the Sewerage Fund for the Operation of the Wastewater Treatment Plant of the City of Cedarburg The Common Council of the City of Cedarburg, Wisconsin, does ordain as follows: SECTION 1. There is hereby appropriated out of the receipts of the City of Cedarburg Sewerage Fund for the year 2015, monies as may be designated to the various funds and purposes in the budgets attached hereto. Operating Expenditures Capital Expenditures Total $2,591,901 442,000 $3,033,901 SECTION 2. The sewer user charges are established as set forth below: Monthly connection fee: Flow rate per 1,000 gallons: Holding tank rate per 1,000: Septic tank rate per 1,000 gallons: Administrative fee per truckload: $12.00 $ 5.16 $ 8.60 $41.58 $ 5.00 SECTION 3. This ordinance shall take effect and be in force from and after its passage and publication as provided by law. Passed and adopted this 24th day of November, 2014. Kip Kinzel, Mayor Attest: Constance K. McHugh, City Clerk Approved as to form: Michael P. Herbrand, City Attorney Page 54 of 99 CITY OF CEDARBURG MEETING DATE: November 24, 2014 ITEM NO: 10. F. TITLE: Consider Ordinance No. 2014-25 creating a Public Art Committee; and action thereon ISSUE SUMMARY: “Where art is a tradition” is the slogan used by our Chamber of Commerce. As an Art Community we need to promote and embrace Public Art and in order to do that appropriately we need a Commission to make this happen. The purpose of this Commission is to: Facilitate public art in public buildings and public spaces; Inform residents of and visitors to the City of Cedarburg about public art; Advance the City of Cedarburg as an “arts destination” and engage public art as a major attraction for artists, cultural tourism, and economic development; Be responsible for approving the site and content of public art; Be responsible for developing a procedure for the selection of art and/or artists, which includes public input as well as appropriate staff review. There are currently 2 potential projects being worked on that would need this committee to review them. BOARD, COMMISSION OR COMMITTEE RECOMMENDATION: None BUDGETARY IMPACT: None ATTACHMENTS: Public Art Commission Ordinance INITIATED/REQUESTED BY: Mikko Hilvo, Director of Parks, Recreation,& Forestry FOR MORE INFORMATION CONTACT: Mikko Hilvo, Director of Parks, Recreation & Forestry at 3757917. Page 55 of 99 ORDINANCE NO. 2014-25 An Ordinance Creating the Public Art Committee The Common Council of the City of Cedarburg, Wisconsin, hereby ordains as follows: SECTION 1. Section 2-4-19 of the Municipal Code of the City of Cedarburg is hereby created as follows: SEC. 2-4-19 PUBLIC ART COMMITTEE (a) Public Art Committee (1) The Public Art Committee shall be appointed by the Mayor, confirmed by the Council and shall consist of seven (7) members and two (2) alternates. The Director of Parks, Recreation and Forestry, and the Economic Development Coordinator will be non-voting members of the Committee. The terms shall be two (2) years expiring on April 30th, except that initially the term of the three members shall expire after one (1) year to stagger the terms. (2) The Public Art Board is responsible for promoting and maintaining art displays in public buildings and public spaces in the City of Cedarburg. The Board shall: Facilitate public art in public buildings and public spaces; Inform residents of and visitors to the City of Cedarburg about public art; Advance the City of Cedarburg as an “arts destination” and engage public art as a major attraction for artists, cultural tourism, and economic development; Be responsible for approving the site and content of public art; Be responsible for developing a procedure for the selection of art and/or artists, which includes public input as well as appropriate staff review. SECTION 2. This ordinance shall take effect upon its passage and publication as provided by law. Passed and adopted this 24th day of November, 2014. ________________________________ Kip Kinzel, Mayor Countersigned: ______________________________ Constance K. McHugh, City Clerk Approved as to form: _________________________________ Michael P. Herbrand, City Attorney Page 56 of 99 CITY OF CEDARBURG MEETING DATE: November 24, 2014 ITEM NO: 10. G. TITLE: Consider engineering proposals received to develop NR 333 compliance alternatives for Cedarburg dams; and action thereon. ISSUE SUMMARY: Staff requested proposals from a total of four engineering consulting firms to develop NR 333 alternatives for the three Cedarburg dams. Three of the four firms submitted responsive proposals, and the lowest overall fee for service was submitted by Graef. Graef has considerable experience with the Cedarburg dams and is well suited to complete the study. The real focus of this study will be on dam spillway capacity requirements and developing conceptual designs to bring the dams into regulatory compliance. STAFF RECOMMENDATION: Staff recommends award of the NR 333 dam spillway capacity alternatives study to Graef on the basis of their demonstrated technical expertise and competitive fee of $11,400. BOARD, COMMISSION, OR COMMITTEE RECOMMENDATION: N/A BUDGETARY IMPACT: $11,400 from the Environmental Fund. ATTACHMENTS: Copy of Graef proposal Proposal fees of firms who submitted INITIATED/REQUESTED BY: Tom Wiza FOR MORE INFORMATION CONTACT: Tom Wiza-Director of Engineering and Public Works 262-375-7610 Page 57 of 99 Page 58 of 99 Page 59 of 99 Page 60 of 99 Page 61 of 99 CITY OF CEDARBURG MEETING DATE: November 24, 2014 ITEM NO. 10. H. TITLE: Consider Resolution No. 2014-20 requesting an Exception to Standards from Wisconsin DOT to omit designated bicycle lanes as part of the 2015 Sheboygan Road reconstruction; and action thereon. ISSUE SUMMARY: To help offset part of the estimated $500,000 cost to reconstruct Sheboygan Road in 2015, staff requested and received a Local Road Improvement Program grant from WisDOT in the amount of $42,000. The LRIP grant provides a welcome shot in the arm for our street program funding, but in the last few years the DOT added a “Complete Streets” requirement that mandates pedestrian and bicycle facilities. We already have continuous sidewalks on both sides of Sheboygan Road, but certainly from Willowbrooke Drive south there is no room for painted bicycle lanes unless we eliminate all on-street parking for that stretch. Given that street parking is at a premium in this area due to the proximity to the Cedar Creek Settlement, the County Fairgrounds, and the many downtown festivals, staff would not recommend eliminating the street parking. Even eliminating parking on one side would not create adequate width for bike lanes. DOT does have an appeal process through which they may grant an Exception to Standards if we can show sound reasons why it is not feasible to provide bike lanes. The Council resolution is a part of that process. STAFF RECOMMENDATION: Staff recommends adoption of resolution 2014-20 which formally seeks an Exception to Standards to omit designated bicycle lanes as part of the Sheboygan Road reconstruction. BOARD, COMMISSION, OR COMMITTEE RECOMMENDATION: N/A BUDGETARY IMPACT: $42,000 LRIP grant amount ATTACHMENTS: Copy of Resolution 2014-20 Sheboygan Road photos INITIATED/REQUESTED BY: Tom Wiza FOR MORE INFORMATION CONTACT: Tom Wiza-Director of Engineering and Public Works 262-375-7610 Page 62 of 99 RESOLUTION No. 2014-20 Requesting an Exception to Standards from the Wisconsin Department of Transportation to Omit Designated Bicycle Lanes as Part of the 2015 Sheboygan Road Reconstruction Due to a Constrained Environment WHEREAS, the City of Cedarburg plans to replace the deteriorated asphalt pavement on 4,118 linear feet of Sheboygan Road from Washington Avenue to Oxford Drive, and WHEREAS, the entire segment of roadway is under City of Cedarburg jurisdiction; and WHEREAS, the estimated project cost for pavement replacement is $500,000; and WHEREAS, the City applied for and received a Local Road Improvement Program grant (No. 13589) in the amount of $42,000 from the Wisconsin Department of Transportation to offset a portion of the project cost; and WHEREAS, as a condition of this grant the Department of Transportation Complete Streets policy requires consideration of pedestrian and bicycle facilities; and WHEREAS, the City has in place and will continue to maintain five foot wide concrete sidewalks on both sides of Sheboygan Road including ADA accessible ramps; and WHEREAS, a constrained environment exists on the south half of the project, which consists of a narrow 50 foot wide road right-of-way, 32.5 foot curb to curb pavement section, and 3 foot wide grass terrace with mature street trees; and WHEREAS, this narrow street cross section with permitted on-street parking leaves no room to add bicycle lanes; and WHEREAS, eliminating the on-street parking would create a hardship for residents, tourists, festival attendees, and those visiting the County Fairgrounds; NOW THEREFORE BE IT RESOLVED that the City of Cedarburg Common Council hereby requests that on-street bicycle lanes not be required as part of the 2015 Sheboygan Road Reconstruction Project. Passed and adopted this 24th day of November 2014. Kip Kinzel, Mayor Attest: ___________________________________ Constance K. McHugh, City Clerk Approved as to form: ___________________________________ Michael P. Herbrand, City Attorney Page 63 of 99 Page 64 of 99 Page 65 of 99 CITY OF CEDARBURG MEETING DATE: November 24, 2014 ITEM NO: 10. I. TITLE: Consider switching dental insurance providers to Assurant; and action thereon ISSUE SUMMARY: Our current dental insurance provider, Delta Dental, quoted a premium increase of 7% to our rates. Our insurance consultant went out for bids from five other companies and Assurant came back at the lowest price. They are duplicating our current plan; however, there may be a slight interruption in providers as the networks are not the same. Assurant will work try to recruit providers used by our employees and will pay claims at 95% of usual and customary plan for out of network providers. STAFF RECOMMENDATION: Accept agreement with Assurant for coverage January 1, 2015 Light & Water management is also in agreement. BOARD, COMMISSION OR COMMITTEE RECOMMENDATION: N/A BUDGETARY IMPACT: 24% savings in premiums ($24,247) which results in an $84/year savings for employees on the family plan. ATTACHMENTS: Email from Associated Financial Group Quote comparison of plans INITIATED/REQUESTED BY: Christy Mertes FOR MORE INFORMATION CONTACT: Christy Mertes, Administrator/Treasurer, 376-3907 Page 66 of 99 Page 67 of 99 Page 68 of 99 Page 69 of 99 Page 70 of 99 Page 71 of 99 Page 72 of 99 Page 73 of 99 Page 74 of 99 Page 75 of 99 Page 76 of 99 Page 77 of 99 Page 78 of 99 Page 79 of 99 Page 80 of 99 Page 81 of 99 Page 82 of 99 Page 83 of 99 Page 84 of 99 Page 85 of 99 Page 86 of 99 Page 87 of 99 Page 88 of 99 Page 89 of 99 Page 90 of 99 Page 91 of 99 Page 92 of 99 Page 93 of 99 Page 94 of 99 Page 95 of 99 CITY OF CEDARBURG MEETING DATE: November 24, 2014 ITEM NO: 10. K. TITLE: Consider application of Deelish LLC, Christian Leonard, Agent, for a Class “B” beer license for Sal’s Pizza, W63 N635 Washington Avenue; and action thereon ISSUE SUMMARY: Christian Leonard is the new owner of Sal’s Pizza and has applied for a Class “B” beer. STAFF RECOMMENDATION: N/A BOARD, COMMISSION OR COMMITTEE RECOMMENDATION: N/A BUDGETARY IMPACT: $100 per year in revenue from the beer license ATTACHMENTS: None INITIATED/REQUESTED BY: Christian Leonard FOR MORE INFORMATION CONTACT: Connie McHugh, City Clerk Page 96 of 99 376-3919 Page 97 of 99 Page 98 of 99 PROCLAMATION WHEREAS, Armbruster Jeweler’s, having been founded in 1884 by John Armbruster, a watchmaker, who came to Cedarburg from the Black Forest region of southwest Germany in 1882 and opened his jewelry and music store two years later, is now celebrating 130 years as a family-owned independent fine jewelry and quality gift store providing products and services to generations of customers; and WHEREAS, Founder John Armbruster, along with second and third generation family members were civic minded and avid boosters of local business who made lifelong contributions to Cedarburg’s quality of life; and WHEREAS, third generation Robert and his wife Mary Aileen Armbruster oversaw the restoration of the 1904 white terra cotta jewelry store to its early 20th century décor and preserved the cast iron signature street clock made in Pennsylvania that stands in front of the store; and WHEREAS, Armbruster Jeweler’s, since its inception, has been serving its customers with integrity, respect and a sincere desire to build lasting relationships; and WHEREAS, this commitment to customers has extended to a commitment to community, with Armbruster Jeweler’s investing in the City of Cedarburg with family members being active members and leaders in the Special Olympics, Lions Club, Rotary, Knights of Columbus, Wisconsin Jewelers Association, Greater Cedarburg Foundation and the Peter Wollner Post of the American Legion ; and WHEREAS, today, under the leadership of the fourth generation John and Pat Armbruster and fifth generation Anna Marie Armbruster, Armbruster Jeweler’s carries on the proud tradition of excellence established in 1884; and WHEREAS, the City of Cedarburg hereby recognizes their important presence in our community for providing a rich history and commemorates and honors the hundred thirty years of growth and commitment celebrated by Armbruster Jeweler’s; NOW, THERFORE, BE IT RESOLVED, I, Kip Kinzel, Mayor of the City of Cedarburg, join the citizens of the City of Cedarburg in recognizing Armburster Jeweler’s as a significant and valuable member of this community and congratulating them on their 130th Anniversary. Dated this 24th day of November 2014. ________________________________ Kip Kinzel, Mayor Attest: ____________________________________ Constance K. McHugh, City Clerk Page 99 of 99