Meeting Name: Finance Committee Agenda status: Final-revised
Meeting date/time: 12/12/2022 5:30 PM Minutes status: Final  
Meeting location: Council Chambers, 6th Floor
Published agenda: Agenda Agenda Published minutes: Minutes Minutes  
Meeting video:  
Attachments: Finance Agenda Packet 12-12-22 Revised.pdf
File #Ver.Agenda #NameTypeTitleActionResultAction DetailsVideo
22-1588 1  MinutesNovember 21, 2022 Finance Committee MinutesapprovedPass Action details Video Video
22-1589 1  AppearanceMs. Diane Keuther, Commodore of the Appleton Yacht Club to present the Club's financial reports.presented  Action details Video Video
22-1576 1  Report Action ItemResolution #12-R-22 Elimination of Council Parking Passesrecommended for denialPass Action details Video Video
22-1590 1  Report Action ItemRequest to approve resolution to terminate Tax Incremental District #6.recommended for approvalPass Action details Video Video
22-1591 1  Report Action ItemRequest to award the AWWTP H & J-Building HVAC Upgrades Project contract to Great Lakes Mechanical, Inc. in the amount of $232,000 with a 12% contingency of $27,840 for a project total not to exceed $259,840.recommended for approvalPass Action details Video Video
22-1592 1  Report Action ItemRequest to approve a sole source contract to McMahon for bidding and construction related services needed to complete the 2023 Wastewater Hardscapes Improvement Project, for a contract fee of $36,000 and a 10% contingency of $3,600 for a project total not exceed $39,600.recommended for approvalPass Action details Video Video
22-1593 1  Report Action ItemRequest to award Unit Z-23 Watermain Reconstruction to Kruczek Construction Inc. in the amount of $2,919,000 with a 5.1% contingency of $150,000 for a project total not to exceed $3,069,000.recommended for approvalPass Action details Video Video
22-1594 1  Report Action ItemRequest to approve Contract Change Order No. 1 to contract 63-22, Unit Y-22 Lead/Galvanized Water Service Replacement for additional properties added to our 2022 program for removal and replacement of private-side lead water services in the amount of $53,762.13 resulting in a reduction in contingency from $56,450.00 to $2,687.87. Overall contract amount remains unchanged.recommended for approvalPass Action details Video Video
22-1595 1  Report Action ItemRequest to approve write off of $44,867.60 of accounts receivable invoices and $10,073.42 of personal property taxes (outstanding over one year).recommended for approvalPass Action details Video Video
22-1596 1  PresentationChange Order #1 to Staab Construction Company in the amount of $11,064 for Pump Pipe and Rail Replacement resulting in the reduction of contingency from $11,850 to $786.received and filed  Action details Not available
22-1597 1  PresentationContract 62-22 was awarded to Alfson Excavation LLC for $200,000 for Mini Storm Sewer Construction. Payments issued to date total $85,227. Request final payment of $112,473.65.received and filed  Action details Not available
22-1598 1  PresentationThe following 2022 Budget adjustments were approved by the Mayor and Finance Director in accordance with Policy: General Fund - Parks Insurance Proceeds +$9,656 Miscellaneous Equipment +$9,656 to record insurance proceeds from a car accident damaging a lawn mower General Fund - Library Reimbursements +$9,286 Supplies +$6,465 Training/Travel +$2,171 Part-time wages +$650 to record reimbursement from Northern Waters Library Service for Community Powered Initiative General Fund - Fire Donations +$1,000 Protective Clothing +$1,000 to record donations from the Community Foundation for the Bill & Ann Guyon charitable fund for protective clothing purchase Reid Gold Course Donations +$2,257 Supplies +$2,257 to record donations for bench at golf course and tee signreceived and filed  Action details Not available
22-1599 1  PresentationContract Change Order No. 1 to contract 72-22, Unit H-21 Redundant Raw Water Line for a change at the connection point at the lake pumping station requiring a special fitting to be fabricated in the amount of $25,000 resulting in a reduction in contingency from $500,000 to $475,000. Overall contract amount remains unchanged.received and filed  Action details Not available
22-1602 1  PresentationChange Orders #6, #7 and #8 to Sabel Mechanical contract as part of the 2021 Secondary Clarifier Drive Removal, Rebuild, and Reinstallation Project totaling $5,546.88 resulting in a decrease in contingency from $39,060.06 to $33,513.18received and filed  Action details Not available