CRANE
BOARD OF MANAGERS’ REGULAR MEETING
December 5, 2007 – 7:30 P.M.
CRANE LAKE CHAPEL FELLOWSHIP HALL
The meeting was called to order by Chairman Rob
Scott at 7:33P.M.
Members present:
Managers Bill Congdon, Darrell Scott, Rob Scott and Mike White.
Members absent: Dave Adams
Also present: John Jamnick of RLK-Kuusisto, Sewer
Maintenance Worker Jim Pohlman, Clerk/Treasurer Jo Ann Pohlman, and 3 members
of the community.
BUSINESS:
A motion was made by B. Congdon, supported by D.
Scott, to approve the minutes of the Regular Meeting of November 7, 2007. All
voted in favor and the motion carried.
The correspondence was presented to the Board. A motion was made by M. White, supported by B.
Congdon, that the correspondence be placed on file and acted upon as
required.
Clerk/Treasurer J. Pohlman reported that the 2006 Audit
should be completed by mid-December. The
Debt Service Fund balance is currently at $97,261.29 and will cover the RD loan
payment of $86,099.99 due on January 1st. J. Pohlman asked the Board
to consider placing the Debt Service Fund money and the Capital Reserve Fund
money in a savings account, money market account or CD’s. J. Pohlman presented the Final September 2007
and October 2007 Financial Reports, reviewed by Glorvigen, to the Board. R.
Scott added that he had met with Steve Michalski of Allied Adjusters on
Tuesday, December 4th to review the freeze and corrective action
invoices. Allied issued a check to the District in the amount of $5,878.66 to
be applied to two NTS invoices for a total reimbursement thus far of $38,515.79.
Mr. Michalski will be considering the $8,214.92 already paid by the District
for reimbursement. RLK invoices
amounting to $9,366.94 will also be considered. Invoices-on-hand were reviewed
with the Board. A motion was made by M. White, supported by D. Scott, to
approve the Treasurer’s Report as presented and the payment of bills as follows:
Administrative: Glorvigen - $100.00; Fryberger, et all - $625.00; Crane Lake Chapel
- $180.00 and LMCIT - $81.00. Operations:
Administration (CLWSD)
· Emergency Response Plan (ERP): RLK & Terry Jackson are finalizing the review of the ERP to be submitted to the MPCA.
·
Capital Asset Plan: Jennifer Hanson of the Glorvigen Accounting Firm
will be providing the plan soon.
·
EDU Assignments:
Letters were sent to Western Service Area property owners with changes
to their EDU’s. Adjustments will be made
in the December billing.
·
Tax Levy:
The Board discussed reducing the approved 2008 tax levy amount of
$30,000 sent to
2008/09 Rate Review
·
Carl
Brown Analysis: The final draft of Carl
Brown’s analysis was received for Board review.
Mr. Brown recommended the following adjustments beginning January 1,
2008: Base charge $65.07; Use rate
$22.41/1,000 gallons; High-strength wastewater $38.88/1,000 gallons; and Excess
flow $35.93/1,000 gallons. He also
recommended that all rates and fees increase by 4% beginning in January of 2009
and every year thereafter. A motion was made by M. White to adopt the rates as
recommended by Carl Brown and to include a notice in the December billing of
the rate changes. B. Congdon stated that
Mr. Brown’s rate increase recommendation would increase rates for everyone and
was not in the best interest of the community at this time. He also felt the
amount of money dedicated to capital replacement was not necessary at this
time. R. Scott stated that the current rate structure would provide sufficient
income for 2008 and 2009. D. Scott
suggested that Board concerns should be discussed with Carl Brown before
implementation. R. Scott stated
clarification was needed on the affordability index which is at 4 and would
increase to 6 with 1 being an acceptable affordability index figure. The Board will send additional questions and
issues to Carl Brown for his review and comment. The motion died for lack of a second. A decision will be considered at the January
meeting.
CLWSD Meeting Minutes – December 5, 2007
Financial (MFS, EFG, RLK)
· ISTS Grant Funds: Nothing new to report.
·
Grant Funds:
Nothing new to report.
Legal Issues (MFS, EFG, RLK)
· Service Connection Procedures: Nothing new to report.
· Ordinance #3: A motion was made by B. Congdon, supported by D. Scott, to provide Mary Frances Skala with current information and questions to date for revision of Ordinance #3 to be sent to the Board for approval. All voted in favor and the motion carried.
· O & M Contracts: A motion was made by M. White, supported by D. Scott, to continue Terry Jackson’s contract for one year. All voted in favor and the motion carried.
ESA
· Township Community Action Plan/Options: The Township has agreed that dialog could be pursued on CLWSD community concerns, if the CLWSD identifies specific concerns. A motion was made by B. Congdon, supported by D. Scott, to reopen the ESA subject with M. White and B. Congdon heading the Committee to begin dialog with the Township. All voted in favor and the motion carried.
Sewer Freezing Issue (RLK)
RLK
Engineering Status Report (RLK)
Operations Report
Interest Bearing Accounts: A motion was made by B. Congdon, supported
by D. Scott, to consult Jennifer of Glorvigen for her recommendation on moving
Debt Service and Capital Reserve funds from the checking account to interest
bearing accounts. All voted in favor and
the motion carried.
CLWSD Meeting Minutes – December 5, 2007
PUBLIC COMMENT (5 Minute Limit)
David Beckmann explained his experience with elevated
pump readings from last May to date.
Paul Hamblin also explained his experience with
elevated pump readings and has provided a detailed record to the Board and RLK
to assist in resolution of the problems.
The meeting was adjourned at 9:00PM.
J. Pohlman, Clerk
NEXT
MEETING: JANUARY 2, 2008, 7:30PM, CRANE
LAKE CHAPEL FELLOWSHIP HALL
This draft of the CLWSD minutes has been posted solely for preliminary informational purposes. Minutes are unofficial and subject to change until they have been approved by the CLWSD Board of Managers.