CRANE
BOARD OF MANAGERS’ REGULAR MEETING
March 3, 2011 – 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 Mark Anderson, Darrell Scott and Rob Scott.
Members absent: Dave Adams and Bill Congdon
Also present: Engineer Randy Jenniges of S.E.H., Sewer
Maintenance Worker Jim Pohlman, Clerk/Treasurer Jo Ann Pohlman and a reporter
from the Cook News-Herald.
BUSINESS:
Minutes: A motion
was made by M. Anderson, supported by D. Scott, to approve the minutes of the Board
of Managers’ Regular Meeting of February 2, 2011. All voted in favor and the motion carried.
Correspondence:
The correspondence list was reviewed by the Board. A motion was made by D. Scott, supported by R.
Scott, that the correspondence be placed on file and acted upon as required. All
voted in favor and the motion carried.
Treasurer/Accountant Report: Clerk/Treasurer J. Pohlman reviewed the Treasurer’s
Report. February 2011 payroll expenses were as follows: Administrative - $803.48
and Operations - $1,635.49. The January 2011 financial statements, presented to
the Board, and current balances were reviewed.
A motion was made by M. Anderson, supported by D. Scott, to approve the
Treasurer’s report as presented and the payment of February 2011 bills as follows: Administrative: Costin Group - $2,035.00; Fryberger, Buchanan
- $1,031.24; Glorvigen - $250.00; Lutefisk - $173.88 and Quill - $129.20. Operations:
Lake Country Power - $1,237.37, $90.28, $56.50 & $95.49; A-1
Services - $1,960.00; Canoe Country Electric $220.00 & $815.00; Gopher
State One Call - $100.00; Minnesota Revenue - $505.00; NTS - $714.50; and
Terry’s Operational Services - $20.22 & $1,509.00. Operating Reserve: Electric Pump - $515.97. All voted in favor and the motion carried. The Board did not approve payment of $658.16
to the Department of Employment, or $4,477.43 to St. Louis County-Public Works
Dept. Payment will be made to
Rate Schedule Report: Rates will be reviewed again at the April meeting.
Fund Transfers: No transfers from the Operating Fund to S.A.R Savings and C.R. Savings were approved at this time.
Administration
· Insurance Claim: Payroll expenditures related to the insurance claim were submitted to LMC for consideration. The claim has not been closed at this time.
· T. Jackson Contract Renewal: The contract was adjusted by Fryberger Buchanan before final approval. A motion was made by R. Scott, supported by M. Anderson, approving the T. Jackson Contract. All voted in favor and the motion carried.
· Flood Insurance: The Board considered flood insurance for the plant this spring. A motion was made by R. Scott, supported by M. Anderson, approving purchase of flood insurance, if the premium is reasonable and T. Jackson and Jim Pohlman are in agreement of its necessity. All voted in favor and the motion carried.
· Volume Charge Billing: The District has been using a variable multiplier to convert the hourly meter readings to gallons based on the gallons recorded at the lift station each month for the customer billing. The Board discussed using an average of the multipliers used for the past seven years in the future. A motion was made by M. Anderson to use 720 as the multiplier. The motion died for lack of support. There was further discussion. A motion was made by R. Scott, supported by D. Scott, to use the average multiplier of 730. R. Scott and D. Scott voted in favor; M. Anderson voted against. The motion carried.
Legal Issues
· Mediation: The judge assigned to the mediation is on vacation. A date will be set upon his return.
CLWSD Meeting Minutes – March 3, 2011
JPB Update
·
The VNP Clean Waters Joint Powers Board monthly
meeting was held on February 10, 2011. R.
Scott was appointed as the
Collection System Expansion
· Funding Status: Funding to pay the current expansion bills was approved by the JPB at their January meeting. A Department of Employment and Economic Development (DEED) form was forwarded to the Board for signature and return approving the $150,000 draw. S.E.H. is working to speed the funding process along.
· Construction Update: Construction will continue in the spring.
· Expansion Fees: R. Scott and Jo Ann Pohlman will review fees and forms related to the expansion to present to the Board for review.
S.E.H. ESA Proposal
· Randy Jenniges of S.E.H. and the Board discussed the different service areas within the Eastern Service Area. S.E.H. will provide an updated approach using the information provided in previous studies and with information from the ESA Advisory Committee.
Collection System O & M
·
Freezing Corrective Action Status: There was no report.
·
I&I Corrective Action Status: More infiltration work will be done when the
District feels the repairs to date are working and as funds permit.
·
Culvert:
The Board discussed options to prevent freezing of the pipes that cross
the new culvert.
Treatment Plant and Operations
Report
PUBLIC COMMENT (5 Minute Limit): There was none.
The meeting was adjourned at 9:45PM
Jo Ann Pohlman, Clerk
NEXT
MEETING: APRIL 6, 2011, 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.