COMMON COUNCIL Packet 07252023CITY OF MUSKEGO
COMMON COUNCIL AGENDA
07/25/2023
6:00 PM
Muskego City Hall, W182 S8200 Racine Avenue
CALL TO ORDER
ROLL CALL
STATEMENT OF PUBLIC NOTICE
i"PSC4 of
KEGO
PUBLIC COMMENT City Residents and Taxpayers Only - Speakers will be limited to making
comments related to all agenda items excluding closed session items relating to employment
and labor issues. Comments will be limited to three minutes per speaker per agenda item.
There will be no discussion by/with the Common Council during Public Comment.
COMMUNICATIONS FROM THE MAYOR'S OFFICE
CONSENT AGENDA
Approval of Common Council Meeting Minutes - July 11, 2023
CCM.2023.07.11 draft.docx
Voucher Approval
Vouchers - Total Sheet.pdf
Board Voucher Report - Alpha.pdf
Approval of Purchase of Well #13 Iron Filter Replacement (2023 Capital)
Finance Memo - 2023 Capital Item - Well #13 Iron Filter Replacement. docx
Kurita Quote.pdf
Resolution #045-2023 - Approval of Letter of Credit Reduction for Hrin Investments, LLC
CCR2023.045-LOC-Hrin Investments.docx
Finance Memo - HRIN Investments LLC LOC reduction.docx
Madyson Court_LOC3_MNP.pdf
Resolution #046-2023 - Approval of Letter of Credit Reduction for Muskego Lakes Estates, LLC
CCR2023.046-LOC-Musk Lakes Estates.docx
Finance Memo - Muskego Lakes Estate LOC #9.docx
LOC-MuskegoLakesRevisedMNP2.pdf
Resolution #047-2023 - Appointment of City of Muskego Citizen Representative to Superior (GFL)
Emerald Park Landfill, LLC Standing Committee
CCR2023.047-Appt. GFL Landfill Committee.docx
NEW BUSINESS
REVIEW OF COMMITTEE REPORTS
Finance Committee Meeting Minutes - June 27, 2023
FCM.2023.06.27 Appr.pdf
CITY OFFICIALS' REPORTS
COMMUNICATIONS AND MISCELLANEOUS BUSINESS AS AUTHORIZED BY LAW
Updates from Aldermanic Liaisons
Muskego Senior Taxi - Alderperson Hammel
Muskego Festival Committee - Alderperson Schroeder
Muskego Historical Society - Alderperson Kubacki
Little Muskego Lake District - Alderperson Kapusta
GFL Emerald Park Landfill Standing Committee - Alderperson Madden
FUTURE AGENDA ITEMS
ADJOURNMENT
V102irea
IT IS POSSIBLE THAT MEMBERS OF AND POSSIBLY A QUORUM OF MEMBERS OF OTHER GOVERNMENTAL BODIES OF THE
MUNICIPALITY MAY BE IN ATTENDANCE AT THE ABOVE -STATED MEETING TO GATHER INFORMATION; NO ACTION WILL BE TAKEN
BY ANY GOVERNMENTAL BODY AT THE ABOVE -STATED MEETING OTHER THAN THE GOVERNMENTAL BODY SPECIFICALLY
REFERRED TO ABOVE IN THIS NOTICE.
ALSO, UPON REASONABLE NOTICE, EFFORTS WILL BE MADE TO ACCOMMODATE THE NEEDS OF DISABLED INDIVIDUALS
THROUGH APPROPRIATE AIDS AND SERVICES. FOR ADDITIONAL INFORMATION OR TO REQUEST THIS SERVICE, CONTACT
MUSKEGO CITY HALL, (262) 679-4100.
K
CITY OF MUSKEGO
UNAPPROVED
COMMON COUNCIL MINUTES
July 11, 2023 j &e Ctg- of
6:00 PM JMUSKEGO
Muskego City Hall, W182 S8200 Racine Avenue
CALL TO ORDER
Mayor Petfalski called the meeting to order at 6:00 pm.
ROLL CALL
Present: Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson Schroeder,
Alderperson Kubacki, and Alderperson Madden
Absent: Alderperson Hammel
Also present: City Attorney Warchol, City Clerk Roller and Assistant Deputy Clerk -Treasurer Kunke.
STATEMENT OF PUBLIC NOTICE
City Clerk Roller stated that the meeting was noticed in accordance with the open meeting law.
PUBLIC COMMENT
There were no speakers.
COMMUNICATIONS FROM THE MAYOR'S OFFICE
Mayor Petfalski stated Michael Cowling resigned from the Landfill Committee. He will be appointing
Scott Kloskowski to take his place.
CONSENT AGENDA
Moved by Alderperson Kubacki; seconded by Alderperson Schroeder to Approve.
Motion Passed: 6 - 0
Voting in Favor. Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson
Schroeder, Alderperson Kubacki, Alderperson Madden
Voting Against: None
Approval of Common Council Meeting Minutes - June 27, 2023
CCM.2023.06.27.docx
Resolution #044-2023 - Approval of Award of Bid for Library Family Restroom Remodel
CCR2023.044-Award of Bid (Library)v4.docx
Finance_Common Council Memo Library Restroom.doc
Muskego - Bid Recommendation R.pdf
Muskego Bathroom - Bid Documents 2023-05-25R.pdf
Voucher Approval
Vouchers - Total Sheet.pdf
Voucher -Alpha Report.pdf
NEW BUSINESS
None.
REVIEW OF COMMITTEE REPORTS
Finance Committee Meeting Minutes - June 13, 2023
FCM.2023.06.13 Appr.pdf
No action taken.
3
Common Council Minutes 07/11/2023
Page 12
UNFINISHED BUSINESS
Ordinance #1492 - An Ordinance to Amend Chapter 309 of the Municipal Code of the City of Muskego
(Stormwater Management). Second Reading.
ORD2023.1492-Stormwater Management.docx
Ch 309-Stormwater Management-pg 20 markup.pdf
Moved by Alderperson Madden; seconded by Alderperson Schroeder to Approve.
Motion Passed: 6 - 0
Voting in Favor: Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson
Schroeder, Alderperson Kubacki, Alderperson Madden
Voting Against: None
LICENSE APPROVAL
Approval of Change of Agent (Josephine Czubernat) for the "Class A" liquor license held by
Walgreen Co (dba Walgreens #11636) located at S70W15775 Janesville Rd.
Moved by Alderperson Schroeder; seconded by Alderperson Madden to Approve.
Motion Passed: 6 - 0
Voting in Favor: Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson
Schroeder, Alderperson Kubacki, Alderperson Madden
Voting Against: None
Approval of Change of Agent (Graham W. Serchen) for the "Class A" liquor license held by Kwik
Trip, Inc. (dba Kwik Trip #1080) located at S63W13510 Janesville Rd.
Moved by Alderperson Wolfe; seconded by Alderperson Schroeder to Approve.
Motion Passed: 6 - 0
Voting in Favor: Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson
Schroeder, Alderperson Kubacki, Alderperson Madden
Voting Against: None
Approval of a "Class B" Liquor License to Sobek's Bar LLC (dba Sobeks) located at S79W16419
Woods Road
Moved by Alderperson Kubacki; seconded by Alderperson Schroeder to Approve.
Motion Passed: 6 - 0
Voting in Favor: Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson
Schroeder, Alderperson Kubacki, Alderperson Madden
Voting Against: None
Approval of a Class "A" Liquor License to Fleet Farm Group LLC (dba Fleet Farm) located at
W195S6460 Racine Avenue
Moved by Alderperson Madden; seconded by Alderperson Schroeder to Approve.
Motion Passed: 6 - 0
Voting in Favor: Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson
Schroeder, Alderperson Kubacki, Alderperson Madden
Voting Against: None
• Approval of a Class "A" Liquor License to Fleet Farm Group LLC (dba Fleet Farm Fuel) located at
S63W19501 College Avenue
Moved by Alderperson Schroeder; seconded by Alderperson Madden to Approve.
Motion Passed: 6 - 0
Voting in Favor: Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson
Schroeder, Alderperson Kubacki, Alderperson Madden
Voting Against: None
4
Common Council Minutes 07/11/2023
Page 13
CITY OFFICIALS' REPORTS
None.
COMMUNICATIONS AND MISCELLANEOUS BUSINESS AS AUTHORIZED BY LAW
None.
FUTURE AGENDA ITEMS
Mayor Petfalski moved the August 8, 2023 Finance & Common Council Meetings to August 15, 2023.
The August 22, 2023 Finance and Common Council meetings are cancelled.
ADJOURNMENT
Moved by Alderperson Madden; seconded by Alderperson Schroeder to Adjourn at 6:06 pm.
Motion Passed: 6 - 0
Voting in Favor: Alderperson Wolfe, Alderperson Terrence, Alderperson Kapusta, Alderperson
Schroeder, Alderperson Kubacki, Alderperson Madden
Voting Against: None
Minutes recorded and transcribed by Jenny Kunke
41
Council Date July 25, 2023
Total Vouchers All Funds $ 1,369,882.80
Total Voucher Approval
Utility Vouchers (Approve Separately)
Water Vouchers $ 11,120.45
Water Wire Transfers
Total Water $ 11,120.45
Sewer Vouchers 11,100.78
Sewer Wire Transfers
Total Sewer $ 11,100.78
Net Total Utility Vouchers $ 22,221.23
#1 -Utility Voucher Approval
Tax Vouchers - Refunds & Tax Settlements (Approve Separately)
Tax Vouchers $ 2,372.00
Tax Void Checks
Total Tax Vouchers
Total General Fund Vouchers (Approve Separately)
General Fund Vouchers $ 1,345,289.57
Total General Fund Vouchers
Wire transfers (Approve Separately):
Debt Service
Payroll/Invoice Transmittals
Void Checks Since Last Report
Check Amount
Total
$ 2,372.00
#2 - Tax Voucher Approval
$ 1,345,289.57
#3 - General Voucher Approval
$ 400,790.54
#4 - Wire Transfers Approval
Manual Checks
Check # Amount
167920 4,901.95
167921 4,900.00
167922 25.00 ***
167923 1,255.50
Total 11,082.45*
CITY OF MUSKEGO
Report Criteria:
Detail report.
Invoices with totals above $0 included.
Only unpaid invoices included.
[Report]. Description = (—) "1099 adjustment'
Invoice Number SegNo
Type
A & S NORTHFIELD GREEN
522.00012
1 Invoice
522.00013
1 Invoice
Total A & S NORTHFIELD
GREEN:
ABT MAILCOM
45797
1 Invoice
45797
2 Invoice
45797
3 Invoice
45797
4 Invoice
Total ABT MAILCOM:
ACE HARDWARE - WINDLAKE
01528
1 Invoice
Total ACE HARDWARE - WINDLAKE:
ADORAMA
33181728
1 Invoice
Total ADORAMA:
ALSCO
IMIL1911124-C
1 Invoice
IMIL1911125-C
1 Invoice
IMIL1911126
1 Invoice
IMIL1911126
2 Invoice
IMIL1913177-C
1 Invoice
IMIL1913178-C
1 Invoice
IMIL1913179-C
1 Invoice
IMIL1917253
1 Invoice
IMIL1917254
1 Invoice
Total ALSCO:
AMAZON CAPITAL SERVICES
119N-MQFX-1
1 Invoice
11N7-NFNG-J
1 Invoice
11 NK-43VF-41
1 Invoice
11XQ-K6WK-N
1 Invoice
11XQ-K6WK-N
2 Invoice
143N-74KP-4V
1 Invoice
16VK-43CK-M
1 Invoice
16XD-WNDW-
1 Invoice
16XD-WNDW-
1 Invoice
19V9-RD9N-4F
1 Invoice
19V9-RD9N-4F
2 Invoice
19V9-RD9N-4F
3 Invoice
1HWL-K73M-W
1 Invoice
1JQW-1X7T-P
1 Invoice
Payment Approval Report - Board Report Alpha
Report dates: 6/15/2023-7/26/2023
Page: 1
Jul 21, 2023 01:29PM
Description Invoice Date Payment Due Date Total Cost GL Period GL Account Number
REC REFUND MSKC 2172027001 07/19/2023 07/19/2023 1,421.25 723 601.01.00.00.4424
REC REFUND MSKC 2172027002 07/19/2023 07/19/2023 1.421.25 723 601.01.00.00.4424
3RD QTR UTILITY BILLS
07/12/2023
07/12/2023
1,127.40
723
205.03.00.00.6056
3RD QTR UTILITY BILLS
07/12/2023
07/12/2023
1,127.40
723
205.03.30.00.5704
3RD QTR UTILITY BILLS
07/12/2023
07/12/2023
2,254.79
723
601.61.63.42.5701
3RD QTR UTILITY BILLS
07/12/2023
07/12/2023
2,254.79
723
605.55.09.03.5710
BLUE TOWELS
06/30/2023 07/30/2023
DRONE REPLACEMENT BATTERY 03/01/2023 07/14/2023
50.26 723 601.61.61.15.5415
112.10 723 100.01.06.00.6108
112.10
CREDIT
05/22/2023
06/01/2023
385.60-
623
100.04.51.07.5704
CREDIT
05/22/2023
06/01/2023
66.50-
623
100.04.51.07.5704
MONTHLY CHARGES
06/08/2023
07/08/2023
69.73
723
605.56.09.21.5835
MONTHLY CHARGES
06/08/2023
07/08/2023
69.74
723
601.61.61.12.5702
CREDIT
05/18/2023
05/28/2023
412.91-
623
100.04.51.07.5704
CREDIT
05/18/2023
05/28/2023
66.50-
623
100.04.51.07.5704
CREDIT
05/18/2023
05/28/2023
139.47-
623
100.04.51.07.5704
LOSS/DESTORYED COVERALLS
06/08/2023
06/18/2023
1,777.75
623
100.04.51.07.5704
6 DEPLNT BLUE COTTON ROLL T
06/08/2023
06/18/2023
188.10
623
100.04.51.07.5704
1,034.34
PUBLIC COMPUTER REPLAMENT
07/12/2023
08/11/2023
4,768.08
723
100.05.71.00.5505
WHITEBOARD
06/28/2023
07/28/2023
188.95
723
100.02.20.01.5701
PART TO FIX OPAC MACHINE
07/10/2023
08/11/2023
23.49
723
100.05.71.00.5505
CREDIT
06/20/2023
07/20/2023
28.85-
723
601.61.61.12.5702
CREDIT
06/20/2023
07/20/2023
28.84-
723
605.56.09.21.5835
KAYAK REPLACEMENT EQUIPME
07/15/2023
08/14/2023
63.00
723
100.05.72.19.5702
ASSESSOR COMPUTER REPLACE
07/11/2023
08/10/2023
596.01
723
100.07.01.06.6501
UNIFORMS - NEUMANN
07/02/2023
08/01/2023
117.68
723
100.02.20.01.5151
NEUMANN UNIFORMS CREDT
07/11/2023
08/11/2023
11.99-
723
100.02.20.01.5151
CLOTHING RACKS FOR UNIFORM
06/20/2023
07/20/2023
34.14
623
601.61.61.12.5702
CLOTHING RACKS FOR UNIFORM
06/20/2023
07/20/2023
34.14
623
605.56.09.21.5835
CLOTHING RACKS FOR UNIFORM
06/20/2023
07/20/2023
68.29
623
100.04.51.07.5704
GENERATION CREATION
07/03/2023
08/02/2023
31.98
723
100.05.71.00.6062
OFFICE SUPPLY
06/26/2023
07/26/2023
20.24
623
100.01.03.00.5701
CITY OF MUSKEGO Payment Approval Report - Board Report Alpha Page: 2
Report dates: 6/15/2023-7/26/2023 Jul 21, 2023 01:29PM
Invoice Number
SegNo
Type
Description
Invoice Date
Payment Due Date
Total Cost
GL Period
GLAccount Number
1JQW-1X7T-P
2
Invoice
ELECTION SUPPLY
06/26/2023
07/26/2023
9.99
623
100.01.03.00.5704
1LPN-1K6M-3
1
Invoice
DOG WASTE BAGS DOG PARK
06/08/2023
07/08/2023
43.77
723
202.08.94.74.6586
1N7V-GQ1D-7
1
Invoice
CALCULATORS AND FIRST AID KI
06/28/2023
07/28/2023
46.96
723
100.05.71.00.5701
1PGJ-H6MV-X
1
Invoice
NEUMANN UNIFORM
07/09/2023
08/08/2023
31.77
723
100.02.20.01.5151
1 PH7-Y3YK-H
1
Invoice
12 VOLT PUMP
05/05/2023
06/05/2023
110.35
623
100.04.51.07.5405
1VJM-FXN4-X
1
Invoice
LITIIUM BATTERY SQUAD ALARM
07/09/2023
08/09/2023
30.97
723
100.02.20.01.5405
1VVC-36LT-VD
1
Invoice
INK FOR PRINTER IN TIMS OFFIC
07/18/2023
08/17/2023
51.89
723
601.61.63.42.5701
1 WT6-KXVQ-4
1
Invoice
GUN REPAIR TOOLS
07/18/2023
07/18/2023
23.05
723
100.02.20.01.5722
1XWN-3CNR-7
1
Invoice
PENS, MANILA FOLDERS,BAKING
07/12/2023
08/11/2023
35.11
723
100.05.71.00.5701
Total AMAZON CAPITAL SERVICES:
AMERICAN STATE EQUIP INC
E00903 1 Invoice
LIEBHERR EXCAVATOR DITCH B
06/06/2023
Total AMERICAN STATE EQUIP INC:
ANDY KRAATZ OVERHEAD DOORS INC
2924 1 Invoice
REAR SOUTH DOOR WAS CLOSE
07/17/2023
Total ANDY KRAATZ OVERHEAD DOORS INC:
ARING EQUIPMENT CO., INC
R49231 1 Invoice
ROAD WIDENER
06/14/2023
R49438 1 Invoice
ROAD WIDENER
07/18/2023
Total AIRING EQUIPMENT CO., INC:
AT&T
262679561407 1 Invoice
MONTHLY CENTRIX LINES
07/17/2023
Total AT&T:
BAKER & TAYLOR COMPANY
2037638014 1 Invoice
PRINT
07/05/2023
2037638504 1 Invoice
PRINT
07/05/2023
2037638561 1 Invoice
PRINT
07/05/2023
2037656628 1 Invoice
PRINT
07/11/2023
2037656805 1 Invoice
PRINT
07/11/2023
Total BAKER & TAYLOR COMPANY:
BAKER & TAYLOR ENTERTAINMENT
H65506240 1 Invoice
AV
07/05/2023
Total BAKER & TAYLOR ENTERTAINMENT:
BARA,LUKE
BA042622. 1 Invoice
REFUND PAYMENT
07/13/2023
Total BARA, LUKE:
BIO-ONE OF MILWAUKEE
4776 1 Invoice
SQUAD DISINFECTION
07/12/2023
Total BIO-ONE OF MILWAUKEE:
6,260.18
07/05/2023 224.753.00 623 410.08.93.51.6540
08/01 /2023 345.00 723 100.04.51.08.5415
345.00
07/13/2023 1,500.00 623 100.04.51.07.5410
08/17/2023 1,500.00 723 100.04.51.07.5410
07/23/2023 219.44 723 100.01.06.00.5601
219.44
08/05/2023
358.47
723
100.05.71.01.5711
08/05/2023
386.18
723
100.05.71.01.5711
08/05/2023
546.51
723
100.05.71.01.5711
08/11/2023
651.90
723
100.05.71.01.5711
08/11/2023
256.66
723
100.05.71.01.5711
2,199.72
08/05/2023 92.10 723 100.05.71.02.5711
07/07/2023 100.00 723 100.01.08.00.4269
11 /21 /2740 50.00 723 100.02.20.01.5405
50.00
CITY OF MUSKEGO
Invoice Number SegNo Type
BOYER, CLINTON & THERESA
terryboyernno 1 Invoice
Total BOYER, CLINTON & THERESA:
BPI COLOR
0029497 1 Invoice
0613850 1 Invoice
Total BPI COLOR:
CARDINAL LOGISTICS MGMNT CORP
CAR072523 1 Invoice
Total CARDINAL LOGISTICS MGMNT CORP
Payment Approval Report - Board Report Alpha
Report dates: 6/15/2023-7/26/2023
Page: 3
Jul 21, 2023 01:29PM
Description Invoice Date Payment Due Date Total Cost GL Period GLAccount Number
REIMBURSE TERRI BOYER FOR N 07/19/2023 07/19/2023 232.36 723 505.00.00.00.2638
232.36
KIP METER READ 06272023-07262 06/28/2023 07/28/2023 3.96 723 100.06.18.01.5704
KIP ANNUAL MAINT 06/28/2023 07/28/2023 2,312.70 723 100.06.18.01.5410
2,316.66
REFUND TO CARDINAL LOGISTIC 06/20/2023 07/17/2023 675.00 723 100.01.08.00.4269
CARDMEMBER SERVICE
14721mjuly
1
Invoice
EAGLE PARK GIFT CARDS INHOU
06/27/2023
07/13/2023
200.00
723
505.00.00.00.2637
14721mjuly
2
Invoice
WEINKAUF UNIFORMS
06/27/2023
07/13/2023
44.04
723
100.02.20.01.5151
14721mjuly
3
Invoice
PIGGLY WIGGLY FOOD TEMPLE G
06/27/2023
07/13/2023
19.65
723
505.00.00.00.2637
14721mjuly
4
Invoice
QDOBA TEMPLE GOING AWAY
06/27/2023
07/13/2023
385.44
723
505.00.00.00.2637
14721mjuly
5
Invoice
OBI WATERBOTTLE WASHER
06/27/2023
07/13/2023
16.64
723
100.02.20.01.5722
2413sdjuly
1
Invoice
K9 TRAINING GAS
06/17/2023
07/13/2023
56.52
723
100.02.20.01.5301
3921TD June2
1
Invoice
ATHLETIC CLASS MATERIALS (BA
06/27/2023
07/24/2023
183.55
723
100.05.72.13.5702
3921TD June2
2
Invoice
BABYSITTING COURSE BOOKS
06/27/2023
07/24/2023
406.80
723
100.05.72.14.5730
3921TD June2
3
Invoice
SUMMER CAMP SUPPLIES (CLAY,
06/27/2023
07/24/2023
206.67
723
100.05.72.16.5702
3921TD June2
4
Invoice
IDLE ISLE SNACK SHACK EQUIPM
06/27/2023
07/24/2023
30.73
723
100.05.72.19.5702
3921TD June2
5
Invoice
IDLE ISLE RENTAL KAYAKS
06/27/2023
07/24/2023
766.37
723
263.05.00.00.6035
5449nfjune.
1
Invoice
PARKING KRISTALIDIS APPLETON
06/27/2023
07/24/2023
18.00
723
100.02.20.01.5301
5449nfjune.
2
Invoice
HOTEL KRISTALIDIS TRAINIGN
06/27/2023
07/24/2023
270.00
723
100.02.20.01.5301
5449nfjune.
3
Invoice
TASER CARTRIDGES
06/27/2023
07/24/2023
4,346.40
723
410.08.91.20.6521
7106akjuly
1
Invoice
LYNK DRONE TEST
06/27/2023
07/13/2023
175.00
723
100.02.20.01.5301
8312swjuly
1
Invoice
KIDS RIDE TO SCHOOL DONUGHT
01/31/7202
07/13/2023
20.35
723
505.00.00.00.2637
8312swjuly
2
Invoice
DIEDRICH EMD TRAINING
01/31/7202
07/13/2023
550.00
723
100.02.20.01.5301
8372jrjuly
1
Invoice
OREILLY BOAT TRAILER PLUG
06/27/2023
07/13/2023
16.79
723
100.02.20.01.5115
8372jrjuly
2
Invoice
M/W MARINE BOAT PROP
06/27/2023
07/13/2023
274.23
723
100.02.20.01.5115
AH 3905 JUNE
1
Invoice
ROOTING 4 MUSKEGO SUPPLIES
06/28/2023
07/28/2023
25.13
723
100.05.71.00.6062
AH 3905 JUNE
2
Invoice
HAPPY CAMPERS SUPPLIES
06/28/2023
07/28/2023
20.60
723
100.05.71.00.6062
AH 3905 JUNE
3
Invoice
FOL -TEEN PROGRAMMING
06/28/2023
07/28/2023
69.87
723
100.05.71.00.5752
AH 3905 JUNE
4
Invoice
USB TO HDMI CABLE
06/28/2023
07/28/2023
18.89
723
100.05.71.00.5701
AT 2965 JUNE
1
Invoice
CANON WASTE TONER CARTRID
06/27/2023
07/24/2023
69.45
723
100.06.18.01.5704
AT 2965 JUNE
2
Invoice
JSONLINE
06/27/2023
07/24/2023
1.00
723
100.06.18.01.5701
AT 2965 JUNE
3
Invoice
WEDA MEMBERSHIP
06/27/2023
07/24/2023
350.00
723
100.06.18.01.5305
BLA 3469 JUN
1
Invoice
BUSINESS INTERNET 05/29/23-06/
06/28/2023
07/28/2023
109.98
723
100.05.71.00.5505
BLA 3469 JUN
2
Invoice
FOL - ZOO MEMBERSHIP
06/28/2023
07/28/2023
1,000.00
723
100.05.71.00.5752
BLA 3469 JUN
3
Invoice
ROAD & TRACK SUB RENEWAL - 6
06/28/2023
07/28/2023
35.00
723
100.05.71.01.5711
BLO 0067 June
1
Invoice
COMPUTER RETURN/BROKEN
06/27/2023
07/24/2023
29.86
723
100.01.14.00.5506
GW 7547 JUN
1
Invoice
VENDING
06/27/2023
07/24/2023
19.68
723
100.01.06.00.5702
GW 7547 JUN
2
Invoice
VENDING
06/27/2023
07/24/2023
18.24
723
100.01.06.00.5702
GW 7547 JUN
3
Invoice
SOAP DISPENSERS
06/27/2023
07/24/2023
228.36
723
100.01.09.00.5415
JW5800June23
1
Invoice
LEXIS NEXIS
06/27/2023
07/24/2023
316.00
723
100.01.05.00.5506
LW6353June
1
Invoice
CALENDAR/PAGE PROTECTORS
06/27/2023
07/24/2023
30.35
723
100.01.08.00.5701
RB 2229 JUNE
1
Invoice
CREDIT
06/27/2023
07/24/2023
269.85-
723
410.08.93.51.6532
RB 2229 JUNE
2
Invoice
TOOLS
06/27/2023
07/24/2023
1,060.42
723
410.08.93.51.6532
RB 2229 JUNE
3
Invoice
SHOP
06/27/2023
07/24/2023
154.56
723
100.04.51.07.5405
RB 2229 JUNE
4
Invoice
GAS
06/27/2023
07/24/2023
34.40
723
100.04.51.07.5736
RB 2229 JUNE
5
Invoice
FOOT SHOWER 1X6-8 CEDAR G
06/27/2023
07/24/2023
3,515.59
723
100.04.51.11.5415
SQ 3897 JUNE
1
Invoice
FOL - SRP PRIZES
06/28/2023
07/28/2023
8.49
723
100.05.71.00.5752
CITY OF MUSKEGO Payment Approval Report - Board Report Alpha Page: 4
Report dates: 6/15/2023-7/26/2023 Jul 21, 2023 01:29PM
Invoice Number SegNo
Type
Description
Invoice Date
Payment Due Date
Total Cost
GL Period
GLAccount Number
TB 8824 JUNE
1 Invoice
CLASS
06/27/2023
07/24/2023
70.00
723
605.56.09.21.5301
TB 8824 JUNE
2 Invoice
HARD HAT ADAPTER
06/27/2023
07/24/2023
224.54
723
601.61.61.15.5425
TB 8824 JUNE
3 Invoice
WATER SAMPLES USPS
06/27/2023
07/24/2023
92.70
723
605.56.09.23.5865
TZ 0083 JUNE
1 Invoice
VIDEO FEED
06/27/2023
07/24/2023
20.00
723
215.06.00.00.5704
TZ 0083 JUNE
2 Invoice
USDAAPHIS FOR BMLD
06/27/2023
07/24/2023
3,500.00
723
250.01.00.00.6603
TZ 0083 JUNE
3 Invoice
WI ARBORISTS ASSOC 2023 CON
06/27/2023
07/24/2023
260.00
723
215.06.00.00.5303
Total CARDMEMBER SERVICE:
19,000.44
CDW GOVERNMENT INC
JG58047.
1 Invoice
SYSADMIN REPLACEMENT
04/26/2023
07/14/2023
60.00
723
100.07.01.06.6501
KK10435
1 Invoice
PARTS NEEDED FOR IDLE BUILD
06/23/2023
07/23/2023
46.23
723
410.08.90.14.6527
KL31059
1 Invoice
PARTS FOR IDLE CONNECTION
06/28/2023
07/23/2023
26.30
723
410.08.90.14.6527
Total CDW GOVERNMENT INC:
132.53
CEDAR CREST SPECIALTIES
0052319902
1 Invoice
IDLE ISLE SNACK SHACK ICE CRE
07/18/2023
08/18/2023
226.00
723
100.05.72.19.5702
Total CEDAR CREST SPECIALTIES:
226.00
CEN-PE CO
CE070523
1 Invoice
DIESEL MAX
07/05/2023
08/04/2023
296.40
723
100.04.51.07.5735
Total CEN-PE CO:
296.40
CHAPPELL SPORTS
22246
1 Invoice
PLAYGROUND CAMP STAFF/KIDS
07/12/2023
08/12/2023
240.00
723
100.05.72.16.5702
Total CHAPPELL SPORTS:
240.00
CINTAS CORP
4162071609 P
1 Invoice
MONTHLY CHARGES
07/19/2023
08/18/2023
248.75
723
100.04.51.07.5704
4162071609 U
1 Invoice
MONTHLY CHARGES
07/19/2023
08/18/2023
51.06
723
605.56.09.21.5835
4162071609 U
2 Invoice
MONTHLY CHARGES
07/19/2023
08/18/2023
51.05
723
601.61.61.12.5702
PW 416135538
1 Invoice
MONTHLY UNIFORM
07/12/2023
08/12/2023
248.75
723
100.04.51.07.5704
UT 416135538
1 Invoice
MONTHLY UNIFORMS
07/12/2023
08/12/2023
51.05
723
605.56.09.21.5835
UT 416135538
2 Invoice
MONTHLY UNIFORMS
07/12/2023
08/12/2023
51.06
723
601.61.61.12.5702
Total CINTAS CORP:
701.72
COLONIAL LIFE
575469206066
1 Invoice
SHORT TEM DISABILITY
06/06/2023
02/08/2023
2,233.06
723
100.00.00.00.2243
575469206066
2 Invoice
ACCIDENTAL
06/06/2023
02/08/2023
621.32
723
100.00.00.00.2247
575469206066
3 Invoice
CRITIAL ILLNESS
06/06/2023
02/08/2023
406.60
723
100.00.00.00.2248
Total COLONIAL LIFE:
3,260.98
COMPLETE OFFICE OF WIS
499930
1 Invoice
LABELS
06/23/2023
07/05/2023
14.17
623
100.01.03.00.5701
502943
1 Invoice
LABELS
06/28/2023
07/28/2023
38.02
623
100.01.03.00.5701
Total COMPLETE OFFICE OF
WIS:
52.19
CONLEY MEDIA, LLC
3340750323-2
1 Invoice
TYPE D NOTICE
04/01/2023
07/19/2023
160.36
723
100.01.03.00.5704
10
CITY OF MUSKEGO Payment Approval Report - Board Report Alpha Page: 5
Report dates: 6/15/2023-7/26/2023 Jul 21, 2023 01:29PM
Invoice Number SegNo Type
Description
Invoice Date
Payment Due Date
Total Cost
GL Period
GLAccount Number
Total CONLEY MEDIA, LLC:
160.36
CONSERV FS INC
65159067 1 Invoice
SUPERX GOLD ESP BULK FS PO
06/30/2023
07/30/2023
4,123.72
723
100.04.51.02.5740
Total CONSERV FS INC:
4,123.72
CORE & MAIN LP
T152014 1 Invoice
DUAL WALL
07/06/2023
08/05/2023
155.00
723
100.04.51.04.5745
Total CORE & MAIN LP:
155.00
CRETEX SPECIALTY PRODUCTS
041173 1 Invoice
PRO -RING FINISH RING
07/12/2023
08/11/2023
2,007.27
723
601.61.61.16.5427
Total CRETEX SPECIALTY PRODUCTS:
2,007.27
DELAFIELD POLICE DEPARTMENT
delafieldscit23 1 Invoice
SCIT DUES
02/02/2023
06/28/2023
7,500.00
623
100.02.20.01.5305
Total DELAFIELD POLICE DEPARTMENT:
7,500.00
DIGGERS HOTLINE INC
230671901 1 Invoice
STANDARD EMAIL FESS FOR JAN
06/30/2023
07/30/2023
85.51
723
605.56.09.21.5305
230 7 71901 P 1 Invoice
2ND PREPAYMENT 2023
07/12/2023
08/11/2023
3,129.60
723
605.56.09.23.5815
Total DIGGERS HOTLINE INC:
3,215.11
DIVERSIFIED BENEFIT SERV INC.
385956 1 Invoice
HRA HEALTH REIMBURSEMENT -
07/06/2023
07/06/2023
430.90
723
100.01.06.00.5203
Total DIVERSIFIED BENEFIT SERV INC.:
430.90
DIXON ENGINEERING INC
23-0719 1 Invoice
DECOMMISSIONING INSPECTION
07/07/2023
08/07/2023
1,250.00
723
100.04.19.00.5815
Total DIXON ENGINEERING INC:
1,250.00
DNESCO ELECTRIC INC.
13710 1 Invoice
CH MAINT
04/26/2023
07/07/2023
406.08
723
100.01.09.00.5415
Total DNESCO ELECTRIC INC.:
406.08
DOUSMAN TRANSPORT CO., INC
70-001367 1 Invoice
FOX RIVER KAYAK TRANSPORTAT
06/30/2023
07/30/2023
150.00
723
100.05.72.13.5820
70-001367 2 Invoice
PLAYGROUNDS FIELD TRIP - RID
06/30/2023
07/30/2023
680.00
723
100.05.72.16.5820
Total DOUSMAN TRANSPORT CO., INC:
830.00
EAGLE EXCAVATING & GRADING
20231187 1 Invoice
REFUND WATER LATERAL W1368
07/14/2023
07/14/2023
60.00
723
100.02.25.00.4250
Total EAGLE EXCAVATING & GRADING:
60.00
EAGLE MEDIA INC.
00136386 1 Invoice
INTERNATIONAL TRUCK 10 AVER
03/28/2023
04/10/2023
165.00
623
100.04.51.03.5743
00136840 1 Invoice
CL2 VEST W/ZIP 2-TONE SAFETY
05/12/2023
05/27/2023
144.00
623
100.04.51.03.5743
CITY OF MUSKEGO
Payment Approval Report - Board Report Alpha
Report dates: 6/15/2023-7/26/2023
Page: 6
Jul 21, 2023 01:29PM
Invoice Number SegNo
Type
Description
Invoice Date Payment Due Date
Total Cost
GL Period
GLAccount Number
00137028 1
Invoice
7X7 REFLECTIVE NO DUMPING SI
06/14/2023
06/29/2023
501.03
623
100.04.51.03.5743
00137229 1
Invoice
BOATSTRIPING
07/13/2023
07/14/2023
496.50
723
100.02.20.01.5115
Total EAGLE MEDIA INC.:
1,306.53
ELLIOTT'S ACE HARDWARE
601005 JUNE 1
Invoice
SOCKETS CONCRETE FLEX SEA
06/08/2023
07/08/2023
96.92
723
100.04.51.04.5744
897266/897463 1
Invoice
CH MAINT
06/07/2023
07/07/2023
10.87
723
100.01.09.00.5415
897266/897463 2
Invoice
CH MAINT
06/07/2023
07/07/2023
19.40
723
100.01.09.00.5415
897565 1
Invoice
MAIN OLD PD
06/28/2023
07/18/2023
7.19
723
100.02.20.01.5415
Total ELLIOTT'S ACE HARDWARE:
134.38
EZ-LINER IND.
073341 1
Invoice
TIP TIP GUARD SPRAY FREIGH
07/07/2023
08/06/2023
529.35
723
100.04.51.07.5405
073360 1
Invoice
PMP SERV KIT MINOR SOL AIR VL
07/12/2023
08/11/2023
812.39
723
100.04.51.07.5405
Total EZ-LINER IND.:
1,341.74
FASTENAL COMPANY
WIMUK97818 1
Invoice
STRAWBERRY URINAL SCREENS
07/07/2023
08/06/2023
69.72
723
100.04.51.11.5415
Total FASTENAL COMPANY:
69.72
FINDAWAY WORLD LLC
433873 1
Invoice
AV
06/28/2023
07/28/2023
303.95
723
100.05.71.02.5711
Total FINDAWAY WORLD LLC:
303.95
FIRST RESPONDERS PSYCHOLOGICAL SERVICES
0623/OIS/MKP 1
Invoice
CIS TRAINING SESSION
07/10/2023
08/10/2023
600.00
723
100.02.20.01.5845
0623MKPD 1
Invoice
THERAPY SESSIONS
07/10/2023
08/10/2023
550.00
723
100.02.20.01.5845
Total FIRST RESPONDERS PSYCHOLOGICAL SERVICES:
1,150.00
FLEET CHARGE
2311889P 1
Invoice
COOLER BRACKET AUX SPR RIN
07/05/2023
08/04/2023
3,297.65
723
100.04.51.07.5405
Total FLEET CHARGE:
3,297.65
FRANKLIN AGGREGATES INC.
1868340 1
Invoice
1 1/4 COMMERCIAL GRADE
06/15/2023
07/15/2023
513.26
623
100.04.51.02.5741
1875197 1
Invoice
1 1/4 COMMERCIAL GRADE & CO
07/13/2023
08/12/2023
798.27
723
100.04.51.02.5741
Total FRANKLIN AGGREGATES INC.:
1,311.53
FRANKLIN POLICE DEPT.
franklinpdtobia 1
Invoice
FRANKLIN PD WARRANT - NICOL
07/11/2023
07/11/2023
124.00
723
100.02.20.01.4272
Total FRANKLIN POLICE DEPT:
124.00
FRANKLIN, CITY OF
05596-JUNE 1
Invoice
12442 TC - 2ND QTR 2023
06/30/2023
07/28/2023
25.65
623
601.61.63.43.5801
05596-JUNE 2
Invoice
12466 TC - 2ND QTR 2023
06/30/2023
07/28/2023
25.65
623
601.61.63.43.5801
Total FRANKLIN, CITY OF:
51.30
12
CITY OF MUSKEGO Payment Approval Report - Board Report Alpha Page: 7
Report dates: 6/15/2023-7/26/2023 Jul 21, 2023 01:29PM
Invoice Number SegNo Type Description Invoice Date Payment Due Date Total Cost GL Period GLAccount Number
GALLS, LLC
024821194 1 Invoice ONDRICKAHASHMARKS 06/16/2023 07/16/2023 27.75 723 100.02.20.01.5151
024821195 1 Invoice SARTORIUS UNIFORMS 06/16/2023 07/14/2023 127.90 723 100.02.20.01.5151
Total GALLS, LLC:
GAMETIME INC
PJI-0210413 1 Invoice
LEXAN BUBBLE 28" DIA
06/13/2023
Total GAMETIME INC:
GEO-SYNTHETICS SYSTEMS
IV-68218 1 Invoice
QSTAPLE
06/30/2023
Total GEO-SYNTHETICS SYSTEMS:
GLEASON REDI MIX
322461 1 Invoice
6 BAG AIR
06/12/2023
323482 1 Invoice
6 BAG AIR & FUEL
07/06/2023
Total GLEASON REDI MIX:
GRAINGER
9759836415 1 Invoice
MOTOR 1/45 HP MOTOR START C
07/05/2023
9759836415 C 1 Invoice
CREDIT
07/11/2023
9765925871 1 Invoice
MOTOR 1/45 HP MOTOR
07/11/2023
9767254411 1 Invoice
BLOWER
07/12/2023
Total GRAINGER:
H & H CIVIL CONSTRUCTION LLC
2312-1 1 Invoice
KURTH PARK BASEBALL INFIELD
06/06/2023
2312-2 1 Invoice
PARK ARTHUR BASEBALL INFIELD
06/06/2023
Total H & H CIVIL CONSTRUCTION LLC:
HARTLING TRUCKING LLC
501 1 Invoice
STONE
07/13/2023
Total HARTLNG TRUCKING LLC:
HAWKINS INC.
6511979 1 Invoice
AZONE 15
06/29/2023
Total HAWKINS INC.:
HEARTLAND BUSINESS SYSTEMS
618435-H 1 Invoice
FIREWALL/SWITCH GEAR FOR CO
07/11/2023
Total HEARTLAND BUSINESS SYSTEMS:
HOLZ MOTORS INC
164680-1 1 Invoice
PIPE
07/14/2023
165161-1 1 Invoice
BEZEL HANDLE
07/13/2023
Total HOLZ MOTORS INC:
155.65
07/12/2023
1,282.70
623
202.08.94.74.6584
1,282.70
07/30/2023
47.52
723
100.04.51.04.5744
47.52
07/12/2023
151.20
623
100.04.51.04.5744
08/05/2023
246.00
723
100.04.51.04.5744
397.20
08/04/2023
57.22
723
601.61.61.16.5411
07/11/2023
46.05-
723
601.61.61.16.5411
08/10/2023
64.42
723
601.61.61.16.5411
08/11/2023
102.72
723
601.61.61.16.5411
178.31
07/05/2023
4,800.00
623
202.08.94.74.6575
07/05/2023
15,600.00
623
202.08.94.74.6530
20,400.00
08/12/2023
598.96
723
100.04.51.02.5741
07/29/2023 2,916.93 723 605.56.09.23.5865
2,916.93
07/23/2023 3,546.37 723 410.08.90.14.6527
3,546.37
08/13/2023 45.61 723 100.04.51.11.5405
08/12/2023 53.40 723 100.04.51.11.5405
99.01
13
CITY OF MUSKEGO
Payment Approval Report - Board Report Alpha
Report dates: 6/15/2023-7/26/2023
Page: 8
Jul 21, 2023 01:29PM
Invoice Number SegNo
Type
Description
Invoice Date
Payment Due Date
Total Cost
GL Period
GLAccount Number
HUMPHREY SERVICE PARTS
01P112328 1
Invoice
8G-8MP 8G-8MPX
07/05/2023
08/04/2023
90.50
723
100.04.51.07.5405
01P112394 1
Invoice
C/TCLAMP
07/07/2023
08/06/2023
83.97
723
100.04.51.07.5405
0113112763 1
Invoice
STUD BATTERY BATTERY CORE
07/07/2023
08/06/2023
286.94
723
100.04.51.07.5405
01P113004 1
Invoice
CREDIT
07/11/2023
08/10/2023
63.76-
723
100.04.51.07.5405
Total HUMPHREY SERVICE
PARTS:
397.65
IDI
IN508948 1
Invoice
REVERSE LOOK UP
06/30/2023
07/30/2023
140.00
723
100.02.20.01.5722
Total IDI:
140.00
J & O TRUCKING INC
2023-7122 1
Invoice
DELIVER STONE TO KIPLING DR 2
06/30/2023
07/30/2023
343.75
723
100.04.51.02.5741
Total J & O TRUCKING INC:
343.75
JOERS, STACI
July182023Pari 1
Invoice
CLASS INSTRUCTION PARIS COO
07/18/2023
08/18/2023
140.00
723
100.05.72.18.5110
Total JOERS, STACI:
140.00
KARL CHEVROLET INC.
340416 1
Invoice
NEW SQUAD
07/19/2023
07/19/2023
41,382.00
723
100.07.20.01.6501
Total KARL CHEVROLET INC.:
41,382.00
KNOX CO.
INV-KA-200217 1
Invoice
S75W17289 JANESVILLE RD
06/29/2023
07/29/2023
519.00
723
100.02.25.00.5704
Total KNOX CO.:
519.00
KONE, INC.
871086009 1
Invoice
MAINTENANCE AGREEMENT 7/1-9
07/01/2023
07/31/2023
509.88
723
100.02.20.01.5415
Total KONE, INC.:
509.88
LANDMARK STUDIO, LTD
68172 1
Invoice
DOG PARK
06/18/2023
07/17/2023
15,906.00
623
202.08.94.74.6586
Total LANDMARK STUDIO, LTD:
15,906.00
LANGE ENTERPRISES
84050 1
Invoice
FRAMES
07/06/2023
08/06/2023
144.77
723
100.02.25.00.5752
Total LANGE ENTERPRISES:
144.77
LANGUAGE LINE SERVICES, INC.
11049340 1
Invoice
INTERPRETER- OJEDA-TORRES
06/30/2023
07/30/2023
5.76
723
100.01.08.00.6004
Total LANGUAGE LINE SERVICES, INC.:
5.76
LEGACY RECYCLING
3289 1
Invoice
EMERALD PARK LANDFILL JUNE 2
07/18/2023
08/18/2023
1,530.27
723
205.03.00.00.5820
Total LEGACY RECYCLING:
1.530.27
14
CITY OF MUSKEGO
Payment Approval Report - Board Report Alpha
Page: 9
Report dates: 6/15/2023-7/26/2023
Jul 21, 2023 01:29PM
Invoice Number SegNo
Type
Description
Invoice Date Payment Due Date
Total Cost
GL Period
GLAccount Number
MARCO TECHNOLOGIES LLC
INV11411559 1
Invoice
ANNUAL PHONE MAINT. 2 CONTR
07/13/2023
07/28/2023
3,645.96
723
100.01.14.00.5507
Total MARCO TECHNOLOGIES
LLC:
3,645.96
MARCUS CINEMAS OF WISCONSIN, LLC
947 1
Invoice
SUMMER CAMP FIELD TRIP- MOVI
06/29/2023
07/29/2023
1,155.00
723
100.05.72.16.5820
Total MARCUS CINEMAS OF WISCONSIN, LLC:
1,155.00
MENARDS
41823 1
Invoice
2X8 JOIST HANGER 2X8-8' GREE
06/26/2023
07/25/2023
169.84
723
100.04.51.11.5415
41846 1
Invoice
SHIMS CLOCK GREEN TREATED
06/26/2023
07/25/2023
135.31
723
100.04.51.11.5415
41875 1
Invoice
SUPPLIES
06/27/2023
07/26/2023
106.36
723
100.04.51.07.5405
41986 1
Invoice
LED 6 PK
06/29/2023
07/28/2023
19.36
723
100.04.51.07.5405
42365 1
Invoice
SUPPLIES
07/06/2023
08/05/2023
157.51
723
601.61.61.15.5415
42418 1
Invoice
ENGEL CONS TOILET ENCLOSUR
07/07/2023
07/07/2023
224.91
723
215.06.00.00.6008
42613 1
Invoice
SUPPLIES
07/11/2023
07/11/2023
40.39
723
215.06.00.00.5704
Total MENARDS:
853.68
MIDWEST TAPE
504016983 1
Invoice
AV
07/03/2023
08/03/2023
42.73
723
100.05.71.02.5711
504016984 1
Invoice
AV
07/03/2023
08/03/2023
34.99
723
100.05.71.02.5711
504048017 1
Invoice
AV
07/10/2023
08/10/2023
46.99
723
100.05.71.02.5711
Total MIDWESTTAPE:
124.71
MISS BECKY LLC
807 1
Invoice
CLASS INSTRUCTION HIP HOPS
07/10/2023
07/31/2023
288.75
723
100.05.72.13.5110
Total MISS BECKY LLC:
288.75
NELSON SYSTEMS INCORPORATED
P102375 1
Invoice
ANNUAL CALL RECORDING
07/12/2023
09/01/2023
4,270.85
723
100.02.20.01.5504
Total NELSON SYSTEMS INCORPORATED:
4,270.85
OLSONS OUTDOOR POWER
201410 1
Invoice
KIT BLADE 12 PACK
07/11/2023
08/10/2023
38.98
723
100.04.51.11.5415
Total OLSONS OUTDOOR POWER:
38.98
O'REILLYAUTOMOTIVE INC.
3853-342107 1
Invoice
OIL FILTER
06/28/2023
07/28/2023
47.69
723
100.02.20.01.5405
Total O'REILLYAUTOMOTIVE INC.:
47.69
PACKER FASTENER
IN3737 1
Invoice
LASER LITE DISPOSABLE EARPL
06/12/2023
07/12/2023
206.16
623
100.04.51.07.5405
Total PACKER FASTENER:
206.16
PAYNE & DOLAN OF WISCONSIN
1875434 1
Invoice
24.40 TN
07/13/2023
08/12/2023
1,769.01
723
100.04.51.02.5741
1876439 1
Invoice
13.19 TN COMMERICAL 9.5 MM
07/18/2023
08/17/2023
921.32
723
100.04.51.02.5740
187648 1
Invoice
9.08 TN COMMERICAL 95MM
07/18/2023
08/17/2023
621.07
723
100.04.51.02.5740
15
CITY OF MUSKEGO Payment Approval Report - Board Report Alpha Page: 10
Report dates: 6/15/2023-7/26/2023 Jul 21, 2023 01:29PM
Invoice Number SegNo Type
Description
Invoice Date
Payment Due Date
Total Cost
GL Period
GLAccount Number
Total PAYNE & DOLAN OF WISCONSIN:
3,311.40
PERRILL
260425 1 Invoice
ROWAYWEB APPS
07/01/2023
07/31/2023
85.00
723
100.04.19.00.5815
Total PERRILL:
85.00
PORT-A-JOHN
0446505-IN 1 Invoice
CLEANING SERVICE
06/30/2023
07/14/2023
80.00
723
100.02.20.01.6023
Total PORT-A-JOHN:
80.00
PROHEALTH CARE
10003207335 1 Invoice
BLOOD DRAWS
07/01/2023
08/01/2023
37.13
723
100.02.20.01.5722
318686 1 Invoice
DOYNE DRUG SCREEN
06/23/2023
07/23/2023
43.00
723
100.02.20.01.5845
Total PROHEALTH CARE:
80.13
PROVEN POWER INC
02-431942 1 Invoice
JOHN DEERE PARTS
06/13/2023
07/12/2023
329.50
623
100.04.51.11.5405
2-434279 1 Invoice
JD OIL FILTER FILTER ELEMENT
07/12/2023
08/11/2023
205.63
723
100.04.51.07.5405
Total PROVEN POWER INC:
535.13
R.S. PAINT & TOOLS LLC
342228 1 Invoice
24" CLOG FREE POLY RAKE 36"
07/17/2023
08/16/2023
555.80
723
100.04.51.04.5744
Total R.S. PAINT & TOOLS LLC:
555.80
RINDERLE TIRE INC.
148321 1 Invoice
SQD TIRES
06/14/2023
07/14/2023
521.48
723
100.02.20.01.5405
Total RINDERLE TIRE INC.:
521.48
RUEKERT & MIELKE INC
147261 1 Invoice
GENERAL SERVICES 05202023-06
06/30/2023
07/30/2023
1,088.34
723
601.61.63.43.5815
147262 1 Invoice
2021 PP 1/1 05202023-06162023
06/30/2023
07/30/2023
606.50
723
601.65.00.00.6516
Total RUEKERT & MIELKE INC:
1,694.84
SAFEWAY PEST MANAGEMENT INC.
712006 1 Invoice
PEST CONTROL -OLD PD
07/13/2023
08/13/2023
38.00
723
100.04.51.11.5820
712007 1 Invoice
PEST CONTROL LIBRARY
07/03/2023
08/03/2023
35.00
723
100.05.71.00.5415
Total SAFEWAY PEST MANAGEMENT INC.:
73.00
SCHULTZ RESORT ROD & GUN CLUB LTD
215 1 Invoice
CLASS INSTRUCTION SPRING AR
07/13/2023
07/31/2023
260.00
723
100.05.72.13.5110
Total SCHULTZ RESORT ROD & GUN CLUB LTD:
260.00
SCHWAAB, INC
8340616 1 Invoice
NOTARY STAMP
06/07/2023
07/07/2023
38.45
623
100.01.03.00.5701
Total SCHWAAB, INC:
38.45
16
CITY OF MUSKEGO
Payment Approval Report - Board Report Alpha
Report dates: 6/15/2023-7/26/2023
Page: 11
Jul 21, 2023 01:29PM
Invoice Number SegNo
Type
Description
Invoice Date Payment Due Date
Total Cost
GL Period
GLAccount Number
SEBERT
18833
1
Invoice
JULY 2023- LAWN MAINTENANCE
07/31/2023
07/31/2023
687.50
723
100.02.20.01.5415
18833
2
Invoice
JULY 2023- LAWN MAINTENANCE
07/31/2023
07/31/2023
1,500.00
723
100.05.71.00.5415
18833
3
Invoice
JULY 2023- LAWN MAINTENANCE
07/31/2023
07/31/2023
1,687.50
723
100.01.09.00.5415
18833
4
Invoice
JULY 2023 - LAWN MAINTENANCE
07/31/2023
07/31/2023
7,500.00
723
100.01.06.00.5820
18833
5
Invoice
JULY 2023 - LAWN MAINTENANCE
07/31/2023
07/31/2023
5,625.00
723
100.04.51.11.5820
18833
6
Invoice
JULY 2023 - LAWN MAINTENANCE
07/31/2023
07/31/2023
1,375.00
723
601.65.00.00.6220
Total SEBERT
18,375.00
SERVICE SANITATION WISCONSIN
INC
8655653
1
Invoice
JENSEN PORTABLE CLEANING
07/10/2023
07/31/2023
35.00
723
100.04.51.11.5820
Total SERVICE SANITATION
WISCONSIN
INC:
35.00
SERWE IMPLEMENT CO LLC
10098
1
Invoice
V-BELTS BEARING BUSHING SHI
06/16/2023
07/15/2023
583.01
623
100.04.51.07.5405
Total SERWE IMPLEMENT CO LLC:
583.01
SHERWIN-WILLIAMS CO.
7701-7
1
Invoice
HYDRANT PAINT
07/06/2023
08/05/2023
329.40
723
605.54.06.54.5702
Total SHERWIN-WILLIAMS CO.:
329.40
SOMAR TEK LLC/ ENTERPRISES
103023
1
Invoice
KREGER UNIFORM
06/29/2023
07/29/2023
58.99
723
100.02.20.01.5151
103027
1
Invoice
JONES UNIFORMS
07/06/2023
08/06/2023
22.00
723
100.02.20.01.5151
103028
1
Invoice
FUNDERBURK UNIFORMS
07/06/2023
07/14/2023
24.40
723
100.02.20.01.5151
Total SOMAR TEK LLC/ ENTERPRISES:
105.39
SPECTRUM
015280507062
1
Invoice
CONNECTION FOR CAMERAS
07/06/2023
07/23/2023
119.98
723
100.04.51.11.5415
Total SPECTRUM:
119.98
STARK PAVEMENT CORP
2022-0920.25
1
Invoice
2023 ROAD PROGRAM
06/27/2023
06/27/2023
250,000.00
723
100.07.51.02.6502
2022-0920.25
2
Invoice
2023 ROAD PROGRAM
06/27/2023
06/27/2023
589,542.08
723
410.08.91.19.6501
Total STARK PAVEMENT
CORP:
839,542.08
STREICHER'S
11465348
1
Invoice
LESS LETHAL
11/17/2020
06/26/2023
281.50
623
410.08.91.20.6510
11469202
1
Invoice
KREGER HOLSTER
12/07/2020
06/26/2023
109.99
623
100.02.20.01.5151
11502735
1
Invoice
FREGOSO UNIFORM
05/12/2021
06/26/2023
9.99
623
100.02.20.01.5151
11591089
1
Invoice
OC SPRAY
09/22/2022
06/26/2023
15.55
623
100.02.20.01.5722
11593757
1
Invoice
9MM AMMO
10/07/2022
06/26/2023
1,904.25
623
410.08.91.20.6521
11605513
1
Invoice
LANGE SCIT VEST
12/14/2022
06/26/2023
3,609.00
623
100.02.20.01.5227
11622099
1
Invoice
GAS MASKS
03/14/2023
06/26/2023
9,900.00
623
410.08.91.20.6529
11643331
1
Invoice
PETZ UNIFORMS
07/07/2023
08/07/2023
297.99
723
100.02.20.01.5151
Total STREICHER'S:
16,128.27
TESS CORNERS VOL FIRE DEPT
04012023-063
1
Invoice
2ND QTR REVIEWS 2023
07/17/2023
07/18/2023
32,299.58
723
100.02.21.00.5850
2ND QTR REVI
1
Invoice
APR - JUN 2023 REVIEW FEES
07/13/2023
07/13/2023
850.00
723
100.02.21.00.5850
17
CITY OF MUSKEGO
Payment Approval Report - Board Report Alpha
Report dates: 6/15/2023-7/26/2023
Page: 12
Jul 21, 2023 01:29PM
Invoice Number SegNo Type
Description
Invoice Date Payment Due Date
Total Cost
GL Period
GLAccount Number
Total TESS CORNERS VOL FIRE DEPT.
33,149.58
TREETOP EXPLORER, LLC
22-524 1 Invoice
CLASS INSTRUCTION TREE TOP
07/19/2023
07/19/2023
608.00
723
100.05.72.13.5110
Total TREETOP EXPLORER, LLC:
608.00
UIHLEIN SOCCER PARK
154368 1 Invoice
CLASS INSTRUCTION SPRING SE
07/18/2023
08/18/2023
5,850.00
723
100.05.72.13.5110
Total UIHLEIN SOCCER PARK:
5,850.00
US CELLULAR
0585545767 1 Invoice
SCADA-WELL SECURITY
06/10/2023
07/15/2023
571.52
723
605.56.09.23.5620
0589298538 1 Invoice
MONTHLY CHARGE-PD
06/28/2023
07/23/2023
38.31
723
100.02.20.01.5604
0589298538 2 Invoice
MONTHLY CHARGE - WATER SCA
06/28/2023
07/23/2023
35.43
723
605.56.09.21.5607
0589298538 3 Invoice
MONTHLY CHARGE - SEWER SCA
06/28/2023
07/23/2023
35.43
723
601.61.63.42.5606
0589298538 4 Invoice
MONTHLY CHARGE - IS
06/28/2023
07/23/2023
38.31
723
100.01.14.00.5601
0589298538 5 Invoice
MONTHLY CHARGE - FINANCE
06/28/2023
07/23/2023
30.00
723
100.01.03.00.5601
0589298538 6 Invoice
MONTHLY CHARGE - DPW
06/28/2023
07/23/2023
42.43
723
100.04.51.01.5605
0589298538 7 Invoice
MONTHLY CHARGE - REC
06/28/2023
07/23/2023
10.00
723
100.05.72.10.5601
Total US CELLULAR:
801.43
USA BLUE BOOK
INV00067316 1 Invoice
SPEC CHECK LR DPD CHLORINE
07/10/2023
08/09/2023
275.43
723
605.53.06.31.5702
Total USA BLUE BOOK:
275.43
VON BRIESEN & ROPER S.C.
421548 1 Invoice
ATTORNEY FEES
04/10/2023
04/10/2023
1.00-
723
100.01.05.00.5805
421550 1 Invoice
ATTORNEY FEES
04/10/2023
04/10/2023
1.00
723
100.01.05.00.5805
429687 1 Invoice
PROF SVCS - BARGAINING
07/07/2023
08/13/2023
3,391.40
723
100.01.05.00.5805
429697 1 Invoice
PROF SVCS-PERSONNEL
07/07/2023
08/13/2023
65.00
723
100.01.05.00.5805
Total VON BRIESEN & ROPER S.C.:
3,456.40
WARRIOR WASH LLC
warriorwashjun 1 Invoice
SQAUD WASHES
07/01/2023
08/01/2023
152.00
723
100.02.20.01.5405
Total WARRIOR WASH LLC:
152.00
WAUKESHA CO TECHNICAL COLLEGE
S0804356 1 Invoice
VPT/ELDER FINANCIAL EXPLOIT T
06/28/2023
07/14/2023
196.19
723
100.02.20.01.5301
Total WAUKESHA CO TECHNICAL COLLEGE:
196.19
WAUKESHA COUNTY TREASURER
MSKC2197189 1 Invoice
MSKC2197189 PATEL TAX
07/19/2023
07/19/2023
2,372.00
723
501.00.00.00.1201
Total WAUKESHA COUNTY TREASURER:
2,372.00
WCPPA
2023-CONF10 1 Invoice
CRIME PREVENTION CONF
07/12/2023
07/14/2023
195.00
723
100.02.20.01.5303
Total WCPPA:
195.00
18
CITY OF MUSKEGO Payment Approval Report - Board Report Alpha Page: 13
Report dates: 6/15/2023-7/26/2023 Jul 21, 2023 01:29PM
Invoice Number SegNo Type
Description
Invoice Date
Payment Due Date
Total Cost
GL Period
GLAccount Number
WE ENERGIES
4648639589 1 Invoice
STREET LIGHTING (00120)
07/07/2023
07/31/2023
5,524.87
723
100.04.51.06.5910
4652649992 1 Invoice
PARKS DEPARTMENT (00123)
07/11/2023
08/11/2023
1,628.07
723
100.04.51.11.5910
4654615933 1 Invoice
VETERANS MEMORIAL PARK (000
07/12/2023
08/12/2023
112.81
723
100.04.51.11.5910
Total WE ENERGIES:
7,265.75
WELDERS SUPPLY COMPANY
10367069 1 Invoice
1 YEAR PREPAID RENTAL 2-LG O
06/13/2023
07/12/2023
780.00
623
100.04.51.07.5405
Total WELDERS SUPPLY COMPANY:
780.00
WISC DEPT OF ADMIN - GAMING
deptofgamingn 1 Invoice
NNO GAMING PERMIT
07/17/2023
07/17/2023
25.00
723
505.00.00.00.2638
Total WISC DEPT OF ADMIN - GAMING:
25.00
WISCNET
21039 1 Invoice
ANNUAL FEES
07/06/2023
08/05/2023
8,600.00
723
100.01.14.00.5507
Total WISCNET:
8,600.00
WISCONSIN BUILDING INSPECTION LLP
225 1 Invoice
JUNE INSPECTION SERVICES
07/11/2023
07/11/2023
16,308.61
723
100.02.25.00.5820
Total WISCONSIN BUILDING INSPECTION LLP:
16,308.61
WISCONSIN STATE LAB OF HYGIENE
747156 1 Invoice
SAMPLES
06/30/2023
07/30/2023
1,182.00
723
605.56.09.23.5865
Total WISCONSIN STATE LAB OF HYGIENE:
1,182.00
WOODLAND RESTORATION LLC
20230711-0035 1 Invoice
PARSNIP DENOON/CLOVER ENGE
07/11/2023
08/11/2023
752.00
723
215.06.00.00.6008
Total WOODLAND RESTORATION LLC:
752.00
Grand Totals:
1,369,882.80
Report Criteria:
Detail report.
Invoices with totals above $0 included.
Only unpaid invoices included.
[Report]. Description = {<>} "1099 adjustment'
19
�„�iSKEGO
Reports and Presentations to Finance Committee and Common Council
To: Finance Committee & Common Council
From: Scott Kroeger
Department: Public Works and Development
Subject: 2023 Capital Item — Well #13 Iron Filter Replacement
Date: July 25, 2023
This memo is to inform Finance of a purchase of more than $50,000. Utilities will be
moving forward with Kurita for the Well#13 Iron Filter Replacement. This item is an
approved 2023 Capital Project with a budget of $150,000. The attached quote is for
$137,850, which is within the budget.
Key Issues for Consideration: Attachments
1. Kurita Quote
Recommendation for Action by Committee and/or Council: No action required
Date of Committee Action: July 25, 2023
Planned Date of Council Action (if required): July 25, 2023
Total $ Needed: N/A
Fiscal Note(s): N/A
$ Budgeted: Accounts and budget below= $150,000
Expenditure Account(s) to Be Used: # 605.00.00.00.1935
20
T_
N
KURITA
Pricing
Kurita bases this proposal on the invoice schedule as shown below:
90% Upon Shipment of Materials
10% Upon Services
Delivery:
1. Shipment of equipment will be made in approximately 10 weeks after receipt of
Purchase Order. Schedule for completion will be determined at time of order.
2. This quote is valid for 30 days.
The attached CONDITIONS OF SALE AND WARRANTIES that are incorporated herein.
For your convenience, this sheet may be used as your order for this equipment.
Items Ordered
P.O. Number
Total Net Price
Firm Name and
Address
By (Print)
Signature
Date
Kurita America Inc.
Purchase orders should be addressed to:
Kurita America Inc.
6600 94th Ave. North
Minneapolis, MN 55445
We do not include the following:
1. Mechanical or electrical installation.
2. Unloading or rigging. The contractor must provide a suitable access to the jobsite.
3. On -site storage or protection of equipment.
4. Pipe, valves or fittings other than those specifically described herein.
5. Pipe supports or hangers.
OTONKAWATER
a Kurita brand
Muskego, WI Filter Refurbishment Quote- KATW07142023-1TDS Page 5 of 10
N
N
KURITA
6. Motor starters, motor controls, disconnects, or any other electrical equipment other than those
specifically described herein.
7. Electrical wiring or conduit.
8. Chemical feed tubing, conduit piping, hangers or supports.
9. Pumps or pumping equipment other than those specifically described herein.
10. Concrete, concrete grout or rebar.
11. Disinfection or disinfection / start-up chemicals.
12. Lubricants
13. Pneumatic tubing or conduit.
14. Control panel wall mounting material or hardware.
15. Anchor bolts or anchoring calculations, unless specifically described herein.
16. Any items not specifically described in this proposal.
17. Seismic design considerations of equipment unless otherwise noted.
Notes:
Equipment is quoted f.o.b. factory with full freight allowed to the jobsite.
Our proposal does not include any sales or use taxes.
Travel expenses included.
When ordering please include a signed copy of your Sales Tax Exemption certificate.
City to provide a forklift during media installation.
City to disinfect filter prior to start-up service — procedure provided by Kurita America.
City to provide a dumpster for pallets and bag removal.
The attached Kurita America standard Terms and Conditions are incorporated by reference into
this quotation, will be a part of any binding agreement between you and Kurita America and
cannot be modified by you whether by the terms of your purchase order or otherwise, except to
the extent expressly accepted by Kurita America in writing. You agree to abide by the terms of
Section 1("General"), Section 3 ("Quotations") and Section 17 ("Confidential Information") of
the Kurita America standard terms and conditions with respect to the information contained in
this quotation and any other information provided to you by Kurita America, regardless of
whether you submit an order or whether you and Kurita America enter into a binding agreement
regarding the purchase of the products described herein.
Please note that a copy of the contractor's payment and performance bond is required to be
forwarded to us as a part of normal credit approval procedures.
Kurita America requires partial payments based on shipped material and purchaser's account
being current prior to scheduling a field technician for equipment start-up.
Kurita America will provide field services as outlined above in this quotation. Kurita America's
field service rate is $1200.00 per day plus travel and per diem expenses. If Kurita America's field
service personnel arrive on -site after a schedule is established and the project is not ready for
the intended services to be performed, Kurita America will invoice for additional days, if
required. If the time required is greater than listed in this quotation, Kurita America will invoice
purchaser at the above field service rate plus travel and per diem expenses.
6TONKAWATER
a Kurita brand
Muskego, WI Filter Refurbishment Quote- KATW07142023-lTDS Page 6 of 10
COMMON COUNCIL — CITY OF MUSKEGO
RESOLUTION #045-2023
APPROVAL OF LETTER OF CREDIT REDUCTION FOR
HRIN INVESTMENTS, LLC
WHEREAS, Hrin Investments, LLC entered into a Developer's Agreement with the City
to construct the development located on Parker Drive (Madyson Court) just south of the
Field of Dreams development; and
WHEREAS, The project has been progressing well and a large majority of the work
associated with the public infrastructure has been completed per the Development
Agreement and to the satisfaction of the Director of Public Works and Development;
and
WHEREAS, As a result thereof, Hrin Investments, LLC has submitted a request for a
reduction to its Letter of Credit; and
WHEREAS, The Public Works and Development Director has recommended that the
Letter of Credit be reduced by $44,688.00, leaving a remaining balance of $0.00.
NOW, THEREFORE, BE IT RESOLVED That the Common Council of the City of
Muskego, upon the recommendation of the Finance Committee, does hereby approve
that the current amount remaining on the Letter of Credit for Hrin Investments, LLC be
reduced from $44,688.00 to $0.00.
DATED THIS 25th DAY OF JULY 2023.
SPONSORED BY:
FINANCE COMMITTEE
This is to certify that this is a true and accurate copy of Resolution #045-2023, which
was adopted by the Common Council of the City of Muskego.
City Clerk
7/23cmc
23
�„�iSKEGO
Reports and Presentations to Finance Committee and Common Council
To: Finance Committee & Common Council
From: Scott Kroeger
Department: Public Works and Development
Subject: Reduction of LOC for Hrin Investments, LLC
Date: July 25, 2023
Hrin Investments, LLC entered into a Development Agreement with the City for the
development on Parker Drive (Madyson Court) just south of the Field of Dreams
development. A large majority of work associated with public infrastructure has been
completed. The recommendation is to reduce the LOC to be reduced by $44,688.00. The
LOC would be reduced from $44,688.00 to $0.
Key Issues for Consideration: Attachments
1. Cost Breakdown Review for Hrin Investments, LLC LOC Reduction
Recommendation for Action by Committee and/or Council: Approval that the Hrin
Investments, LLC LOC to be reduced by $44,688.00. The LOC would be reduced from
$44,688.00 to $0.
Date of Committee Action: Finance Committee July 25, 2023
Planned Date of Council Action (if required): July 25, 2023
Total $ Needed: N/A
Fiscal Note(s): N/A
$ Budgeted: $0.00
Expenditure Account(s) to Be Used: # N/A
(3/2019)
24
COST BREAKDOWN
Madyson Court
June 26, 2023
#1 ROAD CONSTRUCTION
a. Stone/Binder Lifts of Asphalt/Curb & Gutter
b. Final Lift of Asphalt (including final inlet adjustments)
c. Sawcut, Mobilization & ND Testing
d. Recreational Trail or Sidewalk
e. Other (pavement marking)
f. Engineering Inspections (estimate only)
#2 SITE GRADING/LANDSCAPING/RESTORATION
Proposed Cost LOC Red No. 1 LOC Red No. 2 LOC Red No. 3 ADJ. BAL.
$
105,275.00
$77,232.00 $28,043.00
$ -
$
37,240.00
$0.00
$37,240.00 $ -
$
15,676.65
$7,838.33 $7,838.32
$ -
$
158,191.65
$85,070.33 $35,881.32
$37,240.00 $ -
a. Erosion control
$
170,000.00 $150,000.00
$20,000.00
$ -
b. Site Grading
$
-
$ -
c. Landscaping (street trees, prairie)
$
4,000.00
$4,000.00
$ -
d. Site Restoration (topsoil/seed or sod as required)
$
-
$ -
e. Clear and Grub Site
$
-
$ -
f. Engineering Inspections (estimate only)
$
19,140.00 $14,140.00
$5,000.00
$ -
$
193,140.00 $ 164,140.00 $
29,000.00 $
- $0.00
#4 SANITARY SEWER SYSTEM
a. Mains & Manholes
$ -
b. Laterals
$ -
$ -
c. Pumping station & Generator
$ -
$ -
d. Force main
$ -
$ -
e. Grinder pumps &chamber-indiv dwelling
$ -
$ -
f. Engineering Inspections (estimate only)
$ -
$ -
g. Other (Cleaning By Contractor & TV by City)
$ -
$ - $ -
$0.00
#5 WATER MAIN SYSTEM
a. Mains, valves & manholes
b. Hydrants, valves & leads
c. Water services
d. Well & pumphouse
e. Engineering Inspections (estimate only)
f. Other
#6 STORM SEWER SYSTEM
a. Mains & manholes
b. Inlets
c. Laterals + Sump Lines
d. Headwalls/discharge structures
e. Engineering Inspections (estimate only)
f. Other
#7 SPECIAL/MISC IMPROVEMENTS
a. Street lights ( WE Energies Lights - relocation)
b. Street signs
c. Other- Retaining Wall
#8 FEES
$0.00
$0.00
$ 5,000.00 $5,000.00 $ -
$ - $0.00
$0.00
$ 5,000.00 $5,000.00 $0.00
a.
City administration
$
2,000.02
$2,000.02
$ -
b.
Engineering Design and Admin and Testing
$
1,500.00
$1,500.00
$ -
c.
Engineering -As builts for underground (by City consultant)
$
2,000.00
$2,000.00
$ -
d.
Engineering- Survey & Grading As-builts
$
2,000.00
$2,000.00
$ -
e.
Legal
$
1,000.00
$1,000.00
$ -
f.
Other
$
-
$ -
$
8,500.02
$ 4,500.00 $
4,000.02 $
- $ -
TOTAL PROJECT ESTIMATE
$364,831.67
$258,710.33
$68,881.34
$37,240.00 $ -
120 % = LETTER OF CREDIT AMOUNT
$
437,798.00
$ 310,452.40 $
82,657.61 $
44,688.00 $ -
25
COMMON COUNCIL — CITY OF MUSKEGO
RESOLUTION #046-2023
APPROVAL OF LETTER OF CREDIT REDUCTION FOR
Muskego Lakes Estates, LLC
WHEREAS, Muskego Lakes Estates, LLC entered into a Developer's Agreement with
the City to construct Muskego Lakes Estates; and
WHEREAS, The project has progressed well such that all of the work associated with
the public infrastructure has been completed per the Development Agreement and to
the satisfaction of the Director of Public Works and Development; and
WHEREAS, As a result thereof, Muskego Lakes Estates, LLC has submitted a request
for a reduction to its Letter of Credit; and
WHEREAS, The Public Works and Development Director has recommended that the
Letter of Credit be reduced by $127,341.60, leaving a remaining balance of $0.00.
NOW, THEREFORE, BE IT RESOLVED That the Common Council of the City of
Muskego, upon the recommendation of the Finance Committee, does hereby approve
that the current amount remaining on the Letter of Credit for Muskego Lakes Estates,
LLC be reduced from $127,341.60 to $0.00.
DATED THIS 25th DAY OF JULY 2023.
SPONSORED BY:
FINANCE COMMITTEE
This is to certify that this is a true and accurate copy of Resolution #046-2023, which
was adopted by the Common Council of the City of Muskego.
City Clerk
7/23cmc
26
�„�iSKEGO
Reports and Presentations to Finance Committee and Common Council
To: Finance Committee & Common Council
From: Scott Kroeger
Department: Public Works and Development
Subject: Reduction of Letter of Credit for Muskego Lakes Estates LLC
Date: July 25, 2023
Muskego Lakes Estate LLC entered into a Development Agreement with the City to
construct Muskego Lakes Estates. All work with this project has been completed. The
Developer is asking for the LOC to be reduced from $127,341.60 to $0.
Key Issues for Consideration: Attachments
1. LOC — Muskego Lakes Revised MNP2
Recommendation for Action by Committee and/or Council: Approval that the Muskego
Lakes Estates LLC Letter of Credit be reduced from $127,341.60 to $0.
Date of Committee Action: Finance Committee July 25, 2023
Planned Date of Council Action (if required): July 25, 2023
Total $ Needed: N/A
Fiscal Note(s): N/A
$ Budgeted: $0.00
Expenditure Account(s) to Be Used: # N/A
(3/2019)
WA
COST BREAKDOWN
Muskego Lakes
July 1, 2019
Proposed Cost LOC Red No. 1 LOC Red No. 2 LOC Red No.3 LOC Red No.4 LOC Red No.5
LOC Red No. 6 LOC Red No. 7 LOC Red No. 8 LOC Red No. 9
ADJ. HAL.
#1 ROAD CONSTRUCTION
a. Stone/Binder Lifts of Asphalt/Curb & Gutter
$
240,915.00
$240,915.00
$
b. Final Lift of Asphalt (including final inlet adjustments)
$
56,568.00
$56,568.00
$
c. Recreational Trail or Sidewalk
$
-
$
d. Other (pavement marking)
$
-
$ -
e. Engineering Inspections (estimate only)
$
23,798.64
$13,798.64 $10,000.00
$
$
321,281.64
$
#2 SITE GRADING/LANDSCAPING/RESTORATION
a. Erosion control
$
20,900.00 $18,400.00
$2,500.00
$
b. Site Grading
$
258,375.00 $179,132.50 $73,342.50
$5,900.00
$
c. Landscaping (street trees, prairie)
$
26,800.00
$26,800.00
$
d. Site Restoration (topsoil/seed or sod as required)
$
78,000.00
$73,000.00 $5,000.00
$ -
e. Clear and Grub Site
$
-
$0.00
f. Engineering Inspections (estimate only)
$
30,726.00
$25,726.00 $5,000.00
$ -
$
414,801.00
$0.00
#4 SANITARY SEWER SYSTEM
a. Mains & Manholes
$
124,470.00
$93,350.00 $31,120.00
$
b. Laterals
$
56,856.00
$42,640.00 $14,216.00
$
-
c. Pumping station & Generator
$
-
$0.00
d. Force main
$
$0.00
e. Grinder pumps &chamber-indiv dwelling
$
-
$0.00
f. Engineering Inspections (estimate only)
$
14,506.08
$4,506.08 $5,000.00 $5,000.00
$
-
g. Other (Cleaning By Contractor & TV by City)
$0.00
$
195,832.08
$0.00
#5 WATER MAIN SYSTEM
a. Mains, valves & manholes
$
316,812.00
$316,812.00
$
-
b. Hydrants, valves & leads
$
72,700.00
$72,700.00
$
c. Water services
$
13,770.00
$13,770.00
$
d. Well & pumphouse
$
e. Engineering Inspections (estimate only)
$
32,262.56
$22,262.56
$5,000.00 $5,000.00
$
-
f. Other
$
-
$0.00
$
435,544.56
$0.00
#6 STORM SEWER SYSTEM
a. Mains & manholes
$
228,896.00
$211,916.51
$16,979.49
$
-
b. Inlets
$
47,678.00
$38,040.95
$9,637.05
$
c. Laterals + Sump Lines
$
38,010.00
$38,010.00
$
-
d. Headwalls/discharge structures
$
-
$0.00
e. Engineering Inspections (estimate only)
$
25,166.72
$20,166.72 $5,000.00
$
-
f. Other
$
-
$0.00
$
339,750.72
$0.00
#7 SPECIAL/MISC IMPROVEMENTS
a. Street lights ( WE Energies Lights)
$
9,000.00
$9,000.00
$
b. Street signs
$
-
$0.00
c. Other- Retaining Wall
$0.00
$
9,000.00 $0.00
$0.00
#8 FEES
a. City administration
$
-
$0.00
b. Engineering Design and Admin and Testing
$
10,000.00
$10,000.00
$
-
c. Engineering -As builts for underground (by City consultant)
$
10,000.00
$10,000.00
$
d. Engineering- Survey & Grading As-builts
$
10,000.00
$10,000.00
$
-
e. Legal
$
-
$0.00
f. Other
$
-
$0.00
$
30,000.00
$
TOTAL PROJECT ESTIMATE $1,746,210.00 $18,400.00 $179,132.50 $73,342.50 $425,544.56 $249,957.46 $256,015.34 $305,049.64 $132,900.00 $105,868.00 $
20% Retainage $ 349,242.00 $0.00
r20 % = LETTER OF CRED $2,095,452.00 $ -
$2,095,452.00 LOC Reduction with the 20%
$ 300.00 with wrong LOC Amount remaining
$0.00 with correct LOC Amount remaining
28
COMMON COUNCIL - CITY OF MUSKEGO
RESOLUTION #047-2023
APPOINTMENT OF CITY OF MUSKEGO CITIZEN REPRESENTATIVE TO
SUPERIOR (GFL) EMERALD PARK LANDFILL, LLC STANDING COMMITTEE
WHEREAS, The Mayor is authorized by the Superior Emerald Park Landfill, Inc.
Agreement, to appoint residents of the City of Muskego to serve on the Standing
Committee to monitor the construction and operation of the solid waste facility; that all
members appointed by the Mayor serve at his pleasure; and
WHEREAS, Michael D. Cowling has resigned his membership on the Standing
Committee effective immediately; and
WHEREAS, The Mayor hereby appoints Scott P. Kloskowski as a member of the
Standing Committee to replace Michael D. Cowling so that the number of City of
Muskego residents equals five (5) in accordance with the terms of the Agreement.
NOW, THEREFORE, BE IT RESOLVED That the Common Council of the City of
Muskego does hereby confirm the appointment of Scott P. Kloskowski to the Standing
Committee of the Superior Emerald Park Landfill, LLC Agreement.
DATED THIS 25th DAY OF JULY 2023.
SPONSORED BY:
Mayor Rick Petfalski
This is to certify that this is a true and accurate copy of Resolution #047-2023, which
was adopted by the Common Council of the City of Muskego.
Clerk -Treasurer
7/23cmc
29
CITY OF MUSKEGO
FINANCE COMMITTEE MINUTES
June 27, 2023
5:55 PM
Muskego City Hall, W182 S8200 Racine Avenue
CALL TO ORDER
Mayor Petfalski called the meeting to order at 5:55 pm.
PLEDGE OF ALLEGIANCE
Those present recited the Pledge of Allegiance.
APPROVED
n� r & C4 of
MUSKEGO
►AVIIlR,_
ROLL CALL
Present: Alderpersons Wolfe, Schroeder, and Madden.
Also present: Alderpersons Terrence, Hammel & Kubacki, Public Works and Development Director
Kroeger, City Attorney Warchol, City Clerk Roller and Assistant Deputy -Clerk Treasurer Kunke.
PUBLIC MEETING NOTICE
City Clerk Roller stated the meeting was noticed in accordance with the open meeting law.
APPROVAL OF MINUTES
Finance Committee Meeting - June 13, 2023
Alderperson Schroeder moved to approve. Alderperson Wolfe seconded; motion carried.
LICENSE APPROVALS
Recommend Approval of a Class "B" Dance Hall Permit to Rebecca S. Rodriguez, Individual (dba
Pack N Brew Bar & Grill / P&B Station) located at S78W16355 Woods Rd.
Alderperson Wolfe moved to approve. Alderperson Schroeder seconded; motion carried.
NEW BUSINESS
Recommend Approval of Baseler Developer's Agreement
Alderperson Madden moved to approve. Alderperson Schroeder seconded; motion carried.
VOUCHER APPROVAL
Alderperson Madden moved to recommend approval of Utility Vouchers in the amount of
$112,093.55. Alderperson Schroeder seconded; motion carried.
Alderperson Madden moved to recommend approval of General Fund Vouchers in the
amount of $120,444.05. Alderperson Schroeder seconded; motion carried.
Alderperson Madden moved to recommend approval of Wire Transfers for Payroll/Invoice
Transmittals in the amount of $410,442.96. Alderperson Wolfe seconded; motion carried.
FINANCE DIRECTOR'S REPORT
Quarterly Report
No action taken.
COMMUNICATIONS AND ANY OTHER BUSINESS AS AUTHORIZED BY LAW
None/No action taken.
ADJOURNMENT
Alderperson Schroeder moved to adjourn at 5:59 pm. Alderperson Wolfe seconded; motion
carried.
Minutes recorded and transcribed by City Clerk Roller.
30