Posted: July 6, 2015
Present: Holthaus, Langreck, M. Meyer, Bushman.
Absent: E. Meyer.
Zak Kriener from the Ossian Bee was present during the meeting. Penny Hertges and Paul & Carolyn Rael were present and participated in the discussion regarding the franchise fees.
Mayor Covell called the meeting to order at 4:55 p.m.
Officer Ward reported a conditional offer has been made for the police officer’s position left vacant when Officer Peters resigned. The likely start date would be late July or early August. The new hire will be attending the police academy in late August through mid December. Ward also reported there have been no leads on the vandalism that took place in June but surveillance cameras did identify there was one male and one female involved with the incidents.
Steve Steinberg asked the Council if there was any type of assistance from the City to help with expenses resulting from a water leak in his service line. It was explained to Steinberg, the property owner is responsible for all cost associated with the installation and maintenance of the water service line from the city’s water main all the way into the house.
During the Mayor’s report, Mayor Covell announced he would not be seeking re-election and will be stepping down when his term expires on December 31, 2015.
Holthaus made a motion approving the following consent items June 4, 2015 council minutes, clerk’s reports and the monthly bills, seconded by Bushman, carried, one absent.
Mark Jobgen, the city’s engineer working on the Jessie, Brooks, West Street Project presented the preliminary design of the project to the Mayor and Council. Jobgen went over the plan for clarification from the Council to determine if changes were needed before the final plan was drafted. Jobgen explained because of the funding the City is receiving, the final plans will need to be IDOT ready and comply with their regulations. The project is slated for FY16/17.
Bushman made a motion approving Change Order #1 for the Hall Street Pumping Station Project decreasing the amount of the original construction contract of $126,437.00 by $1,375.50 bringing the amount of the contract to $125,061.50, seconded by M. Meyer, carried, one absent.
M. Meyer made a motion approving Contract Payment #1 for the Hall Street Pumping Station Project in the amount of $118,808.42 to F.L. Frapfl, Inc., seconded by Langreck, carried, one absent.
M. Meyer made a motion introducing Resolution #558, a resolution accepting the Hall Street Pumping Station 2014 Project as completed, seconded by Holthaus.
Whereas the Mayor put the question on the motion and the following named Council members voted:
Ayes: Holthaus, Langreck, Bushman, M. Meyer.
Nays: None. Absent: E. Meyer.
Thereupon the Mayor declared said motion approved.
The Mayor and Council explained to residents attending the meeting the option available to the City to implement a franchise fee on both the residents electric and natural gas utility bills. They noted when a franchise fee is
implemented, the local option tax on the utility bill is removed (the local option tax is still collected by other retail sales inside the City). By swapping a franchise fee for the local option tax on the electric and gas bills, the City keeps 100% of the revenue collected from the utility customers located inside the City. Unlike local option tax revenue which gets distributed to entities county wide. Following discussion it was the consensus of the Council to go with a 2% franchise fee on both Alliant Energy and Black Hill’s Energy utility bills. Since there would not be a 1% Local Option Tax collected on the bills with a franchise fee, the net increase to both the gas and electric bills would be 1%.
Langreck made a motion authorizing the City of Ossian to establish a two percent (2%) utility franchise fee for both Alliant Energy for the sale and distribution of electric energy and Black Hills Energy for the sale and distribution of natural gas within the City of Ossian, seconded by Bushman, carried with M. Meyer voting no and one absent.
Bushman made a motion introducing Resolution #557, a resolution approving and adopting a revenue purpose statement for the use of revenue from electric and natural gas franchise fees, seconded by Holthaus.
Whereas the Mayor put the question on the motion and the following named Council members voted:
Ayes: Holthaus, Langreck, Bushman, M. Meyer.
Nays: None. Absent: E. Meyer.
Thereupon the Mayor declared said motion approved
M. Meyer made a motion setting a public hearing for August 3, 2015 at 5:00 pm on proposed ordinances establishing a 2% franchise fee on both Ossian resident’s Alliant Energy and Black Hills Energy’s utility bills, seconded by Bushman, carried, one absent.
Bushman made a motion introducing Resolution #556, a resolution directing the clerk to publish notice of hearing on the adoption of the proposed Code of Ordinances of the City of Ossian, Iowa, seconded by Langreck.
Whereas the Mayor put the question on the motion and the following named Council members voted:
Ayes: Holthaus, Langreck, Bushman, M. Meyer.
Nays: None. Absent: E. Meyer.
Thereupon the Mayor declared said motion approved
Holthaus made a motion approving Ossian Crown Club’s application for a Beer Permit w/Outdoor Service, seconded by M. Meyer, carried, one absent.
Bushman made a motion approving a building permit for Nora Hemesath and Duane Einck, seconded by M. Meyer, carried, one absent.
The Mayor and Council reviewed the sample Urban Revitalization Plan prepared by Attorney Zahasky. It was concluded more thought and discussion is needed before a plan is put in place.
Bushman made a motion to adjourn, seconded by Holthaus, carried, one absent. Meeting adjourned at 6:45 p.m.
June 2015 Expenses
- Acentek-phone/internet charges 458.61
- Aflac-employee deduction 161.52
- Alliant Energy-electric utilities 5818.42
- Allied Systems-maint services 160.00
- Baker & Taylor-library books 901.76
- Becker Hardware-services & repair 1199.20
- Beckmans Ace Hdwe-misc.supp/rep 384.96
- Black Hills Energy-gas utilities 185.53
- Brockman’s-misc supplies 4.78
- Bruening Rock Products-rock 94.79
- Cardmember Service-library supp. 12.93
- Casey’s-vehicle operations 414.67
- City Laundering-services 145.74
- City of Decorah-services 250.00
- Collection Service Ctr- employ.deduct. 990.00
- Demco-library supplies 94.00
- F.L. Krapfl-lift station constr. 125061.50
- Farmers Union Coop-vehicle operations 754.72
- Fayette Publishing-publication fee 90.25
- Gjere Construction-concrete services 39377.00
- Good Housekeeping-subscription 32.07
- Guildcraft-library supplies 42.68
- Hach Company-supplies 158.58
- Hawkins-operating supplies 5.00
- HTM Sales-operating supplies 289.89
- ICAP-property/vehicle insurance 17004.18
- IIW Engineers-services 8659.75
- IMWCA-work comp insurance 3920.00
- Iowa Codification-city code services 2400.00
- IA State Revolving Loan-loan pymt 69190.00
- Iowa History Journey-subscription 18.95
- IPERS-June Ipers 2551.93
- John Deere Financial-maint supplies 254.88
- Keystone Lab-lab fees 235.00
- Kyle Meyer-services 650.00
- Landmark Service-weed control 637.20
- Linderbaum Auto-equip repair 85.00
- Luana Savings Bank-h.s.a.pymt & fees 320.00
- Malcom Enterprises-garbage service 5049.75
- Marvin Meyer-mtg reimb 96.60
- MidAmerica Books-library books 122.60
- Midwest Tape-library videos 194.16
- Municipal Supply-supplies 164.30
- Ossian Lumber Co-supplies 179.12
- Post Office-postage 251.75
- Ossian Library-petty cash 74.40
- Oxmoor House-books 36.91
- Postville Vet Clinic-UPS chgs 54.00
- RDF=-playground supplies 3272.40
- Reilly Const-repair 600.00
- Riley’s Inc-operating supp 60.00
- Rite Price Office Supp-supplies 140.24
- Rivals-library supplies 25.00
- River City Paving-cold mix 403.19
- Scholstic-library supplies 157.50
- IRS-June Federal deposit 4375.95
- Trans Iowa Equipment-equip repair 13.24
- Treas. State of Iowa-state taxes 2476.00
- U.S. Cellular-phones & services 93.50
- Upstart-library supplies 13.86
- Wellmark-insurance premium 1824.90
- Westrum Leak Detection-services 762.50
- Ziegler Inc.-repair 105.58
- June payroll 11631.93
Total 315194.87
June 2015 Expenses by Fund
- General 90279.07
- Road Use 3559.18
- Employee Benefits 470.00
- Library Trust 379.98
- Debt Service 69020.00
- Capitol Project 129051.50
- Water 8192.59
- Sewer 14242.55
Total 315194.87
June 2015 Receipts
- General 30517.71
- Road Use Tax 13964.00
- Employee Benefits 159.45
- Emergency 29.62
- Local Option Tax 7853.39
- Debt Service 187.86
- Capitol Project 140000.00
- Water 13076.23
- Sewer 14443.17
Total 220231.43