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2021-11-16 City Council Meetng Packet
Agenda City Council Meeting City of Edina, Minnesota Edina City Hall Council Chambers Tuesday, November 16, 2021 7:00 PM Watch the meeting on cable TV or at EdinaMN.gov/LiveMeetings or Facebook.com/EdinaMN. Participate in Community Comment and Public Hearing in person, or Call 800-374-0221. Enter Conference ID 5079642. Give the operator your name, street address and telephone number. Press *1 on your telephone keypad when you would like to get in the queue to speak. A City sta8 member will introduce you when it is your turn. I.Call To Order II.Roll Call III.Pledge of Allegiance IV.Approval Of Meeting Agenda V.Community Comment During "Community Comment," the Mayor will invite residents to share issues or concerns that are not scheduled for a future public hearing. Items that are on tonight's agenda may not be addressed during Community Comment. Individuals must limit their comments to three minutes. The Mayor may limit the number of speakers on the same issue in the interest of time and topic. Individuals should not expect the Mayor or Council to respond to their comments tonight. The City Manager will respond to questions raised during Community Comments at the next meeting. A.City Manager's Response to Community Comments VI.Adoption Of Consent Agenda All agenda items listed on the Consent Agenda will be approved by one motion. There will be no separate discussion of items unless requested to be removed by a Council Member. If removed the item will be considered immediately following the adoption of the Consent Agenda. (Favorable rollcall vote of majority of Council Members present to approve, unless otherwise noted in consent item.) A.Approve Minutes: Work Session and Regular, November 3, 2021 B.Approve Payment of Claims C.Request for Purchase: Three Hybrid Hyundai Santa Fe D.Approve Joint Powers Agreement for Social Work Services with Hennepin County E.Request for Purchase: 2022 Ford F250 Truck F.Request for Purchase: 2022 Ford Maverick XLT G.Request for Purchase: Boiler Replacement at Public Works H.Petition Response for West 66th Street Sidewalk I.Approve Tra=c Safety Report of September 28, 2021 J.Approve Contract with Edina Education Fund K.Approve 2022 Calendar of Meeting and Religious Observance Dates L.Resolution No. 2021-110: Accepting Donations VII.Public Hearings During "Public Hearings," the Mayor will ask for public testimony after staA and/or applicants make their presentations. The following guidelines are in place to ensure an e=cient, fair, and respectful hearing; limit your testimony to three minutes and to the matter under consideration; the Mayor may modify times, as deemed necessary; avoid repeating remarks or points of view made by previous speakers. The use of signs, clapping, cheering or booing or any other form of verbal or nonverbal communication is not allowed. A.PUBLIC HEARING: Resolution No. 2021-109: Right-of-Way Easement Vacation at Pentagon Village B.PUBLIC HEARING: Issuance and Reissuance of Bonds Pursuant to Section 147(F) of the Internal Revenue Code VIII.Reports/Recommendations: (Favorable vote of majority of Council Members present to approve except where noted) A.Approve Sustainable Buildings Policy B.Ordinance 2021-14: Amending Chapter 20 of the Edina City Code Concerning Large Building Benchmarking C.Approve Summary Publication for Ordinance No. 2021-14: Amending Chapter 20 of the Edina City Code Concerning Large Building Benchmarking D.Resolution Nos. 2021-107 and 2021-108: Authorizing Issuance and Awarding the Sale of $4.62 Million General Obligation Refunding Bonds, Series 2021B and $2.43 Million General Obligation Recreational Revenue Refunding Bonds, Series 2021C E.Resolution 2021-105: Adopting a Spending Plan for the Southdale 2, Pentagon Park, and 70th & Cahill Tax Increment Financing Districts F.Resolution No. 2021-103 & Ordinance No. 2021-13: Zoning Ordinance Amendment and Revised Overall Development Plan for the US Bank Site at 7001 and 7025 France Avenue G.Sketch Plan Review for 6016 Vernon Avenue IX.Commission Correspondence (Minutes and Advisory Communication) A.Minutes: Transportation Commission, September 23, 2021 B.Minutes: Arts and Culture Commission September 23, 2021 C.Minutes: Human Rights & Relations Commission September 28, 2021 D.Advisory Communication from Community Health Commission: Study and Report on Possible Multi-Unit Housing Smoke-Free Initiatives X.Aviation Noise Update XI.Mayor And Council Comments XII.Manager's Comments A.Annual E=cient Buildings Sustainability Report & Program Evaluation B.Quarterly Financial Report C.Juneteenth Holiday D.Update on US Internet Expansion into Edina XIII.Calendar of City Council Meetings and Events XIV.Adjournment The City of Edina wants all residents to be comfortable being part of the public process. If you need assistance in the way of hearing ampliMcation, an interpreter, large-print documents or something else, please call 952-927-8861 72 hours in advance of the meeting. Date: November 16, 2021 Agenda Item #: V.A. To:Mayor and City Council Item Type: Other From:Sharon Allison, City Clerk Item Activity: Subject:City Manager's Response to Community Comments Information CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: None. INTRODUCTION: City Manager Neal will respond to questions asked at the previous council meeting. Date: November 16, 2021 Agenda Item #: VI.A. To:Mayor and City Council Item Type: Minutes From:Sharon Allison, City Clerk Item Activity: Subject:Approve Minutes: Work Session and Regular, November 3, 2021 Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Minutes as presented. INTRODUCTION: ATTACHMENTS: Description Minutes: Draft Work Session, Nov. 3, 2021 Minutes: Draft Regular Meeting, Nov. 3, 2021 MINUTES OF THE EDINA CITY COUNCIL WORK SESSION COUNCIL CHAMBERS, CITY HALL WEDNESDAY, NOVEMBER 3, 2021 5:30 P.M. CALL TO ORDER Mayor Hovland called the meeting to order at 5:34 p.m. ROLL CALL Answering roll call were Members Anderson, Jackson, Pierce, Staunton, and Mayor Hovland. Staff in attendance: Scott Neal, City Manager; Lisa Schaefer, Assistant City Manager; MJ Lamon, Engagement Coordinator; Jennifer Bennerotte, Communications Director; Cary Teague, Community Development Director; Perry Vetter, Parks & Recreation Director; Emily Bodeker, Assistant City Planner; Heidi Lee, Race & Equity Coordinator; Andrew Scipioni, Transportation Planner; Grace Hancock, Sustainability Coordinator; Jeff Brown, Community Health Administrator; Risi Karim, City Management Fellow; and Sharon Allison, City Clerk. 2022 COMMISSION WORK PLANS Manager Neal and Assistant City Manager Schaefer reviewed and provided staff’s recommendations on the initiatives submitted by the eight commissions. Manager Neal said Council would approve the final work plans on Dec. 7. The Council asked questions and provided feedback. ADJOURNMENT Mayor Hovland adjourned the meeting at 6:34 p.m. Respectfully submitted, ____________________________________________ Sharon Allison, City Clerk Minutes approved by the Edina City Council, November 16, 2021. ___________________________________________ James B. Hovland, Mayor Page 1 MINUTES OF THE REGULAR MEETING OF THE EDINA CITY COUNCIL MEETING NOVEMBER 3, 2021 7:00 P.M. I. CALL TO ORDER Mayor Hovland called the meeting to order at 7:00 p.m. then shared the procedure for public hearing and community comment in the hybrid meeting format. II. ROLLCALL Answering rollcall were Members Anderson, Jackson, Pierce, Staunton, Hovland. Absent: None. III. PLEDGE OF ALLEGIANCE IV. MEETING AGENDA APPROVED AS AMENDED Member Staunton made a motion, seconded by Member Jackson, to approve the meeting agenda as amended, moving Item VI.C to VII.B. Rollcall: Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. V. COMMUNITY COMMENT Federico Rossi, 4300 Branson Street, shared comments about environmental changes and impacts on health and encouraged the City to adopt the proposed climate plan. Lori Grotz, 5513 Park Place, commented about chlorides used in residential water softeners and the need for the City to consider a municipal water softening facility to lessen impacts to rivers. V.A. CITY MANAGER’S RESPONSE TO COMMUNITY COMMENTS Manager Neal responded to Community Comments from the last meeting. VI. CONSENT AGENDA ADOPTED AS AMENDED: Member Jackson made a motion, seconded by Member Pierce approving the consent agenda as amended, moving Item VI.C to VII.B.: VI.A. Approve minutes of the Work Session and Regular Meetings of October 19, 2021 VI.B. Approve Claims for Payment for Check Register Claims Pre-List Dated October 22, 2021 #1, totaling $2,500.00, Pre-List Dated October 22, 2021 #2, totaling $1,610,890.86, and Pre-List Dated October 29, 2021, totaling $1,913,724.45 VI.C. Resolution No. 2021-97 and Ordinance No. 2021-03; Site Improvement Plan Agreement, and Final Rezoning from PCD-1 and APD to PUD at 4917 Eden Avenue VI.D. Request for Purchase; Clean Water Strategy Professional Services Scope, Phase 1, awarding the bid to the recommended low bidder, Barr Engineering, $81,000 VI.E. Approve Revised Tree Removal Special Assessment for 7 Woodland Road VI.F. Approve Public Utility Improvement Agreements VI.G. Adopt Resolution No. 2021-100; Setting Public Improvement Hearings Date for Blake Road A, B, and C and Morningside D and # Neighborhood Roadway Reconstruction VI.H. Adopt Resolution 2021-101; Requesting Variance from State Aid Standards for Blake Road from Spruce Road to Scriver Road VI.I. Approve Contract Amendment with Tyler Technologies VI.J. Request for Purchase; Water Treatment Plan No. 6 Filter Improvements, awarding the bid to the recommended low bidder, AE2S, $34,300 Minutes/Edina City Council/November 3, 2021 Page 2 VI.K. Request for Purchase; Sewer and Water Pump, awarding the bid to the recommended low bidder, Thompson Pump Manufacturing Company, $57,168 VI.L. Request for Purchase; 2022 Western Star Tandem-Axle Truck with Plow, awarding the bid to the recommended low bidder, Boyer Truck and TBEI Equipment, $261,173 VI.M. Request for Purchase; 2022 Ford F250 4x4 Truck, awarding the bid to the recommended low bidder, Boyer Ford, $41,198 VI.N. Request for Purchase; 2022 Western Star Truck and Log Loader, awarding the bid to the recommended low bidder, Boyer Ford for $114,702 and Palfinger Epsilon M13A80 log loader package from ABM Equipment for $134,740 for a total cost of $249,442 VI.O. Adopt Ordinance No. 2021-102; Accepting Grant from Innovations for Aging LLC for Senior Center VI.P. Approve New Officer for Existing Liquor License for RH F&B Minnesota, LLC dba RH VI.Q. Adopt Resolution No. 2021-104; Accepting Donations Rollcall: Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. VII. SPECIAL RECOGNITIONS AND PRESENTATIONS VII.A. EAST GRANDVIEW TRANSPORTATION STUDY – RECEIVED Director of Engineering Millner said the East Grandview Transportation Study was recently completed as part of a condition associated with the development project at 4917 Eden Avenue. He reviewed the final report along with BetterTogetherEdina feedback responses that included 12 responses then reviewed goals of the study that included improved safety for all modes, traffic operations, pedestrian access and reduction of complexity of the existing roadway network. He presented details of the final staff recommended concepts, stakeholder feedback, and next steps and noted no data supported the need to address safety issues as traffic operated at acceptable levels and staff believed the goal of the study was met which identified gaps, barriers and experience for pedestrian and bike facilities. Mr. Millner presented proposed solutions in detail should Council wish to consider in the long-term, including funding and schedule. The Council asked questions and provided feedback. ITEMS REMOVED FROM CONSENT AGENDA: VII.B. RESOLUTION NO. 2021-97 AND ORDINANCE NO. 2021-03; SITE IMPROVEMENT PLAN AGREEMENT, AND FINAL REZONING FROM PCD-1 AND APD TO PUD AT 4917 EDEN AVENUE - ADOPTED Community Development Director Teague shared plans for the proposed development at 4917 Eden Avenue that was consistent with the preliminary plan and noted the applicant was agreeable to all proposed conditions. He said on June 1, 2021, the City Council granted preliminary approval of the project to construct a seven-story apartment and restaurant on the site. He said the applicant had submitted final plans which had not changed since the preliminary approval and noted staff had completed a study which included a plan to address transportation issues east of Highway 100 in the Grandview District. He said the plans would be shared with the neighborhood and considered by the HRA and City Council in 2021 and that the city attorney had drafted the site improvement plan agreement which was acceptable to the applicant. Mr. Neal noted the process included proposed conditions to be proposed during the preliminary plat process and that final approvals were included on the consent agenda if consistent with preliminary plat. The Council asked questions and provided feedback. Member Jackson introduced and moved adoption of Resolution No. 2021-97 and Ordinance No. 2021-03; Site Improvement Plan Agreement and Final Rezoning from PCD-1 and APD to PUD at 4917 Eden Avenue. Member Staunton seconded the motion. Rollcall: Ayes: Jackson, Pierce, Staunton, Hovland Minutes/Edina City Council/November 3, 2021 Page 3 Nay: Anderson Motion carried. VIII. PUBLIC HEARINGS - Affidavits of Notice presented and ordered placed on file. VIII.A. RESOLUTION NO. 2021-105 APPROVING SPENDING PLAN FOR SOUTHDALE 2, PENTAGON PARK AND 70TH AND CAHILL TAX INCREMENT FINANCING DISTRICTS – CONTINUED TO NOVEMBER 16, 2021 Economic Development Manager Neuendorf shared this item pertained to a spending plan for unobligated monies collected in the Pentagon Park, 70th & Cahill and Southdale 2 Tax Increment Financing (TIF) Districts. Recent changes in Minnesota statute that allowed cities greater flexibility to spend unallocated monies to support redevelopment and housing efforts. A Spending Plan and related Policy had been prepared for future consideration by the City Council, after input had been obtained via a Public Hearing. The Edina HRA considered this Spending Plan and proposed Policy on October 28, 2021. He noted no formal action was being requested then spoke about Edina’s three TIF accounts that had $9.6 million dollars that would expire and the need to create a spending plan. He outlined how the funds could be used which could not include public buildings, parks, or general public improvements and key goals on what must be achieved which included any project supported would also provide public benefit. He said the spending plan must be approved by December 2022 but recommended the plan be adopted in 2021 to allow sufficient time to begin work on the spending plan. The Council asked questions and provided feedback. Mayor Hovland opened the public hearing at 7:55 p.m. Public Testimony Kirk Aadalen, 4800 Hilltop Lane, addressed the Council. Lori Grotz, 5513 Park Place, addressed the Council. Member Jackson moved to close the public hearing at noon on November 8, 2021, and continue action on Resolution No. 2021-105 Approving a Spending Plan for the Southdale 2, Pentagon Park and 70th and Cahill Tax Increment Financing Districts to November 16, 2021. Member Pierce seconded the motion. Rollcall: Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. VIII.B. RESOLUTION NO. 2021-103 AND ORDINANCE NO. 2021-13, ZONING ORDINANCE AMENDMENT AND REVISED OVERALL DEVELOPMENT PLAN FOR THE US BANK SITE AT 7001 AND 7025 FRANCE AVENUE – CONTINUED TO NOVEMBER 16, 2021 Community Development Director Teague said the City Council was asked to consider a proposal for a zoning ordinance amendment to revise the previously approved plans for this site (PUD-17) which was approved in June 2021. He shared renderings and approved plans which included tear down of the existing 66,200 square foot office and bank, and construct a one-story, 24-foot tall 6,500 s.f. US Bank with drive- through (Phase 1); a 24-Story, 282-foot tall 270-unit apartment with 5,000 s.f. of retail; a 10-story, 146-foot tall, 190,000 s.f. office/retail building; and a 9-story, 90-foot, 110-unit apartment building. He said the revised plans had slightly reduced the size of the project by eliminating the 9-story apartment building and noted the grocery store was not included. He spoke about accesses and setbacks and said the request required a zoning ordinance amendment to revise the PUD-17 Zoning District; and an amendment to the overall development plan. Ted Carlson, Orion Investments, Neil Reardon, ESG, and Brent Webb, Mortenson, shared more about the proposed project that included the balanced needs of the City and adherence to the design experience as Minutes/Edina City Council/November 3, 2021 Page 4 well as the neighborhood meetings held to gather input. They shared the proposed schedule, connectivity enhancements, resulting traffic decreases and the stand-alone ramp that would serve beyond site borders. The Council asked questions and provided feedback. Mayor Hovland opened the public hearing at 9:45 p.m. Public Testimony Jim Jensen, Dawson Lane, addressed the Council. Lori Grotz, 5513 Park Place, addressed the Council. Lori Syverson, Edina Chamber of Commerce, addressed the Council. Member Jackson moved to close the public hearing at noon on November 8, 2021, and continue action on Ordinance No. 2021-13 Amending the Zoning Ordinance to Amend the PUD-20, Planned Unit Development-20, at 7001 and 7025 France Avenue and Resolution No. 2021-103 Approving a Zoning Ordinance Amendment and Revised Overall Development Plan for 7001 and 7025 France Avenue to November 16, 2021. Member Pierce seconded the motion. Rollcall: Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. IX. REPORTS/RECOMMENDATIONS IX.A. RESOLUTION NO. 2021-99; ESTABLISHING EDEN WILLSON REDEVELOPMENT TAX INCREMENT FINANCING DISTRICT – APPROVED Mr. Neuendorf presented an overview of the proposal and noted a public hearing was held on October 19, 2021 regarding the potential creation of the Eden/Willson TIF District. He said Hennepin County and Edina Public School District officials were notified of this public hearing in advance then spoke about existing conditions and how an independent inspector evaluated each property at 4917 and 4918 Eden Avenue for compliance then spoke about roadway network and the lack of complete sidewalks. He said the developer had requested $5.1 million in TIF to support the project over 15 years and make the project viable and noted there was sufficient funds to accomplish these projects. Mr. Neuendorf outlined the nine active TIF districts in the City then shared the projected uses of TIF funds that would total $22.7 million. He noted staff met with a group of neighbors to discuss the potential scope of the roadway improvement projects that might be funded as part of the proposed TIF Plan and that in addition to the public hearing, additional public input was collected using BetterTogether. The Council asked questions and provided feedback. Member Jackson introduced and moved adoption of Resolution No. 2021-99 establishing the Eden Willson Redevelopment Tax Increment Financing District. Member Staunton seconded the motion. After discussion, Member Anderson introduced and moved adoption of Resolution No. 2021- 99 establishing the Eden Willson Redevelopment Tax Increment Financing District as amended to remove the $3 million budgeted amount, the projected use of TIF for site acquisition and its proportionate interest expense. Member Staunton seconded the motion. Rollcall: Aye: Anderson Nays: Jackson, Pierce, Staunton, Hovland Motion failed. Rollcall on main motion: Minutes/Edina City Council/November 3, 2021 Page 5 Ayes: Jackson, Pierce, Staunton, Hovland Abstain: Anderson Motion carried. IX.B. TAX INCREMENT FINANCING REDEVELOPMENT AGREEMENT FOR 4917 EDEN AVENUE – APPROVED Mr. Neuendorf said this item pertained to the use of public financing to partially fund private redevelopment at 4917 Eden Avenue. He said special counsel at Dorsey and Whitney had prepared a complete redevelopment agreement based on the term sheet presented to the Edina HRA in August 2021. He reviewed the request for TIF for $5.1 million over 15 years then reviewed the estimated tax capacity, market value, and annual property taxes. He reviewed a description of eligible expenses, key terms of the agreement, and how TIF would only be issued upon successful completion of project. He outlined the public benefits of streetscapes, parking and future roadway and the affordable housing component of 10% of units at 50% AMI that would provide 21 years of affordability as well as advancing diversity and equity goals of the City and said staff recommended the redevelopment agreement be approved. The Council asked questions and provided feedback. Member Staunton made a motion, seconded by Member Jackson, to approve the tax increment financing redevelopment agreement for 4917 Eden Avenue as presented. Member Pierce seconded the motion. Ayes: Jackson, Pierce, Staunton, Hovland Abstained: Anderson Motion carried. IX.C. RESOLUTION NO. 2021-71; RIGHT-OF-WAY EASEMENT VACATION AT 4904 BYWOOD WEST - ADOPTED Mr. Millner said Council was asked to adopt the resolution to vacate the easement at 4904 Bywood West. He said no comments were received as part of the public hearing that closed at noon on September 13, 2021 and that the easement area was clear of all public and private utilities. Member Staunton introduced and moved adoption of Resolution No. 2021-71 vacating drainage and utility easement at 4904 Bywood West. Member Jackson seconded the motion. Rollcall: Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. IX.D. APPOINTMENT OF MR. DAVID KENDALL OF THE CAMPBELL KNUTSON LAW FIRM AS CITY ATTORNEY - CONFIRMED Mr. Neal stated the current civil City Attorney appointment and contract with the Campbell-Knutson law firm expired on Dec. 31, 2020, and that per Statute appointment and removal of the attorney was subject to Council approval. He shared that pursuant to statutory authority, staff conducted a competitive Request for Proposals (RFP) process to assess the level of interest in the metropolitan area legal community in serving Edina as its civil attorney. In response to the RFP, the City received proposals from the following four law firms: Kennedy & Graven; Hoff-Berry; Eckberg & Lammers; and Campbell-Knutson. A staff interview team interviewed the four firms on Sept. 2, 2021, after which consensus selection of the interview team was Campbell-Knutson. He noted the approval included a new three-year agreement with Campbell Knutson with a 3% increase in the regularly hourly fee at the start of Year Two. The Council asked questions and provided feedback. Minutes/Edina City Council/November 3, 2021 Page 6 Member Staunton made a motion, seconded by Member Jackson, to approve confirmation of appointment of David Kendall of and approve legal services agreement. Member Jackson seconded the motion. Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. IX.E. APPOINTMENT OF MR. PATRICK LEACH OF LEACH LAW OFFICE AS CITY PROSECUTING ATTORNEY – CONFIRMED Mr. Neal stated the current prosecuting City Attorney was Mr. Patrick Leach of the Leach Law Office and that the current contract with Mr. Leach would expire on December 31, 2021. He shared how per Statute city manager shall appoint all officers and employees of the City including the attorney but the appointment and removal of the attorney shall be subject to the approval of Council. Mr. Neal noted historically the City’s prosecuting attorney contract had operated on a monthly retainer basis and how the agreement continued that business relationship then noted there was no material difference between the proposed agreement and previous agreements. He said the proposed monthly retainer would increase by 2% each year of the three-year agreement and that staff accepted that level of fee increase. He noted staff did not conduct a formal Request for Proposal (RFP) for this city attorney contract as the Police Department was pleased with Mr. Leach’s performance and had a good reputation with the judicial leaders of the District Court but that an RFP would be conducted at the end of this three-year contract. The Council asked questions and provided feedback. Member Anderson made a motion, seconded by Member Jackson, to approve the appointment of Mr. Patrick Leach of Leach Law Office as the City Prosecuting Attorney. Member Pierce seconded the motion. Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. IX.F. RESOLUTION NO. 2021-106; AFFIRMING AND AUTHORIZING THE SUBMISSION OF A REQUEST FOR STATE BONDING BILL FUNDING – ADOPTED Mr. Neal said the City was actively developing a project called the Fire Station #2 Project to replace and expand the current Fire Station #2 in the southeast quadrant of the City. The estimated cost of the project was $20,000,000 and State Senator Melisa Franzen and State Representative Heather Edelson had recommended the City seek funding for this project through the State’s 2022 State Capital Investment and Bonding Bill. He noted adoption of Resolution No. 2021-106 would formally submit a request for funding assistance for Fire Station #2 to the state government’s bonding bill process. The Council asked questions and provided feedback. Member Jackson introduced and moved adoption of Resolution No. 2021-106 affirming and authorizing the submission of a request for State bonding bill funding. Member Pierce seconded the motion. Rollcall: Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. X. CORRESPONDENCE AND PETITIONS - Received X.A. MINUTES: ENERGY AND ENVIRONMENT COMMISSION, SEPTEMBER 9, 2021 - Received XI. AVIATION NOISE UPDATE – Received XII. MAYOR AND COUNCIL COMMENTS – Received XIII.A. CITY HALL PUBLIC MEETING ROOM POLICY Minutes/Edina City Council/November 3, 2021 Page 7 XIII. MANAGER’S COMMENTS – Received XIII.A. COUNCIL PREP NOVEMBER 3, 2021 XIV. CALENDAR OF CITY COUNCIL MEETINGS AND EVENTS – Received XV. ADJOURNMENT Member Staunton made a motion, seconded by Member Pierce, to adjourn the meeting at 11:21 p.m. Ayes: Anderson, Jackson, Pierce, Staunton, Hovland Motion carried. Respectfully submitted, Sharon Allison, City Clerk Minutes approved by Edina City Council, November 16, 2021. James B. Hovland, Mayor Video Copy of the November 3, 2021, meeting available. Date: November 16, 2021 Agenda Item #: VI.B. To:Mayor and City Council Item Type: Claims From:Alisha McAndrews , Finance Director Item Activity: Subject:Approve Payment of Claims Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve claims for payment: Check Register Claims Pre-List Dated 11.05.21 (1011)TOTAL $24,137.50 Check Register Claims Pre-List Dated 11.05.21 (1012) TOTAL $1,110,594.13 Check Register Claims Pre-List Dated 11.12.21 TOTAL $1,433,965.48 INTRODUCTION: Claims information for approval is attached. ATTACHMENTS: Description Check Register Claims Pre-List Dated 11.05.21 (1011)TOTAL $24,137.50 Check Register Claims Pre-List Dated 11.05.21 (1012) TOTAL $1,110,594.13 Check Register Claims Pre-List Dated 11.12.21 TOTAL $1,433,965.48 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:44User: STanGeilProgram ID: apcshdsb Page 4 JOURNAL ENTRIES TO BE CREATED FUND SUB FUND DUE TO DUE FR 3000 Debt Service 24,137.509999 Pooled Cash Fund 24,137.50 TOTAL 24,137.50 24,137.50 ** END OF REPORT - Generated by Shirleng Tan Geil ** City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:44User: STanGeilProgram ID: apcshdsb Page 1 CASH ACCOUNT: 9999 1011 Control BS - CashOp CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 7 11/01/2021 WIRE 112118 US BANK 1832408 10/28/2021 20211101 24,137.50 CHECK 7 TOTAL: 24,137.50 NUMBER OF CHECKS 1 *** CASH ACCOUNT TOTAL *** 24,137.50 COUNT AMOUNT TOTAL WIRE TRANSFERS 1 24,137.50 *** GRAND TOTAL *** 24,137.50 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 41 JOURNAL ENTRIES TO BE CREATED FUND SUB FUND DUE TO DUE FR 1000 General 212,602.502100 Police Special Revenue 1,242.002300 Pedestrian and Cyclist Safety 13,590.252600 Housing & Redvlpmt Authority 36,052.302600 Housing & Redvlpmt Authority 100,000.002600 Housing & Redvlpmt Authority 4,462.502600 Housing & Redvlpmt Authority 55,235.194000 Capital Projects 5,750.004200 Equipment Replacement 1,600.004400 PIR Capital Projects 11,793.975100 Art Center 3,849.305200 Braemar Golf Course 9,711.255200 Braemar Golf Course 1,968.095300 Aquatic Center 409.865400 Edinborough Park 593.165500 Braemar Arena 2,624.625600 Braemar Field 119,683.995700 Centennial Lakes 53.105800 Liquor 245,060.925900 Utility Fund 136,263.795900 Utility Fund 27,036.045900 Utility Fund 67,985.006000 Risk Management 183.976100 Equipment Operations 22,757.166200 Information Technology 3,022.516300 Facilities Management 1,790.417100 PS Training Facility 167.167200 MN Task Force 1 25,105.099999 Pooled Cash Fund 1,110,594.13 TOTAL 1,110,594.13 1,110,594.13 ** END OF REPORT - Generated by Shirleng Tan Geil ** City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 1 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466243 11/05/2021 PRTD 100614 ACE SUPPLY COMPANY INC 986611 10/08/2021 20211105 93.24 CHECK 466243 TOTAL: 93.24 466244 11/05/2021 PRTD 160095 AM CRAFT SPIRITS SALES & MARKETIN 13227 10/20/2021 20211105 375.79 AM CRAFT SPIRITS SALES & MARKETIN 13225 10/20/2021 20211105 375.79 AM CRAFT SPIRITS SALES & MARKETIN 13226 10/20/2021 20211105 375.79 CHECK 466244 TOTAL: 1,127.37 466245 11/05/2021 PRTD 141960 AMAZON CAPITAL SERVICES 1MPX-1JKM-H16Y 10/06/2021 20211105 46.99 AMAZON CAPITAL SERVICES 14VP-HLLH-W6GY 10/06/2021 20211105 17.36 AMAZON CAPITAL SERVICES 1HHD-D9JT-XYPR 10/06/2021 20211105 11.99 AMAZON CAPITAL SERVICES 1HJ9-T1YW-KRJD 10/06/2021 20211105 7.49 AMAZON CAPITAL SERVICES 1HJ9-T1YW-JTDQ 10/06/2021 20211105 59.95 AMAZON CAPITAL SERVICES 1MX1-LQWW-DDNW 10/07/2021 20211105 49.30 AMAZON CAPITAL SERVICES 1F7M-4WHF-CJP9 10/07/2021 20211105 206.20 AMAZON CAPITAL SERVICES 1YJ7-JXQC-GDKF 10/09/2021 20211105 64.25 AMAZON CAPITAL SERVICES 1KY1-3F3T-GQHY 10/09/2021 20211105 505.97 AMAZON CAPITAL SERVICES 139X-D914-W94M 10/10/2021 20211105 124.72 AMAZON CAPITAL SERVICES 1KY1-3F3T-WCRP 10/10/2021 20211105 57.40 AMAZON CAPITAL SERVICES 19G1-4GX1-HVQK 10/11/2021 20211105 239.03 AMAZON CAPITAL SERVICES 1CK7-N4TM-T4HH 10/11/2021 20211105 45.50 CHECK 466245 TOTAL: 1,436.15 466246 11/05/2021 PRTD 101874 ANCOM TECHNICAL CENTER 104378 10/07/2021 20211105 180.00 CHECK 466246 TOTAL: 180.00 466247 11/05/2021 PRTD 100632 AQUA ENGINEERING INC 104056 10/07/2021 20211105 145.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 2 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466247 TOTAL: 145.00 466248 11/05/2021 PRTD 151441 ARAMARK UNIFORM AND CAREER APPEAL 1005160044 10/06/2021 20211105 349.71 CHECK 466248 TOTAL: 349.71 466249 11/05/2021 PRTD 151756 ARBEITER BREWING COMPANY LLC 473 10/21/2021 20211105 78.00 ARBEITER BREWING COMPANY LLC 471 10/21/2021 20211105 78.00 ARBEITER BREWING COMPANY LLC 472 10/21/2021 20211105 84.00 CHECK 466249 TOTAL: 240.00 466250 11/05/2021 PRTD 100634 ASPEN EQUIPMENT CO 10231399 10/08/2021 20211105 2,146.00 CHECK 466250 TOTAL: 2,146.00 466251 11/05/2021 PRTD 101718 AUTO PLUS - FORMERLY PARTS PLUS OVERPAY-7/19/19 07/20/2021 20211105 -42.52 AUTO PLUS - FORMERLY PARTS PLUS 380074736 09/21/2021 20211105 5.76 AUTO PLUS - FORMERLY PARTS PLUS 380075319 09/24/2021 20211105 4.93 AUTO PLUS - FORMERLY PARTS PLUS 380074410 09/20/2021 20211105 8.64 AUTO PLUS - FORMERLY PARTS PLUS 380077475 10/12/2021 20211105 21.42 AUTO PLUS - FORMERLY PARTS PLUS 380076152 09/30/2021 20211105 -10.44 AUTO PLUS - FORMERLY PARTS PLUS 380076143 09/30/2021 20211105 -18.50 AUTO PLUS - FORMERLY PARTS PLUS 380076049 09/30/2021 20211105 7.20 AUTO PLUS - FORMERLY PARTS PLUS 380076018 09/30/2021 20211105 3.29 AUTO PLUS - FORMERLY PARTS PLUS 380076076 09/30/2021 20211105 5.62 AUTO PLUS - FORMERLY PARTS PLUS 380076077 09/30/2021 20211105 3.29 AUTO PLUS - FORMERLY PARTS PLUS 380075835 09/29/2021 20211105 3.29 AUTO PLUS - FORMERLY PARTS PLUS 380075763 09/28/2021 20211105 11.76 AUTO PLUS - FORMERLY PARTS PLUS 380077839 10/13/2021 20211105 -31.45 AUTO PLUS - FORMERLY PARTS PLUS 380077970 10/14/2021 20211105 4.12 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 3 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET AUTO PLUS - FORMERLY PARTS PLUS 380077983 10/14/2021 20211105 12.96 AUTO PLUS - FORMERLY PARTS PLUS 380078029 10/16/2021 20211105 11.30 CHECK 466251 TOTAL: .67 466252 11/05/2021 PRTD 100637 AUTOMOBILE SERVICE COMPANY 8059 10/06/2021 20211105 119.95 CHECK 466252 TOTAL: 119.95 466253 11/05/2021 PRTD 120995 AVR INC 242836 09/23/2021 20211105 616.00 CHECK 466253 TOTAL: 616.00 466254 11/05/2021 PRTD 140424 AXON ENTERPRISES INC INUS2024876 10/25/2021 20211105 2,131.80 CHECK 466254 TOTAL: 2,131.80 466255 11/05/2021 PRTD 102709 BDS LAUNDRY SYSTEMS LMV414806 10/11/2021 20211105 271.95 CHECK 466255 TOTAL: 271.95 466256 11/05/2021 PRTD 101355 BELLBOY CORPORATION 0091754800 10/14/2021 20211105 4,717.00 BELLBOY CORPORATION 0091747500 10/14/2021 20211105 350.65 BELLBOY CORPORATION 0104082000 10/14/2021 20211105 70.82 BELLBOY CORPORATION 0091868900 10/21/2021 20211105 253.10 BELLBOY CORPORATION 0091876000 10/21/2021 20211105 3,290.85 BELLBOY CORPORATION 0104121200 10/21/2021 20211105 192.78 BELLBOY CORPORATION 0091920300 10/21/2021 20211105 292.65 BELLBOY CORPORATION 0104121100 10/21/2021 20211105 65.39 BELLBOY CORPORATION 0091919500 10/21/2021 20211105 292.65 BELLBOY CORPORATION 0091897400 10/21/2021 20211105 1,596.30 BELLBOY CORPORATION 0091869200 10/21/2021 20211105 359.10 BELLBOY CORPORATION 0104121300 10/21/2021 20211105 66.30 BELLBOY CORPORATION 0091869100 10/21/2021 20211105 448.65 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 4 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET BELLBOY CORPORATION 0091919900 10/21/2021 20211105 292.65 BELLBOY CORPORATION 0091888900 10/19/2021 20211105 -66.33 CHECK 466256 TOTAL: 12,222.56 466257 11/05/2021 PRTD 142153 BLACK STACK BREWING INC 14723 10/13/2021 20211105 171.00 BLACK STACK BREWING INC 14828 10/21/2021 20211105 506.00 CHECK 466257 TOTAL: 677.00 466258 11/05/2021 PRTD 132444 BOLTON & MENK INC 0277485 10/11/2021 20211105 4,006.50 CHECK 466258 TOTAL: 4,006.50 466259 11/05/2021 PRTD 119351 BOURGET IMPORTS 181753 10/19/2021 20211105 243.50 BOURGET IMPORTS 181751 10/19/2021 20211105 565.23 BOURGET IMPORTS 181752 10/19/2021 20211105 227.50 CHECK 466259 TOTAL: 1,036.23 466260 11/05/2021 PRTD 138682 BOYER MASONRY AND CONCRETE INC 10102021 10/10/2021 20211105 4,140.00 CHECK 466260 TOTAL: 4,140.00 466261 11/05/2021 PRTD 124291 BREAKTHRU BEVERAGE MINNESOTA WINE 341480774 10/20/2021 20211105 1,065.20 BREAKTHRU BEVERAGE MINNESOTA WINE 341480773 10/20/2021 20211105 905.75 BREAKTHRU BEVERAGE MINNESOTA WINE 341480775 10/20/2021 20211105 57.45 BREAKTHRU BEVERAGE MINNESOTA WINE 341480776 10/20/2021 20211105 1,701.50 BREAKTHRU BEVERAGE MINNESOTA WINE 341480754 10/20/2021 20211105 3,196.14 BREAKTHRU BEVERAGE MINNESOTA WINE 341480753 10/20/2021 20211105 905.75 BREAKTHRU BEVERAGE MINNESOTA WINE 341480755 10/20/2021 20211105 57.45 BREAKTHRU BEVERAGE MINNESOTA WINE 341480757 10/20/2021 20211105 261.19 BREAKTHRU BEVERAGE MINNESOTA WINE 341480780 10/20/2021 20211105 57.45 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 5 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET BREAKTHRU BEVERAGE MINNESOTA WINE 341480777 10/20/2021 20211105 2,565.23 BREAKTHRU BEVERAGE MINNESOTA WINE 341480779 10/20/2021 20211105 662.58 BREAKTHRU BEVERAGE MINNESOTA WINE 341480778 10/20/2021 20211105 905.75 CHECK 466261 TOTAL: 12,341.44 466262 11/05/2021 PRTD 124529 BREAKTHRU BEVERAGE MINNESOTA BEER 341393471 10/12/2021 20211105 2,671.30 BREAKTHRU BEVERAGE MINNESOTA BEER 341478585 10/19/2021 20211105 138.50 BREAKTHRU BEVERAGE MINNESOTA BEER 341478487 10/19/2021 20211105 2,223.75 BREAKTHRU BEVERAGE MINNESOTA BEER 341478588 10/19/2021 20211105 1,809.60 BREAKTHRU BEVERAGE MINNESOTA BEER 360420791 10/18/2021 20211105 -24.60 BREAKTHRU BEVERAGE MINNESOTA BEER 360420790 10/18/2021 20211105 -11.60 BREAKTHRU BEVERAGE MINNESOTA BEER 360420788 10/18/2021 20211105 -6.92 CHECK 466262 TOTAL: 6,800.03 466263 11/05/2021 PRTD 100648 BERTELSON BROTHERS INC WO-1150513-1 10/07/2021 20211105 59.82 BERTELSON BROTHERS INC WO-1150611-1 10/07/2021 20211105 53.44 BERTELSON BROTHERS INC WO-1150742-1 10/08/2021 20211105 214.90 CHECK 466263 TOTAL: 328.16 466264 11/05/2021 PRTD 119455 CAPITOL BEVERAGE SALES LP 2608584 10/15/2021 20211105 3,273.90 CAPITOL BEVERAGE SALES LP 2608583 10/15/2021 20211105 56.00 CAPITOL BEVERAGE SALES LP 2607195 10/15/2021 20211105 258.00 CAPITOL BEVERAGE SALES LP 2609522 10/19/2021 20211105 381.00 CAPITOL BEVERAGE SALES LP 2609521 10/19/2021 20211105 95.35 CAPITOL BEVERAGE SALES LP 2609520 10/19/2021 20211105 3,156.25 CAPITOL BEVERAGE SALES LP 2605778 10/08/2021 20211105 2,334.50 CAPITOL BEVERAGE SALES LP 19600055 10/25/2021 20211105 -23.70 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 6 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466264 TOTAL: 9,531.30 466265 11/05/2021 PRTD 101515 CEMSTONE PRODUCTS COMPANY C2432860 10/11/2021 20211105 906.25 CHECK 466265 TOTAL: 906.25 466266 11/05/2021 PRTD 135835 CENTURYLINK-ACCESS BILL 5142XLP6S3-2021281 10/08/2021 20211105 1,242.00 CHECK 466266 TOTAL: 1,242.00 466267 11/05/2021 PRTD 100683 CHEMSEARCH 7537287 10/07/2021 20211105 657.22 CHECK 466267 TOTAL: 657.22 466268 11/05/2021 PRTD 142028 CINTAS CORPORATION 4098899126 10/15/2021 20211105 81.48 CHECK 466268 TOTAL: 81.48 466269 11/05/2021 PRTD 100684 CITY OF BLOOMINGTON 19953 10/15/2021 20211105 88,250.00 CHECK 466269 TOTAL: 88,250.00 466270 11/05/2021 PRTD 145795 CITY OF CRYSTAL 7866 10/14/2021 20211105 546.71 CHECK 466270 TOTAL: 546.71 466271 11/05/2021 PRTD 101837 CITY OF EDINA 384 10/19/2021 20211105 890.82 CHECK 466271 TOTAL: 890.82 466272 11/05/2021 PRTD 122317 CITY OF EDINA - COMMUNICATIONS COM-2514 10/12/2021 20211105 100.00 CHECK 466272 TOTAL: 100.00 466273 11/05/2021 PRTD 103216 CITY OF MINNEAPOLIS 26647 10/06/2021 20211105 22,427.73 CHECK 466273 TOTAL: 22,427.73 466274 11/05/2021 PRTD 139927 CITY OF ROCHESTER MN 26783 10/13/2021 20211105 438.27 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 7 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466274 TOTAL: 438.27 466275 11/05/2021 PRTD 139927 CITY OF ROCHESTER MN 26785 10/13/2021 20211105 12,125.53 CHECK 466275 TOTAL: 12,125.53 466276 11/05/2021 PRTD 139927 CITY OF ROCHESTER MN 26786 10/12/2021 20211105 4,599.98 CHECK 466276 TOTAL: 4,599.98 466277 11/05/2021 PRTD 139927 CITY OF ROCHESTER MN 26788 10/14/2021 20211105 562.54 CHECK 466277 TOTAL: 562.54 466278 11/05/2021 PRTD 139927 CITY OF ROCHESTER MN 26789 10/12/2021 20211105 2,238.41 CHECK 466278 TOTAL: 2,238.41 466279 11/05/2021 PRTD 139927 CITY OF ROCHESTER MN 26790 10/14/2021 20211105 34.91 CHECK 466279 TOTAL: 34.91 466280 11/05/2021 PRTD 139927 CITY OF ROCHESTER MN 26791 10/13/2021 20211105 1,041.29 CHECK 466280 TOTAL: 1,041.29 466281 11/05/2021 PRTD 139927 CITY OF ROCHESTER MN 26792 10/13/2021 20211105 2,440.43 CHECK 466281 TOTAL: 2,440.43 466282 11/05/2021 PRTD 100087 CITY OF SAINT PAUL 26784 10/08/2021 20211105 1,388.73 CHECK 466282 TOTAL: 1,388.73 466283 11/05/2021 PRTD 146472 CITY WIDE MAINTENANCE OF MN 32009004411 10/11/2021 20211105 328.86 CHECK 466283 TOTAL: 328.86 466284 11/05/2021 PRTD 120433 COMCAST HOLDINGS CORPORATION 0740105-10/21 10/18/2021 20211105 41.33 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 8 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466284 TOTAL: 41.33 466285 11/05/2021 PRTD 120433 COMCAST HOLDINGS CORPORATION 0373022-10/21 10/17/2021 20211105 33.79 CHECK 466285 TOTAL: 33.79 466286 11/05/2021 PRTD 144092 CONCENTRA 103449600 10/06/2021 20211105 1,047.00 CHECK 466286 TOTAL: 1,047.00 466287 11/05/2021 PRTD 160189 COYLE, ANN 1010 10/08/2021 20211105 975.00 CHECK 466287 TOTAL: 975.00 466288 11/05/2021 PRTD 123653 CROSSTOWN CONCRETE & BRICK PAVING 28080 10/22/2021 20211105 5,500.00 CHECK 466288 TOTAL: 5,500.00 466289 11/05/2021 PRTD 103833 HOVERSON, THOMAS 3375 10/08/2021 20211105 7,700.00 HOVERSON, THOMAS 3373 10/08/2021 20211105 2,800.00 CHECK 466289 TOTAL: 10,500.00 466290 11/05/2021 PRTD 102514 CUTTER & BUCK INC 95798102 10/07/2021 20211105 1,846.71 CHECK 466290 TOTAL: 1,846.71 466291 11/05/2021 PRTD 102195 DAY INVESTMENTS LLC P44424315 10/07/2021 20211105 131.04 CHECK 466291 TOTAL: 131.04 466292 11/05/2021 PRTD 100718 DELEGARD TOOL COMPANY 85687/1 10/13/2021 20211105 84.56 DELEGARD TOOL COMPANY 88622/1 10/21/2021 20211105 -43.92 CHECK 466292 TOTAL: 40.64 466293 11/05/2021 PRTD 121103 DIRECTV GROUP INC 051616649X211020 10/20/2021 20211105 171.84 CHECK 466293 TOTAL: 171.84 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 9 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466294 11/05/2021 PRTD 100730 DORSEY & WHITNEY LLP 3697757 10/11/2021 20211105 21,527.00 DORSEY & WHITNEY LLP 3697756 10/11/2021 20211105 802.50 DORSEY & WHITNEY LLP 3697755 10/11/2021 20211105 3,520.50 CHECK 466294 TOTAL: 25,850.00 466295 11/05/2021 PRTD 129718 DREW'S CONCESSIONS LLC 2733 10/07/2021 20211105 695.07 CHECK 466295 TOTAL: 695.07 466296 11/05/2021 PRTD 132810 ECM PUBLISHERS INC 857264 10/07/2021 20211105 202.30 CHECK 466296 TOTAL: 202.30 466297 11/05/2021 PRTD 100049 EHLERS AND ASSOCIATES 88620 10/11/2021 20211105 7,500.00 EHLERS AND ASSOCIATES 88451 10/11/2021 20211105 4,462.50 EHLERS AND ASSOCIATES 88450 10/11/2021 20211105 2,500.00 CHECK 466297 TOTAL: 14,462.50 466298 11/05/2021 PRTD 160062 ELM CREEK BREWING COMPANY E-1432 10/15/2021 20211105 426.00 CHECK 466298 TOTAL: 426.00 466299 11/05/2021 PRTD 104733 EMERGENCY MEDICAL PRODUCTS INC 2288092 10/06/2021 20211105 122.55 CHECK 466299 TOTAL: 122.55 466300 11/05/2021 PRTD 100146 ELLIOTT AUTO SUPPLY CO, INC 69-430778 10/07/2021 20211105 117.22 ELLIOTT AUTO SUPPLY CO, INC 69-431043 10/11/2021 20211105 20.28 ELLIOTT AUTO SUPPLY CO, INC 1-7182504 10/07/2021 20211105 211.98 ELLIOTT AUTO SUPPLY CO, INC 69-431189 10/12/2021 20211105 193.66 ELLIOTT AUTO SUPPLY CO, INC 1-7189231 10/12/2021 20211105 231.15 ELLIOTT AUTO SUPPLY CO, INC 69-432056 10/20/2021 20211105 -620.91 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 10 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466300 TOTAL: 153.38 466301 11/05/2021 PRTD 147181 FALLING BREWERY - BERGMAN LEDGE L E-4778 10/20/2021 20211105 280.00 FALLING BREWERY - BERGMAN LEDGE L E-4779 10/20/2021 20211105 150.00 FALLING BREWERY - BERGMAN LEDGE L E-4780 10/20/2021 20211105 150.00 CHECK 466301 TOTAL: 580.00 466302 11/05/2021 PRTD 101374 THE FENCE STORE, LLC 3058651 10/07/2021 20211105 116.32 THE FENCE STORE, LLC 3058627 10/06/2021 20211105 11.76 CHECK 466302 TOTAL: 128.08 466303 11/05/2021 PRTD 103600 FERGUSON US HOLDINGS INC 0482473-1 10/06/2021 20211105 1,023.08 FERGUSON US HOLDINGS INC 0482473-2 10/11/2021 20211105 1,186.85 CHECK 466303 TOTAL: 2,209.93 466304 11/05/2021 PRTD 145820 FIESS, BEN ART CHECK REQUEST 03/06/2020 20211105 27.00 FIESS, BEN GIFT SHOP 12/13/2019 20211105 14.44 FIESS, BEN GIFT SHOP 2019 01/14/2020 20211105 42.00 CHECK 466304 TOTAL: 83.44 466305 11/05/2021 PRTD 160217 FISHBEIN, LOUIS 101921 10/11/2021 20211105 150.00 CHECK 466305 TOTAL: 150.00 466306 11/05/2021 PRTD 142334 FURTHER 008816 - 10/2021 10/06/2021 20211105 2,014.50 CHECK 466306 TOTAL: 2,014.50 466307 11/05/2021 PRTD 102456 GALLS PARENT HOLDINGS LLC BC1460026 10/06/2021 20211105 52.30 GALLS PARENT HOLDINGS LLC BC1461089 10/07/2021 20211105 302.90 GALLS PARENT HOLDINGS LLC BC1462387 10/11/2021 20211105 2,096.61 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 11 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466307 TOTAL: 2,451.81 466308 11/05/2021 PRTD 120079 GOODPOINTE TECHNOLOGY INC 4208 10/07/2021 20211105 825.00 CHECK 466308 TOTAL: 825.00 466309 11/05/2021 PRTD 100781 MJ DONOVAN ENTERPRISES INC 141294 10/07/2021 20211105 320.00 MJ DONOVAN ENTERPRISES INC 141339 10/11/2021 20211105 1,420.00 MJ DONOVAN ENTERPRISES INC 141340 10/11/2021 20211105 870.00 CHECK 466309 TOTAL: 2,610.00 466310 11/05/2021 PRTD 101103 WW GRAINGER 9077215953 10/06/2021 20211105 154.40 CHECK 466310 TOTAL: 154.40 466311 11/05/2021 PRTD 144412 WINEBOW MN00093895 05/06/2021 20211105 -28.00 WINEBOW MN00102395 10/19/2021 20211105 892.00 WINEBOW MN00102396 10/19/2021 20211105 159.00 WINEBOW MN00102392 10/19/2021 20211105 789.00 WINEBOW MN00102393 10/19/2021 20211105 330.00 WINEBOW MN00102062 10/20/2021 20211105 640.00 WINEBOW MN00102444 10/20/2021 20211105 3,198.98 CHECK 466311 TOTAL: 5,980.98 466312 11/05/2021 PRTD 131517 GREAT LAKES WEATHER SERVICES LLC 102111 10/08/2021 20211105 1,580.00 CHECK 466312 TOTAL: 1,580.00 466313 11/05/2021 PRTD 101964 GUSTAVE A LARSON COMPANY 4569021 10/11/2021 20211105 62.33 CHECK 466313 TOTAL: 62.33 466314 11/05/2021 PRTD 160206 H-11 DIGITAL FORENSICS COMPANY LL H11004431 10/11/2021 20211105 3,630.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 12 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466314 TOTAL: 3,630.00 466315 11/05/2021 PRTD 151168 HAMMER SPORTS LLC 757 10/10/2021 20211105 118.00 CHECK 466315 TOTAL: 118.00 466316 11/05/2021 PRTD 100797 HAWKINS INC 6037406 10/06/2021 20211105 3,233.34 HAWKINS INC 6040084 10/11/2021 20211105 3,473.09 CHECK 466316 TOTAL: 6,706.43 466317 11/05/2021 PRTD 103085 HENNEPIN COUNTY ACCOUNTING SERVIC 1000173253 10/12/2021 20211105 36.00 CHECK 466317 TOTAL: 36.00 466318 11/05/2021 PRTD 143585 HENNEPIN COUNTY MEDICAL CENTER 70691 10/06/2021 20211105 325.00 CHECK 466318 TOTAL: 325.00 466319 11/05/2021 PRTD 103753 HILLYARD INC - MINNEAPOLIS 700479558 10/06/2021 20211105 234.91 CHECK 466319 TOTAL: 234.91 466320 11/05/2021 PRTD 102484 HIRSHFIELDS PAINT MANUFACTURING I 0012714-IN 10/06/2021 20211105 437.04 CHECK 466320 TOTAL: 437.04 466321 11/05/2021 PRTD 104375 HOHENSTEINS INC 451929 10/19/2021 20211105 480.00 HOHENSTEINS INC 451928 10/19/2021 20211105 2,365.50 HOHENSTEINS INC 451927 10/19/2021 20211105 903.00 HOHENSTEINS INC 453801 10/25/2021 20211105 -12.30 CHECK 466321 TOTAL: 3,736.20 466322 11/05/2021 PRTD 124698 HOYE, PAMELA 3.1.19 03/01/2019 20211105 26.01 CHECK 466322 TOTAL: 26.01 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 13 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466323 11/05/2021 PRTD 116680 HP INC 9015488341 10/06/2021 20211105 1,110.80 CHECK 466323 TOTAL: 1,110.80 466324 11/05/2021 PRTD 160239 HUEBSCH LAUNDRY CO 20105929 10/11/2021 20211105 191.93 CHECK 466324 TOTAL: 191.93 466325 11/05/2021 PRTD 131544 INDEED BREWING COMPANY MN LLC 106401 10/19/2021 20211105 399.00 INDEED BREWING COMPANY MN LLC 106400 10/19/2021 20211105 294.85 INDEED BREWING COMPANY MN LLC 106399 10/19/2021 20211105 394.25 CHECK 466325 TOTAL: 1,088.10 466326 11/05/2021 PRTD 100828 JERRY'S ENTERPRISES INC IT DEPT - 09/2021 09/25/2021 20211105 3.59 CHECK 466326 TOTAL: 3.59 466327 11/05/2021 PRTD 121075 JIMMY'S JOHNNYS INC 192656 10/11/2021 20211105 73.12 JIMMY'S JOHNNYS INC 192657 10/11/2021 20211105 73.12 CHECK 466327 TOTAL: 146.24 466328 11/05/2021 PRTD 100741 JJ TAYLOR DISTRIBUTING CO OF MINN 3236530 10/20/2021 20211105 4,298.55 JJ TAYLOR DISTRIBUTING CO OF MINN 3236531 10/20/2021 20211105 50.90 JJ TAYLOR DISTRIBUTING CO OF MINN 3236529 10/20/2021 20211105 1,773.01 JJ TAYLOR DISTRIBUTING CO OF MINN 3236528 10/20/2021 20211105 1,588.25 CHECK 466328 TOTAL: 7,710.71 466329 11/05/2021 PRTD 100835 ARTISAN BEER COMPANY 3501664 10/14/2021 20211105 104.00 ARTISAN BEER COMPANY 3501663 10/14/2021 20211105 2,643.30 ARTISAN BEER COMPANY 317694 10/01/2021 20211105 -8.92 ARTISAN BEER COMPANY 318209 10/08/2021 20211105 -20.46 ARTISAN BEER COMPANY 3502820 10/21/2021 20211105 565.15 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 14 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET ARTISAN BEER COMPANY 3502823 10/21/2021 20211105 1,948.00 ARTISAN BEER COMPANY 3502821 10/21/2021 20211105 1,759.50 ARTISAN BEER COMPANY 3502822 10/21/2021 20211105 104.00 CHECK 466329 TOTAL: 7,094.57 466330 11/05/2021 PRTD 100835 PHILLIPS WINE & SPIRITS 6287404 10/14/2021 20211105 428.38 PHILLIPS WINE & SPIRITS 6287402 10/14/2021 20211105 2,522.80 PHILLIPS WINE & SPIRITS 6287400 10/14/2021 20211105 1,884.10 PHILLIPS WINE & SPIRITS 6287403 10/14/2021 20211105 1,363.04 PHILLIPS WINE & SPIRITS 6287399 10/14/2021 20211105 251.19 PHILLIPS WINE & SPIRITS 6287401 10/14/2021 20211105 867.25 PHILLIPS WINE & SPIRITS 6291142 10/21/2021 20211105 27.84 PHILLIPS WINE & SPIRITS 6291145 10/21/2021 20211105 4,429.75 PHILLIPS WINE & SPIRITS 6291143 10/21/2021 20211105 1,784.00 PHILLIPS WINE & SPIRITS 6291144 10/21/2021 20211105 1,382.94 PHILLIPS WINE & SPIRITS 6291157 10/21/2021 20211105 1,769.52 PHILLIPS WINE & SPIRITS 6291155 10/21/2021 20211105 1,198.02 PHILLIPS WINE & SPIRITS 6291154 10/21/2021 20211105 110.22 PHILLIPS WINE & SPIRITS 6291158 10/21/2021 20211105 1,604.07 PHILLIPS WINE & SPIRITS 6291156 10/21/2021 20211105 1,263.45 PHILLIPS WINE & SPIRITS 6291151 10/21/2021 20211105 1,618.69 PHILLIPS WINE & SPIRITS 6291150 10/21/2021 20211105 4,866.17 PHILLIPS WINE & SPIRITS 6291149 10/21/2021 20211105 1,382.94 PHILLIPS WINE & SPIRITS 6291148 10/21/2021 20211105 2,363.38 PHILLIPS WINE & SPIRITS 6291147 10/21/2021 20211105 259.55 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 15 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466330 TOTAL: 31,377.30 466331 11/05/2021 PRTD 100835 WINE MERCHANTS 7350907 10/14/2021 20211105 1,364.83 WINE MERCHANTS 7350913 10/14/2021 20211105 4,500.58 WINE MERCHANTS 7350911 10/14/2021 20211105 3,403.75 WINE MERCHANTS 7350912 10/15/2021 20211105 1,129.52 WINE MERCHANTS 7350976 10/14/2021 20211105 193.19 WINE MERCHANTS 7350975 10/14/2021 20211105 2.38 WINE MERCHANTS 740100 10/07/2021 20211105 -193.19 WINE MERCHANTS 7351880 10/21/2021 20211105 2,768.10 WINE MERCHANTS 7351882 10/21/2021 20211105 2,939.53 WINE MERCHANTS 7351879 10/21/2021 20211105 1.19 WINE MERCHANTS 7351945 10/21/2021 20211105 387.57 WINE MERCHANTS 7351881 10/21/2021 20211105 2,605.99 CHECK 466331 TOTAL: 19,103.44 466332 11/05/2021 PRTD 100835 JOHNSON BROTHERS LIQUOR CO 1909698 10/14/2021 20211105 218.80 JOHNSON BROTHERS LIQUOR CO 1909695 10/14/2021 20211105 667.75 JOHNSON BROTHERS LIQUOR CO 1909694 10/14/2021 20211105 2,516.65 JOHNSON BROTHERS LIQUOR CO 1909679 10/14/2021 20211105 222.58 JOHNSON BROTHERS LIQUOR CO 1909668 10/14/2021 20211105 1,351.19 JOHNSON BROTHERS LIQUOR CO 1909696 10/14/2021 20211105 2,543.46 JOHNSON BROTHERS LIQUOR CO 1909666 10/14/2021 20211105 212.19 JOHNSON BROTHERS LIQUOR CO 1909697 10/14/2021 20211105 313.58 JOHNSON BROTHERS LIQUOR CO 1909693 10/14/2021 20211105 397.49 JOHNSON BROTHERS LIQUOR CO 1909671 10/14/2021 20211105 3,978.51 JOHNSON BROTHERS LIQUOR CO 1909701 10/14/2021 20211105 29.19 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 16 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET JOHNSON BROTHERS LIQUOR CO 1909699 10/14/2021 20211105 970.71 JOHNSON BROTHERS LIQUOR CO 1909692 10/14/2021 20211105 1,568.63 JOHNSON BROTHERS LIQUOR CO 1909700 10/14/2021 20211105 1,017.52 JOHNSON BROTHERS LIQUOR CO 1914490 10/21/2021 20211105 1,562.32 JOHNSON BROTHERS LIQUOR CO 1914492 10/21/2021 20211105 1,761.29 JOHNSON BROTHERS LIQUOR CO 1914493 10/21/2021 20211105 1,879.90 JOHNSON BROTHERS LIQUOR CO 1914491 10/21/2021 20211105 733.80 JOHNSON BROTHERS LIQUOR CO 1914494 10/21/2021 20211105 729.75 JOHNSON BROTHERS LIQUOR CO 1914495 10/21/2021 20211105 781.53 JOHNSON BROTHERS LIQUOR CO 1914496 10/21/2021 20211105 301.76 JOHNSON BROTHERS LIQUOR CO 1914497 10/21/2021 20211105 361.19 JOHNSON BROTHERS LIQUOR CO 1914498 10/21/2021 20211105 242.38 JOHNSON BROTHERS LIQUOR CO 1914499 10/21/2021 20211105 185.23 JOHNSON BROTHERS LIQUOR CO 1914522 10/21/2021 20211105 291.43 JOHNSON BROTHERS LIQUOR CO 1914518 10/21/2021 20211105 3,889.49 JOHNSON BROTHERS LIQUOR CO 1914517 10/21/2021 20211105 748.76 JOHNSON BROTHERS LIQUOR CO 1914519 10/21/2021 20211105 278.12 JOHNSON BROTHERS LIQUOR CO 1914513 10/21/2021 20211105 733.64 JOHNSON BROTHERS LIQUOR CO 1914515 10/21/2021 20211105 889.53 JOHNSON BROTHERS LIQUOR CO 1914512 10/21/2021 20211105 2,666.72 JOHNSON BROTHERS LIQUOR CO 1914514 10/21/2021 20211105 1,761.29 JOHNSON BROTHERS LIQUOR CO 1914521 10/21/2021 20211105 361.19 JOHNSON BROTHERS LIQUOR CO 1914508 10/21/2021 20211105 361.19 JOHNSON BROTHERS LIQUOR CO 1914507 10/21/2021 20211105 112.44 JOHNSON BROTHERS LIQUOR CO 1914506 10/21/2021 20211105 1,872.50 JOHNSON BROTHERS LIQUOR CO 1914505 10/21/2021 20211105 81.19 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 17 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET JOHNSON BROTHERS LIQUOR CO 1914504 10/21/2021 20211105 1,358.33 JOHNSON BROTHERS LIQUOR CO 1914503 10/21/2021 20211105 1,816.85 JOHNSON BROTHERS LIQUOR CO 1914502 10/21/2021 20211105 1,831.91 JOHNSON BROTHERS LIQUOR CO 1914501 10/21/2021 20211105 1,058.79 JOHNSON BROTHERS LIQUOR CO 1914500 10/21/2021 20211105 2,412.65 CHECK 466332 TOTAL: 47,073.42 466333 11/05/2021 PRTD 141864 JOSEPH E JOHNSON & SONS CONSTRUCT 1165 08/27/2021 20211105 10,200.00 CHECK 466333 TOTAL: 10,200.00 466334 11/05/2021 PRTD 160234 JP SCHMITZ CONSTRUCTION CO LLC 202102 10/10/2021 20211105 4,370.00 JP SCHMITZ CONSTRUCTION CO LLC 202101 10/10/2021 20211105 1,800.00 JP SCHMITZ CONSTRUCTION CO LLC 202100 10/10/2021 20211105 1,900.00 CHECK 466334 TOTAL: 8,070.00 466335 11/05/2021 PRTD 103409 KELBRO COMPANY 2685939 10/14/2021 20211105 125.76 KELBRO COMPANY 2688061 10/21/2021 20211105 48.20 KELBRO COMPANY 2687976 10/21/2021 20211105 99.60 KELBRO COMPANY 2687974 10/21/2021 20211105 169.48 CHECK 466335 TOTAL: 443.04 466336 11/05/2021 PRTD 142207 KIESLER POLICE SUPPLY INC IN173311 09/07/2021 20211105 148.00 CHECK 466336 TOTAL: 148.00 466337 11/05/2021 PRTD 124002 KIMLEY-HORN AND ASSOCIATES INC 19723828 09/30/2021 20211105 9,452.00 KIMLEY-HORN AND ASSOCIATES INC 160603028-0921 09/30/2021 20211105 15,162.50 CHECK 466337 TOTAL: 24,614.50 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 18 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466338 11/05/2021 PRTD 100944 KIWI KAI IMPORTS INC 142693 10/12/2021 20211105 152.25 KIWI KAI IMPORTS INC 143366 10/19/2021 20211105 2,467.85 KIWI KAI IMPORTS INC 143363 10/19/2021 20211105 2,136.00 KIWI KAI IMPORTS INC 143397 10/19/2021 20211105 41.25 KIWI KAI IMPORTS INC 143378 10/19/2021 20211105 1,588.95 CHECK 466338 TOTAL: 6,386.30 466339 11/05/2021 PRTD 144983 KLEIN UNDERGROUND LLC 53708 10/11/2021 20211105 4,575.00 CHECK 466339 TOTAL: 4,575.00 466340 11/05/2021 PRTD 151024 LA DONA SBC 5060 10/19/2021 20211105 184.00 LA DONA SBC 5059 10/19/2021 20211105 146.00 CHECK 466340 TOTAL: 330.00 466341 11/05/2021 PRTD 101220 LANO EQUIPMENT INC 01-867474 10/11/2021 20211105 91.47 CHECK 466341 TOTAL: 91.47 466342 11/05/2021 PRTD 144766 LI, YAOCEN 4.22.19 04/22/2019 20211105 13.69 CHECK 466342 TOTAL: 13.69 466343 11/05/2021 PRTD 135867 LIBATION PROJECT 39881 10/19/2021 20211105 2,683.16 LIBATION PROJECT 39877 10/19/2021 20211105 2,880.33 CHECK 466343 TOTAL: 5,563.49 466344 11/05/2021 PRTD 160161 SERVICE LIGHTING, INC. INV3451058 10/14/2021 22100030 20211105 108,458.00 CHECK 466344 TOTAL: 108,458.00 466345 11/05/2021 PRTD 100858 LOGIS 51084 10/07/2021 20211105 870.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 19 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466345 TOTAL: 870.00 466346 11/05/2021 PRTD 101078 LUBE-TECH 2733438 10/08/2021 20211105 2,680.36 CHECK 466346 TOTAL: 2,680.36 466347 11/05/2021 PRTD 146427 LUCID BREWING LLC 12175 10/19/2021 20211105 134.00 LUCID BREWING LLC 12174 10/19/2021 20211105 192.00 CHECK 466347 TOTAL: 326.00 466348 11/05/2021 PRTD 141916 LUPULIN BREWING COMPANY 40889 10/19/2021 20211105 195.00 CHECK 466348 TOTAL: 195.00 466349 11/05/2021 PRTD 134063 MANSFIELD OIL COMPANY 22663477 10/11/2021 20211105 8,125.06 MANSFIELD OIL COMPANY 22665869 10/12/2021 20211105 1,066.66 CHECK 466349 TOTAL: 9,191.72 466350 11/05/2021 PRTD 141215 MAVERICK WINE LLC INV660273 10/19/2021 20211105 209.46 MAVERICK WINE LLC INV660269 10/19/2021 20211105 217.50 MAVERICK WINE LLC INV660242 10/19/2021 20211105 843.28 MAVERICK WINE LLC INV660233 10/19/2021 20211105 645.82 MAVERICK WINE LLC INV660234 10/19/2021 20211105 1,068.82 CHECK 466350 TOTAL: 2,984.88 466351 11/05/2021 PRTD 130477 MCDONALD DISTRIBUTING COMPANY 603140 10/20/2021 20211105 42.00 MCDONALD DISTRIBUTING COMPANY 603139 10/20/2021 20211105 493.00 MCDONALD DISTRIBUTING COMPANY 603137 10/20/2021 20211105 526.00 MCDONALD DISTRIBUTING COMPANY 603135 10/20/2021 20211105 299.00 MCDONALD DISTRIBUTING COMPANY 603134 10/20/2021 20211105 42.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 20 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466351 TOTAL: 1,402.00 466352 11/05/2021 PRTD 141272 MELCO REMODELING ED158272 09/14/2017 20211105 56.50 CHECK 466352 TOTAL: 56.50 466353 11/05/2021 PRTD 101483 MENARDS INC 48125 10/07/2021 20211105 55.95 MENARDS INC 48300-7127 10/10/2021 20211105 150.99 CHECK 466353 TOTAL: 206.94 466354 11/05/2021 PRTD 102729 METROPOLITAN FORD LLC 525750 10/07/2021 20211105 94.38 METROPOLITAN FORD LLC 396060 07/13/2021 20211105 1,575.68 METROPOLITAN FORD LLC 524318 06/15/2021 20211105 1,021.21 METROPOLITAN FORD LLC 524489 06/24/2021 20211105 881.25 METROPOLITAN FORD LLC 524834 07/23/2021 20211105 29.98 CHECK 466354 TOTAL: 3,602.50 466355 11/05/2021 PRTD 138732 TRADITION WINE & SPIRITS LLC 28677 10/15/2021 20211105 489.00 TRADITION WINE & SPIRITS LLC 28697 10/19/2021 20211105 1,296.00 TRADITION WINE & SPIRITS LLC 28698 10/19/2021 20211105 815.00 TRADITION WINE & SPIRITS LLC 28699 10/19/2021 20211105 815.00 CHECK 466355 TOTAL: 3,415.00 466356 11/05/2021 PRTD 104005 MIKE MILLER TRUCKING INC 1705 10/10/2021 20211105 1,850.00 CHECK 466356 TOTAL: 1,850.00 466357 11/05/2021 PRTD 100913 MINNEAPOLIS & SUBURBAN SEWER & WA 36298 10/08/2021 20211105 1,760.00 CHECK 466357 TOTAL: 1,760.00 466358 11/05/2021 PRTD 136248 MINNESOTA EQUIPMENT INC P58790 10/08/2021 20211105 91.02 MINNESOTA EQUIPMENT INC P58791 10/08/2021 20211105 -42.60 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 21 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466358 TOTAL: 48.42 466359 11/05/2021 PRTD 101459 MINNESOTA RECREATION AND PARK ASS 10251 10/07/2021 20211105 250.00 CHECK 466359 TOTAL: 250.00 466360 11/05/2021 PRTD 101459 MINNESOTA RECREATION AND PARK ASS 10258 10/07/2021 20211105 495.00 CHECK 466360 TOTAL: 495.00 466361 11/05/2021 PRTD 112908 MINNESOTA ROADWAYS COMPANY 85521 10/07/2021 20211105 1,295.00 CHECK 466361 TOTAL: 1,295.00 466362 11/05/2021 PRTD 160219 MINNESOTA SECURITY CONSORTIUM 1081 10/11/2021 20211105 1,000.00 CHECK 466362 TOTAL: 1,000.00 466363 11/05/2021 PRTD 128914 BJKK DEVELOPMENT 31883 10/09/2021 20211105 60.86 CHECK 466363 TOTAL: 60.86 466364 11/05/2021 PRTD 140955 MODIST BREWING LLC E-26065 10/19/2021 20211105 502.75 MODIST BREWING LLC E-26067 10/19/2021 20211105 639.75 MODIST BREWING LLC E-26066 10/19/2021 20211105 503.00 CHECK 466364 TOTAL: 1,645.50 466365 11/05/2021 PRTD 100906 MTI DISTRIBUTING INC 122536-99 11/01/2021 20211105 142.55 CHECK 466365 TOTAL: 142.55 466366 11/05/2021 PRTD 130266 MUNICODE 00364878 10/08/2021 20211105 1,299.50 CHECK 466366 TOTAL: 1,299.50 466367 11/05/2021 PRTD 100076 NEW FRANCE WINE CO 179361 10/13/2021 20211105 1,184.00 NEW FRANCE WINE CO 179398 10/20/2021 20211105 1,662.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 22 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET NEW FRANCE WINE CO 179400 10/20/2021 20211105 2,670.00 NEW FRANCE WINE CO 179399 10/20/2021 20211105 2,362.00 CHECK 466367 TOTAL: 7,878.00 466368 11/05/2021 PRTD 100922 NEWMAN SIGNS INC TRFINV034553 10/07/2021 20211105 3,721.20 CHECK 466368 TOTAL: 3,721.20 466369 11/05/2021 PRTD 142821 NICKLASSON ATHLETIC COMPANY 35636 10/06/2021 20211105 330.00 CHECK 466369 TOTAL: 330.00 466370 11/05/2021 PRTD 144575 O'REILLY CUSTOM 4 LLC EDN20210 - Tax 10/13/2021 20211105 183.97 CHECK 466370 TOTAL: 183.97 466371 11/05/2021 PRTD 103578 OFFICE DEPOT 204559415001 10/08/2021 20211105 44.97 OFFICE DEPOT 204559666001 10/11/2021 20211105 6.19 CHECK 466371 TOTAL: 51.16 466372 11/05/2021 PRTD 999998 DICK, DELITE E. 38788494 11/14/2016 20211105 1,626.00 CHECK 466372 TOTAL: 1,626.00 466373 11/05/2021 PRTD 999998 DONNA STOKKE 273-18-5439 05/10/2019 20211105 98.39 CHECK 466373 TOTAL: 98.39 466374 11/05/2021 PRTD 999998 REIDELL, EVAN 10032018 10/03/2018 20211105 5.00 CHECK 466374 TOTAL: 5.00 466375 11/05/2021 PRTD 999999 GERK, CHARLES EXPENSE REPORT-8/20208/04/2020 20211105 120.00 CHECK 466375 TOTAL: 120.00 466376 11/05/2021 PRTD 999999 TUINENGA, BRETT 030920BT 03/09/2020 20211105 147.96 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 23 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466376 TOTAL: 147.96 466377 11/05/2021 PRTD 999995 Bellin Construction Services LLC ED182458-REFUND 10/27/2021 20211105 2,385.00 CHECK 466377 TOTAL: 2,385.00 466378 11/05/2021 PRTD 999995 Craft Homes LLC ED183834-REFUND 11/01/2021 20211105 2,500.00 CHECK 466378 TOTAL: 2,500.00 466379 11/05/2021 PRTD 999995 Craft Homes LLC ED183835-REFUND 11/01/2021 20211105 10,000.00 CHECK 466379 TOTAL: 10,000.00 466380 11/05/2021 PRTD 999995 MWF Properties LLC Amundson Flats-SIPA 10/28/2021 20211105 15,000.00 CHECK 466380 TOTAL: 15,000.00 466381 11/05/2021 PRTD 999995 Scherber Companies LLC ED189710-REFUND 10/27/2021 20211105 2,500.00 CHECK 466381 TOTAL: 2,500.00 466382 11/05/2021 PRTD 999995 Scherber Companies LLC ED190875-REFUND 10/27/2021 20211105 2,500.00 CHECK 466382 TOTAL: 2,500.00 466383 11/05/2021 PRTD 999994 VANDERHAEGHEN, CHARLOTTE 121619 12/16/2019 20211105 67.16 CHECK 466383 TOTAL: 67.16 466384 11/05/2021 PRTD 999994 WILLETTE, MARY DAMAGE DEPOSIT REFUN01/09/2020 20211105 200.00 CHECK 466384 TOTAL: 200.00 466385 11/05/2021 PRTD 999994 Fox Homes LLC ED190862-REFUND 10/29/2021 20211105 25.68 CHECK 466385 TOTAL: 25.68 466386 11/05/2021 PRTD 999996 ALT, JOHN 1263067-REFUND 03/16/2020 20211105 5.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 24 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466386 TOTAL: 5.00 466387 11/05/2021 PRTD 999996 BASILE, PATRICK 051319 05/13/2019 20211105 100.00 CHECK 466387 TOTAL: 100.00 466388 11/05/2021 PRTD 999996 KINGSLEY, SARAH 060618 06/06/2018 20211105 35.00 CHECK 466388 TOTAL: 35.00 466389 11/05/2021 PRTD 999996 Mayva Broanian 33343732-REFUND 10/25/2021 20211105 10.00 CHECK 466389 TOTAL: 10.00 466390 11/05/2021 PRTD 999997 CADWALLADER, BROCK 00124164-0342083097 05/30/2020 20211105 26.43 CHECK 466390 TOTAL: 26.43 466391 11/05/2021 PRTD 999997 COMB, GEORGE 00124465-0110310002 01/17/2020 20211105 411.80 CHECK 466391 TOTAL: 411.80 466392 11/05/2021 PRTD 999997 COOPER, GARY 00086083-0305953000 01/17/2020 20211105 37.77 CHECK 466392 TOTAL: 37.77 466393 11/05/2021 PRTD 999997 DICK, KARL 11-01-2018 11/01/2018 20211105 190.85 CHECK 466393 TOTAL: 190.85 466394 11/05/2021 PRTD 999997 DRAKE INVESTMENTS, LLC 00124708-0120304009 09/20/2019 20211105 30.07 CHECK 466394 TOTAL: 30.07 466395 11/05/2021 PRTD 999997 ENGEL & VOLKERS, 00125382-0120656003 02/12/2021 20211105 39.62 CHECK 466395 TOTAL: 39.62 466396 11/05/2021 PRTD 999997 FRANZ, TOM 00092251-0152781004 05/04/2020 20211105 32.38 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 25 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466396 TOTAL: 32.38 466397 11/05/2021 PRTD 999997 FREIBERG, BRAD 00088276-0340285015 09/18/2019 20211105 22.01 CHECK 466397 TOTAL: 22.01 466398 11/05/2021 PRTD 999997 FULL HOUSE RENOVATION, LLC 00125271-0111736006 10/17/2019 20211105 41.42 CHECK 466398 TOTAL: 41.42 466399 11/05/2021 PRTD 999997 GRASER, MICHAELA 00118775-0342411009 01/17/2020 20211105 150.00 CHECK 466399 TOTAL: 150.00 466400 11/05/2021 PRTD 999997 JENNIFER FEDI TRUSTEE OF THE D JA 00111728-0110716002 03/18/2020 20211105 21.13 CHECK 466400 TOTAL: 21.13 466401 11/05/2021 PRTD 999997 KORTHOF, CAROL 00120891-0330088006 04/28/2020 20211105 100.00 CHECK 466401 TOTAL: 100.00 466402 11/05/2021 PRTD 999997 KRUEGER, DAVID 00101655-0330816005 07/08/2019 20211105 33.53 CHECK 466402 TOTAL: 33.53 466403 11/05/2021 PRTD 999997 SILVA, ALEXANDRA 00121675-0110551000 10/17/2019 20211105 40.62 CHECK 466403 TOTAL: 40.62 466404 11/05/2021 PRTD 999997 SMITS, MARCEL REF 00119348-020230102/05/2020 20211105 110.54 CHECK 466404 TOTAL: 110.54 466405 11/05/2021 PRTD 999997 THE AKPAN GROUP CONSULTANTS 00125623-0305794003 01/17/2020 20211105 59.30 CHECK 466405 TOTAL: 59.30 466406 11/05/2021 PRTD 999997 THE FRAMING CREW, LLC 00125250-0120995003 12/17/2019 20211105 192.55 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 26 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466406 TOTAL: 192.55 466407 11/05/2021 PRTD 999997 THOMSON, DAVID 00075947-0110020290 03/18/2020 20211105 147.51 CHECK 466407 TOTAL: 147.51 466408 11/05/2021 PRTD 999997 THRESHOLD HOLDINGS LLC 00125359-0305388005 11/20/2019 20211105 174.99 CHECK 466408 TOTAL: 174.99 466409 11/05/2021 PRTD 999997 WALKER, JUDY 00083925-0111437008 03/18/2020 20211105 133.69 CHECK 466409 TOTAL: 133.69 466410 11/05/2021 PRTD 100945 PEPSI-COLA COMPANY 45383459 10/19/2021 20211105 1,037.42 CHECK 466410 TOTAL: 1,037.42 466411 11/05/2021 PRTD 149249 PEQUOD DISTRIBUTING W-120864 10/14/2021 20211105 133.00 CHECK 466411 TOTAL: 133.00 466412 11/05/2021 PRTD 160131 PER MAR SECURITY AND RESEARCH COR 2614559 09/28/2021 20211105 142.50 PER MAR SECURITY AND RESEARCH COR 2590566 08/31/2021 20211105 120.00 CHECK 466412 TOTAL: 262.50 466413 11/05/2021 PRTD 140243 PK BLOODY MARY CORP 1746 10/19/2021 20211105 72.00 CHECK 466413 TOTAL: 72.00 466414 11/05/2021 PRTD 119620 POMP'S TIRE SERVICE INC 210555745 10/11/2021 20211105 2,768.00 CHECK 466414 TOTAL: 2,768.00 466415 11/05/2021 PRTD 114005 PORTNOY, BARBARA 092917 09/29/2017 20211105 50.00 PORTNOY, BARBARA AWARD FOR EDINA ART 10/07/2019 20211105 100.00 CHECK 466415 TOTAL: 150.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 27 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466416 11/05/2021 PRTD 100763 QUADIENT, INC 16486196-1 09/14/2021 20211105 194.91 CHECK 466416 TOTAL: 194.91 466417 11/05/2021 PRTD 160142 QUINLIVAN & HUGHES, PA 151940 10/11/2021 20211105 235.00 CHECK 466417 TOTAL: 235.00 466418 11/05/2021 PRTD 114799 RES GREAT LAKES LLC IN17738 10/06/2021 20211105 535.00 RES GREAT LAKES LLC IN18115 10/11/2021 20211105 912.50 CHECK 466418 TOTAL: 1,447.50 466419 11/05/2021 PRTD 100977 RICHFIELD PLUMBING COMPANY 83095 10/07/2021 20211105 2,989.44 CHECK 466419 TOTAL: 2,989.44 466420 11/05/2021 PRTD 132210 RUSCIANO GROUP 67239 10/08/2021 20211105 755.00 CHECK 466420 TOTAL: 755.00 466421 11/05/2021 PRTD 100995 SHORT-ELLIOT-HENDRICKSON INCORPOR 413328 10/11/2021 20211105 30,620.69 SHORT-ELLIOT-HENDRICKSON INCORPOR 413331 10/11/2021 20211105 10,328.55 SHORT-ELLIOT-HENDRICKSON INCORPOR 413335 10/11/2021 20211105 535.48 SHORT-ELLIOT-HENDRICKSON INCORPOR 413135 10/11/2021 20211105 167.06 SHORT-ELLIOT-HENDRICKSON INCORPOR 413141 10/11/2021 20211105 88,759.66 CHECK 466421 TOTAL: 130,411.44 466422 11/05/2021 PRTD 127878 SOUTHERN GLAZERS WINE & SPIRITS L 2136112 10/14/2021 20211105 1,199.20 SOUTHERN GLAZERS WINE & SPIRITS L 2136111 10/14/2021 20211105 396.60 SOUTHERN GLAZERS WINE & SPIRITS L 2136110 10/14/2021 20211105 387.20 SOUTHERN GLAZERS WINE & SPIRITS L 2136106 10/15/2021 20211105 48.80 SOUTHERN GLAZERS WINE & SPIRITS L 2136109 10/15/2021 20211105 108.80 SOUTHERN GLAZERS WINE & SPIRITS L 2136108 10/15/2021 20211105 391.60 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 28 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET SOUTHERN GLAZERS WINE & SPIRITS L 2136107 10/15/2021 20211105 662.30 SOUTHERN GLAZERS WINE & SPIRITS L 2137744 10/20/2021 20211105 254.00 SOUTHERN GLAZERS WINE & SPIRITS L 2137743 10/20/2021 20211105 3,422.40 SOUTHERN GLAZERS WINE & SPIRITS L 2137746 10/20/2021 20211105 80.80 SOUTHERN GLAZERS WINE & SPIRITS L 2137748 10/20/2021 20211105 1,655.75 SOUTHERN GLAZERS WINE & SPIRITS L 2137747 10/20/2021 20211105 1,272.25 SOUTHERN GLAZERS WINE & SPIRITS L 2137745 10/20/2021 20211105 2,278.30 SOUTHERN GLAZERS WINE & SPIRITS L 2137742 10/20/2021 20211105 1,595.60 SOUTHERN GLAZERS WINE & SPIRITS L 2137749 10/20/2021 20211105 352.60 SOUTHERN GLAZERS WINE & SPIRITS L 2137738 10/20/2021 20211105 872.20 SOUTHERN GLAZERS WINE & SPIRITS L 2137735 10/20/2021 20211105 3,422.40 SOUTHERN GLAZERS WINE & SPIRITS L 2137736 10/20/2021 20211105 200.00 SOUTHERN GLAZERS WINE & SPIRITS L 2137734 10/20/2021 20211105 290.40 SOUTHERN GLAZERS WINE & SPIRITS L 2137737 10/20/2021 20211105 80.80 SOUTHERN GLAZERS WINE & SPIRITS L 2137740 10/20/2021 20211105 239.30 SOUTHERN GLAZERS WINE & SPIRITS L 2137741 10/20/2021 20211105 723.60 SOUTHERN GLAZERS WINE & SPIRITS L 2137728 10/20/2021 20211105 114.00 SOUTHERN GLAZERS WINE & SPIRITS L 2137729 10/20/2021 20211105 248.80 SOUTHERN GLAZERS WINE & SPIRITS L 2137726 10/20/2021 20211105 96.80 SOUTHERN GLAZERS WINE & SPIRITS L 2137730 10/20/2021 20211105 992.10 SOUTHERN GLAZERS WINE & SPIRITS L 2137731 10/20/2021 20211105 872.20 SOUTHERN GLAZERS WINE & SPIRITS L 2137727 10/20/2021 20211105 461.40 SOUTHERN GLAZERS WINE & SPIRITS L 2137732 10/20/2021 20211105 831.60 CHECK 466422 TOTAL: 23,551.80 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 29 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466423 11/05/2021 PRTD 104672 SPRINT SPECTRUM LP 873184124-227 10/18/2021 20211105 133.60 CHECK 466423 TOTAL: 133.60 466424 11/05/2021 PRTD 133068 STEEL TOE BREWING LLC 42848 10/20/2021 20211105 165.00 STEEL TOE BREWING LLC 42849 10/20/2021 20211105 165.00 STEEL TOE BREWING LLC 42850 10/20/2021 20211105 228.00 CHECK 466424 TOTAL: 558.00 466425 11/05/2021 PRTD 146040 STRAYER, JUSTIN 10234 10/20/2021 20211105 1,120.00 STRAYER, JUSTIN 10213 10/20/2021 20211105 2,049.00 STRAYER, JUSTIN 10233 10/20/2021 20211105 1,120.00 CHECK 466425 TOTAL: 4,289.00 466426 11/05/2021 PRTD 101015 STREICHERS INC I1528728 10/11/2021 20211105 154.99 STREICHERS INC I1531384 10/27/2021 20211105 154.82 CHECK 466426 TOTAL: 309.81 466427 11/05/2021 PRTD 101017 SUBURBAN CHEVROLET 189832 10/06/2021 20211105 46.74 CHECK 466427 TOTAL: 46.74 466428 11/05/2021 PRTD 105874 SUBURBAN TIRE WHOLESALE INC 10181851 10/06/2021 20211105 116.00 SUBURBAN TIRE WHOLESALE INC 10181813 10/06/2021 20211105 435.36 CHECK 466428 TOTAL: 551.36 466429 11/05/2021 PRTD 160218 SUMURI LLC 2021-1137 10/08/2021 20211105 300.00 CHECK 466429 TOTAL: 300.00 466430 11/05/2021 PRTD 151143 TALKING WATERS BREWING CO LLC 2479 10/14/2021 20211105 310.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 30 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466430 TOTAL: 310.00 466431 11/05/2021 PRTD 102150 TWIN CITY SEED CO 50851 10/06/2021 20211105 335.00 TWIN CITY SEED CO 50855 10/07/2021 20211105 705.00 TWIN CITY SEED CO 50898 10/11/2021 20211105 502.50 TWIN CITY SEED CO 51002 09/06/2021 20211105 142.25 CHECK 466431 TOTAL: 1,684.75 466432 11/05/2021 PRTD 131957 UNIVERSAL ATHLETIC, LLC 150-0057788-01 10/07/2021 20211105 55.99 CHECK 466432 TOTAL: 55.99 466433 11/05/2021 PRTD 112118 US BANK 12885031 09/24/2021 20211105 4,449.18 CHECK 466433 TOTAL: 4,449.18 466434 11/05/2021 PRTD 103252 VEAP INC (VOLUNTEERS ENLISTED TO 211322 09/20/2021 20211105 100,000.00 CHECK 466434 TOTAL: 100,000.00 466435 11/05/2021 PRTD 144209 VENN BREWING COMPANY LLC 2897 10/21/2021 20211105 186.00 VENN BREWING COMPANY LLC 2896 10/21/2021 20211105 88.50 VENN BREWING COMPANY LLC 2898 10/21/2021 20211105 360.00 CHECK 466435 TOTAL: 634.50 466436 11/05/2021 PRTD 148579 VIERKANT DISPOSAL LLC 9/1/21 - 9/30/21 10/06/2021 20211105 67,985.00 CHECK 466436 TOTAL: 67,985.00 466437 11/05/2021 PRTD 102004 VIKING AUTOMATIC SPRINKLER COMPAN 1025-F182239 10/06/2021 20211105 875.00 CHECK 466437 TOTAL: 875.00 466438 11/05/2021 PRTD 101066 VIKING ELECTRIC SUPPLY S005147636.002 10/06/2021 20211105 271.26 VIKING ELECTRIC SUPPLY S005147636.001 10/06/2021 20211105 73.98 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 31 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466438 TOTAL: 345.24 466439 11/05/2021 PRTD 119454 VINOCOPIA INC 0288826-IN 10/14/2021 20211105 692.01 VINOCOPIA INC 0288827-IN 10/14/2021 20211105 615.00 VINOCOPIA INC 0289481-IN 10/21/2021 20211105 359.50 VINOCOPIA INC 0289479-IN 10/21/2021 20211105 169.00 VINOCOPIA INC 0289480-IN 10/21/2021 20211105 121.25 VINOCOPIA INC 0289562-IN 10/21/2021 20211105 2,631.25 VINOCOPIA INC 0289478-IN 10/21/2021 20211105 222.25 CHECK 466439 TOTAL: 4,810.26 466440 11/05/2021 PRTD 143468 VONDENKAMP, MARK 001092 10/12/2021 20211105 117.00 CHECK 466440 TOTAL: 117.00 466441 11/05/2021 PRTD 151681 WALKER LAWN CARE INC 8790 10/28/2021 20211105 3,600.00 CHECK 466441 TOTAL: 3,600.00 466442 11/05/2021 PRTD 103088 WASTE MANAGEMENT OF WI-MN 0085542-2808-3 10/04/2021 20211105 5,856.08 CHECK 466442 TOTAL: 5,856.08 466443 11/05/2021 PRTD 135181 WATERFORD OIL CO INC 135441 10/06/2021 20211105 1,249.47 CHECK 466443 TOTAL: 1,249.47 466444 11/05/2021 PRTD 103219 WENDEL ARCHITECTURAL RESOURCES IN 353734 10/04/2021 20211105 4,875.00 CHECK 466444 TOTAL: 4,875.00 466445 11/05/2021 PRTD 101033 WINE COMPANY 186567 10/20/2021 20211105 4,639.60 WINE COMPANY 186564 10/20/2021 20211105 145.65 WINE COMPANY 186565 10/20/2021 20211105 4,806.90 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 32 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466445 TOTAL: 9,592.15 466446 11/05/2021 PRTD 124503 WINSUPPLY EDEN PRAIRIE MN CO 217725 01 10/07/2021 20211105 233.90 WINSUPPLY EDEN PRAIRIE MN CO 217839 01 10/11/2021 20211105 53.10 CHECK 466446 TOTAL: 287.00 466447 11/05/2021 PRTD 142162 WOODEN HILL BREWING COMPANY LLC 3020 10/15/2021 20211105 176.40 WOODEN HILL BREWING COMPANY LLC 3021 10/15/2021 20211105 295.80 CHECK 466447 TOTAL: 472.20 466448 11/05/2021 PRTD 127774 WORLDWIDE CELLARS INC R21-54352 10/15/2021 20211105 155.92 WORLDWIDE CELLARS INC R21-54442 10/19/2021 20211105 112.00 CHECK 466448 TOTAL: 267.92 466449 11/05/2021 PRTD 143452 WRS CO LLC 3220 10/19/2021 20211105 110.50 CHECK 466449 TOTAL: 110.50 466450 11/05/2021 PRTD 105740 WSB & ASSOCIATES R-017423-000-9 10/06/2021 20211105 434.00 WSB & ASSOCIATES R-017897-000-5 10/06/2021 20211105 9,294.25 WSB & ASSOCIATES R-018471-000-3 10/06/2021 20211105 13,590.25 CHECK 466450 TOTAL: 23,318.50 466451 11/05/2021 PRTD 100932 XCEL ENERGY 746478086 09/01/2021 20211105 39,376.00 CHECK 466451 TOTAL: 39,376.00 466452 11/05/2021 PRTD 129312 YOUTH TECH INC 7242 07/29/2021 20211105 1,875.00 YOUTH TECH INC 7202 07/21/2021 20211105 1,586.25 CHECK 466452 TOTAL: 3,461.25 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/04/2021 12:35User: STanGeilProgram ID: apcshdsb Page 33 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466453 11/05/2021 PRTD 101091 ZIEGLER INC IN000274573 10/06/2021 20211105 31.26 ZIEGLER INC IN000276624 10/07/2021 20211105 54.88 CHECK 466453 TOTAL: 86.14 NUMBER OF CHECKS 211 *** CASH ACCOUNT TOTAL *** 1,110,594.13 COUNT AMOUNT TOTAL PRINTED CHECKS 211 1,110,594.13 *** GRAND TOTAL *** 1,110,594.13 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 35 JOURNAL ENTRIES TO BE CREATED FUND SUB FUND DUE TO DUE FR 1000 General 169,487.222300 Pedestrian and Cyclist Safety 3,687.432500 Conservation & Sustainability 4,350.002600 Housing & Redvlpmt Authority 745.002600 Housing & Redvlpmt Authority 133,318.594000 Capital Projects 52,933.324200 Equipment Replacement 5,146.674400 PIR Capital Projects 121,212.125200 Braemar Golf Course 2,355.035200 Braemar Golf Course 5,114.785400 Edinborough Park 20,391.375500 Braemar Arena 55,252.435600 Braemar Field 3,478.885700 Centennial Lakes 14.155800 Liquor 168,892.115900 Utility Fund 29,715.775900 Utility Fund 18,444.125900 Utility Fund 136,396.836000 Risk Management 34,908.126100 Equipment Operations 11,701.906200 Information Technology 3,342.986300 Facilities Management 22,210.097100 PS Training Facility 558.477200 MN Task Force 1 31.909000 Payroll 430,276.209999 Pooled Cash Fund 1,433,965.48 TOTAL 1,433,965.48 1,433,965.48 ** END OF REPORT - Generated by Shirleng Tan Geil ** City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 1 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466454 11/12/2021 PRTD 133644 A DYNAMIC DOOR CO INC 22110135 10/15/2021 20211112 8,210.16 CHECK 466454 TOTAL: 8,210.16 466455 11/12/2021 PRTD 129458 ACME ELECTRIC MOTOR INC 9223274 10/13/2021 20211112 91.96 ACME ELECTRIC MOTOR INC 9230629 10/15/2021 20211112 698.09 CHECK 466455 TOTAL: 790.05 466456 11/12/2021 PRTD 140318 ADVANCED ELEMENTS INC 77037 10/12/2021 20211112 26,880.00 ADVANCED ELEMENTS INC 77047 10/12/2021 20211112 1,537.63 CHECK 466456 TOTAL: 28,417.63 466457 11/12/2021 PRTD 160229 AJA KING 390 10/17/2021 20211112 600.00 CHECK 466457 TOTAL: 600.00 466458 11/12/2021 PRTD 105262 ALEX AIR APPARATUS INC 4613 10/14/2021 20211112 867.90 CHECK 466458 TOTAL: 867.90 466459 11/12/2021 PRTD 100575 AMERICAN CYLINDER LLC 191535 09/30/2021 20211112 187.30 CHECK 466459 TOTAL: 187.30 466460 11/12/2021 PRTD 141960 AMAZON CAPITAL SERVICES 1WV4-HX94-VPYR 10/12/2021 20211112 99.98 AMAZON CAPITAL SERVICES 11CP-F1XY-WMQK 10/12/2021 20211112 122.30 AMAZON CAPITAL SERVICES 1KQF-1P37-YCR3 10/12/2021 20211112 73.11 AMAZON CAPITAL SERVICES 1RNY-6TRQ-1DGP 10/12/2021 20211112 36.34 AMAZON CAPITAL SERVICES 1PHL-XDMY-9HG3 10/12/2021 20211112 35.12 AMAZON CAPITAL SERVICES 1C79-QFYK-1G7C 10/12/2021 20211112 499.00 AMAZON CAPITAL SERVICES 1C79-QFYK-4HWM 10/12/2021 20211112 23.64 AMAZON CAPITAL SERVICES 1C79-QFYK-MNCN 10/13/2021 20211112 21.98 AMAZON CAPITAL SERVICES 1KL7-QTV9-NFHM 10/13/2021 20211112 32.94 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 2 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET AMAZON CAPITAL SERVICES 1LQN-YM4R-Q3CX 10/13/2021 20211112 59.97 AMAZON CAPITAL SERVICES 1PX6-TMG1-T13P 10/13/2021 20211112 31.90 AMAZON CAPITAL SERVICES 19D9-GX47-RW1M 10/13/2021 20211112 12.86 AMAZON CAPITAL SERVICES 1JMC-4Q9Q-T449 10/13/2021 20211112 25.98 AMAZON CAPITAL SERVICES 13PK-XYLF-CQXQ 10/14/2021 20211112 286.23 AMAZON CAPITAL SERVICES 1DWV-KVP9-CGML 10/14/2021 20211112 47.30 AMAZON CAPITAL SERVICES 19VF-3VXR-CH46 10/14/2021 20211112 19.99 AMAZON CAPITAL SERVICES 1F9G-1QLK-DN9X 10/14/2021 20211112 695.50 AMAZON CAPITAL SERVICES 1M7X-PT91-HLQR 10/14/2021 20211112 81.99 AMAZON CAPITAL SERVICES 1JT4-RYQ1-HV6Y 10/16/2021 20211112 19.99 AMAZON CAPITAL SERVICES 1J31-WWDV-WH6X 10/15/2021 20211112 32.25 AMAZON CAPITAL SERVICES 19VF-3VXR-WPF4 10/15/2021 20211112 32.25 AMAZON CAPITAL SERVICES 1VXD-XKW3-VWYC 10/14/2021 20211112 32.25 AMAZON CAPITAL SERVICES 19HK-9176-NKD9 10/17/2021 20211112 49.99 AMAZON CAPITAL SERVICES 1MWJ-44PR-MTKR 10/18/2021 20211112 28.40 AMAZON CAPITAL SERVICES 1JJ4-WRTC-MR7V 10/18/2021 20211112 52.87 AMAZON CAPITAL SERVICES 1PPF-V6HT-CJYC 10/18/2021 20211112 723.67 AMAZON CAPITAL SERVICES 1KR4-CQFH-QKYP 11/03/2021 20211112 -183.87 AMAZON CAPITAL SERVICES 1PFT-MTYK-GXHX 10/20/2021 20211112 -9.65 AMAZON CAPITAL SERVICES 17YH-CM6J-P3XG 11/04/2021 20211112 59.98 CHECK 466460 TOTAL: 3,044.26 466461 11/12/2021 PRTD 141691 ANDERSON, WENDY S 12 10/18/2021 20211112 1,547.00 CHECK 466461 TOTAL: 1,547.00 466462 11/12/2021 PRTD 151441 ARAMARK UNIFORM AND CAREER APPEAL 1005165175 10/13/2021 20211112 469.81 ARAMARK UNIFORM AND CAREER APPEAL 462381 11/05/2021 20211112 -204.18 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 3 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET ARAMARK UNIFORM AND CAREER APPEAL 462629 11/05/2021 20211112 -262.95 CHECK 466462 TOTAL: 2.68 466463 11/12/2021 PRTD 106304 ASPEN MILLS INC 282165 10/13/2021 20211112 523.25 ASPEN MILLS INC 282460 10/18/2021 20211112 103.90 CHECK 466463 TOTAL: 627.15 466464 11/12/2021 PRTD 102774 ASPEN WASTE SYSTEMS OF MINNESOTA S1406543-110121 11/01/2021 20211112 7,190.87 ASPEN WASTE SYSTEMS OF MINNESOTA S1405453-110121 11/01/2021 20211112 2,527.81 ASPEN WASTE SYSTEMS OF MINNESOTA S1422086-110121 11/01/2021 20211112 6,173.09 ASPEN WASTE SYSTEMS OF MINNESOTA S1146354-110121 11/01/2021 20211112 273.44 CHECK 466464 TOTAL: 16,165.21 466465 11/12/2021 PRTD 160227 AT YOUTH PROGRAMS, LLC 1 10/14/2021 20211112 3,840.00 CHECK 466465 TOTAL: 3,840.00 466466 11/12/2021 PRTD 101355 BELLBOY CORPORATION 0104121000 10/21/2021 20211112 126.58 BELLBOY CORPORATION 0091897300 10/21/2021 20211112 5,823.69 BELLBOY CORPORATION 0092007600 10/25/2021 20211112 -53.50 BELLBOY CORPORATION 0091981000 10/28/2021 20211112 1,335.25 BELLBOY CORPORATION 0104155800 10/28/2021 20211112 25.66 BELLBOY CORPORATION 0091980900 10/28/2021 20211112 304.65 CHECK 466466 TOTAL: 7,562.33 466467 11/12/2021 PRTD 142153 BLACK STACK BREWING INC 14890 10/27/2021 20211112 239.00 CHECK 466467 TOTAL: 239.00 466468 11/12/2021 PRTD 124534 BLACKSTONE CONTRACTORS LLC 2199-034 10/18/2021 20211112 9,717.75 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 4 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466468 TOTAL: 9,717.75 466469 11/12/2021 PRTD 132444 BOLTON & MENK INC 0277828 10/18/2021 20211112 1,230.00 BOLTON & MENK INC 0277829 10/18/2021 20211112 4,596.50 CHECK 466469 TOTAL: 5,826.50 466470 11/12/2021 PRTD 105367 BOUND TREE MEDICAL LLC 84246585 10/12/2021 20211112 613.20 CHECK 466470 TOTAL: 613.20 466471 11/12/2021 PRTD 119351 BOURGET IMPORTS 181970 10/26/2021 20211112 688.75 BOURGET IMPORTS 181975 10/26/2021 20211112 1,958.50 CHECK 466471 TOTAL: 2,647.25 466472 11/12/2021 PRTD 117040 BOYER FORD TRUCKS INC 008P3874 10/12/2021 20211112 610.86 CHECK 466472 TOTAL: 610.86 466473 11/12/2021 PRTD 100664 BRAUN INTERTEC CORPORATION B269959 10/12/2021 20211112 859.25 BRAUN INTERTEC CORPORATION B270007 10/13/2021 20211112 1,216.50 BRAUN INTERTEC CORPORATION B272261 11/01/2021 20211112 8,965.50 CHECK 466473 TOTAL: 11,041.25 466474 11/12/2021 PRTD 124291 BREAKTHRU BEVERAGE MINNESOTA WINE 341394309 10/13/2021 20211112 5,852.27 BREAKTHRU BEVERAGE MINNESOTA WINE 341480756 10/20/2021 20211112 5,057.17 BREAKTHRU BEVERAGE MINNESOTA WINE 341576325 10/27/2021 20211112 4,918.97 BREAKTHRU BEVERAGE MINNESOTA WINE 341576322 10/27/2021 20211112 125.04 BREAKTHRU BEVERAGE MINNESOTA WINE 341576323 10/27/2021 20211112 45.15 BREAKTHRU BEVERAGE MINNESOTA WINE 341576324 10/27/2021 20211112 2,202.32 BREAKTHRU BEVERAGE MINNESOTA WINE 341576327 10/27/2021 20211112 830.90 BREAKTHRU BEVERAGE MINNESOTA WINE 341576326 10/27/2021 20211112 612.75 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 5 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466474 TOTAL: 19,644.57 466475 11/12/2021 PRTD 124529 BREAKTHRU BEVERAGE MINNESOTA BEER 341478586 10/19/2021 20211112 8,155.65 BREAKTHRU BEVERAGE MINNESOTA BEER 341478570 10/19/2021 20211112 6,773.20 BREAKTHRU BEVERAGE MINNESOTA BEER 341570480 10/26/2021 20211112 1,148.80 CHECK 466475 TOTAL: 16,077.65 466476 11/12/2021 PRTD 119455 CAPITOL BEVERAGE SALES LP 18690056 10/22/2021 20211112 142.50 CAPITOL BEVERAGE SALES LP 2611306 10/22/2021 20211112 1,384.90 CAPITOL BEVERAGE SALES LP 2612274 10/26/2021 20211112 117.00 CAPITOL BEVERAGE SALES LP 2612273 10/26/2021 20211112 2,189.30 CAPITOL BEVERAGE SALES LP 2611307 10/22/2021 20211112 58.50 CAPITOL BEVERAGE SALES LP 2611309 10/22/2021 20211112 3,651.80 CAPITOL BEVERAGE SALES LP 2611308 10/22/2021 20211112 36.99 CAPITOL BEVERAGE SALES LP 2613783 10/29/2021 20211112 756.15 CAPITOL BEVERAGE SALES LP 2613782 10/29/2021 20211112 14.00 CAPITOL BEVERAGE SALES LP 2613987 10/28/2021 20211112 -194.00 CHECK 466476 TOTAL: 8,157.14 466477 11/12/2021 PRTD 101515 CEMSTONE PRODUCTS COMPANY C2435114 10/14/2021 20211112 1,450.00 CHECK 466477 TOTAL: 1,450.00 466478 11/12/2021 PRTD 142533 CADD ENGR SUPPLY INC INV132727 10/13/2021 20211112 95.00 CHECK 466478 TOTAL: 95.00 466479 11/12/2021 PRTD 160149 CHA CONSULTING, INC. 71482-01 10/12/2021 20211112 3,000.00 CHECK 466479 TOTAL: 3,000.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 6 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466480 11/12/2021 PRTD 142028 CINTAS CORPORATION 4098498039 10/12/2021 20211112 23.14 CINTAS CORPORATION 4098498164 10/12/2021 20211112 34.88 CINTAS CORPORATION 4098498177 10/12/2021 20211112 27.65 CINTAS CORPORATION 4098498209 10/12/2021 20211112 33.05 CINTAS CORPORATION 4098498126 10/12/2021 20211112 11.78 CINTAS CORPORATION 4098999083 10/18/2021 20211112 17.52 CINTAS CORPORATION 4098999011 10/18/2021 20211112 82.94 CINTAS CORPORATION 4099565572 10/22/2021 20211112 81.48 CINTAS CORPORATION 4099565458 10/22/2021 20211112 63.28 CINTAS CORPORATION 4099675645 10/25/2021 20211112 3.69 CINTAS CORPORATION 4088395208 06/28/2021 20211112 23.09 CINTAS CORPORATION 457133 03/16/2021 20211112 -20.40 CINTAS CORPORATION 454174 11/11/2020 20211112 -117.13 CHECK 466480 TOTAL: 264.97 466481 11/12/2021 PRTD 120433 COMCAST HOLDINGS CORPORATION 0161120-10/21 10/26/2021 20211112 20.27 CHECK 466481 TOTAL: 20.27 466482 11/12/2021 PRTD 105981 TILLER CORPORATION 211015 10/15/2021 20211112 9,285.05 CHECK 466482 TOTAL: 9,285.05 466483 11/12/2021 PRTD 160002 COMMERCIAL INFRASTRUCTURE CABLING I10157 10/14/2021 20211112 756.00 CHECK 466483 TOTAL: 756.00 466484 11/12/2021 PRTD 144092 CONCENTRA 103453383 10/13/2021 20211112 52.00 CHECK 466484 TOTAL: 52.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 7 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466485 11/12/2021 PRTD 100012 CORE & MAIN P756364 10/12/2021 20211112 152.04 CHECK 466485 TOTAL: 152.04 466486 11/12/2021 PRTD 118805 DISCOUNT STEEL INC 5223750 10/13/2021 20211112 26.45 DISCOUNT STEEL INC 5223739 10/13/2021 20211112 249.15 CHECK 466486 TOTAL: 275.60 466487 11/12/2021 PRTD 101832 CORNER HOUSE 2538 10/18/2021 20211112 6,303.71 CHECK 466487 TOTAL: 6,303.71 466488 11/12/2021 PRTD 160189 COYLE, ANN 1011 10/15/2021 20211112 990.00 CHECK 466488 TOTAL: 990.00 466489 11/12/2021 PRTD 100699 CULLIGAN SOFTWATER SERVICE COMPAN 114X83125100 10/31/2021 20211112 282.62 CHECK 466489 TOTAL: 282.62 466490 11/12/2021 PRTD 133169 DAIKIN APPLIED 3324763 10/18/2021 20211112 4,991.05 CHECK 466490 TOTAL: 4,991.05 466491 11/12/2021 PRTD 104020 DALCO ENTERPRISES INC 3843414 10/13/2021 20211112 40.40 DALCO ENTERPRISES INC 3844832 10/15/2021 20211112 230.50 CHECK 466491 TOTAL: 270.90 466492 11/12/2021 PRTD 100706 DC ANNIS SEWER 128998 10/14/2021 20211112 960.00 DC ANNIS SEWER 128997 10/14/2021 20211112 720.00 DC ANNIS SEWER 129004 10/14/2021 20211112 635.00 DC ANNIS SEWER 129003 10/14/2021 20211112 635.00 CHECK 466492 TOTAL: 2,950.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 8 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466493 11/12/2021 PRTD 160060 DOMACE VINO LLC 23376 10/13/2021 20211112 422.50 CHECK 466493 TOTAL: 422.50 466494 11/12/2021 PRTD 150827 DRASTIC MEASURES BREWING, LLC 1668 10/21/2021 20211112 324.00 CHECK 466494 TOTAL: 324.00 466495 11/12/2021 PRTD 132810 ECM PUBLISHERS INC 858759 10/17/2021 20211112 315.00 CHECK 466495 TOTAL: 315.00 466496 11/12/2021 PRTD 143018 ECO WORKS SUPPLY 6244 10/18/2021 20211112 337.50 CHECK 466496 TOTAL: 337.50 466497 11/12/2021 PRTD 160111 ELSA LITECRY 20211018 10/18/2021 20211112 169.00 CHECK 466497 TOTAL: 169.00 466498 11/12/2021 PRTD 142458 EDINA MARKET STREET LLC 07 10/14/2021 20211112 3,793.19 EDINA MARKET STREET LLC 06 10/14/2021 20211112 6,397.63 EDINA MARKET STREET LLC 04 10/13/2021 20211112 3,804.35 CHECK 466498 TOTAL: 13,995.17 466499 11/12/2021 PRTD 103594 EDINALARM INC 69911 10/20/2021 20211112 626.47 CHECK 466499 TOTAL: 626.47 466500 11/12/2021 PRTD 160062 ELM CREEK BREWING COMPANY E-1381B 09/24/2021 20211112 50.00 CHECK 466500 TOTAL: 50.00 466501 11/12/2021 PRTD 104733 EMERGENCY MEDICAL PRODUCTS INC 2289679 10/12/2021 20211112 110.00 CHECK 466501 TOTAL: 110.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 9 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466502 11/12/2021 PRTD 100752 ESS BROTHERS & SONS INC BB9603 10/13/2021 20211112 1,170.00 CHECK 466502 TOTAL: 1,170.00 466503 11/12/2021 PRTD 100146 ELLIOTT AUTO SUPPLY CO, INC 69-431485 10/14/2021 20211112 36.78 ELLIOTT AUTO SUPPLY CO, INC 69-431399 10/13/2021 20211112 20.94 ELLIOTT AUTO SUPPLY CO, INC 1-7200604 10/18/2021 20211112 30.04 ELLIOTT AUTO SUPPLY CO, INC 69-431804 10/18/2021 20211112 7.86 CHECK 466503 TOTAL: 95.62 466504 11/12/2021 PRTD 147181 FALLING BREWERY - BERGMAN LEDGE L E-4852 10/28/2021 20211112 270.00 CHECK 466504 TOTAL: 270.00 466505 11/12/2021 PRTD 103600 FERGUSON US HOLDINGS INC 0484342 10/15/2021 20211112 817.27 CHECK 466505 TOTAL: 817.27 466506 11/12/2021 PRTD 141837 DAIOHS USA INC 578040 10/15/2021 20211112 694.02 DAIOHS USA INC 577869 10/15/2021 20211112 246.58 CHECK 466506 TOTAL: 940.60 466507 11/12/2021 PRTD 130699 FLEETPRIDE INC 83962863 10/14/2021 20211112 193.64 CHECK 466507 TOTAL: 193.64 466508 11/12/2021 PRTD 104716 GALE-TEC ENGINEERING INC 3159 11/01/2021 20211112 173.40 CHECK 466508 TOTAL: 173.40 466509 11/12/2021 PRTD 102456 GALLS PARENT HOLDINGS LLC BC1463973 10/12/2021 20211112 219.95 GALLS PARENT HOLDINGS LLC BC1465406 10/13/2021 20211112 23.10 GALLS PARENT HOLDINGS LLC BC1465428 10/13/2021 20211112 33.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 10 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466509 TOTAL: 276.05 466510 11/12/2021 PRTD 140367 GEVEKO MARKETINGS INC 10305004320 10/18/2021 20211112 2,366.80 CHECK 466510 TOTAL: 2,366.80 466511 11/12/2021 PRTD 101351 GILBERT MECHANICAL CONTRACTORS LL 209806 10/14/2021 20211112 10,792.50 GILBERT MECHANICAL CONTRACTORS LL 209996 10/20/2021 20211112 -562.01 CHECK 466511 TOTAL: 10,230.49 466512 11/12/2021 PRTD 160231 BOLDENOW, CINDY 101421 10/14/2021 20211112 1,470.00 CHECK 466512 TOTAL: 1,470.00 466513 11/12/2021 PRTD 120201 GRANICUS INC 144898 10/15/2021 20211112 20,641.91 CHECK 466513 TOTAL: 20,641.91 466514 11/12/2021 PRTD 144412 WINEBOW MN00102687 10/24/2021 20211112 -140.00 WINEBOW MN00102061 10/15/2021 20211112 2,677.50 WINEBOW MN00102835 10/27/2021 20211112 619.77 CHECK 466514 TOTAL: 3,157.27 466515 11/12/2021 PRTD 122093 GROUP HEALTHPLAN INC 108031697 10/15/2021 20211112 412,462.35 GROUP HEALTHPLAN INC 108002510 10/15/2021 20211112 34,548.57 CHECK 466515 TOTAL: 447,010.92 466516 11/12/2021 PRTD 160211 GROVE NURSERY INC 31958500-1 10/14/2021 20211112 959.80 CHECK 466516 TOTAL: 959.80 466517 11/12/2021 PRTD 100788 H & L MESABI COMPANY 08845 10/15/2021 20211112 8,050.00 CHECK 466517 TOTAL: 8,050.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 11 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466518 11/12/2021 PRTD 129108 HAAG COMPANIES INC 4-433445 10/12/2021 20211112 22.68 HAAG COMPANIES INC 2-278999 10/15/2021 20211112 79.99 HAAG COMPANIES INC 6-118016 10/14/2021 20211112 28.00 CHECK 466518 TOTAL: 130.67 466519 11/12/2021 PRTD 137677 HAMMEL GREEN AND ABRAHAMSON INC 222218 10/12/2021 20211112 4,350.00 HAMMEL GREEN AND ABRAHAMSON INC 222220-1 10/12/2021 22100038 20211112 3,500.00 CHECK 466519 TOTAL: 7,850.00 466520 11/12/2021 PRTD 151168 HAMMER SPORTS LLC 811 10/17/2021 20211112 206.50 CHECK 466520 TOTAL: 206.50 466521 11/12/2021 PRTD 100797 HAWKINS INC 6046277 10/18/2021 20211112 10,588.03 CHECK 466521 TOTAL: 10,588.03 466522 11/12/2021 PRTD 103085 HENNEPIN COUNTY ACCOUNTING SERVIC 1000173183 10/01/2021 20211112 7,500.00 CHECK 466522 TOTAL: 7,500.00 466523 11/12/2021 PRTD 104375 HOHENSTEINS INC 453851 10/26/2021 20211112 225.00 HOHENSTEINS INC 453802 10/26/2021 20211112 1,272.00 HOHENSTEINS INC 453800 10/26/2021 20211112 75.60 HOHENSTEINS INC 453804 10/26/2021 20211112 1,566.00 HOHENSTEINS INC 453848 10/26/2021 20211112 298.50 HOHENSTEINS INC 453803 10/26/2021 20211112 90.00 HOHENSTEINS INC 453793 10/26/2021 20211112 197.10 HOHENSTEINS INC 453791 10/26/2021 20211112 330.00 HOHENSTEINS INC 453887 10/26/2021 20211112 148.50 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 12 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466523 TOTAL: 4,202.70 466524 11/12/2021 PRTD 151094 HOPKINS SPORTS CAMPS LLC 20635 10/13/2021 20211112 2,657.00 CHECK 466524 TOTAL: 2,657.00 466525 11/12/2021 PRTD 100417 HORIZON CHEMICAL CO 211006015-NH 10/13/2021 20211112 103.90 CHECK 466525 TOTAL: 103.90 466526 11/12/2021 PRTD 116680 HP INC 9015525350 10/15/2021 20211112 1,029.69 HP INC 9015534812 10/18/2021 20211112 1,098.27 CHECK 466526 TOTAL: 2,127.96 466527 11/12/2021 PRTD 131544 INDEED BREWING COMPANY MN LLC 106668 10/26/2021 20211112 211.30 INDEED BREWING COMPANY MN LLC 106666 10/26/2021 20211112 219.80 CHECK 466527 TOTAL: 431.10 466528 11/12/2021 PRTD 132592 JF AHERN CO 466690 10/14/2021 20211112 1,605.00 CHECK 466528 TOTAL: 1,605.00 466529 11/12/2021 PRTD 132592 JF AHERN CO 466184 10/13/2021 20211112 1,995.00 CHECK 466529 TOTAL: 1,995.00 466530 11/12/2021 PRTD 100741 JJ TAYLOR DISTRIBUTING CO OF MINN 3236561 10/27/2021 20211112 3,665.15 JJ TAYLOR DISTRIBUTING CO OF MINN 3236570 10/27/2021 20211112 2,981.55 CHECK 466530 TOTAL: 6,646.70 466531 11/12/2021 PRTD 100835 ARTISAN BEER COMPANY 3504045 10/28/2021 20211112 360.00 ARTISAN BEER COMPANY 3504046 10/28/2021 20211112 3,415.00 ARTISAN BEER COMPANY 3504050 10/28/2021 20211112 240.00 ARTISAN BEER COMPANY 3504049 10/28/2021 20211112 5,974.15 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 13 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466531 TOTAL: 9,989.15 466532 11/12/2021 PRTD 100835 PHILLIPS WINE & SPIRITS 6291146 10/25/2021 20211112 1,170.47 PHILLIPS WINE & SPIRITS 6294890 10/28/2021 20211112 226.12 PHILLIPS WINE & SPIRITS 6294891 10/28/2021 20211112 762.96 PHILLIPS WINE & SPIRITS 6294892 10/28/2021 20211112 473.64 PHILLIPS WINE & SPIRITS 6294904 10/28/2021 20211112 2,019.57 PHILLIPS WINE & SPIRITS 6294903 10/28/2021 20211112 1,656.60 PHILLIPS WINE & SPIRITS 6294902 10/28/2021 20211112 137.73 PHILLIPS WINE & SPIRITS 647037 10/21/2021 20211112 -12.00 CHECK 466532 TOTAL: 6,435.09 466533 11/12/2021 PRTD 100835 WINE MERCHANTS 7352815 10/28/2021 20211112 1,519.09 WINE MERCHANTS 7352819 10/28/2021 20211112 3,564.35 WINE MERCHANTS 7352818 10/28/2021 20211112 109.19 CHECK 466533 TOTAL: 5,192.63 466534 11/12/2021 PRTD 100835 JOHNSON BROTHERS LIQUOR CO 1914520 10/21/2021 20211112 6,036.37 JOHNSON BROTHERS LIQUOR CO 1914516 10/21/2021 20211112 1,167.97 JOHNSON BROTHERS LIQUOR CO 1915755 10/21/2021 20211112 290.38 JOHNSON BROTHERS LIQUOR CO 1919660 10/28/2021 20211112 58.79 JOHNSON BROTHERS LIQUOR CO 1919661 10/28/2021 20211112 758.63 JOHNSON BROTHERS LIQUOR CO 1919662 10/28/2021 20211112 1,597.63 JOHNSON BROTHERS LIQUOR CO 1919663 10/28/2021 20211112 595.95 JOHNSON BROTHERS LIQUOR CO 1919664 10/28/2021 20211112 317.95 JOHNSON BROTHERS LIQUOR CO 1919665 10/28/2021 20211112 2,611.04 JOHNSON BROTHERS LIQUOR CO 1919666 10/28/2021 20211112 1,940.19 JOHNSON BROTHERS LIQUOR CO 1919667 10/28/2021 20211112 1,086.29 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 14 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET JOHNSON BROTHERS LIQUOR CO 1919686 10/28/2021 20211112 294.77 JOHNSON BROTHERS LIQUOR CO 1919683 10/28/2021 20211112 603.09 JOHNSON BROTHERS LIQUOR CO 1919681 10/28/2021 20211112 344.67 JOHNSON BROTHERS LIQUOR CO 1919670 10/28/2021 20211112 147.19 JOHNSON BROTHERS LIQUOR CO 1919669 10/28/2021 20211112 227.57 JOHNSON BROTHERS LIQUOR CO 1919684 10/28/2021 20211112 2,554.67 JOHNSON BROTHERS LIQUOR CO 1919682 10/28/2021 20211112 1,996.74 JOHNSON BROTHERS LIQUOR CO 1919687 10/28/2021 20211112 4,120.64 JOHNSON BROTHERS LIQUOR CO 1919685 10/28/2021 20211112 740.02 CHECK 466534 TOTAL: 27,490.55 466535 11/12/2021 PRTD 130789 KATZ, DAVID 988 10/17/2021 20211112 610.00 CHECK 466535 TOTAL: 610.00 466536 11/12/2021 PRTD 103409 KELBRO COMPANY 2691784 10/21/2021 20211112 44.00 KELBRO COMPANY 2692319 10/28/2021 20211112 66.00 KELBRO COMPANY 2672600A 09/22/2021 20211112 -21.32 CHECK 466536 TOTAL: 88.68 466537 11/12/2021 PRTD 137525 KERNS, JOHN 21EP114 11/04/2021 20211112 200.00 CHECK 466537 TOTAL: 200.00 466538 11/12/2021 PRTD 100944 KIWI KAI IMPORTS INC 144168 10/26/2021 20211112 1,144.75 KIWI KAI IMPORTS INC 144126 10/26/2021 20211112 186.25 KIWI KAI IMPORTS INC 144160 10/26/2021 20211112 1,307.25 CHECK 466538 TOTAL: 2,638.25 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 15 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466539 11/12/2021 PRTD 144983 KLEIN UNDERGROUND LLC 53709 10/13/2021 20211112 9,850.00 CHECK 466539 TOTAL: 9,850.00 466540 11/12/2021 PRTD 160224 LAFORCE HOLDINGS INC 1174134 10/13/2021 20211112 1,082.00 CHECK 466540 TOTAL: 1,082.00 466541 11/12/2021 PRTD 100852 LAWSON PRODUCTS INC 9308905845 10/14/2021 20211112 1,614.57 LAWSON PRODUCTS INC 9308913994 10/16/2021 20211112 87.89 CHECK 466541 TOTAL: 1,702.46 466542 11/12/2021 PRTD 103396 LENT, WILLIAM 28621 10/03/2021 20211112 768.99 CHECK 466542 TOTAL: 768.99 466543 11/12/2021 PRTD 135867 LIBATION PROJECT 39902 10/19/2021 20211112 2,722.83 LIBATION PROJECT 40073 10/26/2021 20211112 285.67 LIBATION PROJECT 40072 10/26/2021 20211112 301.67 LIBATION PROJECT 40075 10/26/2021 20211112 301.67 CHECK 466543 TOTAL: 3,611.84 466544 11/12/2021 PRTD 130046 LIFE INSURANCE COMPANY OF NORTH A OCT 2021 10/15/2021 20211112 2,730.02 CHECK 466544 TOTAL: 2,730.02 466545 11/12/2021 PRTD 101146 LINGO - FORMERLY IMPACT 608806502 10/17/2021 20211112 98.50 CHECK 466545 TOTAL: 98.50 466546 11/12/2021 PRTD 146427 LUCID BREWING LLC 12240 10/27/2021 20211112 150.00 CHECK 466546 TOTAL: 150.00 466547 11/12/2021 PRTD 141215 MAVERICK WINE LLC INV663896 10/26/2021 20211112 834.42 MAVERICK WINE LLC INV663892 10/26/2021 20211112 700.92 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 16 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET MAVERICK WINE LLC INV663893 10/26/2021 20211112 834.42 CHECK 466547 TOTAL: 2,369.76 466548 11/12/2021 PRTD 130477 MCDONALD DISTRIBUTING COMPANY 604095 10/27/2021 20211112 91.25 MCDONALD DISTRIBUTING COMPANY 604094 10/27/2021 20211112 52.00 MCDONALD DISTRIBUTING COMPANY 604093 10/27/2021 20211112 371.00 MCDONALD DISTRIBUTING COMPANY 604092 10/27/2021 20211112 152.00 MCDONALD DISTRIBUTING COMPANY 604117 10/26/2021 20211112 -30.00 CHECK 466548 TOTAL: 636.25 466549 11/12/2021 PRTD 105603 MEDICINE LAKE TOURS 26980 10/15/2021 20211112 2,482.00 CHECK 466549 TOTAL: 2,482.00 466550 11/12/2021 PRTD 101483 MENARDS INC 48480 10/13/2021 20211112 79.94 MENARDS INC 48498 10/13/2021 20211112 317.85 MENARDS INC 48487 10/13/2021 20211112 54.36 MENARDS INC 48620 10/15/2021 20211112 3.96 MENARDS INC 48614 10/15/2021 20211112 55.92 MENARDS INC 48422 10/12/2021 20211112 29.95 MENARDS INC 48772 10/18/2021 20211112 55.69 MENARDS INC 48763 10/18/2021 20211112 61.98 CHECK 466550 TOTAL: 659.65 466551 11/12/2021 PRTD 138732 TRADITION WINE & SPIRITS LLC 28821 10/27/2021 20211112 457.00 TRADITION WINE & SPIRITS LLC 28820 10/27/2021 20211112 2,172.00 CHECK 466551 TOTAL: 2,629.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 17 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466552 11/12/2021 PRTD 104650 MICRO CENTER 8910724 10/12/2021 20211112 234.94 CHECK 466552 TOTAL: 234.94 466553 11/12/2021 PRTD 101161 MIDWEST CHEMICAL SUPPLY INC 44110 09/28/2021 20211112 603.40 CHECK 466553 TOTAL: 603.40 466554 11/12/2021 PRTD 145395 MILK AND HONEY LLC 9379 10/28/2021 20211112 378.00 CHECK 466554 TOTAL: 378.00 466555 11/12/2021 PRTD 128914 BJKK DEVELOPMENT 31902 10/13/2021 20211112 50.25 BJKK DEVELOPMENT 31893 10/12/2021 20211112 22.00 CHECK 466555 TOTAL: 72.25 466556 11/12/2021 PRTD 103944 MOBILE HEALTH SERVICES LLC 40099 10/12/2021 20211112 906.00 CHECK 466556 TOTAL: 906.00 466557 11/12/2021 PRTD 140955 MODIST BREWING LLC E-26257 10/26/2021 20211112 261.00 CHECK 466557 TOTAL: 261.00 466558 11/12/2021 PRTD 143339 MR CUTTING EDGE 3846 10/18/2021 20211112 145.00 CHECK 466558 TOTAL: 145.00 466559 11/12/2021 PRTD 100920 GENUINE PARTS COMPANY 3499-143406 10/14/2021 20211112 200.19 CHECK 466559 TOTAL: 200.19 466560 11/12/2021 PRTD 160050 NELSON-RUDIE & ASSOCIATES INC 44616 10/15/2021 20211112 3,195.00 CHECK 466560 TOTAL: 3,195.00 466561 11/12/2021 PRTD 160223 NETWORK INSTALLATION COMPUTER SER 124782 10/13/2021 20211112 2,870.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 18 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466561 TOTAL: 2,870.00 466562 11/12/2021 PRTD 100076 NEW FRANCE WINE CO 179821 10/27/2021 20211112 2,490.00 NEW FRANCE WINE CO 179919 10/27/2021 20211112 1,026.00 NEW FRANCE WINE CO 179822 10/27/2021 20211112 564.00 NEW FRANCE WINE CO 179921 10/27/2021 20211112 570.00 CHECK 466562 TOTAL: 4,650.00 466563 11/12/2021 PRTD 139023 NUSS TRUCK GROUP INC 7175562P 10/18/2021 20211112 29.61 CHECK 466563 TOTAL: 29.61 466564 11/12/2021 PRTD 103578 OFFICE DEPOT 202820923001 10/13/2021 20211112 53.64 CHECK 466564 TOTAL: 53.64 466565 11/12/2021 PRTD 115669 ON CALL SERVICES LLC 3180 10/22/2021 20211112 7,889.30 CHECK 466565 TOTAL: 7,889.30 466566 11/12/2021 PRTD 999995 Alber, Phillip ED187623-REFUND 11/05/2021 20211112 2,000.00 CHECK 466566 TOTAL: 2,000.00 466567 11/12/2021 PRTD 999995 Azadegan, Hamid ED188460-REFUND 11/05/2021 20211112 2,000.00 CHECK 466567 TOTAL: 2,000.00 466568 11/12/2021 PRTD 999995 Great Neighborhood Homes ED175770-REFUND 11/05/2021 20211112 9,670.00 CHECK 466568 TOTAL: 9,670.00 466569 11/12/2021 PRTD 999995 Hamann’s Custom Carpentry ED187581-REFUND 11/05/2021 20211112 2,000.00 CHECK 466569 TOTAL: 2,000.00 466570 11/12/2021 PRTD 999995 KCM Construction Services ED189007-REFUND 11/05/2021 20211112 2,000.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 19 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466570 TOTAL: 2,000.00 466571 11/12/2021 PRTD 999995 MDS Remodeling ED187527-REFUND 11/05/2021 20211112 2,000.00 CHECK 466571 TOTAL: 2,000.00 466572 11/12/2021 PRTD 999995 MJL Homes ED191698-REFUND 11/05/2021 20211112 2,000.00 CHECK 466572 TOTAL: 2,000.00 466573 11/12/2021 PRTD 999995 NR Properties ED189871-REFUND 11/05/2021 20211112 2,000.00 CHECK 466573 TOTAL: 2,000.00 466574 11/12/2021 PRTD 999995 Zhyhar, Dennis ED187458-REFUND 11/05/2021 20211112 2,000.00 CHECK 466574 TOTAL: 2,000.00 466575 11/12/2021 PRTD 999995 Zins Company ED187516-REFUND 11/05/2021 20211112 2,000.00 CHECK 466575 TOTAL: 2,000.00 466576 11/12/2021 PRTD 999994 NR Properties INC ED183141-REFUND 11/08/2021 20211112 64.00 CHECK 466576 TOTAL: 64.00 466577 11/12/2021 PRTD 999997 PEARSON,LLOYD 00086399-09/16/2021 09/30/2021 20211112 199.47 CHECK 466577 TOTAL: 199.47 466578 11/12/2021 PRTD 145078 PACIFIC RIM VENTURES INC 1285403-01 10/12/2021 20211112 615.12 CHECK 466578 TOTAL: 615.12 466579 11/12/2021 PRTD 100945 PEPSI-COLA COMPANY 35055908 10/26/2021 20211112 327.41 CHECK 466579 TOTAL: 327.41 466580 11/12/2021 PRTD 149249 PEQUOD DISTRIBUTING W-122844 10/28/2021 20211112 377.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 20 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466580 TOTAL: 377.00 466581 11/12/2021 PRTD 138081 PETERSON SALT & WATER TREATMENT 190438 08/25/2021 20211112 89.88 CHECK 466581 TOTAL: 89.88 466582 11/12/2021 PRTD 130926 PLANTSCAPE INC 366398 10/15/2021 20211112 2,223.86 CHECK 466582 TOTAL: 2,223.86 466583 11/12/2021 PRTD 100958 PLUNKETT'S PEST CONTROL 7284263 10/14/2021 20211112 96.55 CHECK 466583 TOTAL: 96.55 466584 11/12/2021 PRTD 119620 POMP'S TIRE SERVICE INC 210555328 10/15/2021 20211112 12.00 CHECK 466584 TOTAL: 12.00 466585 11/12/2021 PRTD 106322 SCHENCK, DAVID 158957 10/14/2021 20211112 1,550.28 SCHENCK, DAVID 158958 10/14/2021 20211112 857.46 SCHENCK, DAVID 158959 10/18/2021 20211112 813.35 SCHENCK, DAVID 158963 10/18/2021 20211112 375.59 SCHENCK, DAVID 158998 10/18/2021 20211112 229.65 CHECK 466585 TOTAL: 3,826.33 466586 11/12/2021 PRTD 143618 PRYES BREWING COMPANY LLC W-28946 10/27/2021 20211112 382.00 PRYES BREWING COMPANY LLC W-28947 10/27/2021 20211112 408.00 CHECK 466586 TOTAL: 790.00 466587 11/12/2021 PRTD 123078 QUALIFIED LABORATORIES INC 59471 10/15/2021 20211112 111.18 CHECK 466587 TOTAL: 111.18 466588 11/12/2021 PRTD 108672 UNIVERSITY OF MINNESOTA 2082956430 08/30/2021 20211112 30.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 21 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466588 TOTAL: 30.00 466589 11/12/2021 PRTD 133627 REPUBLIC SERVICES #894 0894-005527317 10/25/2021 20211112 2,337.54 CHECK 466589 TOTAL: 2,337.54 466590 11/12/2021 PRTD 139188 REVOLUTIONARY SPORTS LLC 0172 10/14/2021 20211112 4,749.50 CHECK 466590 TOTAL: 4,749.50 466591 11/12/2021 PRTD 140989 S M HENTGES & SONS INC 03R 10/13/2021 20211112 132,102.09 CHECK 466591 TOTAL: 132,102.09 466592 11/12/2021 PRTD 144553 SALTCO LLC 72710 10/15/2021 20211112 70.00 CHECK 466592 TOTAL: 70.00 466593 11/12/2021 PRTD 139394 SENTINEL MN LLC EPD-2SBR 09/30/2021 20211112 3,924.00 CHECK 466593 TOTAL: 3,924.00 466594 11/12/2021 PRTD 132210 RUSCIANO GROUP 67266 10/14/2021 20211112 755.00 CHECK 466594 TOTAL: 755.00 466595 11/12/2021 PRTD 104098 SHI INTERNATIONAL CORP B14191108 10/12/2021 20211112 340.35 CHECK 466595 TOTAL: 340.35 466596 11/12/2021 PRTD 100995 SHORT-ELLIOT-HENDRICKSON INCORPOR 413210 10/11/2021 22100003 20211112 4,470.51 SHORT-ELLIOT-HENDRICKSON INCORPOR 413671 10/12/2021 20211112 24.94 SHORT-ELLIOT-HENDRICKSON INCORPOR 414113 10/15/2021 20211112 877.68 SHORT-ELLIOT-HENDRICKSON INCORPOR 414114 10/15/2021 20211112 621.18 SHORT-ELLIOT-HENDRICKSON INCORPOR 414112 10/15/2021 20211112 1,880.00 SHORT-ELLIOT-HENDRICKSON INCORPOR 413916 10/14/2021 20211112 7,223.19 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 22 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466596 TOTAL: 15,097.50 466597 11/12/2021 PRTD 120784 WALSH GRAPHICS INC 16586 10/13/2021 20211112 57.60 WALSH GRAPHICS INC 16593 10/13/2021 20211112 185.00 WALSH GRAPHICS INC 16595 10/13/2021 20211112 297.42 WALSH GRAPHICS INC 16606 10/18/2021 20211112 110.86 CHECK 466597 TOTAL: 650.88 466598 11/12/2021 PRTD 100430 SNAP-ON INDUSTRIAL ARV/50114034 10/13/2021 20211112 282.26 CHECK 466598 TOTAL: 282.26 466599 11/12/2021 PRTD 127878 SOUTHERN GLAZERS WINE & SPIRITS L 2140398 10/27/2021 20211112 353.20 SOUTHERN GLAZERS WINE & SPIRITS L 2140396 10/27/2021 20211112 264.80 SOUTHERN GLAZERS WINE & SPIRITS L 2140397 10/27/2021 20211112 228.00 SOUTHERN GLAZERS WINE & SPIRITS L 2140393 10/27/2021 20211112 829.13 SOUTHERN GLAZERS WINE & SPIRITS L 2140395 10/27/2021 20211112 350.80 SOUTHERN GLAZERS WINE & SPIRITS L 2140394 10/27/2021 20211112 290.40 SOUTHERN GLAZERS WINE & SPIRITS L 2140399 10/27/2021 20211112 724.80 SOUTHERN GLAZERS WINE & SPIRITS L 2140383 10/27/2021 20211112 1,932.40 SOUTHERN GLAZERS WINE & SPIRITS L 2140379 10/27/2021 20211112 431.53 SOUTHERN GLAZERS WINE & SPIRITS L 2140377 10/27/2021 20211112 80.80 SOUTHERN GLAZERS WINE & SPIRITS L 2140382 10/27/2021 20211112 845.60 SOUTHERN GLAZERS WINE & SPIRITS L 2140378 10/27/2021 20211112 395.60 SOUTHERN GLAZERS WINE & SPIRITS L 2140381 10/27/2021 20211112 352.60 SOUTHERN GLAZERS WINE & SPIRITS L 2140380 10/27/2021 20211112 193.60 CHECK 466599 TOTAL: 7,273.26 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 23 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466600 11/12/2021 PRTD 101023 SOUTHWEST SUBURBAN CABLE COMMISSI 202117 10/18/2021 20211112 11,043.00 CHECK 466600 TOTAL: 11,043.00 466601 11/12/2021 PRTD 145599 SSI MN TRANCHE 2 LLC 21031 10/14/2021 20211112 9,818.26 CHECK 466601 TOTAL: 9,818.26 466602 11/12/2021 PRTD 139006 DEPARTMENT OF CORRECTIONS 00000676867 10/13/2021 20211112 12,562.50 CHECK 466602 TOTAL: 12,562.50 466603 11/12/2021 PRTD 139006 DEPARTMENT OF CORRECTIONS 00000676873 10/13/2021 20211112 12,562.50 CHECK 466603 TOTAL: 12,562.50 466604 11/12/2021 PRTD 139006 DEPARTMENT OF CORRECTIONS 00000676868 10/13/2021 20211112 12,562.50 CHECK 466604 TOTAL: 12,562.50 466605 11/12/2021 PRTD 139006 DEPARTMENT OF CORRECTIONS 00000676874 10/13/2021 20211112 12,562.50 CHECK 466605 TOTAL: 12,562.50 466606 11/12/2021 PRTD 139006 BUREAU OF CRIMINAL APPREHENSION 27030 10/18/2021 20211112 133.00 CHECK 466606 TOTAL: 133.00 466607 11/12/2021 PRTD 133068 STEEL TOE BREWING LLC 42930 10/27/2021 20211112 372.00 CHECK 466607 TOTAL: 372.00 466608 11/12/2021 PRTD 102390 STRAND MANUFACTURING COMPANY INC 31514 10/15/2021 20211112 847.00 CHECK 466608 TOTAL: 847.00 466609 11/12/2021 PRTD 146040 STRAYER, JUSTIN 10402 10/27/2021 20211112 342.00 CHECK 466609 TOTAL: 342.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 24 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466610 11/12/2021 PRTD 101015 STREICHERS INC I1529298 10/13/2021 20211112 44.99 STREICHERS INC I1529303 10/13/2021 20211112 123.97 CHECK 466610 TOTAL: 168.96 466611 11/12/2021 PRTD 105874 SUBURBAN TIRE WHOLESALE INC 10182076 10/14/2021 20211112 232.56 CHECK 466611 TOTAL: 232.56 466612 11/12/2021 PRTD 135803 SUN LIFE ASSURANCE COMPANY OF CAN Oct 2021 10/15/2021 20211112 5,057.13 SUN LIFE ASSURANCE COMPANY OF CAN Oct 2021 #1 10/15/2021 20211112 2,934.25 SUN LIFE ASSURANCE COMPANY OF CAN Oct 2021 #2 10/15/2021 20211112 7,092.45 SUN LIFE ASSURANCE COMPANY OF CAN Oct 2021 #3 10/15/2021 20211112 359.55 CHECK 466612 TOTAL: 15,443.38 466613 11/12/2021 PRTD 142316 T-MOBILE USA INC 477067848-10/21 10/27/2021 20211112 35.00 CHECK 466613 TOTAL: 35.00 466614 11/12/2021 PRTD 160226 TERRENCE LARKIN 1 10/14/2021 20211112 60.00 CHECK 466614 TOTAL: 60.00 466615 11/12/2021 PRTD 160233 THE INSTITUTE OF CULTURAL AFFAIRS ORD-2114 09/28/2021 20211112 950.00 THE INSTITUTE OF CULTURAL AFFAIRS ORD-2117 09/28/2021 20211112 950.00 CHECK 466615 TOTAL: 1,900.00 466616 11/12/2021 PRTD 123129 TIMESAVER OFF SITE SECRETARIAL IN M26807 10/13/2021 20211112 331.00 CHECK 466616 TOTAL: 331.00 466617 11/12/2021 PRTD 124753 TOSHIBA FINANCIAL SERVICES 5017277400 10/16/2021 20211112 188.48 CHECK 466617 TOTAL: 188.48 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 25 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466618 11/12/2021 PRTD 134673 TOTAL MECHANICAL SYSTEMS INC PM4180 10/13/2021 20211112 2,554.00 TOTAL MECHANICAL SYSTEMS INC S1709 10/14/2021 20211112 7,221.64 TOTAL MECHANICAL SYSTEMS INC S1699 10/14/2021 20211112 1,737.09 TOTAL MECHANICAL SYSTEMS INC S1702 10/14/2021 20211112 744.34 CHECK 466618 TOTAL: 12,257.07 466619 11/12/2021 PRTD 101360 TWIN CITY HARDWARE COMPANY INC PSI2075004 10/12/2021 20211112 8,750.00 TWIN CITY HARDWARE COMPANY INC PSI2075003 10/12/2021 20211112 6,000.00 CHECK 466619 TOTAL: 14,750.00 466620 11/12/2021 PRTD 140009 US KIDS GOLF LLC IN2030773 10/15/2021 20211112 169.40 CHECK 466620 TOTAL: 169.40 466621 11/12/2021 PRTD 114236 USA BLUE BOOK 760558 10/15/2021 20211112 161.29 CHECK 466621 TOTAL: 161.29 466622 11/12/2021 PRTD 144033 USS MINNESOTA ONE MT LLC 21029 10/14/2021 20211112 5,946.46 CHECK 466622 TOTAL: 5,946.46 466623 11/12/2021 PRTD 103500 VALLEY PAVING INC ENG 21-2 #8 10/15/2021 20211112 239,001.19 CHECK 466623 TOTAL: 239,001.19 466624 11/12/2021 PRTD 141927 VER-TECH LABORATORIES INC INV719153 10/12/2021 20211112 200.00 CHECK 466624 TOTAL: 200.00 466625 11/12/2021 PRTD 160088 VINIFERA IMPORTS 325910 10/13/2021 20211112 220.00 VINIFERA IMPORTS 325909 10/13/2021 20211112 220.00 CHECK 466625 TOTAL: 440.00 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 26 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET 466626 11/12/2021 PRTD 119454 VINOCOPIA INC 0289569-IN 10/21/2021 20211112 5,262.50 VINOCOPIA INC 0289570-IN 10/21/2021 20211112 5,262.50 CHECK 466626 TOTAL: 10,525.00 466627 11/12/2021 PRTD 120627 PERFORMANCE FOOD GROUP INC 62262507 10/15/2021 20211112 184.98 CHECK 466627 TOTAL: 184.98 466628 11/12/2021 PRTD 143468 VONDENKAMP, MARK 001154 10/28/2021 20211112 495.00 CHECK 466628 TOTAL: 495.00 466629 11/12/2021 PRTD 151681 WALKER LAWN CARE INC 8772 10/13/2021 20211112 1,660.48 CHECK 466629 TOTAL: 1,660.48 466630 11/12/2021 PRTD 101033 WINE COMPANY 186566 10/20/2021 20211112 5,734.48 WINE COMPANY 187188 10/27/2021 20211112 1,053.20 WINE COMPANY 187205 10/27/2021 20211112 1,202.15 WINE COMPANY 187191 10/27/2021 20211112 2,651.35 CHECK 466630 TOTAL: 10,641.18 466631 11/12/2021 PRTD 124503 WINSUPPLY EDEN PRAIRIE MN CO 217948 01 10/13/2021 20211112 176.40 CHECK 466631 TOTAL: 176.40 466632 11/12/2021 PRTD 142162 WOODEN HILL BREWING COMPANY LLC 3035 10/22/2021 20211112 328.80 WOODEN HILL BREWING COMPANY LLC 3036 10/22/2021 20211112 185.10 WOODEN HILL BREWING COMPANY LLC 3046 10/28/2021 20211112 164.40 CHECK 466632 TOTAL: 678.30 466633 11/12/2021 PRTD 127774 WORLDWIDE CELLARS INC R21-54440 10/19/2021 20211112 79.96 WORLDWIDE CELLARS INC R21-54578 10/26/2021 20211112 571.78 City of Edina, MN A/P CASH DISBURSEMENTS JOURNAL Report generated: 11/12/2021 08:41User: STanGeilProgram ID: apcshdsb Page 27 CASH ACCOUNT: 9999 1012 Control BS - CashAP CHECK NO CHK DATE TYPE VENDOR NAME INVOICE INV DATE PO CHECK RUN NET CHECK 466633 TOTAL: 651.74 466634 11/12/2021 PRTD 130618 CHANHASSEN AUTO CENTERS LLC 22308 10/18/2021 20211112 150.00 CHECK 466634 TOTAL: 150.00 NUMBER OF CHECKS 181 *** CASH ACCOUNT TOTAL *** 1,433,965.48 COUNT AMOUNT TOTAL PRINTED CHECKS 181 1,433,965.48 *** GRAND TOTAL *** 1,433,965.48 Date: November 16, 2021 Agenda Item #: VI.C. To:Mayor and City Council Item Type: Request For Purchase From:Jeff Elasky, Deputy Chief Item Activity: Subject:Request for Purchase: Three Hybrid Hyundai Santa Fe Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Request for Purchase of three 2022 Hyundai Santa Fe Hybrid vehicles from Inver Grove Hyundai for $97,767. INTRODUCTION: These vehicles are on the equipment replacement schedule and will not increase the allotted fleet. Funding is through the Equipment Replacement account. The vehicles meet the Green Fleet recommendations of better MPG than the previous models. T his order was reviewed by the Sustainability Coordinator and approved to meet the Green Fleet recommendations. ATTACHMENTS: Description Request for Purchase: Three Hybrid Hyundai Santa Fe Request for Purchase Requisition Number 1 CITY OF EDINA 4801 W 50th St., Edina, MN 55424 www.EdinaMN.gov | 952-927-8861 12200005 Department:Police Buyer:Jeffrey Elasky Date: 10/26/2021 Requisition Description:Three (3) Hybrid Santa Fe Vehicles Vendor:INVER GROVE HYUNDAI Cost:$97,767.00 REPLACEMENT or NEW:REPLACEM - REPLACEMENT PURCHASE SOURCE:STATE K - STATE CONTRACT DESCRIPTION: Request for purchase of three 2022 Hyundai Santa Fe Hybrid (unmarked units). $32,589.00 per unit. These vehicles are on the equipment replacement schedule and will not increase the allotted fleet. Funding is through the Equipment Replacement account and are in budget. All vehicles meet the Green Fleet recommendations of better MPG then the previous models. This order was reviewed by Sustainably and approved to meet the Green Fleet recommendations. BUDGET IMPACT: Vehicles are with in budget and are funded through the Equipment Replacement account. Environmental Impact - item specific: 2 COMMUNITY IMPACT:Lower CO2 ENVIRONMENTAL IMPACT: (1) The City needs to determine the correct course of action for first responder take home vehicles and the potential purchase of EVs before actually buying one; (2) While a plug-in hybrid is available in these models, the type of use by PD staff (keep at home, constant driving during shift) does not allow them to optimize use of the battery. When comparing just gas MPG, the hybrid is more efficient; (3) The City is taking immediate next steps to prepare for PD electrification: development of an EV take-home policy and installing EV chargers in the PD garage. Vehicle - Make/Model/Year requested vehicle:2022 Santa Fe Hybrid Vehicle - Make/Model/Year current vehicle (if replacement): 2- 2015's and 1- 2016 vehicles Vehicle - Does purchase meet Green Fleet Recommendations? YES - YES Vehicle - If does not meet Green Fleet Recommendations, justification: - MPG:21 vs 34 Carbon Emissions: Date: November 16, 2021 Agenda Item #: VI.D. To:Mayor and City Council Item Type: Advisory Communication From:Todd Milburn, Chief of Police Item Activity: Subject:Approve Joint Powers Agreement for Social Work Services with Hennepin County Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Joint Powers Agreement for Social Work Services with Hennepin County. INTRODUCTION: The purpose of this Agreement is for Hennepin County to provide social work services to the Edina Police Department to further the interest of providing follow-up social services in a manner that most effectively and efficiently supports and protects the physical, mental and behavioral health of individuals in Hennepin County. This Agreement is for a full-time social worker. Edina Police Department currently has a part-time social worker. ATTACHMENTS: Description Joint Powers Agreement with Hennepin County HC# A2110929 1 JOINT POWERS AGREEMENT BETWEEN HENNEPIN COUNTY AND CITY OF EDINA This Joint Powers Agreement (“Agreement”) is made and entered into by and between the County of Hennepin, Minnesota (“COUNTY”) on behalf of its Human Services and Public Health Department, 300 South Sixth Street, Minneapolis, Minnesota 55487 (“HSPHD”) and City of Edina, 4801 West 50th Street, Edina, Minnesota 55424, pursuant to the authority conferred upon them by Minn. Stat. § 471.59 and on behalf of it’s police department, (referred to herein as “POLICE DEPARTMENT”). The parties to this Agreement may also be referred to individually as “Party” and collectively as “Parties”. WHEREAS, COUNTY is a political subdivision of the State of Minnesota and its Human Services and Public Health Department is empowered to provide general and emergency public services that support and protect the physical, mental and behavioral health of individuals in Hennepin County; and WHEREAS, POLICE DEPARTMENT is a municipal corporation of the State of Minnesota and is empowered to provide general and emergency public services in a manner that supports and protects the physical, mental and behavioral health of individuals in Hennepin County; and WHEREAS, the Parties desire to jointly and cooperatively coordinate their expertise and delivery of services to further the interests of providing follow up care by a Senior Social Worker (SSW) embedded with POLICE DEPARTMENT to prevent reoccurrences of emergency crises in a manner that most effectively and efficiently supports and protects the physical, mental and behavioral health of individuals in Hennepin County, subject to the terms and conditions of this Agreement. NOW, THEREFORE, in consideration of the mutual promises and benefits realized by each Party, the Parties agree as follows: 1. PURPOSE. The purpose of this Agreement is to enable COUNTY to provide social work services to POLICE DEPARTMENT to further the interests of providing follow-up social services in a manner that most effectively and efficiently supports and protects the physical, mental and behavioral health of individuals in Hennepin County as detailed herein, and for POLICE DEPARTMENT to secure such services from COUNTY and to establish the terms on which such services shall be provided. 2. PROJECT/PROGRAM A. The Parties shall cooperate and collaborate to perform services associated with the Embedded SSW Program (the “Program”), as further described and outlined in Exhibit A: Description of Services. HC# A2110929 2 B. The Parties shall perform at all times in accordance with the provisions herein, including but not limited to the data provisions. 3. TERM OF THE AGREEMENT The term of this Agreement shall be from January 1, 2022, through December 31, 2023, unless terminated earlier in accordance with the cancellation/termination provisions of this Agreement. 4. CONSIDERATION A. POLICE DEPARTMENT shall pay ($60,000) sixty thousand dollars annually. B. The SSW will be hired, employed, and equipped by HSPHD and participate in supervision and training by HSPHD in accordance with local, state, federal, and professional licensure requirements. C. HSPHD shall, within thirty (30) calendar days following the last day of each quarter, submit an invoice to POLICE DEPARTMENT for one quarter of the cost of it’s portion of the SSW position. D. POLICE DEPARTMENT will make payment within thirty-five (35) days from receipt of the invoice. If the invoice is incorrect, defective, or otherwise improper, POLICE DEPARTMEMT will notify HSPHD within ten (10) days of receiving the incorrect invoice. Upon receiving the corrected invoice from HSPHD, POLICE DEPARTMENT will make payment within thirty-five (35) days. E. Further, the Parties expressly agree that neither this Agreement nor either Party’s performance hereunder obligates or commits either Party to enter a subsequent contract or engagement with any other. 4. LIABILITY AND NOTICE A. Each Party shall be liable for its own acts and the results thereof to the extent provided by law and, further, each Party shall defend, indemnify, and hold harmless the other (including their present and former officials, officers, agents, employees, volunteers, and subcontractors), from any liability, claims, causes of action, judgments, damages, losses, costs, or expenses, including reasonable attorney’s fees, resulting directly or indirectly from any act or omission of the indemnifying Party, anyone directly or indirectly employed by it, and/or anyone for whose acts and/or omissions it may be liable, in the performance or failure to perform its obligations under this Agreement. The provisions of Minnesota Statutes, Chapter 466 shall apply to any tort claims brought against COUNTY and/or POLICE DEPARTMENT as a result of this Agreement. B. To the fullest extent permitted by law, action by the Parties to this Agreement is intended to be and shall be construed as a “cooperative activity” and it is the intent of the Parties that they shall be a deemed a “single governmental unit” for the purposes of liability, as set HC# A2110929 3 forth in Minnesota Statutes, section 471.59 provided further that for purposes of that statute, each Party to this Agreement expressly declines responsibility for the acts or omissions of the other Party to this Agreement except to the extent they have agreed in writing to be responsible for the acts or omissions of the other Party. The total liability for the Parties shall not be added together to exceed the limits on governmental liability for a single governmental unit. C. Duty to Notify: Each Party shall promptly notify the other Party of any actual or suspected claim, action, cause of action, administrative action, criminal arrest, criminal charge, or litigation brought against the party, its present and former officials, officers, agents, employees, volunteers, and subcontractors which arises out of this Agreement. 5. INSURANCE Each Party warrants that it has a purchased insurance or operates under a self-insurance program in accordance with applicable law and sufficient to manage potential liability arising hereunder, including but not limited to workers compensation insurance. 6. INDEPENDENT PARTIES A. It is understood that the relationship between COUNTY and POLICE DEPARTMENT as to the subject matter of this Agreement constitutes only the understandings set forth in this Agreement. B. It is further agreed that, notwithstanding any other formal, written agreements or contracts which may exist between COUNTY and POLICE DEPARTMENT, nothing is intended or should be construed in any manner as creating or establishing the relationship of partners between the Parties hereto or as constituting either Party as the agent, representative, or employee of the other for any purpose or in any manner whatsoever. Each Party is to be and shall remain an independent contractor with respect to all services performed under this Agreement. Each Party will secure at its own expense all personnel required in performing services under this Agreement. Any personnel of a Party or other persons engaged in the performance of any work or services required by that Party shall have no contractual relationship with the other Party and will not be considered employees of the other Party. No Party shall be responsible for any claims related to or on behalf of the other Party’s’ personnel, including without limitation, claims that arise out of employment or alleged employment under the Minnesota Unemployment Insurance Law (Minnesota Statutes Chapter 268) or the Minnesota Workers' Compensation Act (Minnesota Statutes Chapter 176), or claims of discrimination arising out of state, local, or federal law, against a Party, its officers, agents, contractors, or employees. Such personnel or other persons shall neither require nor be entitled to any compensation, rights, or benefits of any kind from the other Party, including, without limitation, tenure rights, medical and hospital care, sick and vacation leave, workers' compensation, unemployment compensation, disability, severance pay, and retirement benefits. 7. NONDISCRIMINATION In accordance with COUNTY’s policies against discrimination, POLICE DEPARTMENT shall HC# A2110929 4 not exclude any person from full employment rights or participation in, or the benefits of, any program, service or activity on the grounds of race, color, creed, religion, national origin, sex, gender expression, gender identity, age, disability, marital status, sexual orientation, or public assistance status. No person who is protected by applicable law against discrimination shall be subjected to discrimination. 8. NO THIRD PARTY BENEFICIARY Except as herein specifically provided, no other person, customer, employee, or invitee of any Party or any other third party shall be deemed to be a third party beneficiary of any of the provisions herein. 9. DATA COUNTY and POLICE DEPARTMENT, their officers, agents, owners, partners, employees, volunteers and subcontractors, shall abide by the provisions of the Minnesota Government Data Practices Act, Minnesota Statutes Chapter 13, and all other applicable state and federal law, rules, regulations and orders relating to data privacy, confidentiality, disclosure of information, medical records or other health and enrollment information, and as any of the same may be amended, as well as the data and data sharing provisions set forth in Exhibit A. The terms of this paragraph shall survive the cancellation or termination of this Agreement. 10. RECORDS – AVAILABILITY/ACCESS Subject to the requirements of Minnesota Statutes section 16C.05, subd. 5, the Parties, the State Auditor, or any of their authorized representatives, at any time during normal business hours, and as often as they may reasonably deem necessary, shall have access to and the right to examine, audit, excerpt, and transcribe any books, documents, papers, records, etc., of the Parties which are pertinent to the accounting practices and procedures of the Parties and involve transactions relating to this Agreement. The Parties shall maintain these materials and allow access during the period of this Agreement and for six (6) years after its expiration, cancellation or termination. 11. MERGER, MODIFICATION, AND SEVERABILITY A. The entire understanding between the Parties is contained herein and supersedes all oral agreements and negotiations between the Parties relating to the subject matter. All items that are referenced or that are attached are incorporated and made a part of this Agreement. If there is any conflict between the terms of this Agreement and referenced or attached items, the terms of this Agreement shall prevail. B. Any alterations, variations or modifications of the provisions of this Agreement shall only be valid when they have been reduced to writing as an amendment to this Agreement signed by the Parties. Except as expressly provided, the substantive legal terms contained in this Agreement including but not limited to Indemnification; Liability and Notice; Merger, Modification and Severability; Default and Cancellation/Termination or Minnesota Law Governs may not be altered, varied, modified or waived by any change order, HC# A2110929 5 implementation plan, scope of work, development specification or other development process or document. C. If any provision of this Agreement is held invalid, illegal or unenforceable, the remaining provisions will not be affected. 12. DEFAULT AND CANCELLATION/TERMINATION A If either Party fails to perform any of the provisions of this Agreement, fails to administer the work so as to endanger the performance of the Agreement or otherwise breaches or fails to comply with any of the terms of this Agreement, it shall be in default. Unless the Party’s default is excused in writing by the non-defaulting Party, the non-defaulting Party may upon written notice immediately cancel or terminate this Agreement as to the defaulting Party or in its entirety. B. This Agreement may be canceled/terminated with or without cause by either Party upon thirty (30) days written notice. Either Party may immediately cancel or terminate this Agreement if the terminating party determines that the health and welfare of a member of the public is at risk. Upon cancellation/termination, property or surplus money, if any, acquired as a result of the operation of this Agreement shall be distributed to the Parties in proportion to contributions of the Parties. C. Either Party’s failure to insist upon strict performance of any provision or to exercise any right under this Agreement shall not be deemed a relinquishment or waiver of the same, unless consented to in writing. Such consent shall not constitute a general waiver or relinquishment throughout the entire term of the Agreement. D. The above remedies shall be in addition to any other right or remedy available to either Party under this Agreement, law, statute, rule, and/or equity. 13. NOTICES Unless the Parties otherwise agree in writing, any notice or demand which must be given or made by a Party under this Agreement or any statute or ordinance shall be in writing, and shall be sent registered or certified mail. Notices to COUNTY shall be sent to the County Administrator at the address given in the opening paragraph of this Agreement with copies to HSPHD as detailed below. Notice to POLICE DEPARTMENT shall be sent to the address stated in the opening paragraph of this Agreement with a copy as detailed below. HSPHD: Leah Kaiser Senior Department Administrator Hennepin County 300 South 6th Street Minneapolis, Minnesota 55487 leah.kaiser@hennepin.us EDINA: HC# A2110929 6 Todd Milburn Chief of Police Edina Police Department 4801 West 50th Street Edina, Minnesota 55424 TMilburn@EdinaMN.gov 14. SURVIVAL OF PROVISIONS Provisions that by their nature are intended to survive the term, cancellation or termination of this Agreement do survive such term, cancellation or termination. Such provisions include but are not limited to: INDEPENDENT PARTIES; LIABILITY AND NOTICE; INSURANCE; DATA; RECORDS-AVAILABILITY/ACCESS; DEFAULT AND CANCELLATION/TERMINATION; MARKETING AND PROMOTIONAL LITERATURE; and MINNESOTA LAW GOVERNS. 15. MARKETING AND PROMOTIONAL LITERATURE POLICE DEPARTMENT agrees that the terms, “Hennepin County” and “Hennepin County Human Services and Public Health Department”, the name of any elected official, or any derivatives thereof, shall not be utilized in any promotional literature or advertisements of any type without the express prior written consent of COUNTY. 16. MINNESOTA LAWS GOVERN The laws of the state of Minnesota shall govern all questions and interpretations concerning the validity and construction of this Agreement and the legal relations between the Parties and their performance. The appropriate venue and jurisdiction for any litigation will be those courts located within the County of Hennepin, state of Minnesota. Litigation, however, in the federal courts involving the Parties will be in the appropriate federal court within the state of Minnesota. (The remainder of this page intentionally left blank.) HC# A2110929 7 The Parties hereto agree to be bound by the provisions set forth in this Agreement. COUNTY OF HENNEPIN Reviewed for COUNTY by the County STATE OF MINNESOTA Attorney’s Office By: Chair of Its County Board Date: ATTEST: Deputy/Clerk of County Board Date: By: Deputy CountyAdministrator Date: City of Edina : By: ___________________________________ James Hovland, Mayor Date: __________________________________ ATTEST: ________________________________ Scott Neal, City Manager Contract #A2110929 EXHIBIT A: Description of Services 1 POLICE DEPARTMENT and HSPHD staff will work collaboratively to prevent reoccurrences of emergency crises. Roles and Responsibilities of Parties POLICE DEPARTMENT will provide office space for the Senior Social Worker (SSW). POLICE DEPARTMENT will run DSL lines at designated office space, as needed, if SSW is otherwise unable to access to COUNTY network. POLICE DEPARTMENT will work with the HSPHD Social Work Unit Supervisor (SWUS) to establish criteria for referrals. POLICE DEPARTMENT will work with the SWUS to develop a referral process. POLICE DEPARTMENT will track referrals and repeat calls. POLICE DEPARTMENT will track mental health calls that involve weapons, use of force and transportation holds being written. POLICE DEPARTMENT will accompany the SSW to home visits as needed. HSPHD will be responsible for providing the SSW with equipment that is necessary for completing their work. This includes but is not limited to laptop computer, cell phone, and office supplies. The SSW will report directly to the HSPHD SWUS. HSPHD will be responsible for transportation/mileage expenses for the SSW. The SSW will be responsible following the HSPHD transportation/mileage reimbursement policies. The SSW will provide short-term assistance to individuals in order to connect the individuals with internal and/or community resources to help meet their needs. Services will be provided in an ethical and culturally sensitive manner. After being assigned a case, the SSW will complete a file clearance of the Contract #A2110929 EXHIBIT A: Description of Services 2 various systems to determine if the individual is open to social services, county of financial responsibility, and public assistance programs. The SSW will meet the individual, assess the individual’s needs, note formal and informal supports, and determine where gaps exist. The SSW will request a new or updated diagnostic assessments as needed. The initial assessment should include the risks to the safety and stability of the individual as well as the individual’s ability to address such concerns. The SSW will also evaluate the need for emergency services and if needed will assist in making those connections. The SSW will work with the individual to develop an initial plan that addresses gaps that exist in the individual’s support system and will work with the individual to identify and connect with community resources. This plan will be signed by both the individual and the SSW. The SSW will ensure that release of information forms are signed and that other paperwork is completed in a timely manner. Client information can only be shared with law enforcement when there is an ongoing emergency situation and the client information is necessary to protect the health or safety of the individual or other people. Information disclosed would be limited to that necessary to address the emergency situation. If community and/or county resources are needed, the SSW will collect information needed to determine eligibility for those services. The SSW will facilitate referrals to appropriate resources. The SSW will collaborate with other involved parties as indicated. If eligible for county operated or contracted case management services, the SSW will complete the necessary paperwork to transfer the individual to case management. The SSW will document all activities and data as requested for tracking purposes. Participation is voluntary, and the individual served has a right to refuse services. Contract #A2110929 EXHIBIT A: Description of Services 3 Goals of the Police-Mental Health UnitS include, but are not limited to: More timely engagement of SSW with individuals; Increased use of community resources to support individuals; Increased use of public assistance programs; Increased use of non-urgent health care systems; Improved engagement of current service providers; Ongoing collaboration and learning between HSPHD and POLICE DEPARTMENT; Improving the quality of life for those who have encounters with law enforcement; Reducing use of force, injury or death to officers and community members; Reducing rate of arrests/prosecution of persons in mental health crisis and increase the number of persons who remain in community settings with services and supports; Creating cost-savings through reduction of incarceration and hospitalizationresulting from mental health crisis; Reducing repeat calls and visits for the same issue; Improving efficacy of law enforcement response to emergency and non-emergency mental health issues; and Increasing public satisfaction with the response to mental health emergencies and other metrics developed utilizing key stakeholder and community input. Date: November 16, 2021 Agenda Item #: VI.E. To:Mayor and City Council Item Type: Request For Purchase From:Gunnar Kaasa, Equipment Operations Supervisor Item Activity: Subject:Request for Purchase: 2022 Ford F250 Truck Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Request for Purchase of one 2022 Ford F250 Truck from Midway Ford for $45,203. INTRODUCTION: Midway Ford will provide the Ford F250 Truck. This is a replacement for Vehicle 70-295, a 2012 GMC Serra Truck that has 93,401 miles and 7,322 hours on engine. The vehicle has outlived its useful life and needs replacement. The replacement truck is being upgraded to a 3/4 ton pickup from a 1/2 ton pickup because it's needed to plow the ramp and well houses. The new diesel engine meets the green fleet policy. Our new equipment replacement scoring methodology uses six performance and cost variables including age, usage, type of service, condition, repair costs and reliability. Replacement qualification scores are 23 for all sedans and light trucks and 28 for heavy duty vehicles and off-road equipment whose gross weight rating exceeds 10,500. The higher the score, the higher the need to replace the vehicle. In other words, we will not replace a heavy duty vehicle that does not have a minimum score of 28. This piece of equipment has a score of 31. See attached Request for P urchase. ATTACHMENTS: Description Request for Purchase: One 2022 Ford F250 Truck Request for Purchase Requisition Number 1 CITY OF EDINA 4801 W 50th St., Edina, MN 55424 www.EdinaMN.gov | 952-927-8861 12100202 Department:Public Works Buyer:Brian Olson Date: 11/10/2021 Requisition Description:Ford F250 pickup Vendor:MIDWAY FORD COMPANY Cost:$45,203.68 REPLACEMENT or NEW:REPLACEM - REPLACEMENT PURCHASE SOURCE:STATE K - STATE CONTRACT DESCRIPTION:update older vehicle BUDGET IMPACT: utility equipment replacement fund Environmental Impact - item specific: 2 COMMUNITY IMPACT:Less carbon ENVIRONMENTAL IMPACT:Less carbon Vehicle - Make/Model/Year requested vehicle:2022 Vehicle - Make/Model/Year current vehicle (if replacement): 2012 Vehicle - Does purchase meet Green Fleet Recommendations? NO - NO Vehicle - If does not meet Green Fleet Recommendations, justification: TECHDELY - NEW TECHNOLOGY IS DELAYED MPG:no info Carbon Emissions:Less carbo Date: November 16, 2021 Agenda Item #: VI.F. To:Mayor and City Council Item Type: Request For Purchase From:Derik Otten, Facility Manager Item Activity: Subject:Request for Purchase: 2022 Ford Maverick XLT Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Request for Purchase of one 2022 Ford Maverick XLT from National Auto Fleet Group for $22,380. INTRODUCTION: This vehicle purchase meets the Green Fleet P olicy by replacing a 2007 vehicle. ATTACHMENTS: Description Request for Purchase: 2022 Ford Maverick XLT Request for Purchase Requisition Number 1 CITY OF EDINA 4801 W 50th St., Edina, MN 55424 www.EdinaMN.gov | 952-927-8861 12100225 Department:Engineering Buyer:Derik Otten Date: 11/01/2021 Requisition Description:Request for Purchase 2022 Ford Maverick XLT Vendor:NATIONAL AUTO FLEET GROUP Cost:$22,380.52 REPLACEMENT or NEW:REPLACEM - REPLACEMENT PURCHASE SOURCE:STATE K - STATE CONTRACT DESCRIPTION: 2022 Ford Maverick XLT for the Facilities Department. BUDGET IMPACT: Operating Budget-Parks Department Environmental Impact - item specific: 2 COMMUNITY IMPACT:Vehicle will be used to maintain city facilities ENVIRONMENTAL IMPACT: See below. Meets the Green Fleet Purchasing Policy. Vehicle - Make/Model/Year requested vehicle:Ford/Maverick XLT/2022 Vehicle - Make/Model/Year current vehicle (if replacement): Ford/Ranger/2007 Vehicle - Does purchase meet Green Fleet Recommendations? YES - YES Vehicle - If does not meet Green Fleet Recommendations, justification: - MPG:9 Carbon Emissions:NA-no data Date: November 16, 2021 Agenda Item #: VI.G. To:Mayor and City Council Item Type: Request For Purchase From:Noah Silver, Electrical/HVAC Supervisor Item Activity: Subject:Request for Purchase: Boiler Replacement at Public Works Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve the request for purchase for a boiler replacement from Gilbert Mechanical Contractors LLC for $24,689. INTRODUCTION: One of the three boilers for the Public Works vehicle mechanics area has failed. This failure is not repairable and requires replacement of the boiler unit. ATTACHMENTS: Description Request for Purchase: Boiler Replacement at Public Works Contract Request for Purchase Requisition Number 1 CITY OF EDINA 4801 W 50th St., Edina, MN 55424 www.EdinaMN.gov | 952-927-8861 12100226 Department:Engineering Buyer:Noah Silver Date: 11/05/2021 Requisition Description:Boiler replacement - Public works Vendor:GILBERT MECHANICAL CONTRACTORS LLC Cost:$24,689.00 REPLACEMENT or NEW:REPLACEM - REPLACEMENT PURCHASE SOURCE:QUOTE/BD - QUOTE/BID DESCRIPTION: 1 - Patterson-Kelley 1,050 MBH hot water boiler One of the three boilers for the Public Works vehicle mechanics area has failed at the attachment point to the manifold. This failure is not repairable and requires replacement of the boiler unit. The boiler is a high efficiency aluminum boiler. It is an exact replacement of the existing. This is necessary due to the design of the manifold and piping that connect the three boilers together. If a different boiler was selected, the existing manifold and piping would have to be redesigned to accommodate a different boiler. BUDGET IMPACT: The project is funded from the Public Works and Parks Maintenance Facility operating budget. 2 ENVIRONMENTAL IMPACT: New boiler utilizes the same amount of natural gas as existing boiler. APRIL 2018 D-1 IB CONTRACT NO. FC 21-20. THIS AGREEMENT made this 4th day of November 2021, by and between the CITY OF EDINA, a Minnesota municipal corporation (“City”) and Gilbert Mechanical Contractors LLC (“Contractor”). City and Contractor, in consideration of the mutual covenants set forth herein, agree as follows: 1. CONTRACT DOCUMENTS. The following documents shall be referred to as the “Contract Documents,” all of which shall be taken together as a whole as the contract between the parties as if they were set verbatim and in full herein: A. This Agreement. B. Instructions to Bidders. C. City of Edina General Contract Conditions. D. Addenda numbers E. Specifications prepared by F. Plan sheets numbered G. Performance Bond. H. Payment Bond. I. Responsible Contractor Verification of Compliance J. Contractor’s revised bid dated October 28th, 2021 K. Scope of Work The Contractor at a minimum shall provide the following services: Removal and disposal of 1 existing 1,050 MHB Patterson-Kelly hot water boiler. Supply and install 1 new 1,050 MHB Patterson-Kelly hot water boiler including: Rigging/setting the new boiler, disconnecting, and reconnecting the electrical disconnect that is in the way to get the boilers through, new supply & return water piping connections, gas piping connections, vent piping connections, combustion air ducting connections, low water cutout, relief valve with piping to the floor, high limit control, electrical power wiring, control wiring to existing controls system, pipe insulation on new and disturbed piping. All permits, fees and inspections required by code. The Contract Documents are to be read and interpreted as a whole. The intent of the Contract Documents is to include all items necessary for the proper execution and completion of the Work and to require Contractor to provide the highest quality and greatest quantity consistent with the Contract Documents. If there are inconsistencies within or among part of the Contract Documents or between the Contract Documents and applicable standards, codes or ordinances, the Contractor shall provide the better quality or greater quantity of Work or comply with the more stringent requirements. 1.1 Before ordering any materials or doing any Work, the Contractor shall verify measurements at the Project site and shall be responsible for the correctness of such measurements. No extra charges or compensation will be allowed on account of differences between actual dimensions and the dimensions indicated on the Drawings. Any difference that may be found shall be submitted to the City for resolution before proceeding with the Work. APRIL 2018 D-2 IB 1.2 If a minor change in the Work is necessary due to actual field conditions, the Contractor shall submit detailed drawings of such departure to the City for approval before making the change. The City shall not be required to make any adjustment to either the Contract Sum or Contract Time because of any failure by the Contractor to comply with the requirements of this paragraph. Actual or alleged conflicts or inconsistencies between the Plans and Specifications or other Contract Documents shall be brought to the City’s attention in writing, prior to performing the affected Work. The City’s directions shall be followed by the Contractor. 2. OBLIGATIONS OF THE CONTRACTOR. The Contractor shall provide the goods, services, and perform the work in accordance with the Contract Documents. 3. OBLIGATIONS OF THE CITY. The City agrees to pay, and the Contractor agrees to receive and accept payment in accordance with the Contractor’s bid $24,689.00. 4. PAYMENT PROCEDURES. A. Contractor shall submit Applications for Payment. Applications for Payment will be processed by City as provided in the General Conditions. B. Progress Payments; Retainage. City shall make 95% progress payments on account of the Contract Price on the basis of Contractor’s Applications for Payment during performance of the Work. C. Payments to Subcontractor. (1) Prompt Payment to Subcontractors. Pursuant to Minn. Stat. § 471.25, Subd. 4a, the Contractor must pay any subcontractor within ten (10) days of the Contractor’s receipt of payment from the City for undisputed services provided by the subcontractor. The Contractor must pay interest of 1½ percent per month or any part of a month to the subcontractor on any undisputed amount not paid on time to the subcontractor. The minimum monthly interest penalty payment for an unpaid balance of $100.00 or more is $10.00. For an unpaid balance of less than $100.00, the Contractor shall pay the actual penalty due to the subcontractor. (2) Form IC-134 required from general contractor. Minn. Stat. § 290.92 requires that the City of Edina obtain a Withholding Affidavit for Contractors, Form IC-134, before making final payments to Contractors. This form needs to be submitted by the Contractor to the Minnesota Department of Revenue for approval. The form is used to receive certification from the state that the vendor has complied with the requirement to withhold and remit state withholding taxes for employee salaries paid. D. Final Payment. Upon final completion of the Work, City shall pay the remainder of the Contract Price as recommended by City. 5. COMPLETION DATE. The Work must be completed and ready for final payment by February 1st, 2022. 6. CONTRACTOR’S REPRESENTATIONS. A. Contractor has examined and carefully studied the Contract Documents and other related data identified in the Contract Documents. B. Contractor has visited the Site and become familiar with and is satisfied as to the general, local, and Site conditions that may affect cost, progress, and performance of the Work. APRIL 2018 D-3 IB C. Contractor is familiar with and is satisfied as to all federal, state, and local Laws and Regulations that may affect cost, progress, and performance of the Work. D. Contractor has carefully studied all: (1) reports of explorations and tests of subsurface conditions at or contiguous to the Site and all drawings of physical conditions in or relating to existing surface or subsurface structures at or contiguous to the Site (except Underground Facilities) which have been identified in the General Conditions; and (2) reports and drawings of a Hazardous Environmental Condition, if any, at the Site. E. Contractor has obtained and carefully studied (or assumes responsibility for doing so) all additional or supplementary examinations, investigations, explorations, tests, studies, and data concerning conditions (surface, subsurface, and underground facilities) at or contiguous to the Site which may affect cost, progress, or performance of the Work or which relate to any aspect of the means, methods, techniques, sequences, and procedures of construction to be employed by Contractor, including any specific means, methods, techniques, sequences, and procedures of construction expressly required by the Bidding Documents, and safety precautions and programs incident thereto. F. Contractor does not consider that any further examinations, investigations, explorations, tests, studies, or data are necessary for the performance of the Work at the Contract Price, within the Contract Times, and in accordance with the other terms and conditions of the Contract Documents. G. Contractor is aware of the general nature of work to be performed by City and others at the Site that relates to the Work as indicated in the Contract Documents. H. Contractor has correlated the information known to Contractor, information and observations obtained from visits to the Site, reports and drawings identified in the Contract Documents, and all additional examinations, investigations, explorations, tests, studies, and data with the Contract Documents. I. Contractor has given City written notice of all conflicts, errors, ambiguities, or discrepancies that Contractor has discovered in the Contract Documents, and the written resolution thereof by City is acceptable to Contractor. J. The Contract Documents are generally sufficient to indicate and convey understanding of all terms and conditions for performance and furnishing of the Work. K. Subcontracts: (1) Unless otherwise specified in the Contract Documents, the Contractor shall, upon receipt of the executed Contract Documents, submit in writing to the City the names of the subcontractors proposed for the work. Subcontractors may not be changed except at the request or with the consent of the City. (2) The Contractor is responsible to the City for the acts and omissions of the Contractor's subcontractors, and of their direct and indirect employees, to the same extent as the Contractor is responsible for the acts and omissions of the Contractor's employees. (3) The Contract Documents shall not be construed as creating any contractual relation between the City and any subcontractor. (4) The Contractor shall bind every subcontractor by the terms of the Contract Documents. 7. WARRANTY. The Contractor guarantees that all new equipment warranties as specified within the bid shall be in full force and transferred to the City upon payment by the City. The Contractor shall be held responsible for any and all defects in workmanship, materials, and equipment which may develop in any part of the contracted service, and upon proper notification by the City shall immediately replace, without cost to the City, any such faulty part or parts and damage done by reason of the same in accordance with the bid specifications. 8. INDEMNITY. The Contractor agrees to indemnify and hold the City harmless from any claim made by third parties as a result of the services performed by it. In addition, the Contractor shall reimburse the City for any cost of reasonable attorney’s fees it may incur as a result of any such claims. APRIL 2018 D-4 IB 9. MISCELLANEOUS. A. Terms used in this Agreement have the meanings stated in the General Conditions. B. City and Contractor each binds itself, its partners, successors, assigns and legal representatives to the other party hereto, its partners, successors, assigns and legal representatives in respect to all covenants, agreements, and obligations contained in the Contract Documents. C. Any provision or part of the Contract Documents held to be void or unenforceable under any Law or Regulation shall be deemed stricken, and all remaining provisions shall continue to be valid and binding upon City and Contractor, who agree that the Contract Documents shall be reformed to replace such stricken provision or part thereof with a valid and enforceable provision that comes as close as possible to expressing the intention of the stricken provisions. D. Data Practices/Records. (1) All data created, collected, received, maintained or disseminated for any purpose in the course of this Contract is governed by the Minnesota Government Data Practices Act, Minn. Stat. Ch. 13, any other applicable state statute, or any state rules adopted to implement the act, as well as federal regulations on data privacy. (2) All books, records, documents and accounting procedures and practices to the Contractor and its subcontractors, if any, relative to this Contract are subject to examination by the City. E. Copyright/Patent. Contractor shall defend actions or claims charging infringement of any copyright or patent by reason of the use or adoption of any designs, drawings or specifications supplied by it, and it shall hold harmless the City from loss or damage resulting there from. If the equipment provided by the Contractor pursuant to this Agreement contains software, including that which the manufacturer may have embedded into the hardware as an integral part of the equipment, the Contractor shall pay all software licensing fees. The Contractor shall also pay for all software updating fees for a period of one year following cutover. The Contractor shall have no obligation to pay for such fees thereafter. Nothing in the software license or licensing agreement shall obligate the City to pay any additional fees as a condition for continuing to use the software. F. Assignment. Neither party may assign, sublet, or transfer any interest or obligation in this Agreement without the prior written consent of the other party, and then only upon such terms and conditions as both parties may agree to and set forth in writing. G. Waiver. In the particular event that either party shall at any time or times waive any breach of this Agreement by the other, such waiver shall not constitute a waiver of any other or any succeeding breach of this Agreement by either party, whether of the same or any other covenant, condition or obligation. H. Governing Law/Venue. The laws of the State of Minnesota govern the interpretation of this Agreement. In the event of litigation, the exclusive venue shall be in the District Court of the State of Minnesota for Hennepin County. I. Severability. If any provision, term or condition of this Agreement is found to be or becomes unenforceable or invalid, it shall not affect the remaining provisions, terms and conditions of this Agreement, unless such invalid or unenforceable provision, term or condition renders this Agreement impossible to perform. Such remaining terms and conditions of the Agreement shall continue in full force and effect and shall continue to operate as the parties’ entire agreement. J. Entire Agreement. This Agreement represents the entire agreement of the parties and is a final, complete and all inclusive statement of the terms thereof, and supersedes and terminates any prior agreement(s), understandings or written or verbal representations made between the parties with respect thereto. APRIL 2018 D-5 IB K. Permits and Licenses; Rights-of-Way and Easements. The Contractor shall procure all permits and licenses, pay all charges and fees therefore, and give all notices necessary and incidental to the construction and completion of the Project. The City will obtain all necessary rights-of-way and easements. The Contractor shall not be entitled to any additional compensation for any construction delay resulting from the City’s not timely obtaining rights-of-way or easements. L. If the work is delayed or the sequencing of work is altered because of the action or inaction of the City, the Contractor shall be allowed a time extension to complete the work but shall not be entitled to any other compensation. M. Responsible Contractor. This contract may be terminated by the City at any time upon discovery by the City that the prime contractor or subcontractor has submitted a false statement under oath verifying compliance with any of the minimum criteria set forth in Minn Stat. § 16C.285, subd. 3. CITY OF EDINA CONTRACTOR BY: ____________________________ BY: ____________________________ City Manager Its AND ___________________________ Its Date: November 16, 2021 Agenda Item #: VI.H. To:Mayor and City Council Item Type: Report / Recommendation From:Andrew Scipioni, Transportation Planner Item Activity: Subject:Petition Response for West 66th Street Sidewalk Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve staff's recommendation to install a sidewalk on West 66th Street in 2024. INTRODUCTION: At their September 21, 2021 regular meeting, City Council received a petition for a sidewalk on West 66th Street between Ridgeview Drive and Highway 100. Twenty-five residents signed the petition, representing three of the 21 adjacent properties. Ten additional properties represented on the petition are less than 1/2 mile from West 66th Street, five properties are 1/2-1 mile away, and two properties are more than one mile away. West 66th Street is designated as a Municipal State Aid street and is classified as a Collector street in the Living Streets Plan with traffic levels at 4,600 vehicles per day. Adjacent sidewalks are present on the west side of Ridgeview Drive and the north side of West 66th Street east of Josephine Avenue. The remaining gap is about 1,845 feet (0.35 miles). The surrounding area is entirely single-family residential with the exception of Normandale Park. This sidewalk is recommended by the Pedestrian and Bicycle Master Plan and the Living Streets P lan. It is currently anticipated for construction in 2024 as part of the 5-year Capital Improvement Plan (CIP). Staff does not recommend accelerating construction over other scheduled projects, including: McCauley Trail shared-use path (Valley View Road to Gleason Road) Blake Road bike lanes, sidewalk (Spruce Road to Scriver Road) France Avenue sidewalk (Fuller Street to West 57th Street, West 58th Street to Highway 62) Olinger Boulevard sidewalk (Vernon Avenue to Tracy Avenue) See attached supporting materials. ATTACHMENTS: Description Petition Graphic Petition Received Sep. 21, 2021 6516 6503 6520 5045 6434 6501 50275109 6610 5023 5019 6616 5180 5015 5025 5012 6620 6521 6600 5010 5101 5041 6525 50296615 6500 6541 6529 6601 6635 6619 6515 5004 6536 6424 6629 5008 6446 6500 6450 6533 6537 6528 52375204 6627 5245524152486532 6623 522552296630 52446600 524052336631 6443 6530 6532 6613 6516 6612 6500 6600 6521 6432 6600 5200 6517 6526 6505 6601 6524 6513 6604 6605 52326501 6429 52366433 6510 6540 6612 52216544 6440 5037 6440 6513 6617 6437 52286605 6612 6608 6625 6519 5209521352176634 6516 5000 6601 6508 6601 6504 6616 6612 6512 6516 6501 6609 6620 6540 6429 6604 6532 6515 6525 6621 6501 6608 6617 6509 6521 6608 6520 6624 6533 6613 6624 6524 6512 6500 6506 6518 6605 6628 6524 6608 5164 6609 6508 6544 6632 6525 6433 6700 6509 6512 6528 6613 6504 6604 6501 6520 6424 6517 6529 6616 6428 6517 6505 6521 6529 6604 66006601 6525 6620 6609 6509 6428 642564376429 6432 6428 6605 64336441 64336436 6445 64456444 6430 / Engineering DeptNovember 2021 West 66th StreetSidewalk PetitionRidgeview Drive to Highway 100CITYOFEDINAMIN N ESOTAINCORPORATE D1888 ,e W 66TH ST R I D G E V I E W D R NAOMI DRW 65TH ST WARREN AVEDANENS DR KENNEY PLTINGDALE AVEJOSEPHINE AVEWILRYAN AVENORMANDALE RD§¨¦100 Legend *Only properties in the immediate vicinity are shown. 12 additional properties signed the petition. Existing Sidewalks Proposed SidewalksSigned Petition* NORMANDALEPARK Date: November 16, 2021 Agenda Item #: VI.I. To:Mayor and City Council Item Type: Report / Recommendation From:Nick Bauler, Traffic Safety Coordinator Item Activity: Subject:Approve Traffic Safety Report of September 28, 2021 Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve the Traffic Safety Report of September 28, 2021. INTRODUCTION: The Transportation Commission reviewed the report at their October 28 regular meeting; comments are included in the attached staff report. ATTACHMENTS: Description Traffic Safety Report of September 28, 2021 November 16, 2021 Mayor and City Council Nick Bauler, Traffic Safety Coordinator Traffic Safety Report of September 28, 2021 Information / Background: The Traffic Safety Committee (TSC) review of traffic safety matters occurred on September 28. The Traffic Safety Coordinator, Transportation Planner, Streets Public Service Worker, Police Sergeant, Public Works Director and Assistant City Planner was in attendance for this meeting. The City Engineer was not able to attend, but was informed of the decisions and had no objections to the recommendations. On each of the items, persons involved have been contacted and the staff recommendation has been discussed with them. They were informed that if they disagree with the recommendation or have additional facts to present, they can submit correspondence to the Transportation Commission and/or to City Council prior to the November 16 regular meeting. Section A: Items on which the Traffic Safety Committee recommends action A1. Request for crosswalk over Mirror Lakes Drive at Northwood Drive • Mirror Lakes 2016 ADT ranges from 700 to 1,200. • Mirror Lakes is uncontrolled, Northwood is stop controlled. • Two separate hours have 27 and 28 pedestrian crosses (136 total single day crosses). • Sight line impacts at both north corners of intersection. • No reported crashes in last 10 years. • Crosswalk warrants recommend installing marked crosswalk with roadside signs. Staff recommends installing a crosswalk over Mirror Lakes Drive at the south side of Northwood Drive. Mirror Lakes Dr at Northwood Dr STAFF REPORT Page 2 A2. Request to add signage with crosswalks over W 66th Street at Highway 100 • Current crosswalks do not include signage. • The crosswalk markings are difficult to see due to crest of bridge. • Originally installed by MnDOT during Highway 100 improvement project (2016). • Markings reinstalled following 2018 overlay. • Crosswalk standards require signage and markings at a minimum at uncontrolled locations. • One crash between two vehicles at eastern intersection in 2019. • Northbound and southbound Normandale include new lane striping (2021). • Total crosses at the east intersection: 30 crosses over W 66th peak of 14 crosses at 3 pm. • Total crosses at west intersection: 35 crosses over W 66th peak of 13 crosses at 5:30 pm. Staff recommends installing crosswalk signs to meet City crosswalk warrants. Section B: Items on which the Traffic Safety Committee recommends no action B1. Request for a speed limit sign on Wooddale Avenue in Country Club neighborhood • Resident asking for added speed limit signs for traffic calming. • Current speed limit is 30 mph, will be reduced to 25 mph this year. • Classified as Local Connector. • Parking is restricted on the east side. • 2021 ADT and 85% speed is 1,578 and 29.2 MPH, respectively. Staff recommends not installing a speed limit sign for this portion of Wooddale Avenue as data shows speed concerns are perceived. B2. Request to further restrict parking at the intersection of W 48th Street and Maple Road • Resident near intersection is concerned with contractor parking near intersection causing near-misses. • Similar request made in 2018 led to restricted parking along inner (southeast) corner of intersection. • A driveway enters the northwest corner of the intersection. • On-street parking is currently allowed on both sides of Maple and W 48th. • The width near this curve is 25’. • A large tree is located near the curve at the southeast corner. Staff recommends no changes as one-sided parking promotes traffic calming at the curve. Wooddale Avenue in the Country Club Neighborhood Maple Rd and W 48th St W 66th St at Highway 100 STAFF REPORT Page 3 Section D: Other traffic safety items handled D1. A previous concern was submitted of signal timing needing update at the east intersection of W 77th Street at Highway 100. Traffic loop detectors were replaced by MnDOT in the summer 2021 and signal timing issues have been resolved. D2. A request was made to add a no right turn sign for eastbound traffic approaching the Highway 100 northbound exit ramp onto W 70th Street. Three Do Not Enter signs and two Wrong Way signs are present at this leg and no further turn restriction signage is warranted. D3. A request was made to add a turn signal for eastbound traffic on W 65th Street turning left onto northbound France Avenue. Hennepin County reviewed this request and found a turn signal was not warranted and will continue to monitor this intersection. D4. A submission was made regarding the timing of a traffic signal operating improperly at W 77th St between Computer Avenue and Normandale Rd. A pedestrian crossing system failed and was replaced. D5. A request was made for a Children at Play sign at the entrances of the alley between Grimes Avenue and Wooddale Avenue in the northeast corner of the Country Club neighborhood. These signs are found to provide no changes in driver behavior. The resident was informed of other safety options which include using personal warning signs at the end of their driveways when children are present. D6. Two submissions were made of downed tree limbs near the roadway following the storm the morning of September 17th. Locations include the 5900 block of Zenith Ave and 6000 block of Virginia Ave. Public Works was informed of these concerned and they were removed. D7. A resident was concerned with vehicles not stopping for pedestrians waiting to cross and requested improvements to the crosswalk at Interlachen Blvd and Vandervork Ave. This crosswalk meets City standards, and the resident was informed to submit a petition for added safety measures to the crossing. D8. A resident was concerned with construction cones being moved onto a neighbor’s property during a patching project on W 58th St near Halifax Ave. The cones were moved, and the project is complete. D9. A car was reported to pass other cars at a high rate of speed on Lincoln Dr. The EPD was contacted for speed enforcement in the area. D10. A submission reported a failing retaining wall along W 66th St, west of Highway 100. Public Works was able to fix the retaining wall. D11. Three residents requested traffic calming along both frontage roads of Normandale Rd between W 66th St and W 70th St as drivers speeds appear excessive. New layouts included a narrowed travel lane, buffered, bike and parking lane to improve safety. D12. A resident requested a solution for drivers not stopping for pedestrians at the intersection of Gleason Rd at Cherokee Tr/Creek Valley Rd. The Edina Police Department was contacted for added police presence. D13. Two residents were concerned with site lines for eastbound drivers on Grove St approaching Tracy Ave. Sight lines were found to be adequate when drivers inch forward into the gutter on the west side of Tracy. The residents were informed to do this movement for improved sight lines. STAFF REPORT Page 4 D14. Delivery and large vehicles were hitting crosswalk signs on Halifax Ave, north of W 50th. Due to its location near the Nolan Mains woonerf, the signs were removed. In road bollard sign remains in place at the crosswalk. D15. A resident was concerned of a road work sign needing to be removed following construction near West Shore Dr and W 66th St. The sign has been removed. D16. A resident was concerned with vehicle speeds on Schaefer Rd coming off Vernon Ave. Tube data showed 85% speed at 31.8 mph. The temporary speed trailer was placed at this location to raise driver awareness of speeds. D17. A resident stated westbound drivers turning right on W 70th St at Metro Blvd were not yielding properly for pedestrians crossing at the traffic signals and wanted signal timing updates. Signals were inspected and working adequately. As drivers may not be yielding properly, the EPD was informed of this concern for enforcement. D18. A resident was requesting police enforcement for vehicles speeding on Park Terrace. The EPD was notified of the request. D19. A resident was concerned with sight lines when traveling eastbound on W 56th St approaching Brookview Ave. W 56th traffic is stop controlled due to the available sight line. The City Forester and Clearview Officer reviewed the sight line and no trimming was requested upon City ordinances. Date: November 16, 2021 Agenda Item #: VI.J. To:Mayor and City Council Item Type: Other From:Scott H. Neal, City Manager Item Activity: Subject:Approve Contract with Edina Education Fund Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve contract with the Edina Education Fund for $142,000 for school-based social-emotional support and mental health services at Edina Public Schools. INTRODUCTION: The COVID-19 pandemic increased the demand for mental health services and disproportionately affected individuals needing mental health support. T he City has committed to putting a focus on connecting individuals to available mental health resources, expanding services, and providing training and support to raise awareness of mental health and reduce the stigma of treatment. The Edina Education Fund is supporting the increasing mental health programming needs through the Heal Together Campaign with Edina Public Schools. Programming includes school based mental health providers, district-wide staff training, summertime support, direct support for uninsured or underinsured students to access services, and is expected to meet the needs for the 2021-2022 school year. Funding for this initiative was approved as part of the American Rescue P lan Act (ARPA) Implementation Plan (Round 1 - 2021) P riority Area 1: Mental Health Assistance Expansion. ATTACHMENTS: Description Edina Education Fund ARPA Subrecipient Agreement 1 ARPA State and Local Fiscal Recovery Funds SUBRECIPIENT AGREEMENT This ARPA Subrecipient Agreement (“Agreement”) is made this 2nd day of November, 2021, between the City of Edina, a Minnesota municipal corporation ("CITY"), and Edina Education Fund, a Minnesota nonprofit corporation ("SUBRECIPIENT"). RECITALS A. CITY has been allocated $4,932,493 of federal stimulus funding by the U.S. Department of the Treasury as Coronavirus State and Local Fiscal Recovery Funds under CFDA No. 21.027 (“ARPA Funds”) and Section 603(b) of the Social Security Act, as amended by Section 9901 of the American Rescue Plan Act ("ARPA”) B. CITY has duly established its American Rescue Plan Act State and Local Fiscal Recovery Funds Program (the “Program”) and is bound to follow all guidelines and rules approved by the City Council and published by the U.S. Department of the Treasury regarding ARPA funds (the “ARPA Implementation Plan – Round 1”). C. SUBRECIPIENT participated in a public engagement process and was recommended for funding by City staff and CITY has approved a grant to the SUBRECIPIENT in the maximum principal amount of $142,000.00 (the “Grant”) to pay a portion of the costs of qualifying expenditures under the Grant Guidelines, in connection with SUBRECIPIENT’s school-based social-emotional support and mental health services located at Edina Public Schools in the City of Edina, Minnesota (the “City”) (the “Grant Activities”). D. The CITY and SUBRECIPIENT acknowledge that there shall be no R&D activities as part of the covered activities provided for in this Grant. E. The CITY and SUBRECIPIENT have negotiated the terms of the Grant, and now desire to memorialize such terms in this Agreement. ACCORDINGLY, to induce CITY to make the Grant to SUBRECIPIENT, and for good and valuable consideration, the receipt and sufficiency of which are hereby acknowledged, the parties hereto agree as follows: 1. The Grant Amount. Subject to and upon the terms and conditions of this Agreement, the Program Guidelines, and the Grant Guidelines (together, the “Grant Documents”), CITY agrees to grant to SUBRECIPIENT the sum of one hundred forty-two thousand and no/100ths Dollars ($142,000.00). Proceeds of the Grant shall be disbursed for the Grant Activities approved pursuant to the Grant Documents in accordance with Section 2 hereof. 2. Disbursement of Grant Proceeds. 2 (a) All Grant proceeds shall be paid to SUBRECIPIENT in accordance with the terms and conditions of the Grant Documents. Notwithstanding anything to the contrary herein, any costs of the Grant Activities exceeding the amount to be reimbursed under this Agreement shall be the sole responsibility of the SUBRECIPIENT. (b) Grant proceeds shall be disbursed to the SUBRECIPIENT quarterly. SUBRECIPIENT must submit proof of eligible expenses in order to be reimbursed. All disbursements are subject to the conditions of this Agreement. The disbursement of proceeds of the Grant will be made subject to all requirements and conditions precedent that exist prior to or as of the date of disbursement: a. The CITY has received from SUBRECIPIENT, without expense to CITY, an executed copy of this Agreement; b. SUBRECIPIENT is in compliance with the terms of the Grant Documents. 3. Representations and Warranties. SUBRECIPIENT represents and warrants to CITY that: (a) SUBRECIPIENT is duly authorized and empowered to execute, deliver, and perform this Agreement and to receive the Grant from CITY. (b) The execution and delivery of this Agreement, and the performance by SUBRECIPIENT of its obligations under the Grant Documents, do not and will not materially violate or conflict with any applicable provision of law and do not and will not materially violate or conflict with, or cause any default or event of default to occur under, any material agreement binding upon SUBRECIPIENT. (c) The execution and delivery of this Agreement has been duly approved by all necessary action of SUBRECIPIENT, and this Agreement has in fact been duly executed and delivered by SUBRECIPIENT and constitutes its lawful and binding obligation, legally enforceable against it. (d) SUBRECIPIENT warrants that it shall keep and maintain books, records, and other documents relating directly to the receipt and disbursements of Grant proceeds and that any duly authorized representative of CITY shall, with reasonable advance notice, have access to and the right to inspect, copy, audit, and examine all such books, records, and other documents of SUBRECIPIENT pertaining to the Grant until the completion of all closeout procedures and the final 3 settlement and conclusion of all issues arising out of this Grant for a minimum of 5 years after all funds have been expended. (e) SUBRECIPIENT warrants that to the best of its knowledge, it has fully complied with all applicable state and federal laws reasonably relevant to this Agreement and will continue to comply with all state and federal statues throughout the terms of this Agreement. If at any time SUBRECIPIENT receives notice of noncompliance from any governmental entity, SUBRECIPIENT agrees to take any necessary action to comply with the state or federal law in question. (f) SUBRECIPIENT warrants that it will use the proceeds of the Grant made by CITY solely for the Grant Activities, and that SUBRECIPIENT shall provide to CITY in writing quarterly reports specifying how the Grant funds have been utilized and provide a final report after all funds have been expended as outlined in the Grant Guidelines. (g) SUBRECIPIENT warrants that it is responsible for ensuring compliance with the following sections in the Uniform Administrative Requirements, Cost Principles and Audit Requirements for Federal Awards (2 CFR Part 200), as applicable: 2 C.F.R. § 200.303 regarding internal controls, 2 C.F.R. §§200.330 through 200.332 regarding subrecipient monitoring and management, and subpart F regarding Single Audit requirements. (h) SUBRECIPIENT warrants that it is responsible for ensuring that all funds it receives from the CITY pursuant to this agreement are used in a manner that is consistent with the ARPA, as well as any implementing regulations and federal guidance including any amendments, clarifications, or updated thereto that may be issued by the federal government. 4. Event of Default by SUBRECIPIENT. The following shall be Events of Default under this Agreement: (a) failure to complete any part of the Grant Activities by January 20, 2023 unless this date is explicitly extended in writing by the CITY; (b) any representation or warranty made by SUBRECIPIENT herein is false when made; (c) any material breach or failure of SUBRECIPIENT to perform any material term or condition of this Agreement not specifically described as an Event of Default in this Agreement and such breach or failure continues for a period of thirty (30) days after CITY has given written 4 notice to SUBRECIPIENT specifying such default or breach, unless CITY agrees in writing to an extension of such time prior to its expiration; provided, however, if the failure stated in the notice cannot be corrected within the applicable period, CITY will not unreasonably withhold its consent to an extension of such time if corrective action is instituted by SUBRECIPIENT within the applicable period and is being diligently pursued until the Event of Default is corrected, but no such extension shall be given for an Event of Default that can be cured by the payment of money (i.e., payment of taxes, insurance premiums, or other amounts required to be paid hereunder). 5. CITY's Remedy upon SUBRECIPIENT's Default. Upon an Event of Default by SUBRECIPIENT and after provision by CITY of written notice, CITY shall have the right to suspend or terminate its performance under this Agreement. In addition, SUBRECIPIENT will be ineligible for future grants under the Program. 6. Indemnification. (a) SUBRECIPIENT shall and does hereby agree to indemnify against and to hold CITY, and its officers, agents, and employees, harmless of and from any and all liability, loss, or damage that it may incur under or by reason of this Agreement, and of and from any and all claims and demands whatsoever that may be asserted against CITY by reason of any alleged obligations or undertakings on its part to perform or discharge any of the terms, covenants, or agreements contained herein. (b) This indemnification and hold harmless provision shall survive the execution, delivery, and performance of this Agreement and the payment by CITY of any portion of the Grant. (c) Nothing in this Agreement shall constitute a waiver of or limitation on any immunity from or limitation on liability to which SUBRECIPIENT is entitled under law. 7. Government Data. In accordance with Minnesota Statute Section 13.599, all applications and their contents are private or nonpublic until the applications are opened. Once the applications are opened, the name and address of each applicant and the amount requested is public. All other data in an application is private or nonpublic data until completion of the evaluation process, which is defined by statute as when the CITY has completed negotiating the grant agreement with the selected applicant. After the CITY has completed the evaluation process, all remaining data in the applications is public with the exception of trade secret data as defined and classified in Minn. Stat. § 13.37, Subd. 1(b). A statement by an applicant that the application is 5 copyrighted or otherwise protected does not prevent public access to the application or its contents. (Minn. Stat. § 13.599, subd. 3(a)). If an applicant submits any information in an application that it believes to be trade secret information, as defined by Minnesota Statute Section 13.37, the applicant must: • Clearly mark all trade secret materials in its application at the time it is submitted, • Include a statement attached to its application justifying the trade secret designation for each item, and • Defend any action seeking release of the materials it believes to be trade secret, and indemnify and hold harmless CITY, its agents and employees, from any judgments or damages awarded against the CITY in favor of the party requesting the materials, and any and all costs connected with that defense. • This indemnification survives CITY’s award of a grant agreement. The applicant agrees that this indemnification survives as long as the trade secret materials are in possession of CITY. The CITY will not consider the prices submitted by the responder to be proprietary or trade secret materials. CITY reserves the right to reject a claim that any particular information in an application is trade secret information if it determines the applicant has not met the burden of establishing that the information constitutes a trade secret. CITY will not consider the budgets submitted by applicants to be proprietary or trade secret materials. Use of generic trade secret language encompassing substantial portions of the application or simple assertions of trade secret without substantial explanation of the basis for that designation will be insufficient to warrant a trade secret designation. If a grant is awarded to an applicant, CITY may use or disclose the trade secret data to the extent provided by law. Any decision by the CITY to disclose information determined to be trade secret information will be made consistent with the Minnesota Government Data Practices Act (Minnesota Statutes chapter 13) and other relevant laws and regulations. If certain information is found to constitute trade secret information, the remainder of the application will become public; in the event a data request is received for application information, only the trade secret data will be removed and remain nonpublic. 8. Miscellaneous. (a) Waiver. The performance or observance of any promise or condition set forth in this Agreement may be waived, amended, or modified only by a writing signed by SUBRECIPIENT and CITY. No delay in the exercise of any power, right, or remedy operates as a waiver thereof, nor shall any single or partial exercise of any other power, right, or remedy. 6 (b) Assignment. This Agreement shall be binding upon the parties, their successors and assigns. All rights and powers specifically conferred upon CITY may be transferred or delegated by CITY to any of its successors and assigns. SUBRECIPIENT's rights and obligations under this Agreement may be assigned only when such assignment is approved in writing by CITY; except that if such assignment is made to an affiliate or subsidiary of SUBRECIPIENT, SUBRECIPIENT may assign any of its rights or obligations to such affiliate or subsidiary upon written notice to the CITY. (c) Governing Law. This Agreement is made and shall be governed in all respects by the laws of the state of Minnesota. Any disputes, controversies, or claims arising out of this Agreement shall be heard in the state or federal courts of Minnesota, and all parties to this Agreement waive any objection to the jurisdiction of these courts, whether based on convenience or otherwise. (d) Severability. If any provision or application of this Agreement is held unlawful or unenforceable in any respect, such illegality or unenforceability shall not affect other provisions or applications that can be given effect, and this Agreement shall be construed as if the unlawful or unenforceable provision or application had never been contained herein or prescribed hereby. (e) Notice. All notices required hereunder shall be given by depositing in the U.S. mail, postage prepaid, certified mail, return receipt requested, to the following addresses (or such other addresses as either party may notify the other): To CITY: Edina City Hall 4801 West 50th Street Edina, MN 55424 Copy to: City Attorney Campbell Knutson, P.A. 860 Blue Gentian Road, Suite 290 Eagan, MN 55121 To SUBRECIPIENT: Edina Education Fund Attn: Kathy Rendleman 5701 Normandale Road Edina, MN 55424 7 (f) Termination. This Agreement shall terminate when all obligations have been satisfactorily fulfilled, including the CITY’s receipt of SUBRECIPIENT’s written report on SUBRECIPIENT’s expenditure of Grant proceeds as described in paragraph 3(f) of this Agreement. Notwithstanding the foregoing, the following provisions shall survive the expiration or cancellation of this Agreement: Governing Law, Government Data, paragraph 3(d) relating to records management and audits, and Indemnification. (g) Independent Contractor. Nothing is intended nor should be construed as creating or establishing the relationship of a partnership or a joint venture between the parties or as constituting SUBRECIPIENT as the agent, representative, or employee of the CITY for any purpose. SUBRECIPIENT is and shall remain an independent contractor under this Agreement. (h) Nondiscrimination. SUBRECIPIENT shall not exclude any person from full employment rights nor prohibit participation in or the benefits of any program, service or activity on the grounds of any protected status or class including but not limited to race, color, creed, religion, age, sex, disability, marital status, sexual orientation, public assistance status, or national origin. No person who is protected by applicable federal or state laws against discrimination shall be subjected to discrimination. (i) Entire Agreement. This Agreement, together with the Grant Documents, which are incorporated by reference, constitutes the complete and exclusive statement of all mutual understandings between the parties with respect to this Agreement, superseding all prior or contemporaneous proposals, communications, and understandings, whether oral or written, concerning the Grant. (j) Headings. The headings appearing at the beginning of the several sections contained in this Agreement have been inserted for identification and reference purposes only and shall not be used in the construction and interpretation of this Agreement. [Signature pages follow.] 8 9 IN WITNESS WHEREOF, this Agreement has been duly executed and delivered by the proper officers thereunto duly authorized on the day and year first written above. CITY OF EDINA By: _________________________________ [SIGNATURE PAGE TO GRANT AGREEMENT – CITY] 10 SUBRECIPIENT: Edina Education Fund By: _Kathryn M. Rendleman__ _ Title: _Executive Director________________ [SIGNATURE PAGE TO GRANT AGREEMENT – SUBRECIPIENT] Date: November 16, 2021 Agenda Item #: VI.K. To:Mayor and City Council Item Type: Other From:Sharon Allison, City Clerk Item Activity: Subject:Approve 2022 Calendar of Meeting and Religious Observance Dates Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve the 2022 calendar of meetings for the City Council, Commissions, and days of religious observance. INTRODUCTION: Attached is the City Council and Commission 2022 meeting calendar and religious observance dates. Note the new format which is easier to understand and manage. City Council's regular and work session meetings are held the 1st and 3rd Tuesday of each month, except in instances for town hall meetings or to accommodate council member's schedule or elections. Two town hall meetings are typically scheduled annually; however, because of COVID, none were scheduled for 2021 and none have been discussed yet for 2022. Please note the following City Council meeting date exceptions: 1. Wed., Jan. 19 2. Wed., May 4 3. Only one meeting in July 4. Wed., Aug 3 5. Wed., Sept. 7 6. Thur., Oct. 6 7. Mon., Dec. 12 (additional meeting for 2022 Street Reconstruction projects public hearing) The color key at the top of the calendar indicates the types of meetings including religious observance days when public meetings will not be scheduled, or after 6 p.m. on election day. The Housing and Redevelopment Authority will adopt it's 2022 calendar of meeting dates separately. ATTACHMENTS: Description 2022 Meeting Calendar JANUARY Jan. 1 New Year’s Day Jan. 4 City Council Jan. 6 Housing & Redevelopment Authority Jan. 10 Community Health Commission Jan. 11 Heritage Preservation Commission Parks & Recreation Commission Jan. 12 Planning Commission Jan. 13 Energy & Environment Commission Jan. 17 Martin Luther King Jr. Day Jan. 19 City Council Jan. 20 Transportation Commission Jan. 25 Human Rights & Relations Commission Jan. 26 Planning Commission Jan. 27 Arts & Culture Commission FEBRUARY Feb. 1 City Council Feb. 8 Heritage Preservation Commission Parks & Recreation Commission Feb. 9 Planning Commission Feb. 10 Housing & Redevelopment Authority Energy & Environment Commission Feb. 14 Community Health Commission Feb. 15 City Council Feb. 17 Transportation Commission Feb. 21 Presidents Day Feb. 22 Human Rights & Relations Commission Feb. 23 Planning Commission Feb. 24 Arts & Culture Commission MARCH March 1 City Council March 3 Housing & Redevelopment Authority March 8 Heritage Preservation Commission Parks & Recreation Commission March 9 Planning Commission March 10 Energy & Environment Commission March 14 Community Health Commission March 15 City Council March 22 Human Rights & Relations Commission March 23 Planning Commission March 24 Arts & Culture Commission Transportation Commission APRIL April 5 City Council April 7 Housing & Redevelopment Authority April 11 Community Health Commission April 12 Heritage Preservation Commission Parks & Recreation Commission April 13 Planning Commission April 14 Energy & Environment Commission April 15 Good Friday (Christian) April 15-17 Passover (Jewish) April 19 City Council April 21 Transportation Commission April 26 Human Rights & Relations Commission April 27 Planning Commission April 28 Housing & Redevelopment Authority Arts & Culture Commission MAY May 3 Eid al Fitr (Muslim) May 4 City Council May 9 Community Health Commission May 10 Heritage Preservation Commission Parks & Recreation Commission May 11 Planning Commission May 12 Energy & Environment Commission May 17 City Council May 19 Housing & Redevelopment Authority Transportation Commission May 24 Human Rights & Relations Commission May 25 Planning Commission May 26 Arts & Culture Commission May 30 Memorial Day JUNE June 7 City Council June 9 Housing & Redevelopment Authority Energy & Environment Commission June 13 Community Health Commission June 14 Heritage Preservation Commission Parks & Recreation Commission June 15 Planning Commission June 16 Transportation Commission June 21 City Council June 23 Arts & Culture Commission June 28 Human Rights & Relations Commission June 29 Planning Commission June 30 Housing & Redevelopment Authority 2022 Meeting Calendar Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 Religious Observance*Holiday City Council or Housing & Redevelopment Authority Meeting Board or Commission Meeting(s) Election Day** Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 29 30 30 31 Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 20 21 22 23 24 25 26 27 28 29 30 31 Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 10 11 12 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 * No public meetings held. **No public meetings after 6 p.m. 28 19 9 10 JULY July 4 Independence Day July 10 Eid al-Adha (Muslim) July 11 Community Health Commission July 12 Heritage Preservation Commission Parks & Recreation Commission July 13 Planning Commission July 14 Energy & Environment Commission July 19 City Council July 21 Housing & Redevelopment Authority Transportation Commission July 26 Human Rights & Relations Commission July 27 Planning Commission July 28 Arts & Culture Commission AUGUST Aug. 2 Night to Unite Aug. 3 City Council Aug. 8 Community Health Commission Heritage Preservation Commission Parks & Recreation Commission Aug. 9 Election Day Aug. 10 Planning Commission Aug. 11 Energy & Environment Commission Aug. 16 City Council Aug. 18 Housing & Redevelopment Authority Transportation Commission Aug. 23 Human Rights & Relations Commission Aug. 24 Planning Commission Aug. 25 Arts & Culture Commission SEPTEMBER Sept. 5 Labor Day Sept. 7 City Council Sept. 8 Energy & Environment Commission Sept. 12 Community Health Commission Sept. 13 Heritage Preservation Commission Parks & Recreation Commission Sept. 14 Planning Commission Sept. 15 Housing & Redevelopment Authority Transportation Commission Sept. 20 City Council Human Rights & Relations Commission Sept. 22 Arts & Culture Commission Sept. 25-27 Rosh Hashanah (Jewish) Sept. 28 Planning Commission OCTOBER Oct. 4-5 Yom Kippur (Jewish) Oct. 6 City Council Oct. 10 Community Health Commission Oct. 11 Heritage Preservation Commission Parks & Recreation Commission Oct. 12 Planning Commission Oct. 13 Housing & Redevelopment Authority Energy & Environment Commission Oct. 18 City Council Oct. 25 Human Rights & Relations Commission Planning Commission Oct. 26 Diwali (Hindu) Oct. 27 Arts & Culture Commission Transportation Commission NOVEMBER Nov. 1 City Council Parks & Recreation Commission Nov. 3 Heritage Preservation Commission Nov. 8 Election Day Nov. 10 Energy & Environment Commission Nov. 11 Veterans Day Nov. 14 Community Health Commission Nov. 15 City Council Human Rights & Relations Commission Nov. 16 Planning Commission Nov. 17 Housing & Redevelopment Authority Arts & Culture Commission Transportation Commission Nov. 24 Thanksgiving Nov. 25 Day after Thanksgiving DECEMBER Dec. 6 City Council Human Rights & Relations Commission Dec. 8 Housing & Redevelopment Authority Energy & Environment Commission Dec. 12 City Council Community Health Commission Dec. 13 Heritage Preservation Commission Parks & Recreation Commission Dec. 14 Planning Commission Dec. 15 Arts & Culture Commission Transportation Commission Dec. 20 City Council Dec. 24 Christmas Eve (Christian) Dec. 25 Christmas (Christian) Dec. 26 Christmas observed 2022 Meeting Calendar Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 18 19 20 22 23 24 25 26 27 28 29 30 31 Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 10 11 12 13 14 15 16 17 19 20 21 22 23 24 25 26 27 28 29 30 31 Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 10 11 12 13 14 16 17 18 19 21 22 23 24 25 26 27 28 29 30 Su Mo Tu We Th Fr Sa 1 2 3 4 5 6 7 8 9 10 11 12 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 Su Mo Tu We Th Fr Sa 2 3 4 5 6 7 8 9 10 11 12 13 14 16 18 19 20 21 22 23 24 25 26 27 28 29 30 Su Mo Tu We Th Fr Sa 1 2 3 4 5 7 9 10 11 13 14 15 16 17 18 19 20 21 22 23 24 25 26 27 28 29 30 31 Religious Observance*Holiday City Council or Housing & Redevelopment Authority Meeting Board or Commission Meeting(s) Election Day** 21 18 15 13 15 6 820 1 17 12 * No public meetings held. **No public meetings after 6 p.m. Date: November 16, 2021 Agenda Item #: VI.L. To:Mayor and City Council Item Type: Report / Recommendation From:Sharon Allison, City Clerk Item Activity: Subject:Resolution No. 2021-110: Accepting Donations Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Resolution No. 2021-110 accepting donations. INTRODUCTION: To comply with State Statute, all donations to the City must be accepted by resolution and approved by two- thirds majority of the Council. See attached resolution with list of donations. ATTACHMENTS: Description Resolution No. 2021-110: Accepting Donations RESOLUTION NO. 2021-110 ACCEPTING DONATIONS ON BEHALF OF THE CITY OF EDINA WHEREAS, Minnesota Statute 465.03 allows cities to accept grants and donations of real or personal property for the benefit of its citizens; WHEREAS, said donations must be accepted via a resolution of the Council adopted by a two thirds majority of its members. NOW, THEREFORE, BE IT RESOLVED, that the Edina City Council accepts with sincere appreciation the following listed grants and donations on behalf of its citizens. Parks & Recreation Kelodale Garden Club $2,300 Noxious Weed Abatement at Lake Cornelia Dr. William & Diane Kimber $3,550 Park Bench and Tree at Arden park Dated: November 16, 2021 Attest: Sharon Allison, City Clerk James B. Hovland, Mayor STATE OF MINNESOTA ) COUNTY OF HENNEPIN) SS CITY OF EDINA ) CERTIFICATE OF CITY CLERK I, the undersigned duly appointed and acting City Clerk for the City of Edina do hereby certify that the attached and foregoing Resolution was duly adopted by the Edina City Council at its Regular Meeting of November 16, 2021, and as recorded in the Minutes of said Regular Meeting. WITNESS my hand and seal of said City this _______ day of ___________________, 2021. City Clerk Date: November 16, 2021 Agenda Item #: VII.A. To:Mayor and City Council Item Type: Report / Recommendation From:Chad A. Millner, P.E., Director of Engineering Item Activity: Subject:PUBLIC HEARING: Resolution No. 2021-109: Right-of-Way Easement Vacation at Pentagon Village Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Close the public hearing at noon on November 22 and continue action to the December 7 City Council meeting. INTRODUCTION: Pentagon Village, LLC has applied for a vacation of a drainage and utility easement at Pentagon Village. ATTACHMENTS: Description Resolution No. 2021-109: Right-of-Way Easement Vacation Application Public Hearing Notice - Pentagon Village Staff Presentation RESOLUTION NO. 2021-109 VACATING DRAINAGE AND UTILITY EASEMENT PENTAGON VILLAGE WHEREAS, an application was received on October 1, 2021 from Pentagon Village, LLC of Pentagon Village, Lot 3, Block 1, requesting that the utility easement be vacated; and WHEREAS, two weeks published and posted notice was given and the hearing was held on November 16, 2021, at which time all persons desiring to be heard were given an opportunity to be heard thereon; and WHEREAS, the City Council has determined that the utility easement is not needed for public purposes; and NOW, THEREFORE, BE IT RESOLVED by the City Council of the City of Edina, Hennepin County, Minnesota: 1. That the following described utility easement is hereby vacated: That part of the 20.00 foot wide drainage and utility easement over, under and across Lot 3, Block 1, PENTAGON VILLAGE, according to the recorded plat thereof, Carver County, Minnesota, the centerline of said easement is described as follows: Commencing at the northwest corner of said Lot 3; thence North 90 degrees 00 minutes 00 seconds East, assumed bearing along the north line of said Lot 3 for 88.25 feet: thence South 00 degrees 00 minutes 03 seconds West, a distance of 15.99 feet to the point of beginning of the centerline to be described: thence continuing South 00 degrees 00 minutes 03 seconds West, a distance of 20.99 feet, and said centerline there terminating. 2. The vacation shall not affect the authority of any person, corporation, or municipality owning or controlling the electric or telephone poles and lines, gas and sewer lines, water pipes, mains and hydrants thereon or thereunder, if any, to continue maintaining the same or to enter upon such way or portion thereof vacated to maintain, repair, replace, remove, or otherwise attend thereto. 3. That the Mayor and the City Manager are authorized to execute all documents necessary, in the opinion of the City Attorney, to affect the transfer of this property. Adopted this 7th day of December, 2021. Attest: Sharon Allison, City Clerk James B. Hovland, Mayor STATE OF MINNESOTA) COUNTY OF HENNEPIN) SS CITY OF EDINA ) CERTIFICATE OF CITY CLERK I, the undersigned duly appointed and acting City Clerk for the City of Edina do hereby certify that the attached and foregoing Resolution was duly adopted by the Edina City Council at its Regular Meeting of December 7, 2021, and as recorded in the Minutes of said Regular Meeting. WITNESS my hand and seal of said City this _____ day of __________, 2021. _______________________________ City Clerk Public Hearing Notice City Council, 7 p.m. Tuesday, November 16, 2021 November 3, 2021 English: This and other public hearing notices can be viewed online at EdinaMN.gov/PublicNotices. Español: Este y otros avisos de audiencia pública se pueden ver en línea en EdinaMN.gov/PublicNotices. Soomaali: Tan iyo ogeysiisyo kale oo dhagaysi dadweyne ayaa lagu daawan karaa onlayn ahaan EdinaMN.gov/PublicNotices. Vacation of Public Right-of-Way Easement at Pentagon Village, Lot 3 LEGAL DESCRIPTION OF EASEMENT: That part of the 20.00 foot wide drainage and utility easement over, under and across Lot 3, Block 1, PENTAGON VILLAGE, according to the recorded plat thereof, Carver County, Minnesota, the centerline of said easement is described as follows: Commencing at the northwest corner of said Lot 3; thence North 90 degrees 00 minutes 00 seconds East, assumed bearing along the north line of said Lot 3 for 88.25 feet: thence South 00 degrees 00 minutes 03 seconds West, a distance of 15.99 feet to the point of beginning of the centerline to be described: thence continuing South 00 degrees 00 minutes 03 seconds West, a distance of 20.99 feet, and said centerline there terminating. REQUEST: Utility easement vacation at Pentagon Village, Lot 3. See attached lot survey. HOW TO PARTICIPATE: Public hearing input can be provided in a variety of ways to the Planning Commission and City Council. Options 1 & 2 are available now: 1)Complete the Public Hearing Comment Form online at: https://www.bettertogetheredina.org/pentagon-village-lot-3 2)Leave a voicemail with your feedback. (952-826-0377) Options 3 & 4 are available the night of the public hearing meetings: 3)Watch the meeting and call in to provide testimony. a.Edina TV (Comcast Channels 813 or 16) b.Facebook.com/EdinaMN c.EdinaMN.gov/LiveMeetings City Council: Call in to provide live testimony at the September 9th meeting, 1-800-374- 0221. The Conference ID 5079642 4)Attend the meetings to provide testimony, City Hall Council Chambers, 4801 W. 50th St. DEADLINES: The City Council is scheduled to make a decision at its December 7 meeting. Deadline for comments via voicemail or BetterTogetherEdina.org is Noon, Monday, November 22. FURTHER INFORMATION: City of Edina Engineering, 7450 Metro Blvd, Edina, MN 55439, 952-826-0371 To view the proposed easement vacation, visit the Better Together Edina website for this specific project at: https://www.bettertogetheredina.org/pentagon-village-lot-3 Resolution 2021-109 Public Hearing November 16, 2021 Existing Easements www.EdinaMN.gov 2 Vacated Area www.EdinaMN.gov 3 Recommendation Motion to close the public hearing at noon, Monday, November 22nd,and to continue action on the item to the December 7th, City Council meeting. www.EdinaMN.gov 4 Date: November 16, 2021 Agenda Item #: VII.B. To:Mayor and City Council Item Type: Report / Recommendation From:Alisha McAndrews, Finance Director Item Activity: Subject:PUBLIC HEARING: Issuance and Reissuance of Bonds Pursuant to Section 147(F) of the Internal Revenue Code Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Hold a public hearing on the proposed re-issuance and issuance of G.O. Bonds as qualified 501(c)(3) bonds. Following this hearing, Adopt Resolution No. 2021-108 Authorizing the Re-issuance of $2,100,000 G.O. Bonds, Series 2012C and the Issuance of $1,125,000 G.O. Bonds, Series 2013B. INTRODUCTION: The City issued the 2012C bonds to finance improvements at Braemar Ice Arena. Based on discussions with Bond Counsel and the City’s financial advisor, staff is requesting that the City issue the Series 2012C and 2013B Bonds, and “re-issue” the City’s other outstanding debt with respect to Braemar (which we understand to be the General Obligation Bonds, Series 2012C) as “qualified 501(c)(3) bonds.” The re-issuance is needed to provide the City with flexibility as to the use of Braemar ice arena generally and to ensure compliance with IRS regulations because the Arena is used by athletic associations and other tenants. Additional Background Most bonds issued by Minnesota cities are viewed as “governmental purpose” within the context of laws that make interest on municipal securities tax exempt. Proceeds of these bonds may be used to finance activities of, or facilities owned, operated, or used by, the issuer for its purpose. This can include financing the construction, maintenance or repair of various types of public infrastructure such as highways, schools, fire stations, libraries or other types of municipal facilities. Governmental bonds are bonds that do not meet the private activity bond tests described in the Section 141 of the Internal Revenue Code. Two tests determine if a municipal security becomes a private activity bond. A private activity bond exists if (1) more than 10% of the proceeds are used for any private business use and (2) the payment of principal and interest on more than 10% of the proceeds is secured private payments. Only “qualified” private activity bonds are tax- exempt. A type of qualified private activity bond includes those issued to finance a facility used or owned by a 501(c)(3) organization. Recreational facilities leased by athletic associations may trigger this issue. Qualified private activity bonds require a public (TEFRA) hearing prior to issuance. Attached is a Memorandum and public notice from the City's Bond Counsel further describing the purpose for conducting the public hearing and adopting Resolution No. 2021 - 108. ATTACHMENTS: Description Bond Counsel Memorandum Public Hearing Notice 4843-7547-2984\1 MEMORANDUM TO: Alisha McAndrews, City of Edina Finance Director CC: Nick Anhut, Ehlers & Associates FROM: Jennifer Hanson DATE: November 9, 2021 RE: Public Hearing on Series 2021C Bonds Pursuant to a set sale resolution adopted October 19, 2021, the City is planning to sell its General Obligation Recreational Revenue Refunding Bonds, Series 2021C (the “Series 2021C Bonds”) on November 16, 2021, in order to refund the City’s General Obligation Bonds, Series 2012C (the “Series 2012C Bonds”) and General Obligation Bonds, Series 2013B. The Series 2012C Bonds were issued to finance improvements to the City’s Braemar ice arena (the “Facilities”). In the course of preparing for the issuance of the City’s General Obligation Recreational Revenue Refunding Bonds, Series 2017D (the “Series 2017D Bonds”), we learned that certain 501(c)(3) nonprofit organizations, including the Braemar City of Lakes Figure Skating Club and Edina Hockey Association, are using a portion of the Facilities. Based on discussions with the City and its financial advisor, we determined that in order to provide the City with flexibility as to use of the Facilities, it would be advisable to issue the Series 2017D Bonds, and “re-issue” the City’s other outstanding debt with respect to the Facilities, including the Series 2012C Bonds, as “qualified 501(c)(3) bonds.” In order to maintain that flexibility, the Series 2021C Bonds are proposed to also be issued as qualified 501(c)(3) bonds. The process for issuing the Series 2021C Bonds as qualified 501(c)(3) bonds involves holding a public hearing upon at least seven days’ published notice, as well as the filing of an IRS Form 8038 and other appropriate closing documentation we are preparing. We have arranged for publication of notice for a hearing to be held November 16, 2021. From the point of view of the purchaser of the Series 2021C Bonds, there is no difference in tax status between governmental and 501(c)(3) bonds. 4883-3273-1906\3 NOTICE OF PUBLIC HEARING ON THE ISSUANCE OF BONDS PURSUANT TO SECTION 147(F) OF THE INTERNAL REVENUE CODE NOTICE IS HEREBY GIVEN that the City Council of the City of Edina, Minnesota (the County), will meet on November 16, 2021, at 7:00 p.m., or as soon thereafter as practicable, in the Council Chambers located at Edina City Hall, 4801 West 50th Street in the City, for the purpose of conducting a public hearing on the proposed issuance as qualified 501(c)(3) bonds of the City’s General Obligation Recreational Revenue Refunding Bonds, Series 2021C (the “Refunding Bonds”), for the purpose of effecting a current refunding of the City’s $2,100,000 General Obligation Bonds, Series 2012C (the “Series 2012C Bonds”) and the City’s $1,125,000 General Obligation Bonds, Series 2013B (the “Series 2013B Bonds”). The 2012C Bonds were originally, and the Refunding Bonds are being issued, in part, to finance or refinance a portion of the cost of improvements to Braemar Arena (the “Project”). The Project is owned and operated by the City and located at 7501 Ikola Way in the City. The Project is expected to be used by ISD 273 (Edina), the general public, the City and qualified 501(c)(3) organizations including but not limited to the Edina Hockey Association and Braemar City of Lakes Figure Skating Club. At said time and place the City Council shall give all parties who appear or submit written comments an opportunity to express their views with respect to the proposal to issue the Refunding Bonds. All persons interested may appear and be heard at the time and place set forth above, or may file written comments with the City Manager prior to the date of the hearing set forth above. Dated: __________________, 2021. BY ORDER OF THE EDINA CITY COUNCIL By /s/ Sharon Allison, City Clerk Date: November 16, 2021 Agenda Item #: VIII.A. To:Mayor and City Council Item Type: Report / Recommendation From:Grace Hancock, Sustainability Coordinator Item Activity: Subject:Approve Sustainable Buildings Policy Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve the Sustainable Buildings Policy, effective April 1, 2022. INTRODUCTION: Sustainable building policies establish minimum sustainability criteria that go beyond existing state code for new construction or significantly renovated developments. The Edina policy reads: New Construction or Major Renovations to which this policy applies are required to be certified under an eligible Sustainable Building Rating System at the listed rating level and must meet the standards set forth in the Edina Overlay. A policy of this kind will affect roughly two-thirds of large building proposals in Edina each year. Large buildings are the greatest emitter of greenhouse gas emissions in Edina; adopting a policy that affects new construction will complement existing Edina programs such as the Large Building Benchmarking ordinance to achieve greater building efficiency and the City's greenhouse gas emission reduction goals. ATTACHMENTS: Description Staff Report: Approve Sustainable Buildings Policy Sustainabile Buildings Policy Staff Presentation November 16, 2021 Mayor and City Council Grace Hancock, Sustainability Coordinator Proposed Sustainable Buildings Policy Executive Summary, November 16, 2021: Staff requested City Council comment on this proposed policy at their October 19, 2021 work session. At that time Council received a complete report detailing the policy creation process and elements. This report can be read in full below. This Executive Summary is the only new section of this report; it addresses Council comments and affirms final policy language. - Building efficiency performance trends: In Minnesota, building code is set at the state level based on national recommendations, and includes energy code requirements. Since 2000, building codes have changed more than five times, resulting in design standards intended to use 52% less energy than buildings constructed to the requirements of 1976 code, Minnesota’s baseline.1 However, a 2017 report that looked at building energy efficiency trends in Minneapolis and statewide found no clear relationship between a building’s age – and thus what code it’s built to - and its energy performance.2 This trend is reflected in Edina; while buildings may have been designed to a more advanced energy code over time, Edina buildings built in the last five years are not reporting more efficient energy use than those built 10 to 20 to 40 years ago – especially the largest buildings.3 To understand the disparity between building energy code requirements and building performance, researchers commonly find that building operations are often not fine-tuned to maximize energy efficiency, and that uneven code enforcement due to education or capacity can impact the degree to which buildings actually comply with design standards. Thus, standards that affect new construction are an important foundation, but programs and policies that influence efficient building operations – such as benchmarking – help check and hold buildings to these standards. - Statewide building efficiency efforts: There has been an ongoing effort by cities interested in climate action to influence state energy code and advocate for adoption of advanced standards. Edina staff are part of a small working group to draft recommendations, build support across Minnesota, and connect with lawmakers. In December 2020, MN Departments of Labor and Commerce issued a joint report on this topic.4 In 2021, a joint DFL-Republican bill was introduced in the statehouse, but did not advance.5 In 2022, the City of Edina will continue to include this topic as a legislative priority to lend its support to passage of updated building and energy code standards statewide. - The final proposed policy reads: New Construction or Major Renovations to which this policy applies are required to be certified under an eligible Sustainable Building Rating System at the listed rating level and must meet the standards set forth in the Edina Overlay. Effective April 1, 2022. 1 https://www.dli.mn.gov/sites/default/files/pdf/BuildingsEnergyEfficiency2020.pdf, page 5 2 https://www2.minneapolismn.gov/media/content-assets/www2-documents/business/Energy-Benchmarking-Report-2015.pdf, page 19 3 Edina Efficient Buildings Benchmarking Program Report, 2021 (see related Nov. 16, ‘21 Council item) 4 https://www.dli.mn.gov/sites/default/files/pdf/BuildingsEnergyEfficiency2020.pdf 5 Finance & Commerce: Sustainable: Bill hastens net-zero commercial development STAFF REPORT Page 2 For Reference: Original Council Work Session Staff Report, October 19, 2021: What is a Sustainable Buildings Policy Sustainable building policies establish minimum sustainability criteria that go beyond existing state code for new construction or significantly renovated developments. Included criteria typically target areas for pollution reduction and resource conservation. Because the State of Minnesota sets the building code, cities are unable to establish building requirements that are more strict than existing code; however, with financial levers and authority over land use, cities can use sustainable building policies as a tool to make progress toward sustainability goals. Thus, where triggered by funding or land use incentives, sustainable building policies establish minimum sustainability criteria that go beyond existing state code for new construction or significantly renovated developments This policy, known as the Edina Sustainable Building Policy, proposes to require sustainability components beyond existing code for developments receiving financial and planning incentives from the City. The requirements include complying with one sustainability rating system, which is selected from a list, as well as with an Edina-specific overlay. The overlay targets specific sustainability strategies that align with existing Edina goals and are not necessarily covered by all rating system options. Why a Sustainable Buildings Policy Climate change in Minnesota is here. The state’s climate today is warmer, wetter, and less predictable than in the past thanks to an accumulation of greenhouse gas emissions (GHGs) - primarily CO2 and CH4 (methane) - in the atmosphere. To meet this challenge, the City of Edina set emission reduction goals of 30% by 2025, and 80% by 2050, from 2007. These goals are under review as part of the climate action plan development process, and will likely become more ambitious in line with current understanding of the climate crisis. In Edina, building energy use – electricity and natural gas - accounted for ~60% of GHG emissions in 20186. Roughly 60% of building energy use comes from commercial buildings (rather than residential). Finally, the top 20% of commercial energy accounts consume nearly 90% of Edina’s commercial electricity use7. A policy of this kind will affect roughly 2/3 of large building proposals in Edina each year. Large buildings are the greatest emitter of greenhouse gas emissions in Edina and, based on energy benchmarking data from 2019 and 2020, are not operating more efficiently than buildings built 20 years ago despite advancements in sustainable design technology. Thus, this policy lever is required to drive new construction to adopt more efficient building techniques and achieve efficiency targets that meaningfully contribute to making progress on the City’s greenhouse gas emission reduction goals. 6 Regional Indicators Initiative, https://www.regionalindicatorsmn.com/emissions-chart, 2018 7 Edina Electricity Action Plan, Xcel Energy, 2016 STAFF REPORT Page 3 The City of Edina currently has a voluntary development questionnaire that asks developers and architects to design for sustainability early in the design process. While this questionnaire uses guided questions on a limited number of topic areas to encourage sustainable development, the new policy requires developers select one third-party green rating systems from a list and become certified, along with compliance with a short specific list of overlay requirements. A sustainable buildings policy would complement the City’s existing Efficient Building Benchmarking Ordinance and its Green Business Recognition program - ensuring the most efficient building is designed, constructed and operated to help the community meets its GHG emission reduction goals and build a more resilient city. The policy would apply to new construction and significant renovations that either (a) seek public funding or (b) seek a Planned Unit Development variance. A policy of this design would cover roughly two thirds of large commercial development proposals, while only relying on a funding trigger would cover just 10- 15%. The policy would include two requirements: projects select and comply with a third-party rating system and comply with the City’s Overlay. The City’s forthcoming Climate Action Plan addresses the need for a policy such as the proposed Sustainable Buildings Policy. One of the eight chapters included in the plan focuses on building energy use. This chapter outlines strategies to reduce building energy needs 15% community-wide by 2030, increase renewable energy use to 17%, transition 10% of on-site fossil fuel combustion (like natural gas) to less carbon intensive sources, and reduce the number of residents living in high energy poverty by half. Each of these strategies is supported by implementing the proposed policy. STAFF REPORT Page 4 Policy Development Process Feb-March: Staff convened an internal working group in February, 2021 to study the impact and craft an initial version of a sustainable buildings policy for city-owned buildings. This preliminary information was shared with City Council at their March 16, 2021 work session. April-June: Soon after, the Center for Energy and Environment (CEE) approached Edina with the opportunity to provide their services to assist in a policy development process. These services were rendered free of charge, thanks to support from Hennepin County Efficient Buildings Collaborative. Edina agreed to engage CEE, and from April to October worked together to craft the proposed policy under review at the October 19th, 2021 City Council Work Session Five planning meetings took place with City staff in May and June of 2021. City staff representing sustainability, community and economic development, and building inspections participated in the sessions led by the Center for Energy and Environment on behalf of Hennepin County’s Efficient Buildings Collaborative. In these sessions, staff learned about the basic elements typical of sustainable building policies, internal operational needs of a policy, and best practices around stakeholder engagement. Given the development patterns in Edina, one planning meeting focused on this policy’s potential applicability for single-family homes, where it was determined there was not a pathway to expressly apply this to single- family home developments. July: After staff scoped initial policy details, the Sustainability Coordinator hosted five stakeholder engagement sessions in partnership with CEE. The audiences for these sessions included the Planning and Energy & Environment Commissions, the public, and those directly impacted by the policy – developers, architects, and contractors. A BetterTogetherEdina project site was made available for community information. Stakeholders received information on the policy within the following parameters: Tone: o Overall positive tone with focus on how sustainable building development is core to the city realizing its sustainability values and that more sustainable development will make the city even more attractive. o The City will help building owners and managers succeed in developing their building. STAFF REPORT Page 5 o This is an established policy by our peers. We’re not the first. Process and Resources: o The policy leverages the existing development process, adding an additional meeting pre- project, agenda items during the 30, 60, 90 check-ins, and inspection items. o The City will provide technical resources to help developers comply. o The City is taking best practices from other cities and aims to support regional consistency. Benefits: o Sustainable development saves businesses and residents operational costs. o Sustainable development will help the city reach its environmental goals and make the city more attractive. Stakeholder Engagement Results 1. Statewide developer attitudes - Concurrent to the stakeholder engagement activities described above, CEE conducted a statewide survey of developers and architects, to set a baseline understanding of attitudes toward sustainable building. Here are their findings in brief: a. Many developers and architects already incorporate sustainable elements i. 90% of surveyed developers answered “yes” they incorporate some sustainable standard into design ii. Majority of respondents said because of mission, requirement of development funding and then requirement by local policy STAFF REPORT Page 6 2. Edina-specific developer attitudes – Two virtual focus group sessions were held with architects and developers who commonly propose projects in Edina. These stakeholders shared the following: a. Barriers and Concerns mentioned by stakeholders: b. Solutions and Benefits mentioned by stakeholders: 3. Community Information sharing – Edina sustainability and CEE hosted a virtual information session with the public, primarily to share additional information and contextualize the information shared on the Better Together Edina Sustainable Buildings project site. 4. Primary developer & public findings and takeaways: a. Building owners should be able to choose their rating system based on goals and cost i. Bringing in third party rating requirements takes risk/liability off design team ii. Need for technical expert for questions b. It’s important to be able to tell the story of SBP through case studies, both to demonstrate best practices and to sell to financiers i. Currently, there is a market for sustainability in commercial buildings ii. There is less of a market demand for sustainability in multi-family buildings. STAFF REPORT Page 7 iii. In both cases, SBP can help move the market. c. This policy takes a different approach than Edina’s development questionnaire i. Rather than guided questions, it requires a third-party certification and compliance with an overlay d. Be very clear about rating system version requirements and the policy’s relationship to code i. Requirement will be for whichever is most stringent between chosen rating system and code e. There was interest: i. In addressing sustainability in existing buildings ii. To accelerate this policy’s adoption 5. Commission feedback – The EEC and Planning Commission each received a presentation on the Sustainable Buildings Policy at their July meetings. Comments received include: EEC: a. Overlay requirements for electrification and electric vehicles should be stronger i. Electrification has greenhouse gas emission impacts and is important component of Climate Action Plan under development ii. Electric vehicle requirements seem low, especially with even more new vehicles on the road b. Timeline for implementation should be moved up i. Education period should be shorter to avoid missing 2022 projects c. Renovations and remodels should be included in the policy at 10,000 sq ft d. Sustainability rating systems should include LEED Silver as a minimum e. Where possible, integrate this into EEC business recognition program PC: a. Single-family: is there a way to put incentives specific to single-family homes so more are included in this policy scope? b. Parking: the overlay should include additional requirements around parking maximums, flat ramp requirements (for future reuse) and bike parking minimums c. Healthy buildings: how are healthy building principles included here? Can we call out goals or objectives around this? d. Costs: LEED and other certifications are costly and there are concerns about the burden being put on developers e. Operationalizing: Ensure developers know about this early on and don't skirt the requirement by asking for TIF after project approval f. Emphasize Edina is joining an existing community of practice nation and statewide where sustainable building policies are common. Consider if there more leading-edge and ambitious requirements we can incorporate using other cities as an example. g. “This kind of policy is important”… “a good start”…”I would support a policy that goes further quicker”… “Only addressing a small wedge of what we need to.” Policy Description STAFF REPORT Page 8 Staff expertise and stakeholder feedback shaped the attached policy proposal and related policy operations plan for Edina. The following section describes the policy elements and seeks to contextualize reasoning for inclusion. The policy, known as the Edina Sustainable Building Policy, proposes to require sustainability components beyond existing code for developments receiving financial and planning incentives from the City. The requirements include complying with one sustainability rating system, which is selected from a list, as well as with an Edina-specific overlay. The overlay targets specific sustainability strategies that align with existing Edina goals and are not necessarily covered by all rating system options. 1. Policy Application The policy applies to all of the following new construction and major renovation projects: 1. Facilities owned or operated by the City of Edina or the HRA. 2. Facilities of which the City or HRA are, or will become, the sole tenant. 3. Facilities within the City of Edina receiving Financial Assistance (further defined in 2. Policy Triggers). 4. Facilities within the City of Edina with Planned Unit Development District zoning. Policy application of this scope will affect roughly 2/3 of all large projects proposed in Edina. Note on single-family homes: it is rare for a single-family home development to apply for a PUD or financial incentive from the City. Examples of when this policy might affect single-family homes include an affordable townhome development or a subdivision development requesting a PUD. Thus, staff expects this policy will not have a large effect on single-family home development. 2. Policy Triggers Per Minnesota law, cities cannot make additional requirements of developers unless as part of an exchange in which the developer is asking something of the city. In the case of Edina, staff recommend that the following planning and financial incentives be used to trigger sustainable development requirements: Primary Tax Increment Financing (TIF) HRA Funds Metropolitan Council Livable Communities Grant Housing Improvement Area Affordable Housing Trust Fund Conduit Bonds Land sale Land write-downs Other funds granted or loaned by the City of Edina and Edina HRA 3. Rating Systems STAFF REPORT Page 9 Sustainability rating systems encourage increased environmental and health performance in buildings through comprehensive sets of energy, water, waste, material, siting, and other strategies. They are third party administered and certified. Not all rating systems are exactly alike but may accomplish similar goals. Some are building type specific, while others are more adaptive. Using a third-party rating system, such as LEED or MN Green Communities, ensures that buildings are meeting sustainability requirements that are widely recognized as best practices. Doing so also clarifies liability and allows for more certainty for the design team in knowing the policy requirements will be met. The cost for engaging the third-party rater is typically less than one percent of the cost of a project and when examined early in the design process, studies show that utilizing sustainability practices contributes 1-2% to total costs. While third party verification is relatively easy to operationalize for a city, some certifications cannot be given until 12 months after a development is constructed. When a development triggers the sustainability requirements, we recommend the following rating systems as options by development type. Development Type Recommended Rating Systems Municipal, Commercial, Mixed- Use, Industrial ∙ LEED for New Construction and Major Renovations; Certified Silver or higher ∙ B3 Guidelines; Certified Compliant Multifamily ∙ LEED for New Construction and Major Renovations; Certified Silver or higher ∙ B3 Guidelines ∙ Green Communities; Certified Single-family ∙ LEED for Homes; Certified Silver or higher ∙ Green Communities Parking ∙ Park Smart Silver; Certified Silver or higher As rating systems are constantly evolving and developing, the policy allows for developments to petition for alternative rating systems. 4. Overlay An overlay is used to customize sustainability requirements based on City goals. The overlay is additive to the selected rating system. In some cases, an overlay requirement may help to create standardization among the rating systems for a specific topic area (i.e. using the same energy standard). Based on existing City goals and workplans, the following overlay requirements are proposed: a. Predicted greenhouse gas emissions i. Calculated and reported b. Electric vehicle charging capability STAFF REPORT Page 10 i. 5% of parking spaces must install Level 2 or higher charging stations –AND- ii. Install conduit that allows 10% of spaces dedicated to Level 2 or higher charging stations, which would be installed at a future date c. Energy efficiency standard i. For 1-4 unit residential New Construction and Major Renovation projects: 1. US Department of Energy Zero Energy Ready Homes ii. For all other residential and commercial New Construction and Major Renovation projects: 1. Sustainable Buildings 2030 d. Bird-safe glazing i. For New Construction and Major Renovation projects seeking LEED: 1. Achieve bird collision deterrence point ii. For New Construction and Major Renovation projects seeking all other Sustainable Rating Systems: 1. Follow B3 Guideline S.9: Bird-Safe Building 5. Compliance The policy reads: For any projects to which this policy applies, compliance must be a condition of receipt of Financial Assistance or Planned Unit Development approval. Buildings will not advance to the next stage of construction or operation, including necessary permit issuance, without demonstrated ongoing compliance with this Policy. The requirements of this Policy may be waived, in whole or in part, by the City Council after consideration of the advantages and disadvantages of a waiver, and upon demonstration by the developer of a compelling public purpose. Sustainability, the Planning Department, and the Building Department will work jointly to implement and enforce the policy, with Sustainability having the ultimate responsibility. Although penalties for lack of enforcement were discussed, the recommendation is to use the development and inspection processes to ensure regular progress and adherence with the policy. 6. Effective Date Staff originally recommended an effective date of July 1, 2022, allowing for a ~6-month transition and education period. Upon feedback from Planning Commission and EEC, the current policy will take effect in April 1, 2022. Appendices: A. For Review: Proposed Sustainable Buildings Policy B. For Information: Draft Policy Operations Plan C. For Information: MN Sustainable Building Policy Recommendations D. For Information: CEE-Edina Policy Planning Services Report E. For Information: Staff Presentation: Proposed Sustainable Buildings Policy ☒City Council Approved: 11/16/2021 ☐City-Wide Revised: Click here to enter a date. ☐Department City of Edina Policy Sustainable Building Policy The Edina community is dedicated to building a sustainable environment where current and future generations benefit from clean air and water, climate and community resiliency, and access to nature, as reflected in City Council value statements. In particular, the City recognizes the risks of climate change and has set a goal of reducing greenhouse gas emissions 30% by 2025. Since the built environment is a significant contributor to Edina’s greenhouse gas footprint, it is important that new developments are built to minimize emissions and environmental impact during construction as well as the operation of buildings. Developments that seek City funding or land use incentives can join the City in these goals and meet set sustainable building requirements. As such, the City of Edina adopts the following Sustainable Building Policy: POLICY REQUIREMENTS 1. New Construction or Major Renovations to which this policy applies are required to be certified under an eligible Sustainable Building Rating System at the listed rating level, and must meet the standards set forth in the Edina Overlay. Applicants may choose one Sustainable Building Rating System with which to comply, and must comply with the full Edina Overlay. Applicable versions of Sustainable Rating Systems and Overlay standards include the most recent or current iteration of a rating system in existence at the time of development application. 1. “Sustainable Building Rating System” means any of the following: i. US Green Building Council’s LEED building construction or operations; Certified Silver, Gold or Platinum, 1. US Green Building Council’s SITES Certification can be used in tandem with LEED for suitable public facilities ii. State of Minnesota’s B3 Guidelines; Certified Compliant iii. Enterprise’s Green Communities; Certified iv. Green Business Certification Inc.’s Parksmart; Certified Silver or Gold b. Equivalent substitute standards may be utilized at the discretion of the Sustainability Division. 2. “Edina Overlay” means specific measurable standards that New Construction and Major Renovations must meet regardless of sustainable rating system. The Edina Overlay requires: a. Building greenhouse gas emission predictions using agreed upon methodology i. Calculate and report to Sustainability Division. b. Electric vehicle charging capability for at least 15% of parking stalls Page | 2 “Level 2” electric vehicle charging capability means chargers with voltage greater than 120 and includes 240. i. 5% of parking stalls must install Level 2 or higher charging stations at the time of construction –AND- ii. Install conduit that allows 10% of spaces dedicated to Level 2 or higher charging stations, which could be installed at a future date c. Energy efficiency standard i. For 1-4 unit residential projects: 1. Follow US Department of Energy Zero Energy Ready Homes ii. For all other residential and commercial projects: 1. Follow B3 Sustainable Building 2030 Energy Standard d. Bird-safe glazing i. For projects seeking LEED certification: 1. Achieve bird collision deterrence point ii. For projects seeking all other Sustainable Rating Systems: 1. Follow B3 Guideline S.9: Bird-Safe Building APPLICABILITY 1. This Policy applies to all of the following New Construction and Major Renovation Projects. For the purpose of this policy, the definitions of “Major Renovation” and “New Construction” shall be: a. “Major Renovation” means renovation work performed on an existing building or portion thereof consisting of at least 10,000 square feet (gross) for non-municipal buildings and 2,500 square feet (gross) for municipal buildings, and requiring installation of new mechanical, ventilation, or cooling systems, or the replacement of such systems. b. “New Construction” means the planning, design, construction and commissioning of a new building, or an addition of at least 10,000 square feet to an existing building if such addition requires installation of new mechanical, ventilation, or cooling systems. 2. Public Facilities owned or operated by the City of Edina or the HRA. 3. Facilities of which the City or HRA are, or will become, the sole tenant. 4. Facilities rezoned with Planned Unit Development (PUD) District zoning. 5. Private Facilities receiving Financial Assistance. a. “Financial Assistance” means funds provided for New Construction or Major Renovations projects provided by agreement from the City of Edina or the Edina Housing and Redevelopment Authority (HRA), including: Page | 3 i. Tax Increment Financing (TIF) ii. HRA Funds iii. Metropolitan Council Livable Communities Grant iv. Housing Improvement Area v. Affordable Housing Trust Fund vi. Conduit Bonds vii. Land write-downs below market value viii. Other funds that are available to the City of Edina and Edina HRA Notwithstanding the above, Financial Assistance does not include environmental remediation funds such as the following: i. Department of Employment and Economic Development (DEED) Cleanup and Investigation Grants ii. Met Council Tax Base Revitalization Account (TBRA) Contamination Cleanup Grants iii. Met Council TBRA Site Investigation Grants COMPLIANCE 1. For any projects to which this policy applies, compliance is a condition of receipt of Financial Assistance or Planned Unit Development approval. 2. Buildings will demonstrate ongoing compliance with this Policy to advance to the next stage of construction or operation, including necessary permit issuance. 3. The requirements of this Policy may be waived, in whole or in part, by the City Council after consideration of the advantages and disadvantages of a waiver, and upon demonstration by the Sustainability Division of a compelling public purpose. Applicable portions of this Policy are contingent upon availability of programs at participating utility companies. This Policy may be amended or discontinued without prior notice. Effective date: April 1, 2022 Originally adopted: November 16, 2021 Edina Sustainable Buildings Policy Proposal Grace Hancock, Sustainability Manager November 16, 2021 Policy Purpose •Building energy use contributes 56% of greenhouse gas emissions in Edina •Edina buildings built in last five years are not reporting more efficient energy use than those built 10-40 years ago, despite advancing energy codes •Edina Efficient Building Benchmarking affects building operations, Edina needs a tool to inform building construction www.EdinaMN.gov 2 Policy Summary “New Construction or Major Renovations to which this policy applies are required to be certified under an eligible Sustainable Building Rating System at the listed rating level and must meet the standards set forth in the Edina Overlay.” www.EdinaMN.gov 3 Policy Impact •Roughly 2/3 of large development projects in Edina seek a PUD or financial incentive •Limited staff work load increase thanks to process integration into 30/60/90% meetings, and Hennepin County Efficient Buildings Collaborator •Opportunity to reduce new construction buildings by up to 80% from a 2005 baseline. www.EdinaMN.gov 4 Policy Triggers •Land use incentives •Planned unit development (PUD) •Financial incentive •Tax Increment Financing (TIF) •HRA Funds •Metropolitan Council Livable Communities Grant •Housing Improvement Area •Affordable Housing Trust Fund •Conduit Bonds •Land write-downs below market value •Other funds that are available to the City of Edina and Edina HRA www.EdinaMN.gov 5 Rating Systems •LEED; Certified Silver, Gold or Platinum •US Green Building Council SITES Certification can be used in tandem with LEED for suitable municipal projects •State of Minnesota B3 Guidelines; Certified Compliant •Green Communities; Certified •Parksmart; Certified Silver or Gold *Equivalent substitute standards may be utilized at the discretion of Sustainability Division. www.EdinaMN.gov 6 Overlay •Greenhouse gas emissions –calculated & reported •EV chargers •i. 5% installed and 10% parking stalls EV-ready •Energy efficiency standard •i.For 1-4 unit residential New Construction and Major Renovation projects: US Department of Energy Zero Energy Ready Homes •ii. For all other residential and commercial New Construction and Major Renovation projects: Sustainable Buildings 2030 •Bird safe glazing –Follow LEED or B3 www.EdinaMN.gov 7 Implementation •Use existing processes to drive accountability and maintain transparency •Compliance is a condition of receipt of City benefit •Effective April 1, 2022 www.EdinaMN.gov 8 Thank you! Questions & Comments? www.EdinaMN.gov 9 Date: November 16, 2021 Agenda Item #: VIII.B. To:Mayor and City Council Item Type: Report / Recommendation From:Grace Hancock, Sustainability Coordinator Item Activity: Subject:Ordinance 2021-14: Amending Chapter 20 of the Edina City Code Concerning Large Building Benchmarking Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Ordinance No. 2021-14, amending Chapter 20 of the Edina City Code concerning large building benchmarking, grant first reading and waive second reading. INTRODUCTION: The City of Edina passed the Large Building Benchmarking Ordinance in 2019. After two years of implementation, staff recommends three amendments to the original ordinance language to sync up requirements across jurisdictions and provide concise, clear and consistent instructions for building owners. T he amendments relate to water use data submission requirements, language definition updates, and building exemptions clarification. ATTACHMENTS: Description Staff Report: Ordinance 2021-14 Amending Chapter 20 Ordinance 2021-14: Amending Chapter 20 Large Building Benchmarking Staff Presentation November 16, 2021 Mayor and City Council Grace Hancock, Sustainability Coordinator Ordinance 2021-14: Amending Chapter 20 of the Edina City Code Concerning Large Building Benchmarking Information / Background: The City of Edina passed the Efficient Building Benchmarking Ordinance in 2019; it took effect in 2020 when buildings 50,000 square feet or larger were required to report their building electricity and natural gas use data from 2019. Phase II took effect in 2021, requiring all buildings 25,000 square feet or larger to comply with the ordinance. The final phase will take effect in 2022, when buildings with efficiency potential are required to undergo an energy assessment. Edina has been a leader in efficient building benchmarking. Peer cities and partner organizations have joined the City in this effort, leading to an opportunity to sync up requirements across jurisdictions and provide concise, clear and consistent instructions for building owners. This staff report describes recommended updates to this ordinance that better support and achieve efficient buildings in Edina. 1. Collect water use data Edina is part of the Hennepin County Efficient Buildings Collaborative. In this collaborative, four cities – Edina, St. Louis Park, St. Paul and Rochester - currently cooperate with one another to develop and administer policies that support improved building efficiency. This cooperative approach encourages sharing best practices and streamlining requirements for building owners who may own or operate properties in multiple jurisdictions. Edina is the only city of these initial four who does not require building owners to submit water use data along with their energy information in compliance with the Building Benchmarking ordinance. Conservation considerations: Based on Edina Public Works data, water consumption citywide decreased 18.9% from 2013 to 2019. Wastewater generation remained essentially constant showing a modest 1.1% reduction over the same period. Though the reported water reduction is significant, there is likely additional water conservation potential. According to the Water Research Foundation, on average, 12% of municipal water distribution is lost through leaks in water mains and water pipes on private property. STAFF REPORT Page 2 For every 1% of water and wastewater consumption reduction made, citywide greenhouse gas emissions can be decreased up to 100 metric tons annually (Edina Climate Action Baseline, 2021). While Edina’s water supply is secure, increasingly variable weather patterns make water demand more difficult to predict, especially related to irrigation needs. Continuing to encourage water conservation improves the City’s resiliency to such weather variations and a future that includes more extreme and less predictable weather. Water utility considerations: To date, water conservation practices have not significantly impacted revenue or financial stability for the water utility. In fact, the water utility system received a rate study in 2021 that considers adjusting use-rate tiers so that higher water users pay more sooner, in part to acknowledge the importance of resource conservation. By shifting tiers this encourages conservation and stabilizes revenue in the face of weather variability. Ease of reporting for building owners considerations: The City’s water utility billing system is transitioning to Tyler Munis, but the new platform will not significantly affect the customer experience or ability to comply with this proposed ordinance update. Today customers receive itemized water use bills quarterly, four readings each year. Those who sign up for online bill pay receive a bill by email and can access at least 12 months of water use history online. Those who opt to receive paper bills can call the water utility for this information. This billing process and associated water use data access will not change with the new water utility billing system. While the City’s water utility billing system cannot link to the building benchmarking software (Energy Star Portfolio Manager) to automatically feed readings into the system like larger enterprises such as Xcel Energy or Centerpoint Energy, asking building owners to manually enter four water use readings per year is not onerous since even those building owners who opt to have their utility bills automatically feed into Portfolio Manager must manually quality check these readings and submit the building profile annually to comply with the ordinance. There are some commercial water users who use private wells for their potable water. These building owners can refer to their water appropriations permit issued by the MN Dept. Natural Resources, as well as the city bill for sanitary use to report water use. These special cases are the exception and affect only a few buildings under compliance with this ordinance. Thus, staff recommends that Council amend the ordinance to require water use data be reported along with energy use data, beginning with the 2022 compliance year for 2021 data. STAFF REPORT Page 3 2. Update definitions After two years of implementation, staff recommends clarifying four language definitions to better support building owner compliance. These updates represent common points of confusion and questions received from building owners. Staff recommends: a. ADD i. Gross square footage means total building floor area of all conditioned space calculated from overall exterior wall dimensions of all below and above grade floors. ii. Water means supplied, metered potable water for mixed use and irrigation uses. b. UPDATE (to reflect industry best practices and standards; accommodate new water reporting requirement) i. Benchmark means to compare the measured energy performance of a building to itself, its peers, or to industry standards, with the goal of informing and motivating performance improvement. ii. Benchmarking information means information related to a building's energy and water consumption as generated by the benchmarking tool, and descriptive information about the physical building, its operational characteristics, and energy and water consumption. c. MOVE “Property Owner” to appropriate alphabetical place 3. Update Exemptions list: The current ordinance mentions that “covered property…other than industrial uses” must comply. However, this exemption for “industrial” is not further described in Section 20-633 “Exemptions.” Staff recommends including the description of this existing exemption in the appropriate section for clarity. a. Exempt if: i. A building’s primary use is industrial, measured by square footage dedicated to industrial use or energy use. If more than 50% of square footage is dedicated to industrial use, or more than 50% of building energy use is dedicated to industrial processes, the building owner may request an exemption. In order to qualify for an exemption, the property owner must permit the city to complete an inspection of the property. Final Notes: As part of a program evaluation, staff analyzed current penalties for ordinance violation and alternative pathways for enforcement. Surrounding cities generally rely on administrative code to enforce their programs, using a fine schedule to drive compliance. Edina is a statutory city and so does not have the ability to implement administrative code enforcement. Technically, Edina is limited to either taking actions against a business license(s) if one exists or to charging the violation of city code as a misdemeanor. Thus, the existing enforcement language describing the potential for business license revocation or remedy in court is appropriate. 201657vl ORDINANCE NO. 2021-14 AN ORDINANCE AMENDING CHAPTER 20 OF THE EDINA CITY CODE CONCERNING LARGE BUILDING BENCHMARKING The City Of Edina Ordains: Section 1. Chapter 20 Article XI of the Edina City Code is amended to provide as follows: Definitions. The following words shall have the meaning ascribed to them, unless the context clearly indicates a different meaning: Benchmark means to input the total energy consumed for a building and other descriptive information for such building as required by the benchmarking tool compare the measured energy performance of a building to itself, its peers, or to industry standards, with the goal of informing and motivating performance improvement. Benchmarking information means information related to a building's energy and water consumption as generated by the benchmarking tool, and descriptive information about the physical building, and its operational characteristics, and energy and water consumption. The information shall include, but need not be limited to: (1) Building address; (2) Energy use intensity (EUI); (3) Annual greenhouse gas emissions; (4) The energy performance score that compares the energy use of the building to that of similar properties, where available. Benchmarking tool means the United States Environmental Protection Agency's Energy Star Portfolio Manager Tool or an equivalent tool adopted by the Director. Property owner means an individual or entity possessing title to a building, or an agent authorized to act on behalf of the property owner. City-owned building means any building, or group of buildings on the same tax lot, owned by the City of Edina containing twenty-five thousand (25,000) or more gross square feet of an occupancy use other than industrial. Covered property means any property of occupancy uses other than industrial that has one or more buildings containing in sum the gross square feet shall be classified in the following classes: Class Property Size (in square feet) 1 100,000 and greater 2 50,000-99,999 3 25,000 - 49,999 The term "covered property" shall not include any building owned by the county, state, or federal government or other recognized political subdivision as there is no jurisdiction over these buildings. Director means the individual appointed by the City Manager. Energy means electricity, natural gas, steam, heating oil, or other product sold by a utility for use in a building, or renewable on-site electricity generation, for purposes of providing heating, cooling, lighting, water heating, or for powering or fueling other end-uses in the building and related facilities. Energy-saving assessment means a systematic process of identifying and developing modifications and improvements of the base building systems, including but not limited to alterations of such systems and the installation of new equipment, insulation or other generally recognized energy and water efficiency technologies to optimize energy and water use performance of the building and achieve energy and water savings, provided that such process shall be at least as stringent as or comparable to the Level I Energy Survey and Engineering Analysis of the most recent edition of Procedures for Commercial Building Energy Audits published by the American Society of Heating, Refrigerating and Air-conditioning Engineers Inc. (ASHRAE) or as otherwise determined by the Director and such process for water systems shall be as determined by the Director. Energy performance score means the numeric rating generated by the Energy Star Portfolio Manager tool or equivalent tool adopted by the Director that compares the energy usage of the building to that of similar buildings. Energy Star Portfolio Manager means the tool developed and maintained by the United States Environmental Protection Agency to track and assess the relative energy performance of buildings nationwide. Gross square footage means total building floor area of all conditioned space calculated from overall exterior wall dimensions of all below and above grade floors. Industrial means manufacturing, compounding, processing, packaging, treatment and assembly of products and materials. Property owner means an individual or entity possessing title to a building, or an agent authorized to act on behalf of the property owner. Tenant means a person or entity occupying or holding possession of a building or premises pursuant to a rental agreement. Utility means an entity that distributes and sells natural gas, electric, or thermal energy services for buildings. Water means supplied, metered potable water for mixed use and irrigation uses. 3 Benchmarking required for city-owned properties. No later than August first, 2019, and no later than every June first thereafter, each city-owned building shall be benchmarked for the previous calendar year. Benchmarking required for covered properties. Property owners shall annually benchmark for the previous calendar year each covered property and obtain an energy performance score as available according to the following schedule: a. All Class 1 and Class 2 covered properties by June first, 2020 and by every June first thereafter; b. All Class 3 covered properties by June first, 2021 and by every June first thereafter; Disclosure and publication of benchmarking information. The property owner shall annually provide benchmarking information to the Director, in such form as established by the Director's rule, by the date provided by the schedule in subsections 20-627. The Director shall make readily available to the public, and update annually, benchmarking information for the previous calendar year according to the following schedule: a. Each city-owned property by August 30, 2020 and by every August 30th thereafter; b. Each Class 1 and Class 2 covered property by August 30, 2021 and by every August 30th thereafter; c. Each Class 3 covered property by August 30, 2022 and by every August 30th thereafter; The Director shall make available to the public, and update at least annually, the following information about city-owned properties and covered properties: a. Summary statistics on energy consumption derived from aggregation of bench marking information for properties; b. Summary statistics on overall compliance with this section; c. For each property: 1. The status of compliance with the requirements of this chapter; 2. Annual summary statistics for the property, including energy use intensity, annual greenhouse gas emissions, and an energy performance score where available; Energy assessment requirement. Covered properties with energy and water efficiency improvement potential shall submit proof of an energy assessment having been performed according to the schedule (1) below. The assessment must have been performed within the last five (5) years and must include recommendations for energy and water savings opportunities. Qualifying proof that an evaluation has been performed shall be established by rules set at discretion by the Director. The Director shall also establish energy standards in the rules that define buildings requiring an 4 assessment. Properties shall submit proof of energy assessment according to the following schedule: a. All Class 1 covered properties by June first, 2022 and by June first every fifth year thereafter; b. All Class 2 covered properties by June first, 2023 and by June first every fifth year thereafter; c. All Class 3 covered properties by June first, 2024 and by June first every fifth year thereafter; 20-633 Exemptions. The Director may exempt a property owner from the benchmarking and energy assessment requirements of subsection (c) if the property owner submits documentation establishing any of the following: a. A building’s primary use is industrial, measured by square footage dedicated to industrial use or energy use. If more than 50% of square footage is dedicated to industrial use, or more than 50% of building energy use is dedicated to industrial processes, the building owner may request an exemption. In order to qualify for an exemption, the property owner must permit the city to complete an inspection of the property. b. The property is presently experiencing qualifying financial distress in that the property is the subject of a qualified tax lien sale or public auction due to property tax arrearages, the property is controlled by a court-appointed receiver based on financial distress, the property is owned by a financial institution through default by the borrower, the property has been acquired by a deed in lieu of foreclosure, or the property has a senior mortgage which is subject to a notice of default; or c. The property or areas of the property subject to the requirements of this section have been less than fifty (50) percent occupied during the calendar year for which benchmarking is required; or d. The property does not have a certificate of occupancy or temporary ce1iificate of occupancy for all twelve (12) months of the calendar year for benchmarking is required. 20-634 Where aggregate data is not available, tenants located in a covered property subject to this chapter shall, within thirty (30) days of a request by the property owner and in a form to be approved by the Director, provide all information that cannot otherwise be acquired by the property owner and that is needed by the property owner to comply with the requirements of this section. 20-634 Violations. It shall be unlawful for any entity or person to fail to comply with the requirements of this section or to misrepresent any material fact in a document required to be prepared or disclosed by this section. 20-635 Enforcement. The Director shall enforce the provisions of this section. If it is determined that a property owner or any person subject to the provisions of this section fails to meet any requirement of this section, the Director shall mail a warning notice to the property owner or person. The notice shall specify the reasons why the property owner or person fails to meet the requirements set forth in this section. The notice shall indicate that the person has forty-five (45) business days to comply 5 with the applicable requirement. If any property owner or person who fails, omits, neglects, or refuses to comply with the provisions of this section after the period of compliance provided for in the required warning notice the City shall have cause for the denial, suspension, revocation or refusal to issue any applicable business license held by the property owner or person. This section may also be enforced by injunction, abatement, mandamus, or any other appropriate remedy in any court of competent jurisdiction. Section 3. Effective Date: January 1, 2022 First Reading: November 16, 2021 Second Reading: Waived Published: Attest Sharon Allison, City Clerk James B. Hovland, Mayor Please publish in the Edina Sun Current on Send one affidavit of publication Bill to Edina City Clerk Efficient Buildings Ordinance Amendments Grace Hancock, Sustainability Manager November 16, 2021 What is the ordinance? •Buildings 25,000 square feet or larger –and all municipally-owned buildings –must annually submit energy use data to the City via EPA Energy Star Portfolio online tool, and must undergo an energy assessment or demonstrate high efficiency every five years. www.EdinaMN.gov 2 Proposed Amendments •Collect water use data •Update definitions •Clarify exemptions list www.EdinaMN.gov 3 Collect water use data •Collect water use data i.-Manually input four water use readings each year ii.-Can be completed as part of annual data quality check and submission already required iii.-Streamlines requirements across efficient buildings jurisdictions www.EdinaMN.gov 4 Update definitions a.ADD i.Gross square footage means total building floor area of all conditioned space calculated from overall exterior wall dimensions of all below and above grade floors. ii.Water means supplied, metered potable water for mixed use and irrigation uses. b.UPDATE (to reflect industry best practices and standards; accommodate new water reporting requirement) i.Benchmark means to compare the measured energy performance of a building to itself, its peers, or to industry standards, with the goal of informing and motivating performance improvement. ii.Benchmarking information means information related to a building's energy and water consumption as generated by the benchmarking tool, and descriptive information about the physical building, its operational characteristics, and energy and water consumption. c.MOVE “Property Owner” to appropriate alphabetical place www.EdinaMN.gov 5 Clarify exemptions list •Exempt if: i.A building’s primary use is industrial, measured by square footage dedicated to industrial use or energy use. If more than 50% of square footage is dedicated to industrial use, or more than 50% of building energy use is dedicated to industrial processes, the building owner may request an exemption. In order to qualify for an exemption, the property owner must permit the city to complete an inspection of the property. www.EdinaMN.gov 6 Expected Impact •Limited additional effort by complying building owners/managers •Limited additional effort by City staff in Finance or Water •Simplified program administration for Sustainability staff •Simplified program compliance by building owners/managers www.EdinaMN.gov 7 Thank you! www.EdinaMN.gov 8 Date: November 16, 2021 Agenda Item #: VIII.C. To:Mayor and City Council Item Type: Other From:Sharon Allison, City Clerk Item Activity: Subject:Approve Summary Publication for Ordinance No. 2021-14: Amending Chapter 20 of the Edina City Code Concerning Large Building Benchmarking Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve summary publication for Ordinance No. 2021-14. INTRODUCTION: State statutes requires that the City publish all approved ordinances within 45 days of approval in its official newspaper. State statute allows cities to choose to publish a summary of a complete public notice. Staff recommends approving summary publication for: Ordinance No. 2021-14: Amending Chapter 20 of the Edina City Code Concerning Large Building Benchmarking To comply with state statute, summary publications must be approved by four-fifths majority of the City Council. ATTACHMENTS: Description Ordinance No. 2021-14: Summary Publication CITY OF EDINA HENNEPIN COUNTY, MINNESOTA SUMMARY ORDINANCE NO. 2021-14 AN ORDINANCE AMENDING CHAPTER 20 OF THE EDINA CITY CODE CONCERNING LARGE BUILDING BENCHMARKING NOTICE IS HEREBY GIVEN that, on November 16, 2021, Ordinance No. 2021-14 was adopted by the City Council of the City of Edina, Minnesota. NOTICE IS HEREBY GIVEN that, due to the lengthy nature of Ordinance No. 2021-14, the following summary of the ordinance has been prepared for publication and approved by the City Council as authorized by state law. Beginning January 1, 2022, Chapter 20 Article XI is amended to: add requirement for large buildings benchmark water use in addition to existing requirement to benchmark energy use; clarify ordinance definitions related to benchmarking, square footage, and water; update exemption list to clarify eligibility for buildings whose primary use is industrial. A printed copy of the whole ordinance is available for inspection by any person during the City’s regular office hours. APPROVED for summary publication by the City Council this 16th day of November, 2021. Please publish in the Edina Sun Current on date to be filled in. Send one affidavit of publication. Bill to Edina City Clerk Date: November 16, 2021 Agenda Item #: VIII.D. To:Mayor and City Council Item Type: Report / Recommendation From:Alisha McAndrews, Finance Director Item Activity: Subject:Resolution Nos. 2021-107 and 2021-108: Authorizing Issuance and Awarding the Sale of $4.62 Million General Obligation Refunding Bonds, Series 2021B and $2.43 Million General Obligation Recreational Revenue Refunding Bonds, Series 2021C Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Resolution No. 2021-108 awarding the sale of $4.62 million General Obligation Refunding Bonds, Series 2021B and Resolution No. 2021-107 awarding the sale of $2.43 million General Obligation Recreational Revenue Bonds, Series 2021C. INTRODUCTION: Attached are the resolutions awarding the sale of bonds as drafted by the City's bond counsel, Dorsey & Whitney. Also included are the Bond Rating Reports from Moody's and S&P. Both agencies reaffirmed Edina's AAA bond rating. ATTACHMENTS: Description Resolution No. 2021-107: Authorize Sale of 2021B Bonds Resolution No. 2021-108: Authorize Sale of 2021C Bonds S&P Rating Letter, Series 2021C S&P Rating Letter, Series 2021B Moody's Rating Report Sale Day Report, Series 2021C Sale Day Report, Series 2021B Staff Presentation 4880-7262-1312\4 CERTIFICATION OF MINUTES RELATING TO $3,795,000 GENERAL OBLIGATION REFUNDING BONDS, SERIES 2021B Issuer: City of Edina, Minnesota Governing Body: City Council Kind, date, time and place of meeting: A regular meeting held on November 16, 2021 at 7:00 o’clock P.M., at the City Hall, Edina, Minnesota. Members present: Members absent: Documents Attached: Minutes of said meeting (including): RESOLUTION NO. 2021-107 RESOLUTION AUTHORIZING ISSUANCE, AWARDING SALE, PRESCRIBING THE FORM AND DETAILS AND PROVIDING FOR THE PAYMENT OF $3,795,000 GENERAL OBLIGATION REFUNDING BONDS, SERIES 2021B I, the undersigned, being the duly qualified and acting recording officer of the public corporation issuing the bonds referred to in the title of this certificate, certify that the documents attached hereto, as described above, have been carefully compared with the original records of said corporation in my legal custody, from which they have been transcribed; that said documents are a correct and complete transcript of the minutes of a meeting of the governing body of said corporation, and correct and complete copies of all resolutions and other actions taken and of all documents approved by the governing body at said meeting, so far as they relate to said bonds; and that said meeting was duly held by the governing body at the time and place and was attended throughout by the members indicated above, pursuant to call and notice of such meeting given as required by law. WITNESS my hand officially as such recording officer this ______ day of November, 2021. Sharon Allison, City Clerk 4880-7262-1312\4 It was reported that three (3) proposals had been received prior to 10:00 A.M., Central Time today for the purchase of the $3,795,000 General Obligation Refunding Bonds, Series 2021B of the City pursuant to the Preliminary Official Statement distributed to potential purchasers of the Bonds by Ehlers & Associates, Inc., municipal advisor to the City. The proposals have been read and tabulated, and the terms of each have been determined to be as follows: [See Attached] 4880-7262-1312\4 -1- 4880-7262-1312\4 Councilmember ___________________________ then introduced the following resolution and moved its adoption: RESOLUTION NO. ___________ RESOLUTION AUTHORIZING ISSUANCE, AWARDING SALE, PRESCRIBING THE FORM AND DETAILS AND PROVIDING FOR THE PAYMENT OF $3,795,000 GENERAL OBLIGATION REFUNDING BONDS, SERIES 2021B BE IT RESOLVED by the City Council (the “Council”) of the City of Edina, Minnesota (the “City”), as follows: Section 1. Authorization and Sale. 1.01. Authorization of Bonds. This Council hereby determines that it is in the best interest of the City to issue its General Obligation Refunding Bonds, Series 2021B (the “Bonds”) pursuant to Minnesota Statutes, Chapters 429 and 475, upon the terms and conditions hereinafter set forth, for the purpose of currently refunding the February 1, 2023, through February 1, 2030, maturities (the “Refunded Maturities”) of the City’s $8,265,000 General Obligation Bonds, Series 2013A (the “Series 2013A Bonds”), dated, as originally issued, as of October 10, 2013. The Refunded Maturities will be redeemed on February 1, 2022 (the “Redemption Date”), at a price of par plus accrued interest to the Redemption Date. The City anticipates substantial debt service savings to result from the refunding of the Refunded Maturities. The Series 2013A Bonds were issued for the purpose of (i) financing various public improvements within the City, including several Permanent Improvement Revolving Fund street reconstruction projects (the “PIR Projects”); and (ii) effecting a current refunding of the 2014 through 2030 maturities of the Edina Housing and Redevelopment Authority’s $6,125,000 Taxable Public Project Revenue Bonds, Series 2009B (City of Edina Annual Appropriation Lease Obligations) (Build America Bonds - Direct Payment) (the “Series 2009B Bonds”), dated November 24, 2009, the proceeds of which financed a public works facility in the City (the “Public Works Project”). The PIR Projects and the Public Works Project are herein referred to collectively as the “Projects.” The portion of the Bonds ($1,280,000) that is being issued to refinance the PIR Projects is herein referred to as the PIR Bonds. The portion of the Bonds ($2,515,000) that is being issued to refinance the Public Works Project is herein referred to as the Public Works Bonds. Maturity schedules for each portion of the Bonds are attached hereto as Exhibit A. 1.02. Sale of Bonds. The City has retained Ehlers & Associates, Inc. (“Ehlers”), as independent municipal advisors in connection with the sale of the Bonds. Pursuant to Minnesota Statutes, Section 475.60, subdivision 2, paragraph (9), the requirements as to public sale do not -2- 4880-7262-1312\4 apply to the issuance of the Bonds. Pursuant to the Terms of Proposal and the Preliminary Official Statement prepared on behalf of the City by Ehlers, sealed or electronic proposals for the purchase of the Bonds were received at or before the time specified for receipt of proposals. The proposals have been opened and publicly read and considered and the purchase price, interest rates and net interest cost under the terms of each proposal have been determined. The most favorable proposal received is that of Baird, in Red Bank, New Jersey, and associates (the “Purchaser”), to purchase the Bonds in the principal amount of $3,795,000 at a purchase price of $4,576,654.04, on the further terms and conditions hereinafter set forth. 1.03. Award. The proposal is hereby accepted, and the Mayor and the City Manager are hereby authorized and directed to execute a contract on the part of the City for the sale of the Bonds with the Purchaser in accordance with the Terms of Proposal. The good faith deposit of the Purchaser shall be retained and deposited by the City until the Bonds have been delivered and shall be deducted from the purchase price paid at settlement. 1.04. Performance of Requirements. All acts, conditions and things which are required by the Constitution and laws of the State of Minnesota, including Minnesota Statutes, Chapters 429 and 475, to exist, to happen and to be performed precedent to and in the valid issuance of the Bonds having been done, now existing, having happened and having been performed, it is now necessary for the Council to establish the form and terms of the Bonds, to provide security therefor and to issue the Bonds forthwith. Section 2. Bond Terms; Registration; Execution and Delivery. 2.01. Maturities; Interest Rates; Denominations; Payment. The Bonds shall be designated General Obligation Refunding Bonds, Series 2021B, shall be originally dated as of December 16, 2021, shall be in the denomination of $5,000 each, or any integral multiple thereof, shall mature on February 1 in the respective years and amounts stated below, and shall bear interest, computed on the basis of a 360-day year consisting of twelve 30-day months, from December 16, 2021, until paid or duly called for redemption at the respective annual rates set forth opposite such years and amounts, as follows: Date Amount Rate Date Amount Rate 2023 $210,000 5.00% 2027 $540,000 5.00% 2024 255,000 5.00 2028 565,000 5.00 2025 490,000 5.00 2029 595,000 5.00 2026 515,000 5.00 2030 625,000 5.00 The Bonds shall be issuable only in fully registered form. The interest thereon and, upon surrender of each Bond, the principal amount thereof, shall be payable by check or draft issued by the Registrar for the Bonds appointed herein. 2.02. Interest Payment Dates. Each Bond shall be dated by the Registrar as of the date of its authentication. The interest on the Bonds shall be payable on February 1 and August 1 in each year, commencing August 1, 2022, to the owner of record thereof as of the close of business -3- 4880-7262-1312\4 on the fifteenth day of the immediately preceding month, whether or not such day is a business day. 2.03. Registration. The City shall appoint, and shall maintain, a bond registrar, transfer agent and paying agent (the “Registrar”). The effect of registration and the rights and duties of the City and the Registrar with respect thereto shall be as follows: (a) Register. The Registrar shall keep at its principal corporate trust office a bond register in which the Registrar shall provide for the registration of ownership of Bonds and the registration of transfers and exchanges of Bonds entitled to be registered, transferred or exchanged. (b) Transfer of Bonds. Upon surrender for transfer of any Bond duly endorsed by the registered owner thereof or accompanied by a written instrument of transfer, in form satisfactory to the Registrar, duly executed by the registered owner thereof or by an attorney duly authorized by the registered owner in writing, the Registrar shall authenticate and deliver, in the name of the designated transferee or transferees, one or more new Bonds of a like aggregate principal amount and maturity, as requested by the transferor. The Registrar may, however, close the books for registration of any transfer after the fifteenth day of the month preceding each interest payment date and until such interest payment date. (c) Exchange of Bonds. Whenever any Bonds are surrendered by the registered owner for exchange the Registrar shall authenticate and deliver one or more new Bonds of a like aggregate principal amount and maturity, as requested by the registered owner or the owner’s attorney in writing. (d) Cancellation. All Bonds surrendered upon any transfer or exchange shall be promptly canceled by the Registrar and thereafter disposed of as directed by the City. (e) Improper or Unauthorized Transfer. When any Bond is presented to the Registrar for transfer, the Registrar may refuse to transfer the same until it is satisfied that the endorsement on such Bond or separate instrument of transfer is valid and genuine and that the requested transfer is legally authorized. The Registrar shall incur no liability for the refusal, in good faith, to make transfers which it, in its judgment, deems improper or unauthorized. (f) Persons Deemed Owners. The City and the Registrar may treat the person in whose name any Bond is at any time registered in the bond register as the absolute owner of such Bond, whether such Bond shall be overdue or not, for the purpose of receiving payment of, or on account of, the principal of and interest on such Bond and for all other purposes, and all such payments so made to any such registered owner or upon the owner’s order shall be valid and effectual to satisfy and discharge the liability upon such Bond to the extent of the sum or sums so paid. (g) Taxes, Fees and Charges. For every transfer or exchange of Bonds (except for an exchange upon a partial redemption of a Bond), the Registrar may impose -4- 4880-7262-1312\4 a charge upon the owner thereof sufficient to reimburse the Registrar for any tax, fee or other governmental charge required to be paid with respect to such transfer or exchange. (h) Mutilated, Lost, Stolen or Destroyed Bonds. In case any Bond shall become mutilated or be destroyed, stolen or lost, the Registrar shall deliver a new Bond of like amount, number, maturity date and tenor in exchange and substitution for and upon cancellation of any such mutilated Bond or in lieu of and in substitution for any such Bond destroyed, stolen or lost, upon the payment of the reasonable expenses and charges of the Registrar in connection therewith; and, in the case of a Bond destroyed, stolen or lost, upon filing with the Registrar of evidence satisfactory to it that such Bond was destroyed, stolen or lost, and of the ownership thereof, and upon furnishing to the Registrar of an appropriate bond or indemnity in form, substance and amount satisfactory to it, in which both the City and the Registrar shall be named as obligees. All Bonds so surrendered to the Registrar shall be canceled by it and evidence of such cancellation shall be given to the City. If the mutilated, destroyed, stolen or lost Bond has already matured or been called for redemption in accordance with its terms it shall not be necessary to issue a new Bond prior to payment. (i) Authenticating Agent. The Registrar is hereby designated authenticating agent for the Bonds, within the meaning of Minnesota Statutes, Section 475.55, Subdivision 1, as amended. (j) Valid Obligations. All Bonds issued upon any transfer or exchange of Bonds shall be the valid obligations of the City, evidencing the same debt, and entitled to the same benefits under this Resolution as the Bonds surrendered upon such transfer or exchange. 2.04. Appointment of Registrar and Paying Agent. The City hereby appoints U.S. Bank National Association in St. Paul, Minnesota, as the initial Registrar. The Mayor and City Manager are authorized to execute and deliver, on behalf of the City, a contract with U.S. Bank National Association, as Registrar. Upon merger or consolidation of the Registrar with another corporation, if the resulting corporation is a bank or trust company authorized by law to conduct such business, such corporation shall be authorized to act as successor Registrar. The City agrees to pay the reasonable and customary charges of the Registrar for the services performed. The City reserves the right to remove any Registrar upon thirty (30) days’ notice and upon the appointment of a successor Registrar, in which event the predecessor Registrar shall deliver all cash and Bonds in its possession to the successor Registrar. 2.05. Redemption. The Bonds are not subject to optional redemption prior to maturity. 2.06. Execution, Authentication and Delivery. The Bonds shall be prepared under the direction of the City Finance Director and shall be executed on behalf of the City by the signatures of the Mayor and the City Manager, provided that all signatures may be printed, engraved or lithographed facsimiles of the originals. In case any officer whose signature or a facsimile of whose signature shall appear on the Bonds shall cease to be such officer before the delivery of any Bond, such signature or facsimile shall nevertheless be valid and sufficient for all purposes, the same as if he or she had remained in office until delivery. Notwithstanding such -5- 4880-7262-1312\4 execution, no Bond shall be valid or obligatory for any purpose or entitled to any security or benefit under this Resolution unless and until a certificate of authentication on such Bond has been duly executed by the manual signature of an authorized representative of the Registrar. Certificates of authentication on different Bonds need not be signed by the same representative. The executed certificate of authentication on each Bond shall be conclusive evidence that it has been authenticated and delivered under this Resolution. When the Bonds have been so prepared, executed and authenticated, the City Finance Director shall deliver them to the Purchaser upon payment of the purchase price in accordance with the contract of sale heretofore made and executed, and the Purchaser shall not be obligated to see to the application of the purchase price. 2.07. Form of Bonds. The Bonds shall be typed or printed in substantially the form attached hereto as Exhibit B. 2.08. Use of Securities Depository; Book-Entry Only System. The provisions of this Section shall take precedence over the provisions of Sections 2.01 through 2.07 to the extent they are inconsistent therewith. (a) The Depository Trust Company (“DTC”) has agreed to act as securities depository for the Bonds, and to provide a Book-Entry Only System for registering the ownership interest of the financial institutions for which it holds the Bonds (the “DTC Participants”), and for distributing to such DTC Participants such amount of the principal and interest payments on the Bonds as they are entitled to receive, for redistribution to the beneficial owners of the Bonds as reflected in their records (the “Beneficial Owners”). (b) Initially, and so long as DTC or another qualified entity continues to act as securities depository, the Bonds shall be issued in typewritten form, one for each maturity in a principal amount equal to the aggregate principal amount of each maturity, shall be registered in the name of the securities depository or its nominee, shall be subject to the provisions of this Section 2.08, and no Beneficial Owner shall have the right to receive a certificate of ownership or printed Bond. While DTC is acting as the securities depository, the Bonds shall be registered in the name of the DTC’s nominee, CEDE & CO; provided that upon delivery by DTC to the City and the Registrar of written notice to the effect that DTC has determined to substitute a new nominee in place of CEDE & CO., the words “CEDE & CO.” in this Resolution shall refer to such new nominee of DTC. With respect to Bonds registered in the name of a securities depository or its nominee, the City and the Registrar shall have no responsibility or obligation to any DTC Participant or Beneficial Owner with respect to the following: (i) the accuracy of the records of any securities depository or its nominee with respect to any ownership interest in the Bonds, (ii) the delivery to any DTC Participant or other person or any other person, other than DTC, of any notice with respect to the Bonds, including any notice of redemption, or (iii) the payment to any DTC Participant or any other person, other than DTC, of any amount with respect to the principal of or premium, if any, or interest on the Bonds. The Registrar shall pay all principal of and premium, if any, and interest on the Bonds only to or upon the order of DTC, and all such payments shall be valid and effective to fully satisfy and discharge the City’s obligations with respect to the principal and interest on the Bonds to the extent of the sum or sums so paid. So long as the -6- 4880-7262-1312\4 Book-Entry Only System is in effect, no person other than DTC shall receive an authenticated Bond. (c) Upon receipt by the City and the Registrar of written notice from the securities depository to the effect that it is unable or unwilling to discharge its responsibilities under the Book-Entry Only System, the Registrar shall issue, transfer and exchange Bonds of the initial series as requested by the securities depository in appropriate amounts, and whenever the securities depository requests the City and the Registrar to do so, the City and the Registrar shall cooperate with the securities depository in taking appropriate action after reasonable notice (i) to arrange for a substitute depository willing and able, upon reasonable and customary terms, to maintain custody of the Bonds, or (ii) to make available Bonds registered in whatever name or names the Beneficial Owner registering ownership transferring or exchanging such Bonds shall designate, in accordance with clause (f) or clause (g) below, whichever is applicable. (d) In the event the City determines that it is in the best interests of the Beneficial Owner that they be able to obtain printed Bonds, the City may so notify the securities depository and the Registrar, whereupon the securities depository shall notify the Beneficial Owners of the availability through the securities depository of such printed Bonds. In such event, the City shall cause to be prepared and the Registrar shall issue, transfer and exchange the printed Bonds fully executed and authenticated, as requested by the securities depository in appropriate amounts and, whenever the securities depository requests, the City and the Registrar shall cooperate with the securities depository in taking appropriate action after reasonable notice to make available printed Bonds registered on the Bond Register in whatever name or names the Beneficial Owners entitled to receive Bonds shall designate, in accordance with clause (f) or clause (g) below, whichever is applicable. (e) Notwithstanding any other provisions of this Resolution to the contrary, so long as any Bond is registered in the name of a securities depository or its nominee, all payments of principal and interest on the Bond and all notices with respect to the Bond shall be made and given, respectively, to the securities depository. (f) In the event that the Book-Entry Only System established pursuant to this Section is discontinued, except as provided in clause (g), the Bonds shall be issued through the securities depository to the Beneficial Owners. (g) In the event of termination of the Book-Entry Only System, the City shall have the right to terminate, and shall take all steps necessary to terminate, all arrangements with the securities depository described herein, and thereafter shall issue, register ownership of, transfer and exchange all Bonds as provided in Section 2.03. Upon receipt by the securities depository of notice from the City, the securities depository shall take all actions necessary to assist the City and the Registrar in terminating all arrangements for the issuance of documents evidencing ownership interests in the Bonds through the securities depository. Nothing herein shall affect the securities depository’s rights under clause (e) above. Section 3. Use of Proceeds; Refunding. Proceeds of the Bonds in the amount of $4,500,000 shall be deposited in the sinking fund established for the Series 2013A Bonds to be applied to their payment on the Redemption Date, proceeds of the Bonds in the amount of -7- 4880-7262-1312\4 $72,725.000 shall be used to pay costs of issuance of the Bonds, proceeds of the Bonds in the amount of $1,619.20 shall be deposited in the PIR Projects Subaccount in the Bond Fund (described in Section 4), and proceeds of the Bonds in the amount of $2,309.84 shall be deposited in the Public Works Project Subaccount in the Bond Fund. Section 4. General Obligation Refunding Bonds, Series 2021B Bond Fund. The Bonds shall be payable from a separate General Obligation Refunding Bonds, Series 2021B Bond Fund (the “Bond Fund”) of the City, which shall be created and maintained on the books of the City as a separate debt redemption fund until the Bonds, and all interest thereon, are fully paid. The Debt Service Account (as described below) of the Bond Fund shall be separated into two separate subaccounts as follows: (a) PIR Projects Subaccount. Into the PIR Projects Subaccount shall be paid: i. proceeds of the Bonds in the amount of $1,619.20 (as described in Section 3) and funds in excess of the amounts necessary to accomplish the refunding of the portion of Refunded Bonds that refinance the PIR Projects (the “PIR Portion”); ii. special assessments pledged to the PIR Projects pursuant to the resolution authorizing issuance of the Refunded Bonds, as further described in Section 5 hereof, and all moneys transferred with respect to the PIR Bonds from other accounts within the Permanent Improvement Revolving Fund; iii. any taxes collected pursuant to Section 5 hereof with respect to the PIR Bonds; iv. all excess amounts on deposit in the debt service funds maintained for the payment of the PIR Portion of the Refunded Bonds upon the retirement of the Refunded Bonds on the Redemption Date; and v. any other funds appropriated by the Council for the payment of the PIR Bonds. If the aggregate balance in the PIR Projects Subaccount is at any time insufficient to pay all interest and principal then due on all PIR Bonds, the payment shall be made from any fund of the City which is available for that purpose, subject to reimbursement from the Permanent Improvement Revolving Fund when the balance therein is sufficient, and the Council covenants and agrees that it will each year levy a sufficient amount of ad valorem taxes to take care of any accumulated or anticipated deficiency, which levy is not subject to any constitutional or statutory limitation. (b) Public Works Project Subaccount. Into the Public Works Project Subaccount shall be paid: i. proceeds of the Bonds in the amount of $2,309.84 (as described in Section 3) and funds in excess of the amounts necessary to accomplish the -8- 4880-7262-1312\4 refunding of the portion of Refunded Bonds that financed the acquisition of the Public Works Project (the “Public Works Portion”); ii. any taxes collected pursuant to Section 5 hereof with respect to the Public Works Bonds; iii. all excess amounts on deposit in the debt service funds maintained for the payment of the Public Works Portion of the Refunded Bonds upon the retirement of the Refunded Bonds on the Redemption Date; and iv. any other funds appropriated by the Council for the payment of the Public Works Bonds. The principal of and interest on the Bonds shall be payable from the Bond Fund, and the money on hand in the Bond Fund from time to time shall be used only to pay the principal of and interest on the Bonds. On or before each principal and interest payment date for the Bonds, the City Manager is directed to remit to the Registrar from funds on deposit in the Bond Fund the amount needed to pay principal and interest on the Bonds on the next succeeding principal and interest payment date. There are hereby established two accounts in the Bond Fund, designated as the “Debt Service Account” and the “Surplus Account.” There shall initially be deposited into the Debt Service Account upon the issuance of the Bonds the amount set forth in clause (a) above. Thereafter, during each bond year (each twelve month period commencing on February 2 and ending on the following February 1, a “Bond Year”), as monies are received into the Bond Fund, the City Manager shall first deposit such monies into the Debt Service Account until an amount has been appropriated thereto sufficient to pay all principal and interest due on the Bonds through the end of the Bond Year. All subsequent monies received in the Bond Fund during the Bond Year shall be appropriated to the Surplus Account. If at any time the amount on hand in the Debt Service Account is insufficient for the payment of principal and interest then due, the City Manager shall transfer to the Debt Service Account amounts on hand in the Surplus Account to the extent necessary to cure such deficiency. Investment earnings (and losses) on amounts from time to time held in the Debt Service Account and Surplus Account shall be credited or charged to said accounts. If the balance in the Bond Fund is at any time insufficient to pay all interest and principal then due on all Bonds payable therefrom, the payment shall be made from any fund of the City which is available for that purpose, subject to reimbursement from the Surplus Account when the balance therein is sufficient, and the City covenants and agrees that it will each year levy a sufficient amount of ad valorem taxes to take care of any accumulated or anticipated deficiency, which levy is not subject to any constitutional or statutory limitation. Section 5. Levy of Special Assessments; Full Faith and Credit Pledged. 5.01. Levy of Special Assessments. The City hereby covenants and agrees that for payment of the cost of each of the PIR Projects has done or will do and perform all acts and things necessary for the full and valid levy of special assessments against all assessable lots, tracts and parcels of land benefited thereby and located within the area assessed therefor, based -9- 4880-7262-1312\4 upon the benefits received by each such lot, tract or parcel, in an aggregate principal amount not less than twenty percent (20%) of the cost of the PIR Proejcts. In the event that any such assessment shall be at any time held invalid with respect to any lot, piece or parcel of land, due to any error, defect or irregularity in any action or proceeding taken or to be taken by the City or this Council or any of the City’s officers or employees, either in the making of such assessment or in the performance of any condition precedent thereto, the City and this Council hereby covenant and agree that they will forthwith do all such further acts and take all such further proceedings as may be required by law to make such assessments a valid and binding lien upon such property. 5.02. Full Faith and Credit Pledged. The full faith and credit and taxing powers of the City are irrevocably pledged for the prompt and full payment of the principal of and interest in the Bonds as the same become respectively due. In order to produce aggregate amounts not less than five percent (5%) in excess of the amounts needed to meet when due the principal and interest payments on the Bonds, ad valorem taxes are hereby levied on all taxable property in the City, the taxes to be levied and collected in the following years and amounts: Levy Years Collection Years Amount SEE ATTACHED SCHEDULE This tax shall be irrevocably appropriated to the Bond Fund as long as any of the Bonds are outstanding and unpaid, provided that the City reserves the right and power to reduce the levies in the manner and to the extent permitted by Minnesota Statutes, Section 475.61. Section 6. Reserved. Section 7. Defeasance. When all of the Bonds have been discharged as provided in this section, all pledges, covenants and other rights granted by this Resolution to the holders of the Bonds shall cease. The City may discharge its obligations with respect to any Bonds which are due on any date by depositing with the Registrar on or before that date a sum sufficient for the payment thereof in full; or, if any Bond should not be paid when due, it may nevertheless be discharged by depositing with the Registrar a sum sufficient for the payment thereof in full with interest accrued from the due date to the date of such deposit. The City may also at any time discharge its obligations with respect to any Bonds, subject to the provisions of law now or hereafter authorizing and regulating such action, by depositing irrevocably in escrow, with a bank or trust company qualified by law as an escrow agent for this purpose, cash or securities which are authorized by law to be so deposited, bearing interest payable at such time and at such rates and maturing or callable at the holder’s option on such dates as shall be required to pay all principal, interest and redemption premiums to become due thereon to maturity. Section 8. County Auditor Registration, Certification of Proceedings, Investment of Money, Arbitrage and Official Statement. 8.01. County Auditor Registration. The City Clerk is hereby authorized and directed to file a certified copy of this Resolution with the County Auditor of Hennepin County, together -10- 4880-7262-1312\4 with such other information as the County Auditor shall require, and to obtain from said County Auditor a certificate that the Bonds have been entered on his bond register as required by law and the tax required by law has been levied. 8.02. Certification of Proceedings. The officers of the City and the County Auditor of Hennepin County are hereby authorized and directed to prepare and furnish to the Purchaser and to Dorsey & Whitney LLP, Bond Counsel to the City, certified copies of all proceedings and records of the City, and such other affidavits, certificates and information as may be required to show the facts relating to the legality and marketability of the Bonds as the same appear from the books and records under their custody and control or as otherwise known to them, and all such certified copies, certificates and affidavits, including any heretofore furnished, shall be deemed representations of the City as to the facts recited therein. 8.03. Covenant. The City covenants and agrees with the registered owners of the Bonds, that it will not take, or permit to be taken by any of its officers, employees or agents, any action which would cause the interest payable on the Bonds to become subject to taxation under the Internal Revenue Code of 1986, as amended (the “Code”) and Regulations promulgated thereunder (the “Regulations”) as are enacted or promulgated and in effect on the date of issuance of the Bonds, and covenants to take any and all actions within its powers to ensure that the interest on the Bonds will not become includable in gross income of the recipient under the Code and the Regulations. The facilities financed by the Bonds shall at all times during the term of the Bonds be owned and maintained by the City and the City shall not enter into any lease, use agreement, management agreement, capacity agreement or other agreement or contract with any nongovernmental person relating to the use of the facilities financed by the Bonds, or security for the payment of the Bonds which might cause the Bonds to be considered “private activity bonds” or “private loan bonds” pursuant to Section 141 of the Code. 8.04. Arbitrage Certification. The Mayor and the City Manager, being the officers of the City charged with the responsibility for issuing the Bonds pursuant to this Resolution, are authorized and directed to execute and deliver to the Purchaser a certification in accordance with the provisions of Section 148 of the Code, and the Regulations, stating the facts, estimates and circumstances in existence on the date of issue and delivery of the Bonds which make it reasonable to expect that the proceeds of the Bonds will not be used in a manner that would cause the Bonds to be arbitrage bonds within the meaning of the Code and Regulations. 8.05. Arbitrage Rebate. The City shall take such actions as are required to comply with the arbitrage rebate requirements of paragraphs (2) and (3) of Section 148(f) of the Code. 8.06. Official Statement. The Preliminary Official Statement relating to the Bonds, prepared and distributed on behalf of the City by Ehlers and Associates, Inc., is hereby approved. Ehlers is hereby authorized on behalf of the City to prepare and distribute to the Purchaser a Final Official Statement listing the offering price, the interest rates, other information relating to the Bonds required to be included in the Official Statement by Rule 15c2-12 adopted by the Securities and Exchange Commission under the Securities Exchange Act of 1934. Within seven business days from the date hereof, the City shall deliver to the Purchaser a reasonable number of copies of the Final Official Statement. The officers of the City are hereby authorized and -11- 4880-7262-1312\4 directed to execute such certificates as may be appropriate concerning the accuracy, completeness and sufficiency of the Final Official Statement. 8.07. Not Qualified Tax-Exempt Obligations. The Bonds are not “qualified tax-exempt obligations” for purposes of Section 265(b)(3) of the Code. Section 9. Continuing Disclosure. (a) Purpose and Beneficiaries. To provide for the public availability of certain information relating to the Bonds and the security therefor and to permit the Purchaser and other participating underwriters in the primary offering of the Bonds to comply with amendments to Rule 15c2-12 promulgated by the SEC under the Securities Exchange Act of 1934 (17 C.F.R. § 240.15c2-12), relating to continuing disclosure (as in effect and interpreted from time to time, the Rule), which will enhance the marketability of the Bonds, the City hereby makes the following covenants and agreements for the benefit of the Owners (as hereinafter defined) from time to time of the Outstanding Bonds. The City is the only obligated person in respect of the Bonds within the meaning of the Rule for purposes of identifying the entities in respect of which continuing disclosure must be made. If the City fails to comply with any provisions of this section, any person aggrieved thereby, including the Owners of any Outstanding Bonds, may take whatever action at law or in equity may appear necessary or appropriate to enforce performance and observance of any agreement or covenant contained in this section, including an action for a writ of mandamus or specific performance. Direct, indirect, consequential and punitive damages shall not be recoverable for any default hereunder to the extent permitted by law. Notwithstanding anything to the contrary contained herein, in no event shall a default under this section constitute a default under the Bonds or under any other provision of this resolution. As used in this section, Owner or Bondowner means, in respect of a Bond, the registered owner or owners thereof appearing in the bond register maintained by the Registrar or any Beneficial Owner (as hereinafter defined) thereof, if such Beneficial Owner provides to the Registrar evidence of such beneficial ownership in form and substance reasonably satisfactory to the Registrar. As used herein, Beneficial Owner means, in respect of a Bond, any person or entity which (i) has the power, directly or indirectly, to vote or consent with respect to, or to dispose of ownership of, such Bond (including persons or entities holding Bonds through nominees, depositories or other intermediaries), or (ii) is treated as the owner of the Bond for federal income tax purposes. (b) Information To Be Disclosed. The City will provide, in the manner set forth in subsection (c) hereof, either directly or indirectly through an agent designated by the City, the following information at the following times: (1) on or before twelve months after the end of each fiscal year of the City, commencing with the fiscal year ending December 31, 2021, the following financial information and operating data in respect of the City (the Disclosure Information): (A) the audited financial statements of the City for such fiscal year, prepared in accordance with the governmental accounting standards promulgated by the Governmental Accounting Standards Board or as otherwise provided under Minnesota law, as in effect from time to time, or, if and to the extent such financial statements have not been prepared in accordance with such -12- 4880-7262-1312\4 generally accepted accounting principles for reasons beyond the reasonable control of the City, noting the discrepancies therefrom and the effect thereof, and certified as to accuracy and completeness in all material respects by the fiscal officer of the City; and (B) to the extent not included in the financial statements referred to in paragraph (A) hereof, the information for such fiscal year or for the period most recently available of the type contained in the Official Statement under headings: “VALUATIONS—Current Property Valuations,” “DEBT—Direct Debt,” and “TAX RATES, LEVIES AND COLLECTIONS—Tax Levies and Collections” and “GENERAL INFORMATION—US Census Data-Population Trend” and “— Employment / Unemployment Data,” which information may be unaudited. Notwithstanding the foregoing paragraph, if the audited financial statements are not available by the date specified, the City shall provide on or before such date unaudited financial statements in the format required for the audited financial statements as part of the Disclosure Information and, within 10 days after the receipt thereof, the City shall provide the audited financial statements. Any or all of the Disclosure Information may be incorporated by reference, if it is updated as required hereby, from other documents, including official statements, which have been filed with the SEC or have been made available to the public on the Internet Web site of the Municipal Securities Rulemaking Board (MSRB). If the document incorporated by reference is a final official statement, it must be available from the MSRB. The City shall clearly identify in the Disclosure Information each document so incorporated by reference. If any part of the Disclosure Information can no longer be generated because the operations of the City have materially changed or been discontinued, such Disclosure Information need no longer be provided if the City includes in the Disclosure Information a statement to such effect; provided, however, if such operations have been replaced by other City operations in respect of which data is not included in the Disclosure Information and the City determines that certain specified data regarding such replacement operations would be a Material Fact (as defined in paragraph (2) hereof), then, from and after such determination, the Disclosure Information shall include such additional specified data regarding the replacement operations. If the Disclosure Information is changed or this section is amended as permitted by this paragraph (b)(1) or subsection (d), then the City shall include in the next Disclosure Information to be delivered hereunder, to the extent necessary, an explanation of the reasons for the amendment and the effect of any change in the type of financial information or operating data provided. (2) In a timely manner not in excess of ten business days after the occurrence of the event, notice of the occurrence of any of the following events (each a Material Fact): (A) Principal and interest payment delinquencies; (B) Non-payment related defaults, if material; (C) Unscheduled draws on debt service reserves reflecting financial difficulties; -13- 4880-7262-1312\4 (D) Unscheduled draws on credit enhancements reflecting financial difficulties; (E) Substitution of credit or liquidity providers, or their failure to perform; (F) Adverse tax opinions, the issuance by the Internal Revenue Service of proposed or final determinations of taxability, Notices of Proposed Issue (IRS Form 5701-TEB) or other material notices or determinations with respect to the tax status of the security, or other material events affecting the tax status of the security; (G) Modifications to rights of security holders, if material; (H) Bond calls, if material, and tender offers; (I) Defeasances; (J) Release, substitution, or sale of property securing repayment of the securities, if material; (K) Rating changes; (L) Bankruptcy, insolvency, receivership or similar event of the obligated person; (M) The consummation of a merger, consolidation, or acquisition involving an obligated person or the sale of all or substantially all of the assets of the obligated person, other than in the ordinary course of business, the entry into a definitive agreement to undertake such an action or the termination of a definitive agreement relating to any such actions, other than pursuant to its terms, if material; (N) Appointment of a successor or additional trustee or the change of name of a trustee, if material; (O) Incurrence of a financial obligation of the obligated person, if material, or agreement to covenants, events of default, remedies, priority rights, or other similar terms of a financial obligation of the obligated person, any of which affect security holders, if material; and (P) Default, event of acceleration, termination event, modification of terms, or other similar events under the terms of a financial obligation of the obligated person, any of which reflect financial difficulties. For purposes of the events identified in paragraphs (O) and (P) above, the term “financial obligation” means (i) a debt obligation; (ii) a derivative instrument entered into in connection with, or pledged as security or a source of payment for, an existing or planned debt obligation; or (iii) a guarantee of (i) or (ii). The term “financial obligation” shall not include municipal securities as to which a final official statement has been provided to the MSRB consistent with the Rule. As used herein, for those events that must be reported if material, an event is “material” if it is an event as to which a substantial likelihood exists that a reasonably prudent investor would attach importance thereto in deciding to buy, hold or sell a Bond or, if not disclosed, would significantly alter the total information otherwise available to an investor from the Official Statement, information disclosed hereunder or information generally available to the public. Notwithstanding the foregoing sentence, an event is also “material” if it is an event that would be deemed material for purposes of the purchase, holding or sale of a Bond within the meaning of -14- 4880-7262-1312\4 applicable federal securities laws, as interpreted at the time of discovery of the occurrence of the event. For the purposes of the event identified in (L) hereinabove, the event is considered to occur when any of the following occur: the appointment of a receiver, fiscal agent or similar officer for an obligated person in a proceeding under the U.S. Bankruptcy Code or in any other proceeding under state or federal law in which a court or governmental authority has assumed jurisdiction over substantially all of the assets or business of the obligated person, or if such jurisdiction has been assumed by leaving the existing governing body and officials or officers in possession but subject to the supervision and orders of a court or governmental authority, or the entry of an order confirming a plan of reorganization, arrangement or liquidation by a court or governmental authority having supervision or jurisdiction over substantially all of the assets or business of the obligated person. (3) In a timely manner, notice of the occurrence of any of the following events or conditions: (A) the failure of the City to provide the Disclosure Information required under paragraph (b)(1) at the time specified thereunder; (B) the amendment or supplementing of this section pursuant to subsection (d), together with a copy of such amendment or supplement and any explanation provided by the City under subsection (d)(2); (C) the termination of the obligations of the City under this section pursuant to subsection (d); (D) any change in the accounting principles pursuant to which the financial statements constituting a portion of the Disclosure Information are prepared; and (E) any change in the fiscal year of the City. (c) Manner of Disclosure. (1) The City agrees to make available to the MSRB, in an electronic format as prescribed by the MSRB from time to time, the information described in subsection (b). (2) All documents provided to the MSRB pursuant to this subsection (c) shall be accompanied by identifying information as prescribed by the MSRB from time to time. (d) Term; Amendments; Interpretation. (1) The covenants of the City in this section shall remain in effect so long as any Bonds are Outstanding. Notwithstanding the preceding sentence, however, the obligations of the City under this section shall terminate and be without further effect as of any date on which the City delivers to the Registrar an opinion of Bond Counsel to the effect that, because of legislative action or final judicial or -15- 4880-7262-1312\4 administrative actions or proceedings, the failure of the City to comply with the requirements of this section will not cause participating underwriters in the primary offering of the Bonds to be in violation of the Rule or other applicable requirements of the Securities Exchange Act of 1934, as amended, or any statutes or laws successory thereto or amendatory thereof. (2) This section (and the form and requirements of the Disclosure Information) may be amended or supplemented by the City from time to time, without notice to (except as provided in paragraph (c)(3) hereof) or the consent of the Owners of any Bonds, by a resolution of this Council filed in the office of the recording officer of the City accompanied by an opinion of Bond Counsel, who may rely on certificates of the City and others and the opinion may be subject to customary qualifications, to the effect that: (i) such amendment or supplement (a) is made in connection with a change in circumstances that arises from a change in law or regulation or a change in the identity, nature or status of the City or the type of operations conducted by the City, or (b) is required by, or better complies with, the provisions of paragraph (b)(5) of the Rule; (ii) this section as so amended or supplemented would have complied with the requirements of paragraph (b)(5) of the Rule at the time of the primary offering of the Bonds, giving effect to any change in circumstances applicable under clause (i)(a) and assuming that the Rule as in effect and interpreted at the time of the amendment or supplement was in effect at the time of the primary offering; and (iii) such amendment or supplement does not materially impair the interests of the Bondowners under the Rule. If the Disclosure Information is so amended, the City agrees to provide, contemporaneously with the effectiveness of such amendment, an explanation of the reasons for the amendment and the effect, if any, of the change in the type of financial information or operating data being provided hereunder. (3) This section is entered into to comply with the continuing disclosure provisions of the Rule and should be construed so as to satisfy the requirements of paragraph (b)(5) of the Rule. Section 10. Authorization of Payment of Certain Costs of Issuance of the Bonds. The City authorizes the Purchaser to forward the amount of Bond proceeds allocable to the payment of issuance expenses to Wells Fargo Bank, National Association, on the closing date for further distribution as directed by the City’s municipal advisor, Ehlers & Associates, Inc. Section 11. Notice of Redemption. The City Finance Director is hereby directed to advise U.S. Bank National Association, St. Paul, Minnesota, as paying agent for the Series 2013A Bonds, to call the Refunded Bonds for redemption and prepayment on the Redemption Date, substantially in the forms attached hereto as Exhibit C, all in accordance with the provisions of the resolution authorizing the issuance of the Series 2013A Bonds. -16- 4880-7262-1312\4 Adopted this ___ day of November, 2021. Mayor Attest: City Clerk The motion for the adoption of the foregoing resolution was duly seconded by Councilmember ______________________ and upon vote being taken thereon, the following voted in favor thereof: and the following voted against the same: whereupon said resolution was declared duly passed and adopted. -1- 4880-7262-1312\4 PROJECTED LEVIES A-1 4880-7262-1312\4 EXHIBIT A Maturity Schedule Year PIR Bonds Public Works Bonds Total 2023 $125,000 $ 85,000 $ 210,000 2024 145,000 110,000 255,000 2025 150,000 340,000 490,000 2026 155,000 360,000 515,000 2027 165,000 375,000 540,000 2028 170,000 395,000 565,000 2029 180,000 415,000 595,000 2030 190,000 435,000 625,000 $1,280,000 $2,515,000 $3,795,000 B-1 4880-7262-1312\4 EXHIBIT B BOND FORM UNITED STATES OF AMERICA STATE OF MINNESOTA COUNTY OF HENNEPIN CITY OF EDINA GENERAL OBLIGATION REFUNDING BOND, SERIES 2021B R-___ $_________ Interest Rate Maturity Date Date of Original Issue CUSIP __% February 1, 20__ December 16, 2021 REGISTERED OWNER: CEDE & CO. PRINCIPAL AMOUNT: THOUSAND DOLLARS THE CITY OF EDINA, Hennepin County, Minnesota (the “City”), acknowledges itself to be indebted and for value received hereby promises to pay to the registered owner named above, or registered assigns, the principal sum specified above on the maturity date specified above, and to pay interest thereon from the date of original issue specified above, or the most recent interest payment date to which interest has been paid or provided for, at the annual rate specified above, payable on February 1 and August 1 in each year, commencing August 1, 2022 (each such date, an “Interest Payment Date”), to the person in whose name this Bond is registered at the close of business on the 15th day (whether or not a business day) of the month immediately preceding the payment date, all subject to the provisions referred to herein with respect to redemption of the principal of this Bond before maturity. The interest so payable on any Interest Payment Date shall be paid to the person in whose name this Bond is registered at the close of business on the fifteenth day (whether or not a business day) of the calendar month next preceding such Interest Payment Date. Interest hereon shall be computed on the basis of a 360-day year composed of twelve 30-day months. The interest hereon and, upon presentation and surrender hereof, the principal hereof are payable in lawful money of the United States of America by check or draft by U.S. Bank National Association in St. Paul, Minnesota, as Bond Registrar, Transfer Agent and Paying Agent (the “Registrar”), or its designated successor under the resolution described herein. For the prompt and full payment of such principal and interest as the same respectively become due, the full faith and credit and taxing powers of the City have been and are hereby irrevocably pledged. This Bond is one of an issue in the aggregate principal amount of $3,795,000, all of like date and tenor, except as to serial number, maturity date, interest rate, redemption privilege and denomination issued pursuant to a resolution adopted by the City Council on November 16, 2021 (the “Resolution”), to refinance certain outstanding general obligations of the City, and is issued pursuant to and in full conformity with the provisions of the Constitution and laws of the State of Minnesota thereunto enabling, including Minnesota Statutes, Chapters 429 and 475. The Bonds are issuable only as fully registered bonds in denominations of $5,000 or any multiple thereof, of single maturities. The Bonds of this series B-2 4880-7262-1312\4 are issuable only as fully registered Bonds, in denominations of $5,000 or any multiple thereof, of single maturities. The Bonds are not subject to optional redemption prior to maturity. As provided in the Resolution and subject to certain limitations set forth therein, this Bond is transferable upon the books of the City at the principal office of the Registrar, by the registered owner hereof in person or by the owner’s attorney duly authorized in writing upon surrender hereof together with a written instrument of transfer satisfactory to the Registrar, duly executed by the registered owner or the owner’s attorney; and may also be surrendered in exchange for Bonds of other authorized denominations. Upon such transfer or exchange the City will cause a new Bond or Bonds to be issued in the name of the transferee or registered owner, of the same aggregate principal amount, bearing interest at the same rate and maturing on the same date, subject to reimbursement for any tax, fee or governmental charge required to be paid with respect to such transfer or exchange. The City and the Registrar may deem and treat the person in whose name this Bond is registered as the absolute owner hereof, whether this Bond is overdue or not, for the purpose of receiving payment and for all other purposes, and neither the City nor the Registrar shall be affected by any notice to the contrary. Notwithstanding any other provisions of this Bond, so long as this Bond is registered in the name of Cede & Co., as nominee of The Depository Trust Company, or in the name of any other nominee of The Depository Trust Company or other securities depository, the Registrar shall pay all principal of and interest on this Bond, and shall give all notices with respect to this Bond, only to Cede & Co. or other nominee in accordance with the operational arrangements of The Depository Trust Company or other securities depository as agreed to by the City. IT IS HEREBY CERTIFIED, RECITED, COVENANTED AND AGREED that all acts, conditions and things required by the Constitution and laws of the State of Minnesota to be done, to exist, to happen and to be performed preliminary to and in the issuance of this Bond in order to make it a valid and binding general obligation of the City in accordance with its terms, have been done, do exist, have happened and have been performed as so required; that, prior to the issuance hereof, the City Council has by the Resolution covenanted and agreed to collect and apply to payment of the bonds special assessments on property specially benefited by the portion of the Bonds issued to refinance improvement projects in the City, and ad valorem taxes levied upon all taxable property in the City, which taxes and assessments are estimated to be collectible in years and amounts sufficient to produce sums not less than 5% in excess of the principal of and interest on the Bonds when due, and has appropriated such assessments and taxes to its General Obligation Refunding Bonds, Series 2021B Bond Fund for the payment of such principal and interest; that if necessary for the payment of such principal and interest, additional ad valorem taxes are required to be levied upon all taxable property in the City, without limitation as to rate or amount; that all proceedings relative to the projects financed by this Bond have been or will be taken according to law and that the issuance of this Bond, together with all other indebtedness of the City outstanding on the date hereof and on the date of its actual issuance and delivery, does not cause the indebtedness of the City to exceed any constitutional or statutory limitation of indebtedness. This Bond shall not be valid or become obligatory for any purpose or be entitled to any security or benefit under the Resolution described herein until the Certificate of Authentication hereon shall have been executed by the Registrar by manual signature of one of its authorized representatives. B-3 4880-7262-1312\4 IN WITNESS WHEREOF, the City of Edina, Hennepin County, Minnesota, by its City Council, has caused this Bond to be executed on its behalf by the manual or facsimile signatures of the Mayor and City Manager, and has caused this Bond to be dated as of the Date of Original Issue set forth above. CITY OF EDINA City Manager Mayor ________________ CERTIFICATE OF AUTHENTICATION This is one of the Bonds delivered pursuant to the Resolution mentioned within. Date of Authentication: U.S. BANK NATIONAL ASSOCIATION, as Registrar By Authorized Representative ________________ B-4 4880-7262-1312\4 The following abbreviations, when used in the inscription on the face of this Bond, shall be construed as though they were written out in full according to applicable laws or regulations: TEN COM --as tenants in common UTMA ………….…. as Custodian for ………….….. (Cust) (Minor) TEN ENT --as tenants by the entireties under Uniform Transfers to Minors Act ...................… (State) JT TEN --as joint tenants with right of survivorship and not as tenants in common Additional abbreviations may also be used though not in the above list. ________________ ASSIGNMENT For value received, the undersigned hereby sells, assigns and transfers unto _____________________________ the within Bond and all rights thereunder, and does hereby irrevocably constitute and appoint ______________________________ attorney to transfer the said Bond on the books kept for registration of the within Bond, with full power of substitution in the premises. Dated: NOTICE: The assignor’s signature to this assignment must correspond with the name as it appears upon the face of the within Bond in every particular, without alteration or enlargement or any change whatsoever. Signature Guaranteed: Signature(s) must be guaranteed by an “eligible guarantor institution” meeting the requirements of the Registrar, which requirements include membership or participation in STAMP or such other “signature guaranty program” as may be determined by the Registrar in addition to or in substitution for STAMP, all in accordance with the Securities Exchange Act of 1934, as amended. Please insert social security or other identifying number of assignee:______________________ 4880-7262-1312\4 EXHIBIT C NOTICE OF REDEMPTION $8,265,000 General Obligation Bonds, Series 2013A Dated October 10, 2013 Edina Minnesota NOTICE IS HEREBY GIVEN that the City of Edina, Minnesota (the “City”) has called for redemption and prepayment on February 1, 2022 (the “Redemption Date”), the outstanding bonds of the above-referenced issue maturing on February 1 in the following years, in the principal amounts and having the interest rates and CUSIP numbers listed below (the “Bonds”): Year Amount Interest Rate CUSIP Number* Year Amount Interest Rate CUSIP Number* 2023 $510,000 2.25% 280605 4K9 2027 $570,000 3.00% 280605 4P8 2024 525,000 3.00 280605 4L7 2028 585,000 3.00 280605 4Q6 2025 540,000 2.50 280605 4M5 2029 600,000 3.25 280605 4R4 2026 550,000 3.00 280605 4N3 2030 620,000 3.50 280605 4S2 *Denotes full call. The Bonds will be redeemed at a price of 100% of their principal amount plus accrued interest to the date of redemption. On the Redemption Date, interest thereon shall cease to accrue. Such redemption price will be payable upon each such bond on the next succeeding business day following the Redemption Date. A Form W-9, Payer's Request for Taxpayer Identification Number, must be completed and returned with the called Bond or 31% of the redemption proceeds will be withheld. Payment of bonds to be redeemed will be made on and after February 1, 2022, by submitting said Bond along with the completed form W-9 to U.S. Bank National Association at the following address: By Overnight Delivery or Hand: By Mail, Registered or Certified Mail: U.S. Bank National Association Corporate Trust Services 111 Fillmore Avenue East St. Paul, MN 55107 U.S. Bank National Association Corporate Trust Services P.O. Box 64111 St. Paul, MN 55164-0111 Pursuant to U.S. federal tax laws, you have a duty to provide the applicable type of tax certification form issued by the U.S. Internal Revenue Service (“IRS”) to U.S. Bank National Association Corporate Trust Services to ensure payments are reported accurately to you and to the IRS. In order to permit accurate withholding (or to prevent withholding), a complete and valid tax certification form must be received by U.S. Bank National Association Corporate Trust Services before payment of the redemption proceeds is made to you. Failure to timely provide a valid tax certification form as required will result in the maximum amount of U.S. withholding tax being deducted from any redemption payment that is made to you. The Registrar shall not be responsible for the selection of or use of the CUSIP numbers, nor is any representation made as to its correctness indicated in this Notice of Redemption. It is included solely for the convenience of the Holders. Additional information may be obtained from the undersigned or from Ehlers & Associates, Inc., 3060 Centre Point Drive, Roseville, Minnesota 55113-1105 (651-697-8500), municipal advisor to the City. Dated: ______________, 2021. BY ORDER OF THE CITY COUNCIL OF THE CITY OF EDINA, MINNESOTA By s/ Finance Director 4880-7262-1312\4 COUNTY AUDITOR’S CERTIFICATE AS TO REGISTRATION AND TAX LEVY The undersigned, being the duly qualified and acting County Auditor of Hennepin County, Minnesota, hereby certifies that there has been filed in my office a certified copy of a resolution duly adopted on November 16, 2021, by the City Council of the City of Edina, Minnesota, setting forth the form and details of an issue of $3,795,000 General Obligation Refunding Bonds, Series 2021B, dated as of December 16, 2021. I further certify that said Bonds have been entered on my bond register and the tax required by law for payment of the Bonds has been levied and filed, as required by Minnesota Statutes, Sections 475.61 to 475.63. WITNESS my hand and official seal this ______ day of _______________, 2021. County Auditor (SEAL) 4883-3709-0048\5 CERTIFICATION OF MINUTES RELATING TO $2,210,000 GENERAL OBLIGATION RECREATIONAL REVENUE REFUNDING BONDS, SERIES 2021C Issuer: City of Edina, Minnesota Governing Body: City Council Kind, date, time and place of meeting: A regular meeting held on November 16, 2021 at 7:00 o’clock P.M., at the City Hall, Edina, Minnesota. Members present: Members absent: Documents Attached: Minutes of said meeting (including): RESOLUTION NO. 2021-108 RESOLUTION AUTHORIZING ISSUANCE, AWARDING SALE, PRESCRIBING THE FORM AND DETAILS AND PROVIDING FOR THE PAYMENT OF $2,210,000 GENERAL OBLIGATION RECREATIONAL REVENUE REFUNDING BONDS, SERIES 2021C I, the undersigned, being the duly qualified and acting recording officer of the public corporation issuing the bonds referred to in the title of this certificate, certify that the documents attached hereto, as described above, have been carefully compared with the original records of said corporation in my legal custody, from which they have been transcribed; that said documents are a correct and complete transcript of the minutes of a meeting of the governing body of said corporation, and correct and complete copies of all resolutions and other actions taken and of all documents approved by the governing body at said meeting, so far as they relate to said bonds; and that said meeting was duly held by the governing body at the time and place and was attended throughout by the members indicated above, pursuant to call and notice of such meeting given as required by law. WITNESS my hand officially as such recording officer this ______ day of November, 2021. Sharon Allison, City Clerk 4883-3709-0048\5 It was reported that two (2) proposals had been received prior to 10:00 A.M., Central Time today for the purchase of the $2,210,000 General Obligation Recreational Revenue Refunding Bonds, Series 2021C of the City pursuant to the Preliminary Official Statement distributed to potential purchasers of the Bonds by Ehlers & Associates, Inc., municipal advisor to the City. The proposals have been read and tabulated, and the terms of each have been determined to be as follows: [See Attached] 4883-3709-0048\5 4883-3709-0048\5 Councilmember ___________________________ then introduced the following resolution and moved its adoption: RESOLUTION NO. ___________ RESOLUTION AUTHORIZING ISSUANCE, AWARDING SALE, PRESCRIBING THE FORM AND DETAILS AND PROVIDING FOR THE PAYMENT OF $2,210,000 GENERAL OBLIGATION RECREATIONAL REVENUE REFUNDING BONDS, SERIES 2021C BE IT RESOLVED by the City Council (the “Council”) of the City of Edina, Minnesota (the “City”), as follows: Section 1. Authorization and Sale. 1.01. Authorization of Bonds. The City has presently outstanding its General Obligation Bonds, Series 2012C (the “Series 2012C Bonds”), initially dated as of November 15, 2012, and reissued as of January 23, 2018 (the “Series 2012C Bonds”), its General Obligation Bonds, Series 2013B, dated, as originally issued, as of October 10, 2013 (the “Series 2013B Bonds”), its General Obligation Bonds, Series 2015B, dated, as originally issued, as of July 9, 2015 (the “Series 2015B Bonds”), its General Obligation Recreational Revenue Bonds, Series 2017B, dated, as originally issued, as of June 29, 2017 (the “Series 2017B Bonds”) and its General Obligation Recreational Revenue Refunding Bonds, Series 2017D, dated, as originally issued, as of December 20, 2017 (the “Series 2017D Bonds”) issued pursuant to Minnesota Laws 1961, Chapter 655 (the “Act”), and Minnesota Statutes, Chapter 475. The Series 2012C Bonds, the Series 2013B Bonds, the Series 2015B Bonds, the Series 2017B Bonds and the Series 2017D Bonds are payable primarily out of the net revenues to be derived from the municipal golf courses, ice arena, swimming pool and liquor stores of the City (the “Net Revenues”). This Council hereby determines that it is in the best interest of the City to issue its General Obligation Recreational Revenue Refunding Bonds, Series 2021C (the “Bonds”) pursuant to the Act, and Minnesota Statutes, Chapter 475, upon the terms and conditions hereinafter set forth, for the purpose of currently refunding the outstanding maturities (the “Refunded Maturities”) of the Series 2012C Bonds and Series 2013B Bonds. The proceeds of the Series 2012C Bonds were used to finance a portion of the City’s recreational facility improvements, including improvements to Braemar Ice Arena (the “Arena Improvements”), and the proceeds of the Series 2013B Bonds were used to finance recreational facility improvements, including the reconstruction of the Braemar golf dome in the City (the “Dome Improvements”; together with the Arena Improvements, the “Improvements”). The Refunded Maturities will be redeemed on February 1, 2022 (the “Redemption Date”), at a price of par plus accrued interest to the Redemption Date. The City anticipates substantial debt service savings to result from the refunding of the Refunded Maturities. -2- 4883-3709-0048\5 The portion of the Bonds ($1,660,000) that is being issued to refund the Series 2012C Bonds is herein referred to as the Series 2012C Refunding Bonds. The portion of the Bonds ($550,000) that is being issued to refund the Series 2013B Bonds is herein referred to as the Series 2013B Refunding Bonds. The Series 2015B Bonds, the Series 2017B Bonds, the Series 2017D Bonds and the Bonds are herein referred to as the “Outstanding Recreational Facilities Bonds.” Maturity schedules for each portion of the Bonds are attached hereto as Exhibit A. On the date hereof, this Council conducted a public hearing for purposes of complying with the requirements under the Tax Equity and Fiscal Responsibility Act of 1982 (“TEFRA”), pursuant to Section 147(f) of the Internal Revenue Code of 1986, as amended (the “Code”), on the proposal that the City issue the Bonds to refinance the Improvements. Notice of the public hearing was duly published as required by law in the Star Tribune, a newspaper of general circulation in the City, on November 9, 2021, which date is no fewer than seven days prior to the date hereof. The City hereby approves the issuance of the Bonds. 1.02. Sale of Bonds. The City has retained Ehlers & Associates, Inc. (“Ehlers”), as independent municipal advisors in connection with the sale of the Bonds. Pursuant to Minnesota Statutes, Section 475.60, subdivision 2, paragraph (9), the requirements as to public sale do not apply to the issuance of the Bonds. Pursuant to the Terms of Proposal and the Preliminary Official Statement prepared on behalf of the City by Ehlers, sealed or electronic proposals for the purchase of the Bonds were received at or before the time specified for receipt of proposals. The proposals have been opened and publicly read and considered and the purchase price, interest rates and net interest cost under the terms of each proposal have been determined. The most favorable proposal received is that of Robert W. Baird & Co., Inc., in Red Bank, New Jersey, and associates (the “Purchaser”), to purchase the Bonds in the principal amount of $2,210,000 at a purchase price of $2,386,184.63, on the further terms and conditions hereinafter set forth. 1.03. Award. The proposal is hereby accepted, and the Mayor and the City Manager are hereby authorized and directed to execute a contract on the part of the City for the sale of the Bonds with the Purchaser in accordance with the Terms of Proposal. The good faith deposit of the Purchaser shall be retained and deposited by the City until the Bonds have been delivered and shall be deducted from the purchase price paid at settlement. 1.04. Performance of Requirements. All acts, conditions and things which are required by the Constitution and laws of the State of Minnesota, including the Act and Minnesota Statutes, Chapter 475, to exist, to happen and to be performed precedent to and in the valid issuance of the Bonds having been done, now existing, having happened and having been performed, it is now necessary for the Council to establish the form and terms of the Bonds, to provide security therefor and to issue the Bonds forthwith. Section 2. Bond Terms; Registration; Execution and Delivery. 2.01. Maturities; Interest Rates; Denominations; Payment. The Bonds shall be designated General Obligation Recreational Revenue Refunding Bonds, Series 2021C, shall be originally dated as of December 16, 2021, shall be in the denomination of $5,000 each, or any -3- 4883-3709-0048\5 integral multiple thereof, shall mature on February 1 in the respective years and amounts stated below, and shall bear interest, computed on the basis of a 360-day year consisting of twelve 30- day months, from December 16, 2021, until paid or duly called for redemption at the respective annual rates set forth opposite such years and amounts, as follows: Date Amount Rate Date Amount Rate 2023 $200,000 3.00% 2029 $240,000 3.00% 2024 210,000 3.00 2030 160,000 3.00 2025 215,000 3.00 2031 165,000 2.00 2026 225,000 3.00 2032 165,000 2.00 2027 225,000 3.00 2033 170,000 2.00 2028 235,000 3.00 The Bonds shall be issuable only in fully registered form. The interest thereon and, upon surrender of each Bond, the principal amount thereof, shall be payable by check or draft issued by the Registrar for the Bonds appointed herein. 2.02. Interest Payment Dates. Each Bond shall be dated by the Registrar as of the date of its authentication. The interest on the Bonds shall be payable on February 1 and August 1 in each year, commencing August 1, 2022, to the owner of record thereof as of the close of business on the fifteenth day of the immediately preceding month, whether or not such day is a business day. 2.03. Registration. The City shall appoint, and shall maintain, a bond registrar, transfer agent and paying agent (the “Registrar”). The effect of registration and the rights and duties of the City and the Registrar with respect thereto shall be as follows: (a) Register. The Registrar shall keep at its principal corporate trust office a bond register in which the Registrar shall provide for the registration of ownership of Bonds and the registration of transfers and exchanges of Bonds entitled to be registered, transferred or exchanged. (b) Transfer of Bonds. Upon surrender for transfer of any Bond duly endorsed by the registered owner thereof or accompanied by a written instrument of transfer, in form satisfactory to the Registrar, duly executed by the registered owner thereof or by an attorney duly authorized by the registered owner in writing, the Registrar shall authenticate and deliver, in the name of the designated transferee or transferees, one or more new Bonds of a like aggregate principal amount and maturity, as requested by the transferor. The Registrar may, however, close the books for registration of any transfer after the fifteenth day of the month preceding each interest payment date and until such interest payment date. (c) Exchange of Bonds. Whenever any Bonds are surrendered by the registered owner for exchange the Registrar shall authenticate and deliver one or more new Bonds of a like aggregate principal amount and maturity, as requested by the registered owner or the owner’s attorney in writing. -4- 4883-3709-0048\5 (d) Cancellation. All Bonds surrendered upon any transfer or exchange shall be promptly canceled by the Registrar and thereafter disposed of as directed by the City. (e) Improper or Unauthorized Transfer. When any Bond is presented to the Registrar for transfer, the Registrar may refuse to transfer the same until it is satisfied that the endorsement on such Bond or separate instrument of transfer is valid and genuine and that the requested transfer is legally authorized. The Registrar shall incur no liability for the refusal, in good faith, to make transfers which it, in its judgment, deems improper or unauthorized. (f) Persons Deemed Owners. The City and the Registrar may treat the person in whose name any Bond is at any time registered in the bond register as the absolute owner of such Bond, whether such Bond shall be overdue or not, for the purpose of receiving payment of, or on account of, the principal of and interest on such Bond and for all other purposes, and all such payments so made to any such registered owner or upon the owner’s order shall be valid and effectual to satisfy and discharge the liability upon such Bond to the extent of the sum or sums so paid. (g) Taxes, Fees and Charges. For every transfer or exchange of Bonds (except for an exchange upon a partial redemption of a Bond), the Registrar may impose a charge upon the owner thereof sufficient to reimburse the Registrar for any tax, fee or other governmental charge required to be paid with respect to such transfer or exchange. (h) Mutilated, Lost, Stolen or Destroyed Bonds. In case any Bond shall become mutilated or be destroyed, stolen or lost, the Registrar shall deliver a new Bond of like amount, number, maturity date and tenor in exchange and substitution for and upon cancellation of any such mutilated Bond or in lieu of and in substitution for any such Bond destroyed, stolen or lost, upon the payment of the reasonable expenses and charges of the Registrar in connection therewith; and, in the case of a Bond destroyed, stolen or lost, upon filing with the Registrar of evidence satisfactory to it that such Bond was destroyed, stolen or lost, and of the ownership thereof, and upon furnishing to the Registrar of an appropriate bond or indemnity in form, substance and amount satisfactory to it, in which both the City and the Registrar shall be named as obligees. All Bonds so surrendered to the Registrar shall be canceled by it and evidence of such cancellation shall be given to the City. If the mutilated, destroyed, stolen or lost Bond has already matured or been called for redemption in accordance with its terms it shall not be necessary to issue a new Bond prior to payment. (i) Authenticating Agent. The Registrar is hereby designated authenticating agent for the Bonds, within the meaning of Minnesota Statutes, Section 475.55, Subdivision 1, as amended. (j) Valid Obligations. All Bonds issued upon any transfer or exchange of Bonds shall be the valid obligations of the City, evidencing the same debt, and entitled to the same benefits under this Resolution as the Bonds surrendered upon such transfer or exchange. -5- 4883-3709-0048\5 2.04. Appointment of Registrar and Paying Agent. The City hereby appoints U.S. Bank National Association in St. Paul, Minnesota, as the initial Registrar. The Mayor and City Manager are authorized to execute and deliver, on behalf of the City, a contract with U.S. Bank National Association, as Registrar. Upon merger or consolidation of the Registrar with another corporation, if the resulting corporation is a bank or trust company authorized by law to conduct such business, such corporation shall be authorized to act as successor Registrar. The City agrees to pay the reasonable and customary charges of the Registrar for the services performed. The City reserves the right to remove any Registrar upon thirty (30) days’ notice and upon the appointment of a successor Registrar, in which event the predecessor Registrar shall deliver all cash and Bonds in its possession to the successor Registrar. 2.05. Redemption. Bonds maturing on February 1, 2031 and thereafter shall be subject to redemption and prepayment at the option of the City, in whole or in part, in such order as the City shall determine and by lot as to Bonds having the same maturity date, on February 1, 2030 and on any date thereafter (whether or not an interest payment date), at a price equal to the principal amount thereof and accrued interest to the date of redemption. Prior to the date specified for the redemption of any Bond prior to its stated maturity date, the City will cause notice of the call for redemption to be published if and as required by law, and, at least thirty days prior to the designated redemption date, will cause notice of the call to be mailed by first class mail (or, if applicable, provided in accordance with the operational arrangements of the bond depository), to the registered owner of any Bond to be redeemed at the owner’s address as it appears on the Bond Register maintained by the Registrar, but no defect in or failure to give such mailed notice of redemption shall affect the validity of proceedings for the redemption of any Bond not affected by such defect or failure. Official notice of redemption having been given as aforesaid, the Bonds or portions of Bonds so to be redeemed shall, on the redemption date, become due and payable at the redemption price therein specified, and from and after such date (unless the City shall default in the payment of the redemption price) such Bonds or portions of such Bonds shall cease to bear interest. Upon partial redemption of any Bond, a new Bond or Bonds will be delivered to the registered owner without charge, representing the remaining principal amount outstanding. 2.06. Execution, Authentication and Delivery. The Bonds shall be prepared under the direction of the City Finance Director and shall be executed on behalf of the City by the signatures of the Mayor and the City Manager, provided that all signatures may be printed, engraved or lithographed facsimiles of the originals. In case any officer whose signature or a facsimile of whose signature shall appear on the Bonds shall cease to be such officer before the delivery of any Bond, such signature or facsimile shall nevertheless be valid and sufficient for all purposes, the same as if he or she had remained in office until delivery. Notwithstanding such execution, no Bond shall be valid or obligatory for any purpose or entitled to any security or benefit under this Resolution unless and until a certificate of authentication on such Bond has been duly executed by the manual signature of an authorized representative of the Registrar. Certificates of authentication on different Bonds need not be signed by the same representative. The executed certificate of authentication on each Bond shall be conclusive evidence that it has been authenticated and delivered under this Resolution. When the Bonds have been so prepared, executed and authenticated, the City Finance Director shall deliver them to the Purchaser upon -6- 4883-3709-0048\5 payment of the purchase price in accordance with the contract of sale heretofore made and executed, and the Purchaser shall not be obligated to see to the application of the purchase price. 2.07. Form of Bonds. The Bonds shall be typed or printed in substantially the form attached hereto as Exhibit B. 2.08. Use of Securities Depository; Book-Entry Only System. The provisions of this Section shall take precedence over the provisions of Sections 2.01 through 2.07 to the extent they are inconsistent therewith. (a) The Depository Trust Company (“DTC”) has agreed to act as securities depository for the Bonds, and to provide a Book-Entry Only System for registering the ownership interest of the financial institutions for which it holds the Bonds (the “DTC Participants”), and for distributing to such DTC Participants such amount of the principal and interest payments on the Bonds as they are entitled to receive, for redistribution to the beneficial owners of the Bonds as reflected in their records (the “Beneficial Owners”). (b) Initially, and so long as DTC or another qualified entity continues to act as securities depository, the Bonds shall be issued in typewritten form, one for each maturity in a principal amount equal to the aggregate principal amount of each maturity, shall be registered in the name of the securities depository or its nominee, shall be subject to the provisions of this Section 2.08, and no Beneficial Owner shall have the right to receive a certificate of ownership or printed Bond. While DTC is acting as the securities depository, the Bonds shall be registered in the name of the DTC’s nominee, CEDE & CO; provided that upon delivery by DTC to the City and the Registrar of written notice to the effect that DTC has determined to substitute a new nominee in place of CEDE & CO., the words “CEDE & CO.” in this Resolution shall refer to such new nominee of DTC. With respect to Bonds registered in the name of a securities depository or its nominee, the City and the Registrar shall have no responsibility or obligation to any DTC Participant or Beneficial Owner with respect to the following: (i) the accuracy of the records of any securities depository or its nominee with respect to any ownership interest in the Bonds, (ii) the delivery to any DTC Participant or other person or any other person, other than DTC, of any notice with respect to the Bonds, including any notice of redemption, or (iii) the payment to any DTC Participant or any other person, other than DTC, of any amount with respect to the principal of or premium, if any, or interest on the Bonds. The Registrar shall pay all principal of and premium, if any, and interest on the Bonds only to or upon the order of DTC, and all such payments shall be valid and effective to fully satisfy and discharge the City’s obligations with respect to the principal and interest on the Bonds to the extent of the sum or sums so paid. So long as the Book-Entry Only System is in effect, no person other than DTC shall receive an authenticated Bond. (c) Upon receipt by the City and the Registrar of written notice from the securities depository to the effect that it is unable or unwilling to discharge its responsibilities under the Book-Entry Only System, the Registrar shall issue, transfer and exchange Bonds of the initial series as requested by the securities depository in appropriate amounts, and whenever the securities depository requests the City and the Registrar to do so, the City and the Registrar shall cooperate with the securities depository in taking appropriate action after reasonable notice (i) to -7- 4883-3709-0048\5 arrange for a substitute depository willing and able, upon reasonable and customary terms, to maintain custody of the Bonds, or (ii) to make available Bonds registered in whatever name or names the Beneficial Owner registering ownership transferring or exchanging such Bonds shall designate, in accordance with clause (f) or clause (g) below, whichever is applicable. (d) In the event the City determines that it is in the best interests of the Beneficial Owner that they be able to obtain printed Bonds, the City may so notify the securities depository and the Registrar, whereupon the securities depository shall notify the Beneficial Owners of the availability through the securities depository of such printed Bonds. In such event, the City shall cause to be prepared and the Registrar shall issue, transfer and exchange the printed Bonds fully executed and authenticated, as requested by the securities depository in appropriate amounts and, whenever the securities depository requests, the City and the Registrar shall cooperate with the securities depository in taking appropriate action after reasonable notice to make available printed Bonds registered on the Bond Register in whatever name or names the Beneficial Owners entitled to receive Bonds shall designate, in accordance with clause (f) or clause (g) below, whichever is applicable. (e) Notwithstanding any other provisions of this Resolution to the contrary, so long as any Bond is registered in the name of a securities depository or its nominee, all payments of principal and interest on the Bond and all notices with respect to the Bond shall be made and given, respectively, to the securities depository. (f) In the event that the Book-Entry Only System established pursuant to this Section is discontinued, except as provided in clause (g), the Bonds shall be issued through the securities depository to the Beneficial Owners. (g) In the event of termination of the Book-Entry Only System, the City shall have the right to terminate, and shall take all steps necessary to terminate, all arrangements with the securities depository described herein, and thereafter shall issue, register ownership of, transfer and exchange all Bonds as provided in Section 2.03. Upon receipt by the securities depository of notice from the City, the securities depository shall take all actions necessary to assist the City and the Registrar in terminating all arrangements for the issuance of documents evidencing ownership interests in the Bonds through the securities depository. Nothing herein shall affect the securities depository’s rights under clause (e) above. Section 3. Use of Proceeds; Refunding. (a) Proceeds of the Series 2012C Refunding Bonds in the amount of $1,765,000.00 shall be deposited in the sinking fund established for the Series 2012C Bonds to be applied to their payment on the Redemption Date, proceeds of the Series 2012C Refunding Bonds in the amount of $21,970.60 shall be used to pay costs of issuance of the Series 2012C Refunding Bonds, and proceeds of the Series 2012C Refunding Bonds in the amount of $1,445.95 shall be deposited in the Bond Fund described in Section 4. (b) Proceeds of the Series 2013B Refunding Bonds in the amount of $590,000.00 shall be deposited in the sinking fund established for the Series 2013B Bonds to be applied to their payment on the Redemption Date, proceeds of the Series -8- 4883-3709-0048\5 2013B Refunding Bonds in the amount of $7,279.40 shall be used to pay costs of issuance of the Series 2013B Refunding Bonds, and proceeds of the Series 2013B Refunding Bonds in the amount of $488.68 shall be deposited in the Bond Fund described in Section 4. Section 4. General Obligation Recreational Revenue Refunding Bonds, Series 2021C Bond Fund. The Bonds shall be payable from a separate General Obligation Recreational Revenue Refunding Bonds, Series 2021C Bond Fund (the “Bond Fund”) of the City, which shall be created and maintained on the books of the City as a separate debt redemption fund until the Bonds, and all interest thereon, are fully paid. There shall be credited to the Bond Fund the following: (a) Those amounts directed to be deposited in the Bond Fund pursuant to Section 3(a) and Section 3(b) above, and any amounts in excess of the amount required to accomplish the refundings described in Section 3; (b) All collections of any taxes levied for the payment of the principal of or interest on the Bonds, and all other money which may at any time be received for or appropriated to the payment of the principal of or interest on the Bonds, including the Net Revenues herein pledged and appropriated to the Bond Fund, as and to the extent described in Section 5.01; (c) The sum of $231,597 transferred from reserve funds established for the Series 2012C Bonds and Series 2013B Bonds with Net Revenues shall be credited to a separate subaccount in the Bond Fund as a reserve for the Bonds as required by the Act, which amount equals the average annual amount of principal and interest to become due on the Bonds and is required to be deposited therein pursuant to the Act; and (d) Any other funds appropriated by the City for the payment of the Bonds. The principal of and interest on the Bonds shall be payable from the Bond Fund, and the money on hand in the Bond Fund from time to time shall be used only to pay the principal of and interest on the Bonds. On or before each principal and interest payment date for the Bonds, the City Manager is directed to remit to the Registrar from funds on deposit in the Bond Fund the amount needed to pay principal and interest on the Bonds on the next succeeding principal and interest payment date. There are hereby established two accounts in the Bond Fund, designated as the “Debt Service Account” and the “Surplus Account.” There shall initially be deposited into the Debt Service Account upon the issuance of the Bonds the amount set forth in clause (a) above. Thereafter, during each bond year (each twelve month period commencing on February 2 and ending on the following February 1, a “Bond Year”), as monies are received into the Bond Fund, the City Manager shall first deposit such monies into the Debt Service Account until an amount has been appropriated thereto sufficient to pay all principal and interest due on the Bonds through the end of the Bond Year. All subsequent monies received in the Bond Fund during the Bond Year shall be appropriated to the Surplus Account. If at any time the amount on hand in the Debt Service Account is insufficient for the payment of principal and interest then due, the City Manager shall transfer to the Debt Service Account amounts on hand in the Surplus -9- 4883-3709-0048\5 Account to the extent necessary to cure such deficiency. Investment earnings (and losses) on amounts from time to time held in the Debt Service Account and Surplus Account shall be credited or charged to said accounts. If the balance in the Bond Fund is at any time insufficient to pay all interest and principal then due on all Bonds payable therefrom, the payment shall be made from any fund of the City which is available for that purpose, subject to reimbursement from the Surplus Account when the balance therein is sufficient, and the City covenants and agrees that it will each year levy a sufficient amount of ad valorem taxes to take care of any accumulated or anticipated deficiency, which levy is not subject to any constitutional or statutory limitation. Section 5. Levy of Special Assessments; Full Faith and Credit Pledged. 5.01. Pledge of Net Revenues. The Net Revenues are hereby irrevocably pledged and appropriated to the payment of the Bonds and interest thereon when due and the maintenance of the reserve account required by the Act. The pledge of the Net Revenues to the payment of the Bonds and maintenance of the reserve account is on a parity with the pledge of the Net Revenues to the payment of the Outstanding Recreational Facilities Bonds. Nothing herein shall preclude the City from hereafter making further pledges and appropriations of the Net Revenues for payment of additional obligations of the City hereafter authorized if the Council determines before the authorization of such additional obligations that the estimated Net Revenues will be sufficient, together with any other sources pledged to the payment of the Outstanding Recreational Facilities Bonds and additional obligations, for payment of the Bonds, the Outstanding Recreational Facilities Bonds and such additional obligations. Such further pledges and appropriations of Net Revenues may be made superior or subordinate to, or on a parity with, the pledge and appropriation herein made. 5.02. Full Faith and Credit Pledged. For the prompt and full payment of the principal of and interest on the Bonds as such payments respectively become due, the full faith, credit and unlimited taxing powers of the City shall be and are hereby irrevocably pledged. It is, however, presently estimated that the funds appropriated pursuant to Section 5.01 hereof will provide sums not less than 5% in excess of principal and interest on the Bonds when due, and therefore no tax levy is presently required. Section 6. Reserved. Section 7. Defeasance. When all of the Bonds have been discharged as provided in this section, all pledges, covenants and other rights granted by this Resolution to the holders of the Bonds shall cease. The City may discharge its obligations with respect to any Bonds which are due on any date by depositing with the Registrar on or before that date a sum sufficient for the payment thereof in full; or, if any Bond should not be paid when due, it may nevertheless be discharged by depositing with the Registrar a sum sufficient for the payment thereof in full with interest accrued from the due date to the date of such deposit. The City may also discharge its obligations with respect to any prepayable Bonds called for redemption on any date when they are prepayable according to their terms, by depositing with the Registrar on or before that date an amount equal to the principal, interest and redemption premium, if any, which are then due, provided that notice of such redemption has been duly given as provided herein. The City may also at any time discharge its obligations with respect to any Bonds, subject to the provisions of -10- 4883-3709-0048\5 law now or hereafter authorizing and regulating such action, by depositing irrevocably in escrow, with a bank qualified by law as an escrow agent for this purpose, cash or securities which are authorized by law to be so deposited, bearing interest payable at such time and at such rates and maturing or callable at the holder’s option on such dates as shall be required to pay all principal, interest and redemption premiums to become due thereon to maturity or said redemption date. Section 8. County Auditor Registration, Certification of Proceedings, Investment of Money, Arbitrage and Official Statement. 8.01. County Auditor Registration. The City Clerk is hereby authorized and directed to file a certified copy of this Resolution with the County Auditor of Hennepin County, together with such other information as the County Auditor shall require, and to obtain from said County Auditor a certificate that the Bonds have been entered on such officer’s bond register as required by law. 8.02. Certification of Proceedings. The officers of the City and the County Auditor of Hennepin County are hereby authorized and directed to prepare and furnish to the Purchaser and to Dorsey & Whitney LLP, Bond Counsel to the City, certified copies of all proceedings and records of the City, and such other affidavits, certificates and information as may be required to show the facts relating to the legality and marketability of the Bonds as the same appear from the books and records under their custody and control or as otherwise known to them, and all such certified copies, certificates and affidavits, including any heretofore furnished, shall be deemed representations of the City as to the facts recited therein. 8.03. Covenant. The City covenants and agrees with the registered owners of the Bonds, that it will not take, or permit to be taken by any of its officers, employees or agents, any action which would cause the interest payable on the Bonds to become subject to taxation under the Internal Revenue Code of 1986, as amended (the “Code”) and Regulations promulgated thereunder (the “Regulations”) as are enacted or promulgated and in effect on the date of issuance of the Bonds, and covenants to take any and all actions within its powers to ensure that the interest on the Bonds will not become includable in gross income of the recipient under the Code and the Regulations. The facilities refinanced by the Bonds shall at all times during the term of the Bonds be owned and maintained by the City and the City shall not enter into any lease, use agreement, management agreement, capacity agreement or other agreement or contract with any nongovernmental person relating to the use of the facilities financed by the Bonds, or security for the payment of the Bonds which might cause the Bonds to be considered “private activity bonds” or “private loan bonds” pursuant to Section 141 of the Code, provided that, as approved following a public hearing held December 19, 2017, the Arena Improvements may be used by ISD 273 (Edina), qualified 501(c)(3) organizations including but not limited to the Edina Hockey Association and Braemar City of Lakes Figure Skating Club, as well as members of the general public. 8.04. Arbitrage Certification. The Mayor and the City Manager, being the officers of the City charged with the responsibility for issuing the Bonds pursuant to this Resolution, are authorized and directed to execute and deliver to the Purchaser a certification in accordance with the provisions of Section 148 of the Code, and the Regulations, stating the facts, estimates and circumstances in existence on the date of issue and delivery of the Bonds which make it -11- 4883-3709-0048\5 reasonable to expect that the proceeds of the Bonds will not be used in a manner that would cause the Bonds to be arbitrage bonds within the meaning of the Code and Regulations. 8.05. Arbitrage Rebate. The City shall take such actions as are required to comply with the arbitrage rebate requirements of paragraphs (2) and (3) of Section 148(f) of the Code. 8.06. Official Statement. The Preliminary Official Statement relating to the Bonds, prepared and distributed on behalf of the City by Ehlers and Associates, Inc., is hereby approved. Ehlers is hereby authorized on behalf of the City to prepare and distribute to the Purchaser a Final Official Statement listing the offering price, the interest rates, other information relating to the Bonds required to be included in the Official Statement by Rule 15c2-12 adopted by the Securities and Exchange Commission under the Securities Exchange Act of 1934. Within seven business days from the date hereof, the City shall deliver to the Purchaser a reasonable number of copies of the Final Official Statement. The officers of the City are hereby authorized and directed to execute such certificates as may be appropriate concerning the accuracy, completeness and sufficiency of the Final Official Statement. 8.07. Not Qualified Tax-Exempt Obligations. The Bonds are not “qualified tax-exempt obligations” for purposes of Section 265(b)(3) of the Code. Section 9. Continuing Disclosure. (a) Purpose and Beneficiaries. To provide for the public availability of certain information relating to the Bonds and the security therefor and to permit the Purchaser and other participating underwriters in the primary offering of the Bonds to comply with amendments to Rule 15c2-12 promulgated by the SEC under the Securities Exchange Act of 1934 (17 C.F.R. § 240.15c2-12), relating to continuing disclosure (as in effect and interpreted from time to time, the Rule), which will enhance the marketability of the Bonds, the City hereby makes the following covenants and agreements for the benefit of the Owners (as hereinafter defined) from time to time of the Outstanding Bonds. The City is the only obligated person in respect of the Bonds within the meaning of the Rule for purposes of identifying the entities in respect of which continuing disclosure must be made. If the City fails to comply with any provisions of this section, any person aggrieved thereby, including the Owners of any Outstanding Bonds, may take whatever action at law or in equity may appear necessary or appropriate to enforce performance and observance of any agreement or covenant contained in this section, including an action for a writ of mandamus or specific performance. Direct, indirect, consequential and punitive damages shall not be recoverable for any default hereunder to the extent permitted by law. Notwithstanding anything to the contrary contained herein, in no event shall a default under this section constitute a default under the Bonds or under any other provision of this resolution. As used in this section, Owner or Bondowner means, in respect of a Bond, the registered owner or owners thereof appearing in the bond register maintained by the Registrar or any Beneficial Owner (as hereinafter defined) thereof, if such Beneficial Owner provides to the Registrar evidence of such beneficial ownership in form and substance reasonably satisfactory to the Registrar. As used herein, Beneficial Owner means, in respect of a Bond, any person or entity which (i) has the power, directly or indirectly, to vote or consent with respect to, or to dispose of ownership of, such Bond (including persons or entities holding Bonds through nominees, depositories or other intermediaries), or (ii) is treated as the owner of the Bond for federal income tax purposes. -12- 4883-3709-0048\5 (b) Information To Be Disclosed. The City will provide, in the manner set forth in subsection (c) hereof, either directly or indirectly through an agent designated by the City, the following information at the following times: (1) on or before twelve months after the end of each fiscal year of the City, commencing with the fiscal year ending December 31, 2021, the following financial information and operating data in respect of the City (the Disclosure Information): (A) the audited financial statements of the City for such fiscal year, prepared in accordance with the governmental accounting standards promulgated by the Governmental Accounting Standards Board or as otherwise provided under Minnesota law, as in effect from time to time, or, if and to the extent such financial statements have not been prepared in accordance with such generally accepted accounting principles for reasons beyond the reasonable control of the City, noting the discrepancies therefrom and the effect thereof, and certified as to accuracy and completeness in all material respects by the fiscal officer of the City; and (B) to the extent not included in the financial statements referred to in paragraph (A) hereof, the information for such fiscal year or for the period most recently available of the type contained in the Official Statement under headings: “VALUATIONS—Current Property Valuations,” “DEBT—Direct Debt,” and “TAX RATES, LEVIES AND COLLECTIONS—Tax Levies and Collections” and “GENERAL INFORMATION—US Census Data-Population Trend” and “— Employment / Unemployment Data,” which information may be unaudited. Notwithstanding the foregoing paragraph, if the audited financial statements are not available by the date specified, the City shall provide on or before such date unaudited financial statements in the format required for the audited financial statements as part of the Disclosure Information and, within 10 days after the receipt thereof, the City shall provide the audited financial statements. Any or all of the Disclosure Information may be incorporated by reference, if it is updated as required hereby, from other documents, including official statements, which have been filed with the SEC or have been made available to the public on the Internet Web site of the Municipal Securities Rulemaking Board (MSRB). If the document incorporated by reference is a final official statement, it must be available from the MSRB. The City shall clearly identify in the Disclosure Information each document so incorporated by reference. If any part of the Disclosure Information can no longer be generated because the operations of the City have materially changed or been discontinued, such Disclosure Information need no longer be provided if the City includes in the Disclosure Information a statement to such effect; provided, however, if such operations have been replaced by other City operations in respect of which data is not included in the Disclosure Information and the City determines that certain specified data regarding such replacement operations would be a Material Fact (as defined in paragraph (2) hereof), then, from and after such determination, the Disclosure Information shall include such additional specified data regarding the replacement operations. If the Disclosure Information is -13- 4883-3709-0048\5 changed or this section is amended as permitted by this paragraph (b)(1) or subsection (d), then the City shall include in the next Disclosure Information to be delivered hereunder, to the extent necessary, an explanation of the reasons for the amendment and the effect of any change in the type of financial information or operating data provided. (2) In a timely manner not in excess of ten business days after the occurrence of the event, notice of the occurrence of any of the following events (each a Material Fact): (A) Principal and interest payment delinquencies; (B) Non-payment related defaults, if material; (C) Unscheduled draws on debt service reserves reflecting financial difficulties; (D) Unscheduled draws on credit enhancements reflecting financial difficulties; (E) Substitution of credit or liquidity providers, or their failure to perform; (F) Adverse tax opinions, the issuance by the Internal Revenue Service of proposed or final determinations of taxability, Notices of Proposed Issue (IRS Form 5701-TEB) or other material notices or determinations with respect to the tax status of the security, or other material events affecting the tax status of the security; (G) Modifications to rights of security holders, if material; (H) Bond calls, if material, and tender offers; (I) Defeasances; (J) Release, substitution, or sale of property securing repayment of the securities, if material; (K) Rating changes; (L) Bankruptcy, insolvency, receivership or similar event of the obligated person; (M) The consummation of a merger, consolidation, or acquisition involving an obligated person or the sale of all or substantially all of the assets of the obligated person, other than in the ordinary course of business, the entry into a definitive agreement to undertake such an action or the termination of a definitive agreement relating to any such actions, other than pursuant to its terms, if material; (N) Appointment of a successor or additional trustee or the change of name of a trustee, if material; (O) Incurrence of a financial obligation of the obligated person, if material, or agreement to covenants, events of default, remedies, priority rights, or other similar terms of a financial obligation of the obligated person, any of which affect security holders, if material; and (P) Default, event of acceleration, termination event, modification of terms, or other similar events under the terms of a financial obligation of the obligated person, any of which reflect financial difficulties. For purposes of the events identified in paragraphs (O) and (P) above, the term “financial obligation” means (i) a debt obligation; (ii) a derivative instrument entered into in connection -14- 4883-3709-0048\5 with, or pledged as security or a source of payment for, an existing or planned debt obligation; or (iii) a guarantee of (i) or (ii). The term “financial obligation” shall not include municipal securities as to which a final official statement has been provided to the MSRB consistent with the Rule. As used herein, for those events that must be reported if material, an event is “material” if it is an event as to which a substantial likelihood exists that a reasonably prudent investor would attach importance thereto in deciding to buy, hold or sell a Bond or, if not disclosed, would significantly alter the total information otherwise available to an investor from the Official Statement, information disclosed hereunder or information generally available to the public. Notwithstanding the foregoing sentence, an event is also “material” if it is an event that would be deemed material for purposes of the purchase, holding or sale of a Bond within the meaning of applicable federal securities laws, as interpreted at the time of discovery of the occurrence of the event. For the purposes of the event identified in (L) hereinabove, the event is considered to occur when any of the following occur: the appointment of a receiver, fiscal agent or similar officer for an obligated person in a proceeding under the U.S. Bankruptcy Code or in any other proceeding under state or federal law in which a court or governmental authority has assumed jurisdiction over substantially all of the assets or business of the obligated person, or if such jurisdiction has been assumed by leaving the existing governing body and officials or officers in possession but subject to the supervision and orders of a court or governmental authority, or the entry of an order confirming a plan of reorganization, arrangement or liquidation by a court or governmental authority having supervision or jurisdiction over substantially all of the assets or business of the obligated person. (3) In a timely manner, notice of the occurrence of any of the following events or conditions: (A) the failure of the City to provide the Disclosure Information required under paragraph (b)(1) at the time specified thereunder; (B) the amendment or supplementing of this section pursuant to subsection (d), together with a copy of such amendment or supplement and any explanation provided by the City under subsection (d)(2); (C) the termination of the obligations of the City under this section pursuant to subsection (d); (D) any change in the accounting principles pursuant to which the financial statements constituting a portion of the Disclosure Information are prepared; and (E) any change in the fiscal year of the City. (c) Manner of Disclosure. (1) The City agrees to make available to the MSRB, in an electronic format as prescribed by the MSRB from time to time, the information described in subsection (b). -15- 4883-3709-0048\5 (2) All documents provided to the MSRB pursuant to this subsection (c) shall be accompanied by identifying information as prescribed by the MSRB from time to time. (d) Term; Amendments; Interpretation. (1) The covenants of the City in this section shall remain in effect so long as any Bonds are Outstanding. Notwithstanding the preceding sentence, however, the obligations of the City under this section shall terminate and be without further effect as of any date on which the City delivers to the Registrar an opinion of Bond Counsel to the effect that, because of legislative action or final judicial or administrative actions or proceedings, the failure of the City to comply with the requirements of this section will not cause participating underwriters in the primary offering of the Bonds to be in violation of the Rule or other applicable requirements of the Securities Exchange Act of 1934, as amended, or any statutes or laws successory thereto or amendatory thereof. (2) This section (and the form and requirements of the Disclosure Information) may be amended or supplemented by the City from time to time, without notice to (except as provided in paragraph (c)(3) hereof) or the consent of the Owners of any Bonds, by a resolution of this Council filed in the office of the recording officer of the City accompanied by an opinion of Bond Counsel, who may rely on certificates of the City and others and the opinion may be subject to customary qualifications, to the effect that: (i) such amendment or supplement (a) is made in connection with a change in circumstances that arises from a change in law or regulation or a change in the identity, nature or status of the City or the type of operations conducted by the City, or (b) is required by, or better complies with, the provisions of paragraph (b)(5) of the Rule; (ii) this section as so amended or supplemented would have complied with the requirements of paragraph (b)(5) of the Rule at the time of the primary offering of the Bonds, giving effect to any change in circumstances applicable under clause (i)(a) and assuming that the Rule as in effect and interpreted at the time of the amendment or supplement was in effect at the time of the primary offering; and (iii) such amendment or supplement does not materially impair the interests of the Bondowners under the Rule. If the Disclosure Information is so amended, the City agrees to provide, contemporaneously with the effectiveness of such amendment, an explanation of the reasons for the amendment and the effect, if any, of the change in the type of financial information or operating data being provided hereunder. (3) This section is entered into to comply with the continuing disclosure provisions of the Rule and should be construed so as to satisfy the requirements of paragraph (b)(5) of the Rule. Section 10. Authorization of Payment of Certain Costs of Issuance of the Bonds. The City authorizes the Purchaser to forward the amount of Bond proceeds allocable to the payment -16- 4883-3709-0048\5 of issuance expenses to Wells Fargo Bank, National Association, on the closing date for further distribution as directed by the City’s municipal advisor, Ehlers & Associates, Inc. Section 11. Notice of Redemption. The City Finance Director is hereby directed to advise U.S. Bank National Association, St. Paul, Minnesota, as paying agent for both the Series 2012C and 2013B Bonds, to call the Refunded Maturities for redemption and prepayment on the Redemption Date, substantially in the forms attached hereto as Exhibit C-1 and Exhibit C-2, all in accordance with the provisions of the resolutions authorizing the issuance of the Series 2012C and 2013B Bonds. -17- 4883-3709-0048\5 Adopted this ___ day of November, 2021. Mayor Attest: City Clerk The motion for the adoption of the foregoing resolution was duly seconded by Councilmember ______________________ and upon vote being taken thereon, the following voted in favor thereof: and the following voted against the same: whereupon said resolution was declared duly passed and adopted. A-1 4883-3709-0048\5 EXHIBIT A Maturity Schedule Year Series 2012C Refunding Bonds Series 2013B Refunding Bonds Total 2023 $ 130,000 $ 70,000 $200,000 2024 135,000 75,000 210,000 2025 140,000 75,000 215,000 2026 145,000 80,000 225,000 2027 145,000 80,000 225,000 2028 150,000 85,000 235,000 2029 155,000 85,000 240,000 2030 160,000 -- 160,000 2031 165,000 -- 165,000 2032 165,000 -- 165,000 2033 170,000 -- 170,000 $1,660,000 $550,000 $2,210,000 B-1 4883-3709-0048\5 EXHIBIT B BOND FORM UNITED STATES OF AMERICA STATE OF MINNESOTA COUNTY OF HENNEPIN CITY OF EDINA GENERAL OBLIGATION RECREATIONAL REVENUE REFUNDING BOND, SERIES 2021C R-___ $_________ Interest Rate Maturity Date Date of Original Issue CUSIP __% February 1, 20___ December 16, 2021 REGISTERED OWNER: CEDE & CO. PRINCIPAL AMOUNT: THOUSAND DOLLARS THE CITY OF EDINA, Hennepin County, Minnesota (the “City”), acknowledges itself to be indebted and for value received hereby promises to pay to the registered owner named above, or registered assigns, the principal sum specified above on the maturity date specified above, and to pay interest thereon from the date of original issue specified above, or the most recent interest payment date to which interest has been paid or provided for, at the annual rate specified above, payable on February 1 and August 1 in each year, commencing August 1, 2022 (each such date, an “Interest Payment Date”), to the person in whose name this Bond is registered at the close of business on the 15th day (whether or not a business day) of the month immediately preceding the payment date, all subject to the provisions referred to herein with respect to redemption of the principal of this Bond before maturity. The interest so payable on any Interest Payment Date shall be paid to the person in whose name this Bond is registered at the close of business on the fifteenth day (whether or not a business day) of the calendar month next preceding such Interest Payment Date. Interest hereon shall be computed on the basis of a 360-day year composed of twelve 30-day months. The interest hereon and, upon presentation and surrender hereof, the principal hereof are payable in lawful money of the United States of America by check or draft by U.S. Bank National Association in St. Paul, Minnesota, as Bond Registrar, Transfer Agent and Paying Agent (the “Registrar”), or its designated successor under the resolution described herein. For the prompt and full payment of such principal and interest as the same respectively become due, the full faith and credit and taxing powers of the City have been and are hereby irrevocably pledged. This Bond is one of an issue in the aggregate principal amount of $2,210,000, all of like date and tenor, except as to serial number, maturity date, interest rate, redemption privilege and denomination issued pursuant to a resolution adopted by the City Council on November 16, 2021 (the “Resolution”), to refinance certain outstanding general obligations of the City, and is issued pursuant to and in full conformity with the provisions of the Constitution and laws of the State of Minnesota thereunto enabling, including Minnesota Laws 1961, Chapter 655 (the “Act”), and Minnesota Statutes, Chapter 475. The Bonds are issuable only as fully registered bonds in denominations of $5,000 or any multiple thereof, of B-2 4883-3709-0048\5 single maturities. The Bonds of this series are issuable only as fully registered Bonds, in denominations of $5,000 or any multiple thereof, of single maturities. Bonds maturing on February 1, 2031 and thereafter shall be subject to redemption and prepayment at the option of the City, in whole or in part, in such order as the City shall determine and by lot as to Bonds having the same maturity date, on February 1, 2030 and on any date thereafter (whether or not an interest payment date), at a price equal to the principal amount thereof and accrued interest to the date of redemption. At least thirty days prior to the date set for redemption of any Bond, notice of the call for redemption will be mailed to the Bond Registrar and to the registered owner of each Bond to be redeemed at his address appearing in the Bond Register, but no defect in or failure to give such mailed notice of redemption shall affect the validity of the proceedings for the redemption of any Bond not affected by such defect or failure. Official notice of redemption having been given as aforesaid, the Bonds or portions of the Bonds so to be redeemed shall, on the redemption date, become due and payable at the redemption price herein specified and from and after such date (unless the City shall default in the payment of the redemption price) such Bond or portions of Bonds shall cease to bear interest. Upon the partial redemption of any Bond, a new Bond or Bonds will be delivered to the registered owner without charge, representing the remaining principal amount outstanding. As provided in the Resolution and subject to certain limitations set forth therein, this Bond is transferable upon the books of the City at the principal office of the Registrar, by the registered owner hereof in person or by the owner’s attorney duly authorized in writing upon surrender hereof together with a written instrument of transfer satisfactory to the Registrar, duly executed by the registered owner or the owner’s attorney; and may also be surrendered in exchange for Bonds of other authorized denominations. Upon such transfer or exchange the City will cause a new Bond or Bonds to be issued in the name of the transferee or registered owner, of the same aggregate principal amount, bearing interest at the same rate and maturing on the same date, subject to reimbursement for any tax, fee or governmental charge required to be paid with respect to such transfer or exchange. The City and the Registrar may deem and treat the person in whose name this Bond is registered as the absolute owner hereof, whether this Bond is overdue or not, for the purpose of receiving payment and for all other purposes, and neither the City nor the Registrar shall be affected by any notice to the contrary. Notwithstanding any other provisions of this Bond, so long as this Bond is registered in the name of Cede & Co., as nominee of The Depository Trust Company, or in the name of any other nominee of The Depository Trust Company or other securities depository, the Registrar shall pay all principal of and interest on this Bond, and shall give all notices with respect to this Bond, only to Cede & Co. or other nominee in accordance with the operational arrangements of The Depository Trust Company or other securities depository as agreed to by the City. IT IS HEREBY CERTIFIED, RECITED, COVENANTED AND AGREED that all acts, conditions and things required by the Constitution and laws of the State of Minnesota to be done, to exist, to happen and to be performed preliminary to and in the issuance of this Bond in order to make it a valid and binding general obligation of the City in accordance with its terms, have been done, do exist, have happened and have been performed as so required; that, by the Resolution and pursuant to the Act, the City has pledged to the payment of the principal of and interest on the Bonds the net revenues of the City’s golf courses, swimming pool, ice arena and liquor stores as shall be required to pay such principal and interest and on a parity with the pledge of such net revenues to the payment of other outstanding bonds of the City; that if necessary for payment of the principal and interest, ad valorem taxes are B-3 4883-3709-0048\5 required to be levied upon all taxable property in the City, without limitation as to rate or amount; and that the issuance of this Bond does not cause the indebtedness of the City to exceed any constitutional or statutory limitation of indebtedness. This Bond shall not be valid or become obligatory for any purpose or be entitled to any security or benefit under the Resolution described herein until the Certificate of Authentication hereon shall have been executed by the Registrar by manual signature of one of its authorized representatives. B-4 4883-3709-0048\5 IN WITNESS WHEREOF, the City of Edina, Hennepin County, Minnesota, by its City Council, has caused this Bond to be executed on its behalf by the manual or facsimile signatures of the Mayor and City Manager, and has caused this Bond to be dated as of the Date of Original Issue set forth above. CITY OF EDINA City Manager Mayor ________________ CERTIFICATE OF AUTHENTICATION This is one of the Bonds delivered pursuant to the Resolution mentioned within. Date of Authentication: U.S. BANK NATIONAL ASSOCIATION, as Registrar By Authorized Representative ________________ B-5 4883-3709-0048\5 The following abbreviations, when used in the inscription on the face of this Bond, shall be construed as though they were written out in full according to applicable laws or regulations: TEN COM --as tenants in common UTMA ………….…. as Custodian for ………….….. (Cust) (Minor) TEN ENT --as tenants by the entireties under Uniform Transfers to Minors Act ...................… (State) JT TEN --as joint tenants with right of survivorship and not as tenants in common Additional abbreviations may also be used though not in the above list. ________________ ASSIGNMENT For value received, the undersigned hereby sells, assigns and transfers unto _____________________________ the within Bond and all rights thereunder, and does hereby irrevocably constitute and appoint ______________________________ attorney to transfer the said Bond on the books kept for registration of the within Bond, with full power of substitution in the premises. Dated: NOTICE: The assignor’s signature to this assignment must correspond with the name as it appears upon the face of the within Bond in every particular, without alteration or enlargement or any change whatsoever. Signature Guaranteed: Signature(s) must be guaranteed by an “eligible guarantor institution” meeting the requirements of the Registrar, which requirements include membership or participation in STAMP or such other “signature guaranty program” as may be determined by the Registrar in addition to or in substitution for STAMP, all in accordance with the Securities Exchange Act of 1934, as amended. Please insert social security or other identifying number of assignee:______________________ 4883-3709-0048\5 EXHIBIT C NOTICE OF REDEMPTION $2,100,000 General Obligation Bonds, Series 2012C Dated November 15, 2012 Edina Minnesota NOTICE IS HEREBY GIVEN that the City of Edina, Minnesota (the “City”) has called for redemption and prepayment on February 1, 2022 (the “Redemption Date”), the outstanding bonds of the above-referenced issue maturing on February 1 in the following years, in the principal amounts and having the interest rates and CUSIP numbers listed below (the “Bonds”): Year Amount Interest Rate CUSIP Number* Year Amount Interest Rate CUSIP Number* 2023 $145,000 2.000% 280605 3P9 2029 $165,000 2.500% 280605 3V6 2024 145,000 2.125 280605 3Q7 2030 165,000 2.500 280605 3W4 2025 150,000 2.125 280605 3R5 2031 170,000 3.000 280605 3X2 2026 155,000 2.250 280605 3S3 2032 175,000 3.000 280605 3Y0 2027 155,000 2.250 280605 3T1 2033 180,000 3.000 280605 3Z7 2028 160,000 2.250 280605 3U8 *Denotes full call. The Bonds will be redeemed at a price of 100% of their principal amount plus accrued interest to the date of redemption. On the Redemption Date, interest thereon shall cease to accrue. Such redemption price will be payable upon each such bond on the next succeeding business day following the Redemption Date. A Form W-9, Payer's Request for Taxpayer Identification Number, must be completed and returned with the called Bond or 31% of the redemption proceeds will be withheld. Payment of bonds to be redeemed will be made on and after February 1, 2022, by submitting said Bond along with the completed form W-9 to U.S. Bank National Association at the following address: By Overnight Delivery or Hand: By Mail, Registered or Certified Mail: U.S. Bank National Association Corporate Trust Services 111 Fillmore Avenue East St. Paul, MN 55107 U.S. Bank National Association Corporate Trust Services P.O. Box 64111 St. Paul, MN 55164-0111 Pursuant to U.S. federal tax laws, you have a duty to provide the applicable type of tax certification form issued by the U.S. Internal Revenue Service (“IRS”) to U.S. Bank National Association Corporate Trust Services to ensure payments are reported accurately to you and to the IRS. In order to permit accurate withholding (or to prevent withholding), a complete and valid tax certification form must be received by U.S. Bank National Association Corporate Trust Services before payment of the redemption proceeds is made to you. Failure to timely provide a valid tax certification form as required will result in the maximum amount of U.S. withholding tax being deducted from any redemption payment that is made to you. The Registrar shall not be responsible for the selection of or use of the CUSIP numbers, nor is any representation made as to its correctness indicated in this Notice of Redemption. It is included solely for the convenience of the Holders. Additional information may be obtained from the undersigned or from Ehlers & Associates, Inc., 3060 Centre Point Drive, Roseville, Minnesota 55113-1105 (651-697-8500), municipal advisor to the City. Dated: ______________, 2021. BY ORDER OF THE CITY COUNCIL OF THE CITY OF EDINA, MINNESOTA By s/ Finance Director 4883-3709-0048\5 EXHIBIT C NOTICE OF REDEMPTION $1,125,000 General Obligation Bonds, Series 2013B Dated October 10, 2013 Edina Minnesota NOTICE IS HEREBY GIVEN that the City of Edina, Minnesota (the “City”) has called for redemption and prepayment on February 1, 2022 (the “Redemption Date”), the outstanding bonds of the above-referenced issue maturing on February 1 in the following years, in the principal amounts and having the interest rates and CUSIP numbers listed below (the “Bonds”): Year Amount Interest Rate CUSIP Number* 2023 $ 225,000 3.00% 280605 5B8 2026 245,000 3.00 280605 5E2 2029 270,000 3.45 280605 5H5 *Denotes full call. The Bonds will be redeemed at a price of 100% of their principal amount plus accrued interest to the date of redemption. On the Redemption Date, interest thereon shall cease to accrue. Such redemption price will be payable upon each such bond on the next succeeding business day following the Redemption Date. A Form W-9, Payer's Request for Taxpayer Identification Number, must be completed and returned with the called Bond or 31% of the redemption proceeds will be withheld. Payment of bonds to be redeemed will be made on and after February 1, 2022, by submitting said Bond along with the completed form W-9 to U.S. Bank National Association at the following address: By Overnight Delivery or Hand: By Mail, Registered or Certified Mail: U.S. Bank National Association Corporate Trust Services 111 Fillmore Avenue East St. Paul, MN 55107 U.S. Bank National Association Corporate Trust Services P.O. Box 64111 St. Paul, MN 55164-0111 Pursuant to U.S. federal tax laws, you have a duty to provide the applicable type of tax certification form issued by the U.S. Internal Revenue Service (“IRS”) to U.S. Bank National Association Corporate Trust Services to ensure payments are reported accurately to you and to the IRS. In order to permit accurate withholding (or to prevent withholding), a complete and valid tax certification form must be received by U.S. Bank National Association Corporate Trust Services before payment of the redemption proceeds is made to you. Failure to timely provide a valid tax certification form as required will result in the maximum amount of U.S. withholding tax being deducted from any redemption payment that is made to you. The Registrar shall not be responsible for the selection of or use of the CUSIP numbers, nor is any representation made as to its correctness indicated in this Notice of Redemption. It is included solely for the convenience of the Holders. Additional information may be obtained from the undersigned or from Ehlers & Associates, Inc., 3060 Centre Point Drive, Roseville, Minnesota 55113-1105 (651-697-8500), municipal advisor to the City. Dated: ______________, 2021. BY ORDER OF THE CITY COUNCIL OF THE CITY OF EDINA, MINNESOTA By s/ Finance Director 4883-3709-0048\5 COUNTY AUDITOR’S CERTIFICATE AS TO REGISTRATION The undersigned, being the duly qualified and acting County Auditor of Hennepin County, Minnesota, hereby certifies that there has been filed in my office a certified copy of a resolution duly adopted on November 16, 2021, by the City Council of the City of Edina, Minnesota, setting forth the form and details of an issue of $2,210,000 General Obligation Recreational Revenue Refunding Bonds, Series 2021C, dated as of December 16, 2021. I further certify that said Bonds have been entered on my bond register, as required by Minnesota Statutes, Sections 475.61 to 475.63. WITNESS my hand and official seal this ______ day of December, 2021. County Auditor (SEAL) 130 East Randolph Street Suite 2900 Chicago, IL 60601 tel 312-233-7000 reference no.: 1692207 November 9, 2021 City of Edina 4801 West 50th Street Edina, MN 55424 Attention: Mr. Don Uram, Finance Director Re:US$2,430,000 City of Edina, Minnesota, (Hennepin County), General Obligation Recreational Revenue Refunding Bonds, Series 2021C, dated: December 16, 2021, due: February 01, 2033 Dear Mr. Uram: Pursuant to your request for an S&P Global Ratings rating on the above-referenced obligations, S&P Global Ratings has assigned a rating of "AAA" . S&P Global Ratings views the outlook for this rating as stable. A copy of the rationale supporting the rating is enclosed. This letter constitutes S&P Global Ratings' permission for you to disseminate the above-assigned ratings to interested parties in accordance with applicable laws and regulations. However, permission for such dissemination (other than to professional advisors bound by appropriate confidentiality arrangements or to allow the Issuer to comply with its regulatory obligations) will become effective only after we have released the ratings on standardandpoors.com. Any dissemination on any Website by you or your agents shall include the full analysis for the rating, including any updates, where applicable. Any such dissemination shall not be done in a manner that would serve as a substitute for any products and services containing S&P Global Ratings' intellectual property for which a fee is charged. To maintain the rating, S&P Global Ratings must receive all relevant financial and other information, including notice of material changes to financial and other information provided to us and in relevant documents, as soon as such information is available. Relevant financial and other information includes, but is not limited to, information about direct bank loans and debt and debt-like instruments issued to, or entered into with, financial institutions, insurance companies and/or other entities, whether or not disclosure of such information would be required under S.E.C. Rule 15c2-12. You understand that S&P Global Ratings relies on you and your agents and advisors for the accuracy, timeliness and completeness of the information submitted in connection with the rating and the continued flow of material information as part of the surveillance process.Please send all information via electronic delivery to:pubfin_statelocalgovt@spglobal.com. If SEC rule 17g-5 is applicable, you may post such information on the appropriate website. For any information not available in electronic format or posted on the applicable website, Please send hard copies to: S&P Global Ratings Public Finance Department 55 Water Street New York, NY 10041-0003 The rating is subject to the Terms and Conditions, if any, attached to the Engagement Letter applicable to the rating. In the absence of such Engagement Letter and Terms and Conditions, the rating is subject to the attached Terms and Conditions. The applicable Terms and Conditions are incorporated herein by reference. S&P Global Ratings is pleased to have the opportunity to provide its rating opinion. For more information please visit our website at www.standardandpoors.com.If you have any questions, please contact us. Thank you for choosing S&P Global Ratings. Sincerely yours, S&P Global Ratings a division of Standard & Poor's Financial Services LLC kl PF Ratings U.S. (4/28/16)Page | 1 enclosures cc:Mr. Bruce Kimmel Mr. Keith Schmitz Mr. Nick Anhut Ms. Silvia Johnson PF Ratings U.S. (4/28/16)Page | 2 S&P Global Ratings Terms and Conditions Applicable To Public Finance Credit Ratings General.The credit ratings and other views of S&P Global Ratings are statements of opinion and not statements of fact.Credit ratings and other views of S&P Global Ratings are not recommendations to purchase,hold,or sell any securities and do not comment on market price,marketability,investor preference or suitability of any security.While S&P Global Ratings bases its credit ratings and other views on information provided by issuers and their agents and advisors,and other information from sources it believes to be reliable,S&P Global Ratings does not perform an audit,and undertakes no duty of due diligence or independent verification,of any information it receives.Such information and S&P Global Ratings'opinions should not be relied upon in making any investment decision.S&P Global Ratings does not act as a "fiduciary"or an investment advisor. 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To maintain the rating, S&P Global Ratings must receive all relevant financial and other information, including notice of material changes to financial and other information provided to us and in relevant documents, as soon as such information is available. Relevant financial and other information includes, but is not limited to, information about direct bank loans and debt and debt-like instruments issued to, or entered into with, financial institutions, insurance companies and/or other entities, whether or not disclosure of such information would be required under S.E.C. Rule 15c2-12. You understand that S&P Global Ratings relies on you and your agents and advisors for the accuracy, timeliness and completeness of the information submitted in connection with the rating and the continued flow of material information as part of the surveillance process.Please send all information via electronic delivery to:pubfin_statelocalgovt@spglobal.com. If SEC rule 17g-5 is applicable, you may post such information on the appropriate website. For any information not available in electronic format or posted on the applicable website, Please send hard copies to: S&P Global Ratings Public Finance Department 55 Water Street New York, NY 10041-0003 The rating is subject to the Terms and Conditions, if any, attached to the Engagement Letter applicable to the rating. In the absence of such Engagement Letter and Terms and Conditions, the rating is subject to the attached Terms and Conditions. The applicable Terms and Conditions are incorporated herein by reference. S&P Global Ratings is pleased to have the opportunity to provide its rating opinion. For more information please visit our website at www.standardandpoors.com.If you have any questions, please contact us. Thank you for choosing S&P Global Ratings. Sincerely yours, S&P Global Ratings a division of Standard & Poor's Financial Services LLC kl PF Ratings U.S. (4/28/16)Page | 1 enclosures cc:Mr. Bruce Kimmel Mr. Keith Schmitz Mr. Nick Anhut Ms. Silvia Johnson PF Ratings U.S. (4/28/16)Page | 2 S&P Global Ratings Terms and Conditions Applicable To Public Finance Credit Ratings General.The credit ratings and other views of S&P Global Ratings are statements of opinion and not statements of fact.Credit ratings and other views of S&P Global Ratings are not recommendations to purchase,hold,or sell any securities and do not comment on market price,marketability,investor preference or suitability of any security.While S&P Global Ratings bases its credit ratings and other views on information provided by issuers and their agents and advisors,and other information from sources it believes to be reliable,S&P Global Ratings does not perform an audit,and undertakes no duty of due diligence or independent verification,of any information it receives.Such information and S&P Global Ratings'opinions should not be relied upon in making any investment decision.S&P Global Ratings does not act as a "fiduciary"or an investment advisor. 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No Third Party Beneficiaries.Nothing in any credit rating engagement,or a credit rating when issued,is intended or should be construed as creating any rights on behalf of any third parties,including,without limitation,any recipient of a credit rating.No person is intended as a third party beneficiary of any credit rating engagement or of a credit rating when issued. PF Ratings U.S. (4/28/16)Page | 4 U.S. PUBLIC FINANCE CREDIT OPINION 10 November 2021 Contacts Benjamin J VanMetre +1.312.706.9951 AVP-Analyst ben.vanmetre@moodys.com Eva Bogaty +1.415.274.1765 VP-Sr Credit Officer/Manager eva.bogaty@moodys.com CLIENT SERVICES Americas 1-212-553-1653 Asia Pacific 852-3551-3077 Japan 81-3-5408-4100 EMEA 44-20-7772-5454 Edina (City of) MN Update to credit analysis Summary The City of Edina (Aaa) benefits from a large and affluent tax base located in the Twin Cities (Minneapolis, Aa1 stable; St. Paul, Aa1 stable) metropolitan area and a robust financial profile. The city's local economy and financial profile have been extremely resilient throughout the coronavirus pandemic. The city’s positive credit attributes offset the high fixed costs associated with above average leverage related to long-term debt and pension burdens. Credit strengths »Large tax base located in the Twin Cities metropolitan area »Strong resident income levels »Healthy reserves and liquidity Credit challenges »High fixed costs »Above average leverage related to long-term debt and pension burdens Rating outlook Outlooks are typically not applicable for local government credits with this amount of debt. Factors that could lead to an upgrade »Not applicable Factors that could lead to a downgrade »Material and sustained weakening of reserves and liquidity »Increased leverage related to long-term debt or pension burdens MOODY'S INVESTORS SERVICE U.S. PUBLIC FINANCE Key indicators Note: Fiscal 2017 cash and debt figures are inflated because of a refunding. Source: Audited financial statements, U.S. Census Bureau., Moody's Investors Service Profile The City of Edina encompasses an area of about 17 square miles in Hennepin County (Aaa stable) and is a southwestern suburb in the Twin Cities metropolitan area. The city has about 325 full time employees, 395 part-time employees and 75 seasonal employees with a total population of more than 51,000 residents. Edina provides a full range of services, including police, fire and emergency medical services, the construction and maintenance of highways, streets, and other infrastructure, water and sewer services and recreational and cultural activities and events. Detailed credit considerations Economy and tax base: large and affluent Twin Cities suburban tax base The City of Edina's local economy will continue growing given the limited impact of the coronavirus pandemic and the continued economic development currently underway. Edina is a wealthy inner-ring Twin Cities suburb bordering southwestern Minneapolis. A combination of appreciating values and new construction drove eight consecutive years of tax base growth, driving the current economic market value to more than $14 billion Edina continued benefiting from ongoing residential and commercial development throughout 2020 and into 2021, including nearly 7,000 new single-family home permits. The last two years reached new records for the total number of new building permits and the total valuation of the new permits, with a combined permit value of more than $350 million in 2020 and an additional $225 million through October 2021. The city's strong local economy is also driving favorable employment trends compared to the state and national figures. As of August 2021, the city's unemployment rate (2.7%) was below the state's rate (3.4%) and well below the national rate (5.3%). This publication does not announce a credit rating action. For any credit ratings referenced in this publication, please see the ratings tab on the issuer/entity page on www.moodys.com for the most updated credit rating action information and rating history. 2 10 November 2021 Edina (City of) MN: Update to credit analysis MOODY'S INVESTORS SERVICE U.S. PUBLIC FINANCE Financial operations and reserves: healthy financial position; strong liquor fund performance mitigates poor performance of other nonessential enterprises The city's financial profile will remain very strong because of sizable reserves, conservative budgeting practices and limited financial pressure related to the coronavirus pandemic. Fiscal 2020 closed with a sizable operating surplus, driving a more than $8 million increase in general fund reserves. The sizable increase in reserves was driven by a combination of expenditure reductions enacted to mitigate potential revenue shortfalls from the pandemic, positive budget variances throughout the year, more than $4 million in state and federal funding received related to the pandemic, and a one-time transfer from the capital projects fund to the general fund to create a budget stabilization reserve. The fiscal 2021 budget is balanced and management notes that the year is tracking slightly better than budget, with revenue coming in a bit higher and expenses tracking under budget. The city had has an established history of outperforming budgeted expectations maintaining very strong operating reserves. The city's combined available fund balance across the general fund and debt service fund has hovered between 50% and 60% of revenue for several years. The city also typically transfers surplus revenue to the construction fund to finance capital investments on a pay-go basis. The construction fund held about $22 million in cash at the close of 2020. The city's enterprise funds include a utilities enterprise, liquor enterprise, aquatic center, golf course and an arena enterprise. The enterprises closed fiscal 2020 with a combined cash position of more than $33 million, which is equal to more than 340 days cash on hand. The liquor fund has provided modest degrees of support to the golf course and ice arena but that support has declined in recent years. The general fund has not had to support any of the city's enterprises. Liquidity Fiscal 2020 closed with a combined cash balance of $38 million, or an ample 62% of revenue across the general fund and debt service fund. Debt, pensions and OPEB: above average leverage for the Aaa rating The city’s leverage related to long-term debt and pension burdens will likely remain above average for the Aaa rating given its exposure to the relatively high unfunded pension liabilities and the city's current capital and borrowing plans. Net of debt associated with self- supporting enterprises, the city has about $75 million in outstanding debt, equal to 0.5% of full value and 1.2x operating revenue. The city’s adjusted net pension liability (ANPL), based on a 2.7% discount rate, totals $139 million while the three year average totals $109 million, equal to 0.8% of full value and 1.7x operating revenue. In comparison, the city’s reported net pension liability, based on a 7.5% discount rate, totals $23 million. The city’s total fixed costs, inclusive of debt service, pension contributions and other post-employment benefit (OPEB) costs, typically hover around 20% of revenue. Legal security The city's GOULT bonds are supported by the city's full faith and credit pledge and the authority to levy a dedicated property tax unlimited as to rate and amount. The bonds are additionally secured by statute. The city's lease revenue debt is supported by lease payments made by the city, subject to annual appropriation. The city's Aa1 lease revenue rating incorporates the risk of non-appropriation for lease payments and the more essential purpose of the financed project, a public works facility. The city's Aa2 lease revenue rating considers the risk of non-appropriation for lease payments and the less essential purpose of the financed projects, recreational facilities. Debt structure All of the city's debt is long-term and fixed rate, with more than 80% of principal scheduled to be retired within 10 years. Debt related derivatives The city is not a party to any derivative agreements. Pensions and OPEB The pension burden and related fixed costs are manageable given the city's strong finances. The city participates in two multiple- employer cost-sharing plans, the General Employees Retirement Fund (GERF) and the Public Employees Police and Fire Fund (PEPFF). Minnesota statutes establish local government retirement contributions as a share of annual payroll. The state of Minnesota approved 3 10 November 2021 Edina (City of) MN: Update to credit analysis MOODY'S INVESTORS SERVICE U.S. PUBLIC FINANCE legislation in 2018 that modified benefits and modestly increased contributions for some pension plans. Employer contributions from cities to the police and fire plan, for example, increased to 17.7% in 2020 from the previous rate of 16.2%. The total employer contributions to the Police and Fire plan from all participating governments were equal to about 120% of tread water in 2020. Other post-employment benefit (OPEB) obligations do not represent a material cost for the city. The city does not offer explicit OPEB benefits, but allows retired employees to stay on its healthcare plan, creating an implicit rate subsidy. Both on a reported basis and on a Moody's adjusted basis, the city's OPEB liability totals just $2 million. ESG considerations Environmental Environmental factors have not had a material impact on the city's credit profile. According to data of Moody's affiliate, Four Twenty Seven, Hennepin County's environmental hazard scores range from no risk to medium risk for each of the five environmental factors considered including heat stress, water stress, extreme rainfall, sea level rise and exposure to hurricanes and typhoons. Social Social factors are a consideration are generally a positive factor in the city's credit profile. The city's median family income is strong at an estimated 193% of the national figure while the median age of Edina's residents (44) is older than both the state and the national figures (38). Governance Minnesota cities have an Institutional Framework score of “Aa,” which is strong. The sector has one or more major revenue sources that are not subject to any caps. Revenue tend to be predictable, as cities rely primarily on property taxes and state Local Government Aid (LGA), which is distributed based on demographic and tax base factors. Revenue-raising flexibility is moderate as cities generally benefit from unlimited levying authority, except during years in which the state has imposed limits. Levy limits are not currently in place for cities. Across the sector, fixed and mandated costs are relatively high. Expenditures mostly consist of personnel costs, which are highly predictable. The city's formal fund balance policy is to maintain 42% to 47% of the next year's tax revenue in unassigned fund balance, while transferring any surplus out of operating funds for purposes designated by the City Council. The city's primary revenue source is property taxes, which comprise about 59% of revenue across the general fund and debt service fund. The second largest revenue sources in fiscal 2021 was licenses and permits, which comprised about 10% of revenue. Unlike many Minnesota cities, Edina does not currently receive any LGA. Rating methodology and scorecard factors The US Local Government General Obligation Rating Methodology includes a scorecard, a tool providing a composite score of a local government’s credit profile based on the weighted factors we consider most important, universal and measurable, as well as possible notching factors dependent on individual credit strengths and weaknesses. Its purpose is not to determine the final rating, but rather to provide a standard platform from which to analyze and compare local government credits. 4 10 November 2021 Edina (City of) MN: Update to credit analysis MOODY'S INVESTORS SERVICE U.S. PUBLIC FINANCE Note: The negative cash trend reflected above incorporates cash in the debt service fund that was associated with debt refunding in prior years. [2] Notching Factors are specifically defined in the US Local Government General Obligation Debt methodology. [3] Standardized adjustments are outlined in the GO Methodology Scorecard Inputs publication. Source: Moody's Investors Service, audited financial statements, U.S. Census Bureau 5 10 November 2021 Edina (City of) MN: Update to credit analysis MOODY'S INVESTORS SERVICE U.S. PUBLIC FINANCE © 2021 Moody’s Corporation, Moody’s Investors Service, Inc., Moody’s Analytics, Inc. and/or their licensors and affiliates (collectively, “MOODY’S”). All rights reserved. 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REPORT NUMBER 1309091 6 10 November 2021 Edina (City of) MN: Update to credit analysis MOODY'S INVESTORS SERVICE U.S. PUBLIC FINANCE Contacts Benjamin J VanMetre +1.312.706.9951 AVP-Analyst ben.vanmetre@moodys.com Eva Bogaty +1.415.274.1765 VP-Sr Credit Officer/ Manager eva.bogaty@moodys.com CLIENT SERVICES Americas 1-212-553-1653 Asia Pacific 852-3551-3077 Japan 81-3-5408-4100 EMEA 44-20-7772-5454 7 10 November 2021 Edina (City of) MN: Update to credit analysis Sale Day Report for City of Edina, Minnesota 1 COMPETITIVE SALE RESULTS Purpose: To effect a current refunding of the City’s General Obligation Bonds, Series 2012C (Braemar Ice Arena) and General Obligation Bonds, Series 2013A (Golf Dome). Rating: Moody's Investor's Service "Aaa" S&P Global Ratings "AAA" Number of Bids: 2 Low Bidder: Baird, Red Bank, New Jersey Comparison from Lowest to Highest Bid: (TIC as bid) Low Bid 1.1755% High Bid 1.2830% Interest Difference $21,567 Summary of Sale Results: Principal Amount*: $2,210,000 Reoffering Premium: $191,678 Underwriter’s Discount: ($15,493) Costs of Issuance: ($29,250) True Interest Cost: 1.1882% Yields: 0.25%-1.55% Future Value Net Savings: $181,345 Present Value Calculation: $167,434 Net Savings Percentage: 6.489% Total Net Principal & Interest: $2,545,628 Notes: U.S. Bank National Association, St. Paul, Minnesota will serve as Paying Agent on the Bonds. The Bonds maturing February 1, 2031 and thereafter are callable February 1, 2030 or any date thereafter. * Subsequent to bid opening, the issue size was decreased to reflect the winning proposal’s reoffering premium and updated issuance costs. Closing Date: December 16, 2021 City Council Action: Consider a resolution awarding the sale of $2,210,000 General Obligation Recreational Revenue Refunding Bonds, Series 2021C. Attachments: Bid Tabulation Sources and Uses of Funds Updated Debt Service Schedules Refunding Savings Analysis BID TABULATION $2,430,000* General Obligation Recreational Revenue Refunding Bonds, Series 2021C City of Edina, Minnesota SALE: November 16, 2021 AWARD: BAIRD Rating: Moody's Investor's Service "Aaa" S&P Global Ratings "AAA" Tax Exempt - Non-Bank Qualified NAME OF BIDDER MATURITY (February 1) RATE REOFFERING YIELD PRICE NET INTEREST COST TRUE INTEREST RATE BAIRD $2,622,272.05 $170,846.70 1.1755% Red Bank, New Jersey 2023 3.000% 0.250% C.L. King Collier Securities Edward Jones Fidelity Capital Loop Capital Northland Securities Country Club Bank Crews & Associates, Sierra Pacific Sec. Isaak Bond Investmen Wayne Hummer & Co. SumRidge Partners Celadon Financial Gr Midland Securities FMS Bonds Inc. First Southern LLC Dinosaur Sec Mountainside Sec StoneX Financial Inc ValdesMor 2024 3.000% 0.350% 2025 3.000% 0.450% 2026 3.000% 0.600% 2027 3.000% 0.700% 2028 3.000% 0.900% 2029 3.000% 1.000% 2030 3.000% 1.100% 2031 2.000% 1.200% 2032 2.000% 1.450% 2033 2.000% 1.550% PIPER SANDLER & CO. $2,739,142.75 $192,413.50 1.2830% Minneapolis, Minnesota * Subsequent to bid opening the issue size was decreased to $2,210,000. Adjusted Price - $2,386,184.63 Adjusted Net Interest Cost - $161,377.87 Adjusted TIC - 1.1882% City of Edina, Minnesota $2,210,000 G.O. Recreational Revenue Refunding Bonds, Series 2021C Issue Summary Current Refunding 2012C & 2013B Total Issue Sources And Uses Dated 12/16/2021 | Delivered 12/16/2021 Current Ref 2012C GO Bonds (Ice Arena) Current Ref 2013B GO Bonds (Golf Course) Issue Summary Sources Of Funds Par Amount of Bonds $1,660,000.00 $550,000.00 $2,210,000.00 Reoffering Premium 140,053.80 51,623.80 191,677.60 Total Sources $1,800,053.80 $601,623.80 $2,401,677.60 Uses Of Funds Total Underwriter's Discount (0.701%)11,637.25 3,855.72 15,492.97 Costs of Issuance 21,970.60 7,279.40 29,250.00 Deposit to Current Refunding Fund 1,765,000.00 590,000.00 2,355,000.00 Deposit to Debt Service Fund (Rounding)1,445.95 488.68 1,934.63 Total Uses $1,800,053.80 $601,623.80 $2,401,677.60 Series 2021C GO Rec Ref B | Issue Summary | 11/16/2021 | 10:34 AM City of Edina, Minnesota $2,210,000 G.O. Recreational Revenue Refunding Bonds, Series 2021C Issue Summary Current Refunding 2012C & 2013B Debt Service Schedule Date Principal Coupon Interest Total P+I Fiscal Total 12/16/2021 ----- 08/01/2022 --38,312.50 38,312.50 - 02/01/2023 200,000.00 3.000%30,650.00 230,650.00 268,962.50 08/01/2023 --27,650.00 27,650.00 - 02/01/2024 210,000.00 3.000%27,650.00 237,650.00 265,300.00 08/01/2024 --24,500.00 24,500.00 - 02/01/2025 215,000.00 3.000%24,500.00 239,500.00 264,000.00 08/01/2025 --21,275.00 21,275.00 - 02/01/2026 225,000.00 3.000%21,275.00 246,275.00 267,550.00 08/01/2026 --17,900.00 17,900.00 - 02/01/2027 225,000.00 3.000%17,900.00 242,900.00 260,800.00 08/01/2027 --14,525.00 14,525.00 - 02/01/2028 235,000.00 3.000%14,525.00 249,525.00 264,050.00 08/01/2028 --11,000.00 11,000.00 - 02/01/2029 240,000.00 3.000%11,000.00 251,000.00 262,000.00 08/01/2029 --7,400.00 7,400.00 - 02/01/2030 160,000.00 3.000%7,400.00 167,400.00 174,800.00 08/01/2030 --5,000.00 5,000.00 - 02/01/2031 165,000.00 2.000%5,000.00 170,000.00 175,000.00 08/01/2031 --3,350.00 3,350.00 - 02/01/2032 165,000.00 2.000%3,350.00 168,350.00 171,700.00 08/01/2032 --1,700.00 1,700.00 - 02/01/2033 170,000.00 2.000%1,700.00 171,700.00 173,400.00 Total $2,210,000.00 -$337,562.50 $2,547,562.50 - Yield Statistics Bond Year Dollars $12,941.25 Average Life 5.856 Years Average Coupon 2.6084227% Net Interest Cost (NIC)1.2470037% True Interest Cost (TIC)1.1882086% Bond Yield for Arbitrage Purposes 0.9996708% All Inclusive Cost (AIC)1.4156570% IRS Form 8038 Net Interest Cost 1.0358322% Weighted Average Maturity 5.864 Years Series 2021C GO Rec Ref B | Issue Summary | 11/16/2021 | 10:34 AM City of Edina, Minnesota $2,210,000 G.O. Recreational Revenue Refunding Bonds, Series 2021C Issue Summary Current Refunding 2012C & 2013B Debt Service Comparison Date Total P+I Net New D/S Old Net D/S Savings 02/01/2022 -(1,934.63)-1,934.63 02/01/2023 268,962.50 268,962.50 282,658.76 13,696.26 02/01/2024 265,300.00 265,300.00 282,508.76 17,208.76 02/01/2025 264,000.00 264,000.00 282,027.50 18,027.50 02/01/2026 267,550.00 267,550.00 286,440.00 18,890.00 02/01/2027 260,800.00 260,800.00 280,402.50 19,602.50 02/01/2028 264,050.00 264,050.00 283,982.50 19,932.50 02/01/2029 262,000.00 262,000.00 287,277.50 25,277.50 02/01/2030 174,800.00 174,800.00 184,875.00 10,075.00 02/01/2031 175,000.00 175,000.00 185,750.00 10,750.00 02/01/2032 171,700.00 171,700.00 185,650.00 13,950.00 02/01/2033 173,400.00 173,400.00 185,400.00 12,000.00 Total $2,547,562.50 $2,545,627.87 $2,726,972.52 $181,344.65 PV Analysis Summary (Net to Net) Gross PV Debt Service Savings.....................165,499.83 Net PV Cashflow Savings @ 1.416%(AIC)............165,499.83 Contingency or Rounding Amount....................1,934.63 Net Present Value Benefit $167,434.46 Net PV Benefit / $2,580,250.85 PV Refunded Debt Service 6.489% Net PV Benefit / $2,355,000 Refunded Principal...7.110% Net PV Benefit / $2,210,000 Refunding Principal..7.576% Refunding Bond Information Refunding Dated Date 12/16/2021 Refunding Delivery Date 12/16/2021 Series 2021C GO Rec Ref B | Issue Summary | 11/16/2021 | 10:34 AM City of Edina, Minnesota $1,660,000 G.O. Recreational Revenue Refunding Bonds, Series 2021C Current Ref 2012C GO Bonds (Ice Arena) Debt Service Comparison Date Total P+I Net New D/S Old Net D/S Savings 02/01/2022 -(1,445.95)-1,445.95 02/01/2023 180,400.00 180,400.00 188,743.76 8,343.76 02/01/2024 175,900.00 175,900.00 185,843.76 9,943.76 02/01/2025 176,850.00 176,850.00 187,762.50 10,912.50 02/01/2026 177,650.00 177,650.00 189,575.00 11,925.00 02/01/2027 173,300.00 173,300.00 186,087.50 12,787.50 02/01/2028 173,950.00 173,950.00 187,600.00 13,650.00 02/01/2029 174,450.00 174,450.00 189,000.00 14,550.00 02/01/2030 174,800.00 174,800.00 184,875.00 10,075.00 02/01/2031 175,000.00 175,000.00 185,750.00 10,750.00 02/01/2032 171,700.00 171,700.00 185,650.00 13,950.00 02/01/2033 173,400.00 173,400.00 185,400.00 12,000.00 Total $1,927,400.00 $1,925,954.05 $2,056,287.52 $130,333.47 PV Analysis Summary (Net to Net) Gross PV Debt Service Savings.....................117,627.87 Net PV Cashflow Savings @ 1.463%(AIC)............117,627.87 Contingency or Rounding Amount....................1,445.95 Net Present Value Benefit $119,073.82 Net PV Benefit / $1,936,390.58 PV Refunded Debt Service 6.149% Net PV Benefit / $1,765,000 Refunded Principal...6.746% Net PV Benefit / $1,660,000 Refunding Principal..7.173% Refunding Bond Information Refunding Dated Date 12/16/2021 Refunding Delivery Date 12/16/2021 Series 2021C GO Rec Ref B | Current Ref 2012C GO Bond | 11/16/2021 | 10:34 AM City of Edina, Minnesota $550,000 G.O. Recreational Revenue Refunding Bonds, Series 2021C Current Ref 2013B GO Bonds (Golf Course) Debt Service Comparison Date Total P+I Net New D/S Old Net D/S Savings 02/01/2022 -(488.68)-488.68 02/01/2023 88,562.50 88,562.50 93,915.00 5,352.50 02/01/2024 89,400.00 89,400.00 96,665.00 7,265.00 02/01/2025 87,150.00 87,150.00 94,265.00 7,115.00 02/01/2026 89,900.00 89,900.00 96,865.00 6,965.00 02/01/2027 87,500.00 87,500.00 94,315.00 6,815.00 02/01/2028 90,100.00 90,100.00 96,382.50 6,282.50 02/01/2029 87,550.00 87,550.00 98,277.50 10,727.50 Total $620,162.50 $619,673.82 $670,685.00 $51,011.18 PV Analysis Summary (Net to Net) Gross PV Debt Service Savings.....................47,952.70 Net PV Cashflow Savings @ 1.209%(AIC)............47,952.70 Contingency or Rounding Amount....................488.68 Net Present Value Benefit $48,441.38 Net PV Benefit / $643,860.27 PV Refunded Debt Service 7.524% Net PV Benefit / $590,000 Refunded Principal...8.210% Net PV Benefit / $550,000 Refunding Principal..8.808% Refunding Bond Information Refunding Dated Date 12/16/2021 Refunding Delivery Date 12/16/2021 Series 2021C GO Rec Ref B | Current Ref 2013B GO Bond | 11/16/2021 | 10:34 AM Sale Day Report for City of Edina, Minnesota 1 COMPETITIVE SALE RESULTS Purpose: To effect a current refunding of the 2023 to 2029 maturities of the City’s General Obligation Bonds, Series 2013A. Ratings Affirmed: Moody's Investor's Service "Aaa" S&P Global Ratings "AAA" Number of Bids: 3 Low Bidder: Baird, Red Bank, New Jersey Comparison from Lowest to Highest Bid: (TIC as bid) Low Bid 0.9459% High Bid 1.0143% Interest Difference $9,837 Summary of Sale Results: Principal Amount*: $3,795,000 Reoffering Premium: $804,204 Underwriter’s Discount: ($22,550) Costs of Issuance: ($72,725) True Interest Cost: 0.9622% Yields: 0.25%-1.10% Future Value Net Savings: $360,335 Present Value Calculation: $357,246 Net Savings Percentage: 7.213% Total Net Principal & Interest: $4,790,040 Notes: U.S. Bank National Association, St. Paul, Minnesota will serve as Paying Agent on the Bonds. * Subsequent to bid opening, the issue size was decreased to reflect the winning proposal’s reoffering premium and updated issuance costs. Closing Date: December 16, 2021 City Council Action: Consider a resolution awarding the sale of $3,795,000 General Obligation Refunding Bonds, Series 2021B. Attachments: Bid Tabulation Sources and Uses of Funds Updated Debt Service Schedules Refunding Savings Analysis BID TABULATION $4,620,000* General Obligation Refunding Bonds, Series 2021B City of Edina, Minnesota SALE: November 16, 2021 AWARD: BAIRD Rating: Moody's Investor's Service "Aaa" S&P Global Ratings "AAA" Tax Exempt - Non-Bank Qualified NAME OF BIDDER MATURITY (February 1) RATE REOFFERING YIELD PRICE NET INTEREST COST TRUE INTEREST RATE BAIRD $5,522,244.65 $244,630.35 0.9459% Red Bank, New Jersey 2023 5.000% 0.250% C.L. King Collier Securities Edward Jones Fidelity Capital Loop Capital Northland Securities Country Club Bank Crews & Associates, Sierra Pacific Sec. BNYMellon Cap Mar Isaak Bond Investmen Wayne Hummer & Co. SumRidge Partners Celadon Financial Gr Midland Securities FMS Bonds Inc. First Southern LLC Dinosaur Sec First Bankers' Banc Mountainside Sec StoneX Financial Inc ValdesMor 2024 5.000% 0.350% 2025 5.000% 0.450% 2026 5.000% 0.600% 2027 5.000% 0.700% 2028 5.000% 0.900% 2029 5.000% 1.000% 2030 5.000% 1.100% RAYMOND JAMES & ASSOCIATES, INC. $5,517,336.35 $249,538.65 0.9655% St. Petersburg, Florida PIPER SANDLER & CO. $5,283,032.30 $254,467.70 1.0143% Minneapolis, Minnesota * Subsequent to bid opening the issue size was decreased to $3,795,000. Adjusted Price - $4,576,654.04 Adjusted Net Interest Cost - $217,314.71 Adjusted TIC - 0.9622% City of Edina, Minnesota $3,795,000 General Obligation Refunding Bonds, Series 2021B Issue Summary Current Refunding Series 2013A GO Bonds Total Issue Sources And Uses Dated 12/16/2021 | Delivered 12/16/2021 Current Ref 2013A - Levy (CIP) Current Ref 2013A - PIR Issue Summary Sources Of Funds Par Amount of Bonds $2,515,000.00 $1,280,000.00 $3,795,000.00 Reoffering Premium 550,449.95 253,754.15 804,204.10 Total Sources $3,065,449.95 $1,533,754.15 $4,599,204.10 Uses Of Funds Total Underwriter's Discount (0.594%)14,944.24 7,605.82 22,550.06 Costs of Issuance 48,195.87 24,529.13 72,725.00 Deposit to Current Refunding Fund 3,000,000.00 1,500,000.00 4,500,000.00 Deposit to Debt Service Fund (Rounding)2,309.84 1,619.20 3,929.04 Total Uses $3,065,449.95 $1,533,754.15 $4,599,204.10 Series 2021B GO Ref Bds C | Issue Summary | 11/16/2021 | 10:37 AM City of Edina, Minnesota $3,795,000 General Obligation Refunding Bonds, Series 2021B Issue Summary Current Refunding Series 2013A GO Bonds Debt Service Schedule Date Principal Coupon Interest Total P+I Fiscal Total 12/16/2021 ----- 08/01/2022 --118,593.75 118,593.75 - 02/01/2023 210,000.00 5.000%94,875.00 304,875.00 423,468.75 08/01/2023 --89,625.00 89,625.00 - 02/01/2024 255,000.00 5.000%89,625.00 344,625.00 434,250.00 08/01/2024 --83,250.00 83,250.00 - 02/01/2025 490,000.00 5.000%83,250.00 573,250.00 656,500.00 08/01/2025 --71,000.00 71,000.00 - 02/01/2026 515,000.00 5.000%71,000.00 586,000.00 657,000.00 08/01/2026 --58,125.00 58,125.00 - 02/01/2027 540,000.00 5.000%58,125.00 598,125.00 656,250.00 08/01/2027 --44,625.00 44,625.00 - 02/01/2028 565,000.00 5.000%44,625.00 609,625.00 654,250.00 08/01/2028 --30,500.00 30,500.00 - 02/01/2029 595,000.00 5.000%30,500.00 625,500.00 656,000.00 08/01/2029 --15,625.00 15,625.00 - 02/01/2030 625,000.00 5.000%15,625.00 640,625.00 656,250.00 Total $3,795,000.00 -$998,968.75 $4,793,968.75 - Yield Statistics Bond Year Dollars $19,979.38 Average Life 5.265 Years Average Coupon 5.0000000% Net Interest Cost (NIC)1.0876952% True Interest Cost (TIC)0.9622430% Bond Yield for Arbitrage Purposes 0.8596218% All Inclusive Cost (AIC)1.2978004% IRS Form 8038 Net Interest Cost 0.7859231% Weighted Average Maturity 5.388 Years Series 2021B GO Ref Bds C | Issue Summary | 11/16/2021 | 10:37 AM City of Edina, Minnesota $3,795,000 General Obligation Refunding Bonds, Series 2021B Issue Summary Current Refunding Series 2013A GO Bonds Debt Service Comparison Date Total P+I Net New D/S Old Net D/S Savings 02/01/2022 -(3,929.04)-3,929.04 02/01/2023 423,468.75 423,468.75 643,075.00 219,606.25 02/01/2024 434,250.00 434,250.00 646,600.00 212,350.00 02/01/2025 656,500.00 656,500.00 645,850.00 (10,650.00) 02/01/2026 657,000.00 657,000.00 642,350.00 (14,650.00) 02/01/2027 656,250.00 656,250.00 645,850.00 (10,400.00) 02/01/2028 654,250.00 654,250.00 643,750.00 (10,500.00) 02/01/2029 656,000.00 656,000.00 641,200.00 (14,800.00) 02/01/2030 656,250.00 656,250.00 641,700.00 (14,550.00) Total $4,793,968.75 $4,790,039.71 $5,150,375.00 $360,335.29 PV Analysis Summary (Net to Net) Gross PV Debt Service Savings.....................353,316.71 Net PV Cashflow Savings @ 0.860%(Bond Yield).....353,316.71 Contingency or Rounding Amount....................3,929.04 Net Present Value Benefit $357,245.75 Net PV Benefit / $4,952,520.81 PV Refunded Debt Service 7.213% Net PV Benefit / $4,500,000 Refunded Principal...7.939% Net PV Benefit / $3,795,000 Refunding Principal..9.414% Refunding Bond Information Refunding Dated Date 12/16/2021 Refunding Delivery Date 12/16/2021 Series 2021B GO Ref Bds C | Issue Summary | 11/16/2021 | 10:37 AM City of Edina, Minnesota $2,515,000 General Obligation Refunding Bonds, Series 2021B Current Ref 2013A - Levy (CIP) Debt Service Comparison Date Total P+I Net New D/S Old Net D/S Savings 02/01/2022 -(2,309.84)-2,309.84 02/01/2023 226,468.75 226,468.75 428,725.00 202,256.25 02/01/2024 231,500.00 231,500.00 431,075.00 199,575.00 02/01/2025 456,000.00 456,000.00 430,575.00 (25,425.00) 02/01/2026 459,000.00 459,000.00 426,575.00 (32,425.00) 02/01/2027 456,000.00 456,000.00 430,625.00 (25,375.00) 02/01/2028 457,250.00 457,250.00 429,225.00 (28,025.00) 02/01/2029 457,500.00 457,500.00 427,525.00 (29,975.00) 02/01/2030 456,750.00 456,750.00 429,525.00 (27,225.00) Total $3,200,468.75 $3,198,158.91 $3,433,850.00 $235,691.09 PV Analysis Summary (Net to Net) Gross PV Debt Service Savings.....................235,211.54 Net PV Cashflow Savings @ 0.860%(Bond Yield).....235,211.54 Contingency or Rounding Amount....................2,309.84 Net Present Value Benefit $237,521.38 Net PV Benefit / $3,301,879.87 PV Refunded Debt Service 7.194% Net PV Benefit / $3,000,000 Refunded Principal...7.917% Net PV Benefit / $2,515,000 Refunding Principal..9.444% Refunding Bond Information Refunding Dated Date 12/16/2021 Refunding Delivery Date 12/16/2021 Series 2021B GO Ref Bds C | Current Ref 2013A - Levy | 11/16/2021 | 10:37 AM City of Edina, Minnesota $2,515,000 General Obligation Refunding Bonds, Series 2021B Current Ref 2013A - Levy (CIP) Debt Service Schedule and Levy Comparison Date Principal Coupon Interest Total P+I 105% Levy Calculation 2013A Levy Net Levy Savings 02/01/2022 ------- 02/01/2023 85,000.00 5.000%141,468.75 226,468.75 237,792.19 450,161.25 212,369.06 02/01/2024 110,000.00 5.000%121,500.00 231,500.00 243,075.00 452,628.75 209,553.75 02/01/2025 340,000.00 5.000%116,000.00 456,000.00 478,800.00 452,103.75 (26,696.25) 02/01/2026 360,000.00 5.000%99,000.00 459,000.00 481,950.00 447,903.75 (34,046.25) 02/01/2027 375,000.00 5.000%81,000.00 456,000.00 478,800.00 452,156.25 (26,643.75) 02/01/2028 395,000.00 5.000%62,250.00 457,250.00 480,112.50 450,686.25 (29,426.25) 02/01/2029 415,000.00 5.000%42,500.00 457,500.00 480,375.00 448,901.25 (31,473.75) 02/01/2030 435,000.00 5.000%21,750.00 456,750.00 479,587.50 451,001.25 (28,586.25) Total $2,515,000.00 -$685,468.75 $3,200,468.75 $3,360,492.19 $3,605,542.50 $245,050.31 Significant Dates Dated 12/16/2021 First Coupon Date 8/01/2022 Yield Statistics Bond Year Dollars $13,709.38 Average Life 5.451 Years Average Coupon 5.0000000% Net Interest Cost (NIC)1.0938722% True Interest Cost (TIC)0.9667343% Bond Yield for Arbitrage Purposes 0.8596218% All Inclusive Cost (AIC)1.2905434% IRS Form 8038 Net Interest Cost 0.7924525% Weighted Average Maturity 5.558 Years Series 2021B GO Ref Bds C | Current Ref 2013A - Levy | 11/16/2021 | 10:37 AM City of Edina, Minnesota $1,280,000 General Obligation Refunding Bonds, Series 2021B Current Ref 2013A - PIR Debt Service Comparison Date Total P+I Net New D/S Old Net D/S Savings 02/01/2022 -(1,619.20)-1,619.20 02/01/2023 197,000.00 197,000.00 214,350.00 17,350.00 02/01/2024 202,750.00 202,750.00 215,525.00 12,775.00 02/01/2025 200,500.00 200,500.00 215,275.00 14,775.00 02/01/2026 198,000.00 198,000.00 215,775.00 17,775.00 02/01/2027 200,250.00 200,250.00 215,225.00 14,975.00 02/01/2028 197,000.00 197,000.00 214,525.00 17,525.00 02/01/2029 198,500.00 198,500.00 213,675.00 15,175.00 02/01/2030 199,500.00 199,500.00 212,175.00 12,675.00 Total $1,593,500.00 $1,591,880.80 $1,716,525.00 $124,644.20 PV Analysis Summary (Net to Net) Gross PV Debt Service Savings.....................118,105.17 Net PV Cashflow Savings @ 0.860%(Bond Yield).....118,105.17 Contingency or Rounding Amount....................1,619.20 Net Present Value Benefit $119,724.37 Net PV Benefit / $1,650,640.94 PV Refunded Debt Service 7.253% Net PV Benefit / $1,500,000 Refunded Principal...7.982% Net PV Benefit / $1,280,000 Refunding Principal..9.353% Refunding Bond Information Refunding Dated Date 12/16/2021 Refunding Delivery Date 12/16/2021 Series 2021B GO Ref Bds C | Current Ref 2013A - PIR | 11/16/2021 | 10:37 AM $3,795,000 G.O. Bonds, Series 2021B $2,210,000 G.O. Bonds, Series 2021C Sale Results Summary Ratings History •Both the City’s credit ratings affirmed for the sale •Moody’s Investor Services Aaa since 2000 •S&P Global Ratings AAA since 2003 www.EdinaMN.gov 2 Moody’s Investors Service •“Large and affluent tax base and a robust financial profile” •Credit Strengths Growing Tax Base with limited impact from pandemic Very strong financial profile / proactive mitigation measures Ample Liquidity •Credit Challenges Above average leverage / fixed costs compared to national peers (debt and pension liabilities) www.EdinaMN.gov 3 S&P Global Ratings •Stable ‘AAA’ Credit Strengths Diverse economy that is independently strong Responsive and forward-looking management Very Strong liquidity / budgetary flexibility (fund and cash balances) Strong: Budgetary Performance Debt and Contingent Liability Profile •“Unlikely” downside scenario Would require significant financial deterioration www.EdinaMN.gov 4 Bond Sale Summary www.EdinaMN.gov 5 Purpose:Fixed-rate, tax-exempt refinancing 2021B Series:Refunding of 2013A Bonds issued for PW facility and street reconstruction projects -8 remaining years repaid by levy and special assessments 2021C Series:Refunding of 2012B Bonds issued for Braemar Ice Arena and 2013B Bonds issued for Golf Dome -11 remaining years repaid from enterprise revenues. Type of Sale:Public Offering of Bonds through competitive bidding 2021B Bond Proposals www.EdinaMN.gov 6 Number of Bids:Three Comparison:Low Bid High Bid Interest Difference 0.9459%1.0143%$9,837 Proposal Rate Baird 0.9459% Raymond James & Assoc.0.9655% Piper Sandler & Co.1.0143% •Final Sizing -$3,795,000 (adjusted for $804k premium) •$360,335 net savings realized over 8-year repayment •7.2% net savings benefit 2021C Bond Proposals www.EdinaMN.gov 7 Number of Bids:Two Comparison:Low Bid High Bid Interest Difference 1.1755%1.2830%$21,567 Proposal Rate Baird 1.1755% Piper Sandler & Co.1.2830% •Final Sizing -$2,210,000 (adjusted for $804k premium) •$181,344 net savings realized over 11-year repayment •6.5% net savings benefit Council Consideration •Resolutions Authorizing Issuance and Awarding the Sale of: •$3,795,000 General Obligation Refunding Bonds, Series 2021B •$2,210,000 General Obligation Recreational Revene Refunding Bonds, Series 2021C •Awards the purchase of both Series of bonds to Baird Based on lowest cost proposals received on each issue •Closings scheduled for December 16, 2021 www.EdinaMN.gov 8 Date: November 16, 2021 Agenda Item #: VIII.E. To:Mayor and City Council Item Type: Report / Recommendation From:Bill Neuendorf, Economic Development Manager Item Activity: Subject:Resolution 2021-105: Adopting a Spending Plan for the Southdale 2, Pentagon Park, and 70th & Cahill Tax Increment Financing Districts Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Approve Resolution 2021-105 adopting a Spending Plan for Southdale 2, Pentagon Park and 70th & Cahill Tax Increment Financing Districts and approve the Policy for Use of Unobligated Tax Increment Financing Funds. INTRODUCTION: This item pertains to a spending plan for unobligated monies collected in the P entagon Park, 70th & Cahill and Southdale 2 Tax Increment Financing (TIF) Districts. Recent changes in Minnesota statutes allow cities greater flexibility to use unallocated monies to support redevelopment and housing efforts. A public hearing on this matter was held on November 3, 2021. Additional input was collected using the Better Together Edina website. If approved, staff anticipates referring to this new program as the "SPARC" Fund - Special Projects and Redevelopment Capital Fund. Staff recommends approval of this resolution. Staff also recommends approval of the policy to guide the use of Unobligated TIF funds. ATTACHMENTS: Description Resolution 2021-105: Approving TIF Spending Plan Spending Plan Policy for Unobligated TIF Funds Better Together Public Hearing Comment Report Staff Presentation, Nov. 3 CITY OF EDINA COUNTY OF HENNEPIN STATE OF MINNESOTA Councilmember ______________________ introduced the following resolution and moved its adoption: RESOLUTION 2021-105 APPROVING A SPENDING PLAN FOR THE SOUTHDALE 2, PENTAGON PARK AND 70th AND CAHILL TAX INCREMENT FINANCING DISTRICTS BE IT RESOLVED by the City Council (the "Council") of the City of Edina, Minnesota (the "City"), as follows: Section 1. Background; Findings. 1.01. The City and the Board of Commissioners of the Edina Housing and Redevelopment Authority (the "HRA") have heretofore established the Southeast Edina Redevelopment Project Area (the "Project Area") and adopted a Redevelopment Plan therefor, and established the Southdale 2, Pentagon Park and 70th and Cahill Tax Increment Financing Districts (the “Districts”) therein and adopted Tax Increment Financing Plans (the “TIF Plans”) therefor. 1.02. Subject to the approval of the City Council following a public hearing, the HRA has adopted a spending plan for the TIF Districts in accordance with Minnesota Statutes, Section 469.176, Subd. 4n in the form submitted to the City Council by the HRA (the “Spending Plan”) to utilize existing tax increment revenues from the TIF Districts in order to stimulate construction or substantial rehabilitation of private development in a way that will also create or retain jobs. 1.03. The HRA and City have performed all actions required by law to be performed prior to the adoption and approval of the proposed Spending Plan, including, but not limited to, adoption of the Spending Plan by the HRA on October 28, 2021 and the holding of a public hearing upon published notice as required by law. Section 2. Approval of the Spending Plan and Program Policy. 2.01. The Council hereby reaffirms the original findings for the Project Area and TIF Districts. 2.02. In addition, the City makes the following findings: (a) The adoption of the Spending Plan conforms in all respects to the requirement of the Act and will help fulfill a need to develop an area of the City which is already built up, to create or retain jobs within the State, provide housing opportunities, to improve the tax based and to improve the general economy of the State and thereby serves a public purpose. Resolution 2021-105 Page 2 (b) The development and redevelopment efforts requiring assistance, in the opinion of the City, would not reasonably be expected to occur solely through private investment within the reasonably foreseeable future and therefor the use of tax increment financing is deemed necessary. Section 3. Approval of the Spending Plan and Program Policy; Filing. 3.01. The Spending Plan for the TIF Districts, as presented to the Council on this date, including without limitation the findings and statements of objectives contained therein, are hereby approved, ratified, established, and adopted and shall be placed on file in the office of the HRA Executive Director. 3.02. The HRA, staff of the City, the City's advisors and legal counsel are authorized and directed to proceed with the implementation of the Spending Plan and to negotiate, draft, prepare and present to this Council for its consideration all further plans, resolutions, documents and contracts necessary for this purpose. 3.03 The HRA Executive Director is authorized and directed to file a copy of the Spending Plan with the Office of the State Auditor pursuant to Minnesota Statutes 469.176, Subd. 4n. The motion for the adoption of the foregoing resolution was duly seconded by Council member ______________________, and upon a vote being taken thereon, the following voted in favor thereof: _________________________________________________________________________________________ ________________________________________________________________________________________ and the following voted against the same: _________________________________________________ _________________________________________________________________________________________ Dated: November 16, 2021 Attest: Sharon Allison, City Clerk James B. Hovland, Mayor (Seal) Resolution 2021-105 Page 3 STATE OF MINNESOTA ) COUNTY OF HENNEPIN ) SS CITY OF EDINA ) CERTIFICATE OF CITY CLERK I, the undersigned duly appointed and acting City Clerk for the City of Edina do hereby certify that the attached is a true and correct copy of the Resolution duly adopted by the Edina City Council at its regular meeting of November 16, 2021, and as recorded in the Minutes of said regular meeting. WITNESS, my hand and seal of said City this ______ day of________________________, 2021. _______________________________ Sharon Allison, City Clerk Julie Blaha State Auditor STATE OF MINNESOTA Suite 500 525 Park Street Saint Paul, MN 55103 New: August 2021 Main: (651) 296-2551 Fax: (651) 296-4755 TTY: (800) 627-3529 State.Auditor@ osa.state.mn.us www.osa.state.mn.us An equal opportunity employer Statement of Position Temporary Transfer Authority (2021 Law) Tax increment revenue may be spent only as permitted by the Tax Increment Financing Act (TIF Act).1 In 2021, the Legislature enacted expanded, temporary authority to transfer unobligated tax increments for purposes of assisting private development consisting of the construction or substantial rehabilitation of buildings and ancillary facilities, if doing so will create or retain jobs in the state.2 Proposed amidst the COVID-19 pandemic, the enacted law is narrower than initially proposed and is similar to 2010 legislation that temporarily expanded the use of TIF with the aim of stimulating economic recovery after the Great Recession.3 Authority, Purposes The new law temporarily permits a development authority to elect, by resolution, to transfer unobligated increment for certain specified purposes. The new law does not, however, override requirements to pay bonds to which increments are pledged. Any transfer under this provision must be for the purpose of assisting private development that meets all of the following criteria: (1) it consists of the construction or substantial rehabilitation of buildings and ancillary facilities; (2) it creates or retains jobs in the state, including construction jobs; and (3) construction commences before December 31, 2025, and would not have commenced before that date without the assistance.4 Developments that would already commence construction prior to December 31, 2025, or those that do not add or retain jobs in the state, would not be permitted beneficiaries of the transfer. Transfers must provide the assistance in one or both of the following ways: (1) by providing improvements, loans, interest rate subsidies, or assistance in any form to the private development; or 1 The TIF Act is found at Minn. Stat. §§ 469.174 to 460.1794. 2 Minn. Stat. § 469.176, subd. 4n, as enacted by 2021 Minn. Laws, 1st Spec. Sess., ch. 14, art. 9 sec. 1. 3 The 2021 enacted provision does not include transfers to the general fund, nor more-generalized support for businesses impacted by the pandemic, as was initially entertained. While similar to the 2010 Jobs Stimulus provision, additional details are included. For information about the 2010 provision, see the separate TIF Jobs Stimulus Program statement of position on our website. 4 Minn. Stat. § 469.176, subd. 4n(a). New: August 2021 2 (2) by making an equity or similar investment in a corporation, partnership, or limited liability company that the authority determines is necessary to make construction of a development financially feasible.5 In order to demonstrate compliance with the new provision, an authority may wish to include affirmation of the qualifications in the written resolution electing to make the transfer. The authority also should keep documentation that demonstrates that the development created or retained jobs in the state and that commencement of construction by December 31, 2025, depended on the transfer. Approvals and Spending Plans Prior to approving the use of this temporary transfer authority by resolution, a development authority must also create a written spending plan that authorizes the development authority to provide the assistance or make the investment that makes the development qualify.6 The plan must detail the use of transferred increment.7 The OSA recommends identifying planned expenditures using the same categories identified in TIF plans and TIF reporting (e.g., acquisition, site preparation, financing costs, etc.), except for a category for administrative expenses, because administrative expenses are not included in the permissible uses of the transferred increment in the new law. The municipality (which may or not be the same as the development authority) must also approve the authority’s spending plan after holding a public hearing.8 The municipality must publish notice of the hearing in a newspaper of general circulation in the municipality and on the municipality’s public website at least ten days, but not more than 30 days, prior to the date of the hearing.9 An authority making a transfer under this authority must provide a copy of the spending plan approved and signed by the municipality to the Office of the State Auditor.10 Plans should be emailed to TIF@osa.state.mn.us as soon as possible after their approval. Parameters and Limitations The authority to transfer increments under this provision expires on December 31, 2022.11 Amounts being transferred under this provision must be transferred from the fund or account in which tax increments are segregated and into a separate fund or account by December 31, 2022. Amounts must not be expended directly from the transferring TIF fund or account, and may not be spent after December 31, 2022, if they remain in the TIF district’s fund or account at that time.12 All transfers must be spent by December 31, 2025.13 5 Id. 6 Minn. Stat. § 469.176, subd. 4n(c). 7 Id. 8 Id. A city’s housing and redevelopment authority or economic development authority, for example, may be the development authority while the city itself is the municipality. 9 Id. 10 Minn. Stat. § 469.176, subd. 4n(e). 11 Minn. Stat. § 469.176, subd. 4n(f). 12Minn. Stat. § 469.177, subd. 5, requires an authority to segregate tax increment received with respect to any district in a special account or accounts on its official books and records. This authority allows transfers out of such accounts as opposed to expenditures from within these accounts. 13 Minn. Stat. § 469.176, subd. 4n(f). New: August 2021 3 Transfers from a TIF district in calendar years 2021 and 2022 are limited to a maximum transfer equal to the excess of the district’s unobligated increment.14 Under the provision, unobligated increment includes any increment not required for payment of obligations due during the six months following the transfer on outstanding bonds, binding contracts, and other outstanding financial obligations of the district to which the district’s increment is pledged.15 Therefore, the transfer of increment for 2021 is limited to the eligible balance of tax increment at the end of 2020, less amounts needed to pay bonds, pay-as-you-go notes, and interfund loans due from January 1, 2021, to June 30, 2021. Similarly, the transfer of increment for 2022 is limited to the eligible balance of tax increment at the end of 2021, less amounts needed to pay bonds, pay-as-you-go notes, and interfund loans due from January 1, 2022, to June 30, 2022. Presumably, receipts of tax increment for the first half taxes in each year would be used to make payments on outstanding obligations due in the second half of each year, but note that this authority does not provide any exception to pay those obligations to which tax increment is pledged, and an authority should not transfer amounts that might impair their ability to make payments on those obligations. Increment that is improperly retained, received, spent, or transferred is not eligible for transfer under this authority.16 Therefore, the 2020 and 2021 balances of tax increment should be carefully evaluated prior to making transfers in 2021 and 2022, respectively. For example, excess increment calculated for 2019 that might remain in the TIF fund after it should have been returned by September 30, 2020, would not be eligible for transfer, nor would any subsequent excess increment be eligible for a transfer after it should have been returned. Likewise, if a district receives tax increment after it should have decertified under the Six-Year Rule, such amounts of increment would also not be eligible for transfer. Unspent Transfers Increment not spent by December 31, 2025, must be returned to the fund(s) of the contributing TIF district(s).17 The distribution of returned amounts need not be proportional to the amount contributed, but the amount returned to each TIF district must not exceed the amount transferred from the district. 14 Minn. Stat. § 469.176, subd. 4n(b). 15 Id. Interfund loans are included in the definition of “bonds” in the TIF Act (see Minn. Stat. § 469.174, subd. 3), so payments on interfund loans should not be foregone to increase a transfer under this authority. 16 Minn. Stat. § 469.176, subd. 4n(d). 17 Minn. Stat. § 469.176, subd. 4n(f). ☒City Council Approved: Click here to enter a date. ☐City-Wide Revised: Click here to enter a date. ☐Department City of Edina Policy Policy for Use of Unobligated Tax Increment Financing (TIF) Funds OVERVIEW The purpose of this Policy is to identify goals and establish guidelines pertaining to the City’s use of its unobligated TIF cash balances for financial assistance to stimulate private construction and rehabilitation projects that create jobs. The use of these unobligated TIF balances is responsive to 2021 Minnesota Statutes, Section 469.176 subdivision 4n. This policy shall be used as a guide for unallocated TIF monies available under the City’s approved Spending Plan and seeks to invest these monies to enable additional private investment that creates jobs and also delivers benefits to the general public. Pursuant to the TIF Act, the purpose of these expenditures is to spur construction, expansion, or rehabilitation of commercial, industrial, or mixed-use buildings and supporting infrastructure within the City’s commercial and industrial districts so as to create or retain local jobs and stimulate additional private investment in the City. This policy is intended to be in effect upon approval and to expire December 31, 2025, unless changed by Minnesota Statute. SPENDING PLAN FOR UNALLOCATED TAX INCREMENT A Spending Plan has been prepared to formalize the use of unobligated incremental property taxes in accordance with the 2021 Minnesota Statutes. This Spending Plan identifies approximately $9,650,000 of unallocated monies generated from three existing TIF Districts located within the Southeast Edina Redevelopment Project Area: Southdale 2, Pentagon Park and 70th/Cahill. Any funds utilized under this provision must be expended by December 31, 2025, unless that date is modified by State Law. CONSIDERATION OF PROJECTS Each project will be evaluated on a case-by-case basis in accordance with the qualifications identified in Minnesota Statute, the Spending Plan and this Policy. The HRA retains the right to evaluate projects under this Program as it sees fit to meet the overall objectives of the TIF Act. This policy outlines how funds will be provided for qualified construction activities. Assistance will be considered upon evidence that construction would not have occurred without such assistance and alternatives for financing are not feasible. DRAFT Policy for Use of Unobligated TIF Funds Page 2 POTENTIAL PROJECTS The types of projects to be funded include but are not limited to the following: renovation of existing buildings and construction of new buildings, including public improvements directly related to the renovations and construction. Examples might include: renovations of theaters and restaurants, construction of new commercial facilities, renovation for business incubators or business accelerators, construction of public parking, public sidewalks or public utilities that serve the private investments. These funds can also be used for housing, if jobs are created. PUBLIC BENEFITS FROM PRIVATE INVESTMENT Projects shall stimulate private investment while also creating benefits to the general public. At a minimum, these public benefits should include: • Growth or stabilization of property tax base, • Creation of construction jobs and/or permanent jobs • Reoccupy a vacant facility (or portion thereof) or construct a new facility for occupancy Funded Projects should also include at least one of the following: • Preservation or restoration of historic and culturally significant sites and elements • Public improvements that are identified in the City’s Capital Improvement Plan or similar planning document • Public easements for non-motorized vehicles or mass transit • Conservation easements to protect established trees or wetlands, where applicable • Easements for public plazas with combination of landscape, hardscape and public art that is owned and maintained by private owners, or • Easements for public parking that is owned and maintained by private owners If applicable to the scope of work, funded Projects should also: • Remediate environmental contaminants • Apply sustainable design and construction practices to reduce the carbon footprint or to reduce greenhouse gas emissions BUSINESS SUBSIDY All projects approved pursuant to this policy that constitute a business subsidy under Minnesota Statutes, Sections 116J.993 through 116J.995, as amended, will be subject to the City’s Business Subsidy Policy. FINANCIAL REPORTING The expenditure of unallocated tax increment shall be reported as required by Minnesota Law and in the format required by the Minnesota Office of the State Auditor (OSA) and any other required financial audits or reports. Reviewed by Edina HRA: October 28, 2021 Survey Responses 30 January 2019 - 07 November 2021 Public Hearing Comments- New SpendingPlan to Support Private and PublicImprovements Better Together Edina Project: Public Hearing: Spending Plan for Southdale 2, Pentagon Park and 70th & Cahill TIF Districts No Responses VISITORS 2 CONTRIBUTORS 0 RESPONSES 0 0 Registered 0 Unverified 0 Anonymous 0 Registered 0 Unverified 0 Anonymous The CITYofEDINASpending Plan for Southdale 2, Pentagon Park, and 70th& Cahill Tax Increment Financing DistrictsPublic HearingEdina City CouncilNovember 3, 2021www.EdinaMN.gov The CITYofEDINA2Background•New Minnesota Legislation allows cities to use unallocated TIF monies that have not already been obligated•Intended to accelerate the economic recovery after the COVID-19 pandemic•Intended to create new jobs•Intended to promote new private investment The CITYofEDINA3Background•Edina has 3 TIF accounts with unallocated monies that are eligible for this new MN Statute:•- Pentagon Park (approx. $700,000)•- Southdale 2 (approx. $8,600,000)•- 70th& Cahill (approx. $350,000)•-TOTAL approx. $9,650,000 The CITYofEDINA4How can Funds be UsedTIF monies can fill gap in private development projects including:-New construction or substantial rehabilitation of existing-Private improvements or related public improvements-Loan, grant or equity investmentNOT for public buildings or parksNOT for general public improvementsgap The CITYofEDINA5What must be achieved with Funds•Each project MUST deliver new construction or substantial rehabilitation of brick and mortar structures•Each project MUST create jobs, including (at a minimum) construction jobs•Each project MUST be determined to be unable to proceed without public funding•Each project SHOULD deliver benefits to the general public gap The CITYofEDINA6When can Funds be Used•Hold Public Hearing Nov 3rd•- Consider approval Nov 16th•Spending Plan must be approved no later than 12/31/2022•Projects must be completed by 12/31/2025•Any unused funds must be returned to the original TIF account OR be redistributed to the County, City and Schools in 2026gap The CITYofEDINA7Recommended Process•Two step process1st– adopt Spending Plan and approve Policy2nd- consider qualified projects on case-by-case basis•Be strategic in the type and location of approved projects•Seek to maximize private investment and create strong economic conditions throughout the commercial areas•Comply with applicable State rules and regulations, including reporting The CITYofEDINA8Type of Projects to ConsiderUnder the general terms of the proposed Spending Plan and proposed Policy, many different types of projects could be considered in the future. Examples include:•Renovation of vacant commercial buildings•Construction of new commercial or multi-family buildings•Improvements to public roadways, parking facilities and related infrastructure that hinder private investment The CITYofEDINASummary2021 Minnesota Statutes enables unallocated TIF monies to be reinvested to pursue private development and create jobsEdina has 3 TIF Districts with $9.65 M of unallocated moniesStaff recommends that the Spending Plan be adopted in 2021Staff recommends that Policy be approved to guide project selectionStaff further recommends that prospective projects be identified in 2021-2022 so that work can be completed by the 2025 deadline9 The CITYofEDINA10Questions / Discussion Date: November 16, 2021 Agenda Item #: VIII.F. To:Mayor and City Council Item Type: Report / Recommendation From:Cary Teague, Community Development Director Item Activity: Subject:Resolution No. 2021-103 & Ordinance No. 2021-13: Zoning Ordinance Amendment and Revised Overall Development Plan for the US Bank Site at 7001 and 7025 France Avenue Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Adopt Resolution No. 2021-103 & Ordinance No. 2021-13 approving zoning ordinance amendment and revised overall development plan for 7001 and 7025 France Avenue. INTRODUCTION: The Planning Commission recommends denial of Resolution No. 2021-103 & Ordinance No. 2021-13. Vote: 6 Ayes and 1 Nay. The City Council is asked to consider a proposal for a Zoning Ordinance Amendment to revise the previously approved plans for this site (PUD-17) which was approved in June of 2021. (See the attached approved plans.) The approved plans were to tear down the existing 66,200 square foot office and bank, and build the following: A one-story, 24-foot tall 6,500 s.f. US Bank with drive-through (Phase 1); A 24-Story, 282-foot tall 270-unit apartment with 5,000 s.f. of retail; A 10-story, 146-foot tall, 190,000 s.f. office/retail building; and A 9-story, 90-foot, 110-unit apartment building. The revised plans have slightly reduced the size of the project by eliminating the 9-story apartment building to build the following (See the attached approved plans.): A one-story, 24-foot tall 6,500 s.f. US Bank with drive-through (Phase 1-no changes proposed to the bank); A 24-Story, 270-foot tall 267-unit apartment with 1,500 s.f. of retail; A 6-7-story, 105-foot tall, 189,430 s.f. office/retail building; and An 8 level, freestanding 540-stall parking ramp with a 1,300 s.f bike facility. The request requires: A Zoning Ordinance Amendment to revise the P UD-17 Zoning District; and An amendment to the Overall Development Plan. ATTACHMENTS: Description Ordinance No. 2021-13 Resolution No. 2021-103 (Approval) Resolution No. 2021-103 (Denial) Planning Commission Staff Report - October 13, 2021 Engineering Memo - Transportation, Sustainability and Engineering Chief Building Official Memo Better Together Public Hearing Comment Report AFO Review Sustainability Questionnaire Updated Traffic and Parking Study Previous Traffic and Parking Study Previously Approved Plans Previously Approved Elevations Applicant Narrative & Renderings 1 of 4 Applicant Narrative & Renderings 2 of 4 Applicant Narrative & Renderings 3 of 4 Applicant Narrative & Renderings 4 of 4 Proposed Plans (Prelim) 1 of 3 Proposed Plans (Prelim) 2 of 3 Proposed Plans (Prelim) 3 of 3 Existing text – XXXX Stricken text – XXXX Added text – XXXX ORDINANCE NO. 2021-13 AN ORDINANCE AMENDING THE ZONING ORDINANCE TO AMEND THE PUD-20, PLANNED UNIT DEVELOPMENT-20, AT 7001 AND 7025 FRANCE AVENUE The City Of Edina Ordains: Section 1. Chapter 36, Article VIII, Division 4 is hereby amended to add the following: Sec. 36-504 Planned Unit Development District-20 (PUD-20) – 70th and France (a) Legal description: Lot 1, Block 1, except that part thereof which lies Northwesterly of a line drawn from a point on the North line of Section 32, Township 28, Range 24 distant 110 feet Easterly of the Northwest corner of said section to a point on the West line thereof distant 110 feet Southerly of said Northwest corner; Lot 2, Block 1, except the Eastly 70 feet thereof; Yorktown, Hennepin County, Minnesota. (Torrens Property: Certificate of Title No. 1077413) (b) Approved Plans. Incorporated herein by reference are the re-development plans, including the master development plan for the site received by the City on January 25 and June 4, 2021 _____________except as amended by City Council Resolution No. 2021-21 on file in the Office of the Planning Department. (c) Principal Uses: All uses allowed in the PCD-3 Zoning District All uses allowed in the PCD-3 Zoning District Multifamily Residential Office (d) Accessory Uses: All accessory uses allowed in the PCD-3 Zoning District. All accessory uses allowed in the PCD-3 Zoning District (e) Conditional Uses: All conditional uses allowed in the PCD-3 Zoning District. All conditional uses allowed in the PCD-3 Zoning District Existing text – XXXX Stricken text – XXXX Added text – XXXX 2 (f) Development Standards. In addition to the development standards per the PCD- 3 Zoning District, the following shall apply: Building Setbacks Front – France Avenue Front – 70th Street Side – East Side – South 50 feet – Lot 1 (measured to the curb) 40 feet – Lot 4* (see (i) below) 18-28 feet 35 feet 10 feet Building Height 1, 9, 10 , 7, 8 & 24 stories Density 67 units per acre Floor Area Ratio (FAR) 2.1% Parking 1,170 1,112 spaces total (23 for the bank) (g) Signs shall be regulated per the POD-2 Zoning District for the office uses and PCD-3 for retail uses, and PRD, for the residential uses. In addition, the wall signs shown on the final development plans for the building on Lot 1 shall be allowed. (h) The residential housing on the site shall comply with the City’s New Multi- Family Affordable Housing Policy in place as of December 2020. (i) Any future construction on Lot 4, after the construction of US Bank with a 40- foot setback to France Avenue, must comply with the 50-foot setback requirement from France Avenue. Section 3. This ordinance is effective immediately upon its passage. First Reading: Second Reading: Published: Existing text – XXXX Stricken text – XXXX Added text – XXXX 3 ATTEST: ______________________________ _____________________________ Sharon Allison, City Clerk James B. Hovland, Mayor Please publish in the Edina Sun Current on: Send two affidavits of publication. Bill to Edina City Clerk CERTIFICATE OF CITY CLERK I, the undersigned duly appointed and acting City Clerk for the City of Edina do hereby certify that the attached and foregoing Ordinance was duly adopted by the Edina City Council at its Regular Meeting of ________, 2021, and as recorded in the Minutes of said Regular Meeting. WITNESS my hand and seal of said City this ______ day of ____________, 2021. ________________________________ City Clerk RESOLUTION NO. 2021-103 APPROVING A ZONING ORDINANCE AMENDMENT AND REVISED OVERALL DEVELOPMENT PLAN FOR 7001 AND 7025 FRANCE AVENUE BE IT RESOLVED by the City Council of the City of Edina, Minnesota, as follows: Section 1. BACKGROUND. 1.01 Mortenson is proposing to redevelop the property at the corner of 70th and France Avenue (7001 and 7025 France Avenue) 1.02 An Overall Development and Ordinance Amendment establishing the PUD-20 District were approved by the City Council on June 15, 2021. 1.03 Mortenson is requesting a revision to the approved plans to tear down the existing 66,200 square foot office and bank, and build the following: A one-story, 24-foot tall 6,500 s.f. US Bank with drive-through (Phase 1-no changes proposed to the bank); A 24-Story, 270-foot tall 267-unit apartment with 1,500 s.f. of retail; A 6-7-story, 105-foot tall, 189,430 s.f. office/retail building; and An 8 level, freestanding 540-stall parking ramp with a 1,300 s.f bike facility. 1.04 To accommodate the request, the following is requested: A Zoning Ordinance Amendment to revise the PUD-20 Zoning District; and An amendment to the Overall Development Plan. 1.05 On October 13, 2021, the Planning Commission held a public hearing and recommended denial of the Request. Vote: 6 Ayes and 1 Nays. 1.05 On November 3rd, 2021, 2020 the City Council held a public hearing and considered the request. 1.06 On November 16, 2021 the City Council granted approval of the requests. Section 2. FINDINGS 2.01 Approval is based on the following findings: 1. The proposed land uses, and density are consistent with the Comprehensive Plan. 2. The proposal still meets the City’s criteria for PUD zoning. The PUD zoning would: RESOLUTION NO. 2021-103 Page 2 a. Promote a more creative and efficient approach to land use within the City, while at the same time protecting and promoting the health, safety, comfort, aesthetics, economic viability, and general welfare of the City. c. Provide for variations to the strict application of the land use regulations in order to improve site design and operation, while at the same time incorporate design elements that exceed the City's standards to offset the effect of any variations. Desired design elements may include: sustainable design, greater utilization of new technologies in building design, special construction materials, landscaping, lighting, stormwater management, pedestrian oriented design, and podium height at a street or transition to residential neighborhoods, parks or other sensitive uses. d. Project is of high quality of design and design compatible with surrounding land uses, including both existing and planned. e. Maintains the efficiency of public streets and utilities. f. Provides a mixture of land uses within the development. g. Project would meet the City’s affordable housing policy. 3. The PUD would ensure that the development proposed would be the only building that would be allowed on the site unless an amendment to the PUD is approved by City Council. 4. The pedestrian experience along Ewing would be improved compared to the approved plan with the elimination of the parking garage entrances on both sides of the street. There would be no car/pedestrian conflict along these sidewalks. 5. Addresses the Greater Southdale Area Design Experience Guidelines. The following principles are included: The division of the property into smaller blocks and the provision of pedestrian and vehicle access and connections through the site to adjacent properties to the east and south. Close conformity to the street typologies No visible surface parking stalls from 70th or France Avenue. The provision of public space that makes up 26% of the site. This includes 1.2 acres consisting of the internal sidewalks and drive aisles, a 7,500 square foot public/park space east of the retail/office stie. 6. The proposed project would meet the following goals and policies of the Comprehensive Plan: a. A Pedestrian-Friendly Environment. Improving the auto-oriented design pattern present in much of the city will call for guidelines that change the relationship between parking, pedestrian movement and building placement. i. Provide visual screening and privacy to buffer cars from people, provide visual relief and allow stormwater infiltration in parking lots. ii. Evaluate current parking standards in order to encourage shared parking and minimize the visual impact of surface parking. iii. Landscaping is essential to screen parking areas, buffer adjacent residential uses and create a pedestrian-friendly environment along streets. RESOLUTION NO. 2021-103 Page 3 iv. Encourage the development of parking lots or structures so they can be shared by more than one building on the site or by buildings on neighboring sites, and which can transition over time to other uses if parking needs change. b. Encourage successful mixed-use development. c. Ensure that public realm design respects community character, supports of commercial and mixed-use development, promotes community identity, and creates high quality experiences for pedestrians, cyclists, transit users, and motorists. 7. The existing roadways and parking would support the project. Wenck Consulting conducted a traffic and parking impact study and concluded that the proposed development could be supported by the existing roads and proposed parking. The project would generate 40% fewer daily trips, therefore would have less impact on traffic operation than originally anticipated in the 2020 traffic study done by Spack Consulting. 8. The proposed uses would be an upgrade to development on the site. Section 3. APPROVAL NOW THEREFORE, it is hereby resolved by the City Council of the City of Edina, approves The Ordinance Amendment and Revised Overall Development Plan for PUD-20. Approval is subject to the following conditions: 1. The Final Development Plans must be generally consistent with the Preliminary Development Plans dated September 22, 2021. 2. All buildings must comply with City Code Section 36-618 (11) regarding building materials and transparency. 3. The Final Landscape Plan must meet all minimum landscaping requirements per Chapter 36 of the Zoning Ordinance. A performance bond, letter-of-credit, or cash deposit must be submitted for one and one-half times the cost amount for completing the required landscaping, screening, or erosion control measures at the time of any building permit. 4. Provision of code compliant bike racks for each use near the building entrances. 5. The Final Lighting Plan must meet all minimum requirements per Section 36-1260 of the City Code. 6. Roof-top mechanical equipment shall be screened per Section 36-1459 of the City Code. 7. Submit a copy of the Nine Mile Creek Watershed District permit. The City may require revisions to the approved plans to meet the district’s requirements. RESOLUTION NO. 2021-103 Page 4 8. A Developer’s Agreement/Site Improvement Plan Agreement is required at the time of Final Approval. 9. County approval if necessary, on access to France Avenue. 10. The project must conform to the City’s affordable housing policy. Final determination to be made at final approval. 11. Compliance with the conditions outlined in the director of engineering’s memo dated October 7, 2021. 12. Compliance with the Spack Consulting Traffic & Parking Study recommendations and the updated Wenck Traffic and Parking Study. 13. Subject to the Zoning Ordinance Amendment revising the PUD, Planned Unit Development for this site. 14. Dedication of public access easements of the east-west and north-south sidewalks and drive-aisles through the site and sidewalks around the perimeter of the site including an easement over the future extension of the north-south internal street and sidewalk on the Bank site. 15. Provision of green roofs as shown on the building renderings. 16. Compliance with the conditions outlined in the fire marshal and building official’s memo dated October 7, 2021. 17. Submittal of a construction management plan subject to review and approval of city staff prior to issuance of a building permit. The plan must demonstrate minimal impact to pedestrian and vehicle movement. 18. Hours of construction must be consistent with City Code. 19. Park dedication shall be paid at the time of approval of a building permit for the residential uses. Dedication shall be $5,000 per unit. The value of the 7,500 square foot park/public space shall be considered for a reduction in the total amount. 20. The property owner shall be responsible for the maintenance of internal sidewalks and drive aisles. The City would snow plow a 5-foot path of the sidewalk on 70th and France. The property owners would be responsible for the remaining areas. Adopted by the City Council of the City of Edina, Minnesota, on November 16, 2021. RESOLUTION NO. 2021-103 Page 5 ATTEST: Sharon Allison, City Clerk James B. Hovland, Mayor STATE OF MINNESOTA ) COUNTY OF HENNEPIN )SS CITY OF EDINA ) CERTIFICATE OF CITY CLERK I, the undersigned duly appointed and acting City Clerk for the City of Edina do hereby certify that the attached and foregoing Resolution was duly adopted by the Edina City Council at its Regular Meeting of November 16, 2021, and as recorded in the Minutes of said Regular Meeting. WITNESS my hand and seal of said City this ____ day of __________________, 2021. _________________________________ Sharon Allison, City Clerk RESOLUTION NO. 2021-103 DENYING A ZONING ORDINANCE AMENDMENT AND REVISED OVERALL DEVELOPMENT PLAN FOR 7001 AND 7025 FRANCE AVENUE BE IT RESOLVED by the City Council of the City of Edina, Minnesota, as follows: Section 1. BACKGROUND. 1.01 Mortenson is proposing to redevelop the property at the corner of 70th and France Avenue (7001 and 7025 France Avenue) 1.02 An Overall Development and Ordinance Amendment establishing the PUD-20 District were approved by the City Council on June 15, 2021. 1.03 Mortenson is requesting a revision to the approved plans to tear down the existing 66,200 square foot office and bank, and build the following: A one-story, 24-foot tall 6,500 s.f. US Bank with drive-through (Phase 1-no changes proposed to the bank); A 24-Story, 270-foot tall 267-unit apartment with 1,500 s.f. of retail; A 6-7-story, 105-foot tall, 189,430 s.f. office/retail building; and An 8 level, freestanding 540-stall parking ramp with a 1,300 s.f bike facility 1.04 To accommodate the request, the following is requested: A Zoning Ordinance Amendment to revise the PUD-20 Zoning District; and An amendment to the Overall Development Plan. 1.05 On October 13, 2021, the Planning Commission held a public hearing and recommended denial of the Request. Vote: 6 Ayes and 1 Nays. 1.05 On November 3rd, 2021, 2020 the City Council held a public hearing and considered the request. 1.06 On November 16, 2021 the City Council granted approval of the requests. Section 2. FINDINGS 2.01 Approval is based on the following findings: 1. Does not adequately address the Greater Southdale District Design Experience Guidelines like the originally approved plan did. The streetscape is less active due to more street level parking within the structures, including a parking ramp that does not contain any liner RESOLUTION NO. 2021-103 Page 2 building, building materials don’t meet city code at street level and there is far less building articulation. The street typology on 70th Street has not been followed. 2. The project no longer includes affordable or workforce housing within the development. 3. The proposed project would not meet the criteria for Rezoning to PUD. Section 3. DENIAL NOW THEREFORE, it is hereby resolved by the City Council of the City of Edina, denies the Ordinance Amendment and Revised Overall Development Plan for PUD-20. Adopted by the City Council of the City of Edina, Minnesota, on November 16, 2021. ATTEST: Sharon Allison, City Clerk James B. Hovland, Mayor STATE OF MINNESOTA ) COUNTY OF HENNEPIN )SS CITY OF EDINA ) CERTIFICATE OF CITY CLERK I, the undersigned duly appointed and acting City Clerk for the City of Edina do hereby certify that the attached and foregoing Resolution was duly adopted by the Edina City Council at its Regular Meeting of November 16, 2021, and as recorded in the Minutes of said Regular Meeting. WITNESS my hand and seal of said City this ____ day of __________________, 2021. RESOLUTION NO. 2021-103 Page 3 _________________________________ Sharon Allison, City Clerk The Planning Commission is asked to consider a proposal for a Zoning Ordinance Amendment to revise the previously approved plans for this site (PUD-17) which was approved in June of 2021. (See the attached approved plans.) The approved plans were to tear down the existing 66,200 square foot office and bank, and build the following: A one-story, 24-foot tall 6,500 s.f. US Bank with drive-through (Phase 1); A 24-Story, 282-foot tall 270-unit apartment with 5,000 s.f. of retail; A 10-story, 146-foot tall, 190,000 s.f. office/retail building; and A 9-story, 90-foot, 110-unit apartment building. The revised plans have slightly reduced the size of the project by eliminating the 9-story apartment building to build the following (See the attached approved plans.): A one-story, 24-foot tall 6,500 s.f. US Bank with drive-through (Phase 1-no changes proposed to the bank); A 24-Story, 270-foot tall 267-unit apartment with 1,500 s.f. of retail; A 6-7-story, 105-foot tall, 189,430 s.f. office/retail building; and An 8 level, freestanding 540-stall parking ramp with a 1,300 s.f bike facility The request requires: A Zoning Ordinance Amendment to revise the PUD-17 Zoning District; and An amendment to the Overall Development Plan. October 13, 2021 Planning Commission Cary Teague, Community Development Director Zoning Ordinance Amendment, Revised Overall Development Plan, Site Plan Review for a redevelopment project at 7001 and 7025 France Avenue Information / Background: STAFF REPORT Page 2 SUPPORTING INFORMATION Surrounding Land Uses Northerly: The Galleria shopping center; zoned PCD-3, Planned Commercial District, and guided CAC, Community Activity Center (90-150 units per acre). Easterly: Brandon Square Southdale shopping center; zoned PCD-3, Planned Commercial District and guided CAC, Community Activity Center (90-150 units per acre). Southerly: Shopping center; zoned PCD-3, Planned Commercial District and guided CAC, Community Activity Center (90-150 units per acre). Westerly: Commercial uses (Room and Board); zoned PCD-3, Planned Commercial District and PUD, Planned Unit Development and guided OR, Office Residential (20-75 units per acre). Existing Site Features The subject property is 5.8 acres in size, is relatively flat and contains an office building, bank, and large surface parking lot. Planning Guide Plan designation: CAC, Community Activity Center (90-150 units per acre). Zoning: PCD-3, Planned Commercial District Greater Southdale District Design Experience Guidelines - City Goals The development pattern is consistent with the previous plans and does attempt to address the Greater Southdale District Design Experience Guidelines. The following remain the highlights the proposal: The division of the property into smaller blocks and the provision of pedestrian and vehicle access and connections through the site to provide connections to adjacent properties to the east and south (comprises 26% of the entire site); No visible surface parking stalls from 70th or France Avenue; and creating public realm along France and 70th Street and along the internal streets. Mic Johnson, AFO, the City’s consultant on the Greater Southdale Area Vision Plan has reviewed the revised plans and has provided feedback. (See attached AFO review.) Note that Mic does not believe the project has adequately addressed the Guidelines to the extent that the previously approved plans did. The project no longer includes affordable housing in the development, the streetscape is less active due to more street level parking, including a parking ramp that does not contain any liner building, building materials don’t meet city code at street level and there is less building articulation, and the street typology on 70th Street has not been followed. STAFF REPORT Page 3 Parking Based on the proposal for 33,887 square feet of retail, and 155,543 square feet of office space, 780 spaces are required. The 267 total residential units require 267 spaces for parking. Total parking required is 1,085 stalls. The site plan demonstrates 1,112 enclosed stalls (1,135 if the bank is included): 540 stalls in the ramp on Site C; 128 stalls on Site B; and 444 stalls on Site A. Of the 444 stalls on Site A, 317 are designated for the residential uses. Wenck Associates updated the parking study and concluded the Institute of Traffic Engineers (ITE) and locally collected data project a peak parking demand of 695 spaces, and therefore, the proposed parking stalls would accommodate the expected parking demand. (See the previous and updated parking study.) Site Circulation/Traffic Primary vehicular access to the site would remain off France Avenue and 70th Street. Future pedestrian and vehicular access easements would be provided through the site to provide access to the properties to the east and south. This is consistent with the Design Experience Guidelines in the Greater Southdale Area. Pedestrian sidewalks would be provided through and around the perimeter of the site. Interior site circulation will be dramatically improved. Truck loading and unloading would be provided off Drew Avenue and 71st Street. There would be no loading or parking garage access on the newly proposed Ewing Avenue (north-south access road); this would be an improvement over the approved plans which had access to both parking ramps on both sides of the street. Wenck Associates did an update/review of the study done by Spack Consulting as part of the approved project (Spack Consulting no longer performs traffic studies) conducted a traffic study. (See the previous and updated traffic study.) The update concludes that the proposed project would generate 25-40% less traffic. The study further concludes that the northbound right turn lane on France Avenue at 70th Street is not needed in the short term. It may be needed in the future. Future traffic studies with each phase would help determine when that would be needed. The property owner would remain responsible to pay for the above improvements required per the traffic studies. Landscaping Based on the perimeter of the site, 51 overstory trees would be required. The applicant is proposing 79 overstory trees in the boulevards along the public-streets and the interior private-street. (See attached landscape plan.) A full complement of understory shrubs and bushes are proposed. Grading/Drainage/Utilities The city engineer has reviewed the proposed plans and found them to be acceptable subject to the comments and conditions outlined in their review memo. (See attached memo dated October 7, 2021.) STAFF REPORT Page 4 A Site Improvement Plan Agreement would be required for each final site plan approval. Any approvals of this project would be subject to review and approval of the Nine Mile Creek Watershed District, as they are the City’s review authority over the grading of the site. Buildings/Building Material The building materials would be a combination primarily glass, with metal panel and composite wood accents. (See attached renderings.) Final building plans would be required to meet the new City Code Section 36-618 as follows: a. All new front building façades in the district that face the public realm must have seventy five percent (75%) transparency (ability to see inside the building) at the ground level. b. All facades on the first vertical 60 feet of a building (above grade) shall use natural materials (brick, stone) facing the public realm (streets, parks, sidewalks). c. No building façade shall be longer than 200 feet without changing direction by a minimum of 90 degrees. d. First floors must have a minimum ceiling height of 20 feet. e. Exceptions may be made to a-d above for an affordable housing project that has over 50% of the units considered to affordable housing as defined in Section 36-612 (1). The proposed plans do not meet standards b and c above, and there is no affordable housing proposed within this development (e). Therefore, staff would recommend that these be made conditions of any approval. When the applicant comes back for final approvals on each phase, they would be required to meet the above standards. Both items B and C are highlighted in Mic Johnson, AFO review memo, dated October 1, 2021. (See attached.) Mechanical Equipment No mechanical equipment has been shown on the plans. Any rooftop and/or ground level equipment would have to be screened if visible from adjacent property lines. Final Plans must include location of mechanical equipment and the means of screening. No ground level mechanical equipment shall be located within the front yard of the development. Signage As with the previous approval, the signage allowed on the site would correspond to the use. The office uses would be subject to sign regulations of an office district; the retail uses would be subject to sign regulations of commercial districts; and the residential uses subject to the planned residential district. This is written into the PUD. Additionally, the proposed signage located above the main entrance on the corner of 70th and France has been written in as acceptable. Living Streets/Multi-Modal Consideration Sec. 36-1274. - Sidewalks, trails and bicycle facilities. STAFF REPORT Page 5 (a) In order to promote and provide safe and effective sidewalks and trails in the city and encourage the use of bicycles for recreation and transportation, the following improvements are required, as a condition of approval, on developments requiring the approval of a final development plan or the issuance of a conditional use permit pursuant to article V of this chapter: (1)It is the policy of the city to require the construction of sidewalks and trails wherever feasible so as to encourage pedestrian and bicycle connectivity throughout the city. Therefore, developments shall provide sidewalks and trails which adjoin the applicant's property: a.In locations shown on the city's sidewalk and trail plan; and b.In other locations where the council finds that the provision of such sidewalks and trails enhance public access to mass transit facilities or connections to other existing or planned sidewalks, trails or public facilities. (2)Developments shall provide sidewalks between building entrances and sidewalks or trails which exist or which will be constructed pursuant to this section. (3)Developments shall provide direct sidewalk and trail connections with adjoining properties where appropriate. (4)Developments must provide direct sidewalk and trail connections to transit stations or transit stops adjoining the property. (5)Design standards for sidewalks and trails shall be prescribed by the engineer. (6)Nonresidential developments having an off-street automobile parking requirement of 20 or more spaces must provide off-street bicycle parking spaces where bicycles may be parked and secured from theft by their owners. The minimum number of bicycle parking spaces required shall be five percent of the automobile parking space requirement. The design and placement of bicycle parking spaces and bicycle racks used to secure bicycles shall be subject to the approval of the city engineer. Whenever possible, bicycle parking spaces shall be located within 50 feet of a public entrance to a principal building. (b)The expense of the improvements set forth in subsection (a) of this section shall be borne by the applicant. The applicant would be installing boulevard sidewalks along 70th and France. Additionally, the interior drive would have wide sidewalks on both sides with access ground level access to each use. Most importantly, these interior sidewalks provide for future connections to the properties to the east and the south. As mentioned earlier, the pedestrian environment would be improved compared to the approved plan with no street access to the parking ramps on Ewing, therefore there would be no car/pedestrian conflict on the sidewalks. The City’s transportation planner has reviewed the proposed project and provided a memo to address issues. (See attached memo dated October 8, 2021.) Approval of this project would be conditioned upon meeting the recommendations within the memo. Planned Unit Development (PUD) Per Section 36-253 the following are the regulations for a PUD: STAFF REPORT Page 6 1. Purpose and Intent. The purpose of the PUD District is to provide comprehensive procedures and standards intended to allow more creativity and flexibility in site plan design than would be possible under a conventional zoning district. The decision to zone property to PUD is a public policy decision for the City Council to make in its legislative capacity. The purpose and intent of a PUD is to include most or all of the following: a. provide for the establishment of PUD (planned unit development) zoning districts in appropriate settings and situations to create or maintain a development pattern that is consistent with the City's Comprehensive Plan; b. promote a more creative and efficient approach to land use within the City, while at the same time protecting and promoting the health, safety, comfort, aesthetics, economic viability, and general welfare of the City; c. provide for variations to the strict application of the land use regulations in order to improve site design and operation, while at the same time incorporate design elements that exceed the City's standards to offset the effect of any variations. Desired design elements may include: sustainable design, greater utilization of new technologies in building design, special construction materials, landscaping, lighting, stormwater management, pedestrian oriented design, and podium height at a street or transition to residential neighborhoods, parks or other sensitive uses; d. ensure high quality of design and design compatible with surrounding land uses, including both existing and planned; e. maintain or improve the efficiency of public streets and utilities; f. preserve and enhance site characteristics including natural features, wetland protection, trees, open space, scenic views, and screening; g. allow for mixing of land uses within a development; h. encourage a variety of housing types including affordable housing; and i. ensure the establishment of appropriate transitions between differing land uses. 2. Applicability/Criteria a. Uses. All permitted uses, permitted accessory uses, conditional uses, and uses allowed by administrative permit contained in the various zoning districts defined in this Chapter shall be treated as potentially allowable uses within a PUD district, provided they would be allowable on the site under the Comprehensive Plan. b. Eligibility Standards. To be eligible for a PUD district, all development should be in compliance with the following: i. where the site of a proposed PUD is designated for more than one (1) land use in the Comprehensive Plan, the City may require that the PUD include all the land uses so designated or such combination of the designated uses as the City Council shall deem appropriate to achieve the purposes of this ordinance and the Comprehensive Plan; STAFF REPORT Page 7 ii. any PUD which involves a single land use type or housing type may be permitted provided that it is otherwise consistent with the objectives of this ordinance and the Comprehensive Plan; iii. permitted densities may be specifically stated in the appropriate planned development designation and shall be in general conformance with the Comprehensive Plan; and iv. the setback regulation, building coverage and floor area ratio of the most closely related conventional zoning district shall be considered presumptively appropriate, but may be departed from to accomplish the purpose and intent described in #1 above. The previously approved plans were found to meet the above standards, and therefore, the site was rezoned to PUD. While the plans have been downgraded to make for a more economically feasible project, staff believes the proposal would still meet the purpose and intent of the PUD, as most of the above criteria would be met. The site is guided in the Comprehensive Plan for “Community Activity Center – CAC,” which allows for retail and multi-family housing in a density range of 90-150 units per acre. The proposal still is a mixed- use development including office, retail, and multi-family residential within the required density range. The proposal would create a more efficient and creative use of the property than existing. The buildings would be pulled up close to the street, with sidewalks in front, and separated from the street by green space to promote a more walkable environment. Store fronts open toward France Avenue and the interior drive. The proposal also provides future pedestrian and vehicle access to properties to the east and south. The proposed new buildings have a more predominant entrance along the street and at the corner of 70th and France. Parking would be enclosed and underground within the buildings, eliminating the surface parking that exists today. The applicant has worked with the City’s sustainability coordinator and has submitted the sustainability questionnaire. (See attached.) The sustainability coordinator has reviewed the proposal and submitted comments within the engineering memo. (See attached.) Comprehensive Plan The proposed uses are all consistent with the City’s 2040 Comprehensive Plan. As mentioned, the site is designated as CAC, Community Activity Center. The description of Land Uses within the Comprehensive Plan is as follows: Contains larger scale uses, height and coverage. Primary uses: Retail, office, lodging, entertainment and residential uses, combined or in separate buildings. Secondary uses: Institutional and recreational. Mixed-use should be encouraged and may be required on larger sites. STAFF REPORT Page 8 The proposed development fits this description. The proposed plan also meets the development character guidelines as outlined in the 2040 Plan as follows: Pedestrian and streetscape amenities. Encourage or require structured parking. Buildings may “step down" in height from intersections. Buildings should be placed in appropriate proximity to streets to create pedestrian scale. Buildings may “step down" at boundaries with lower-density districts and upper stories “step back" from street. More stringent design standards for larger buildings. Emphasize pedestrian circulation; re- introduce finer- grained circulation patterns where feasible. Compliance Table City Standard (PUD) Proposed Building Setbacks Front – France Avenue Front – 70th Street Side – East Side – South 50 feet – Lot 1 (measured to curb) 18-28 feet (measured to curb) 35 feet 10 feet 50 feet (measured to curb) 18-28 feet (measured to curb) 35 feet 10 feet Building Height 1, 9, 10 & 24 stories 1, 7, 8 and 24 stories Density 90-150 units per acre (5.7 acres) 47 units per acre Floor Area Ratio (FAR) 2.1% 2.1% Parking Retail/Office = 780 spaces Residential = 267 enclosed spaces (1,048 stalls required) (23 for the bank – phase 1) 1,170 spaces total required (Based on previously approved project) 1,112 spaces total* (23 for the bank – phase 1) * As part of the Ordinance Amendment for the project, the parking regulations will be updated STAFF REPORT Page 9 PRIMARY ISSUES/STAFF RECOMMENDATION Primary Issues Are the proposed changes to the approved Overall Development Plan reasonable to justify amending the PUD rezoning for this site? Yes. Staff does support the revised PUD, for the following reasons: 1.While the plans are more flawed that the previously approved plans, they still do generally address the Greater Southdale District Design Experience Guidelines. Highlights continue to include: The division of the property into smaller blocks and the provision of pedestrian and vehicle access and connections through the site to adjacent properties to the east and south; increasing the public realm on the site with small park space and sidewalks on the perimeter and through the site; having no surface parking stalls visible from 70th or France Avenue. Conditions can be placed on the request to better align with the Guidelines, such as building and building material enhancements and closer adherence to the Street Typology on 70th Street. 2.The revised plans reduce height on the corner of 70th and France and reduced the residential density from 370 to 267 units. 3.The provision of public space still makes up 26% of the site. This includes 1.2 acres consisting of the internal sidewalks and drive aisles, a 7,00 square foot public/park space south of the residential tower available to the public. 4.The pedestrian experience along Ewing would be improved compared to the approved plan with the elimination of the parking garage entrances on both sides of the street. There would be no car/pedestrian conflict along these sidewalks. 5.The proposal still meets the City’s criteria for PUD zoning. The site is guided in the Comprehensive Plan for “Community Activity Center – CAC,” which allows for retail and multi-family housing in a density range of 90-150 units per acre. The applicant is proposing to use the site as a mixed-use development including office, retail, and multi-family residential within the required density range. Project would meet the City’s affordable housing policy, by either including the units in the residential buildings (27 units), or the buy in amount at $125,000 per affordable unit required. The project creates a more efficient and creative use of the property than existing. The buildings would be pulled up close to the street, with sidewalks in front, and separated from the street by green space to promote a more walkable environment. Store fronts open toward France Avenue and portions of the interior drives. Most important, the proposal continues to provide future pedestrian and vehicle access to properties to the east and south. The proposed new buildings have a more predominant entrance along the street and at the corner of 70th and France. Parking would be enclosed and within the buildings, eliminating the surface parking that exists today. STAFF REPORT Page 10 6. As highlighted in the previous request, the location of this site in the CAC, Community Activity Center in between France and York. This is the area of Edina that has been recognized in the Greater Southdale Area Plan and the 2040 Comprehensive Plan as appropriate for higher densities and height. 7. The project would generate 40% fewer daily trips, therefore would have less impact on traffic operation than originally anticipated in the 2020 traffic study done by Spack Consulting. Recommendation A case can be made for approval and denial of this project. Below provides options for the planning commission and city council to consider: Denial Recommend the City Council deny the request for Zoning Ordinance Amendment and new Overall Development Plan for PUD-17. Denial is based on the following findings: 1. Does not adequately address the Greater Southdale District Design Experience Guidelines like the originally approved plan did. The streetscape is less active due to more street level parking within the structures, including a parking ramp that does not contain any liner building, building materials don’t meet city code at street level and there is far less building articulation. The street typology on 70th Street has not been followed. 2. The project no longer includes affordable or workforce housing within the development. 3. The proposed project would not meet the criteria for Rezoning to PUD. Approval Recommend the City Council approve the request for Zoning Ordinance Amendment and new Overall Development Plan for PUD-17. Approval is based on the following findings: 1. The proposed land uses, and density are consistent with the Comprehensive Plan. 2. The proposal still meets the City’s criteria for PUD zoning. The PUD zoning would: a. Promote a more creative and efficient approach to land use within the City, while at the same time protecting and promoting the health, safety, comfort, aesthetics, economic viability, and general welfare of the City. STAFF REPORT Page 11 c. Provide for variations to the strict application of the land use regulations in order to improve site design and operation, while at the same time incorporate design elements that exceed the City's standards to offset the effect of any variations. Desired design elements may include: sustainable design, greater utilization of new technologies in building design, special construction materials, landscaping, lighting, stormwater management, pedestrian oriented design, and podium height at a street or transition to residential neighborhoods, parks or other sensitive uses. d. Project is of high quality of design and design compatible with surrounding land uses, including both existing and planned. e. Maintains the efficiency of public streets and utilities. f. Provides a mixture of land uses within the development. g. Project would meet the City’s affordable housing policy. 3. The PUD would ensure that the development proposed would be the only building that would be allowed on the site unless an amendment to the PUD is approved by City Council. 4. The pedestrian experience along Ewing would be improved compared to the approved plan with the elimination of the parking garage entrances on both sides of the street. There would be no car/pedestrian conflict along these sidewalks. 5. Addresses the Greater Southdale Area Design Experience Guidelines. The following principles are included: The division of the property into smaller blocks and the provision of pedestrian and vehicle access and connections through the site to adjacent properties to the east and south. Close conformity to the street typologies No visible surface parking stalls from 70th or France Avenue. The provision of public space that makes up 26% of the site. This includes 1.2 acres consisting of the internal sidewalks and drive aisles, a 7,500 square foot public/park space east of the retail/office stie. 6. The proposed project would meet the following goals and policies of the Comprehensive Plan: a. A Pedestrian-Friendly Environment. Improving the auto-oriented design pattern present in much of the city will call for guidelines that change the relationship between parking, pedestrian movement and building placement. i. Provide visual screening and privacy to buffer cars from people, provide visual relief and allow stormwater infiltration in parking lots. ii. Evaluate current parking standards in order to encourage shared parking and minimize the visual impact of surface parking. iii. Landscaping is essential to screen parking areas, buffer adjacent residential uses and create a pedestrian-friendly environment along streets. iv. Encourage the development of parking lots or structures so they can be shared by more than one building on the site or by buildings on neighboring sites, and which can transition over time to other uses if parking needs change. STAFF REPORT Page 12 b. Encourage successful mixed-use development. c. Ensure that public realm design respects community character, supports of commercial and mixed-use development, promotes community identity, and creates high quality experiences for pedestrians, cyclists, transit users, and motorists. 7. The existing roadways and parking would support the project. Wenck Consulting conducted a traffic and parking impact study and concluded that the proposed development could be supported by the existing roads and proposed parking. The project would generate 40% fewer daily trips, therefore would have less impact on traffic operation than originally anticipated in the 2020 traffic study done by Spack Consulting. 8. The proposed uses would be an upgrade to development on the site. Approval is subject to the following Conditions: 1. The Final Development Plans must be generally consistent with the Preliminary Development Plans dated September 22, 2021. 2. All buildings must comply with City Code Section 36-618 (11) regarding building materials and transparency. 3. The Final Landscape Plan must meet all minimum landscaping requirements per Chapter 36 of the Zoning Ordinance. A performance bond, letter-of-credit, or cash deposit must be submitted for one and one-half times the cost amount for completing the required landscaping, screening, or erosion control measures at the time of any building permit. 4. Provision of code compliant bike racks for each use near the building entrances. 5. The Final Lighting Plan must meet all minimum requirements per Section 36-1260 of the City Code. 6. Roof-top mechanical equipment shall be screened per Section 36-1459 of the City Code. 7. Submit a copy of the Nine Mile Creek Watershed District permit. The City may require revisions to the approved plans to meet the district’s requirements. 8. A Developer’s Agreement/Site Improvement Plan Agreement is required at the time of Final Approval. 9. County approval if necessary, on access to France Avenue. 10. The project must conform to the City’s affordable housing policy. Final determination to be made at final approval. STAFF REPORT Page 13 11.Compliance with the conditions outlined in the director of engineering’s memo dated October 7, 2021. 12.Compliance with the Spack Consulting Traffic & Parking Study recommendations and the updated Wenck Traffic and Parking Study. 13.Subject to the Zoning Ordinance Amendment revising the PUD, Planned Unit Development for this site. 14.Dedication of public access easements of the east-west and north-south sidewalks and drive- aisles through the site and sidewalks around the perimeter of the site including an easement over the future extension of the north-south internal street and sidewalk on the Bank site. 15.Provision of green roofs as shown on the building renderings. 16.Compliance with the conditions outlined in the fire marshal and building official’s memo dated October 7, 2021. 17.Submittal of a construction management plan subject to review and approval of city staff prior to issuance of a building permit. The plan must demonstrate minimal impact to pedestrian and vehicle movement. 18.Hours of construction must be consistent with City Code. 19.Park dedication shall be paid at the time of approval of a building permit for the residential uses. Dedication shall be $5,000 per unit. The value of the 7,500 square foot park/public space shall be considered for a reduction in the total amount. 20.The property owner shall be responsible for the maintenance of internal sidewalks and drive aisles. The City would snow plow a 5-foot path of the sidewalk on 70th and France. The property owners would be responsible for the remaining areas. Staff Recommendation Staff recommends approval of the request subject to the findings and conditions listed above. Deadline for a City decision: January 15, 2022 DATE: 10/7/2021 TO: 7001 France Ave S, Owner and Development Team CC: Cary Teague – Community Development Director FROM: Chad Millner, PE, Director of Engineering Zuleyka Marquez, PE, Graduate Engineer Grace Hancock, Sustainability Coordinator Andrew Scipioni, Transportation Planner RE: 7001 France Avenue – Development Review, Revised The Engineering Department has reviewed the subject property for pedestrian facilities, utility connections, grading, flood risk, and storm water. Plans reviewed included civil, landscape, stormwater plans, and survey dated 9/13/21. Review Comment Required For General 1. Existing easements held by the City require Council action to vacate if deemed appropriate and necessary for the project. Consideration of requests can require up to 60-days to process. General Comment 2. Deliver as-build records of public and private utility infrastructure post construction. Certificate of Occupancy 3. Maintenance of sidewalks and streets internal to the site to be responsibility of property owner. Maintenance of sidewalks on France Ave and 70th Street will be by the City. City snowplowing operations are 5-ft wide on these sidewalks. If owner wants a wider path, this would be the responsibility of the owner. Note, the locations of permeable pavers and colored concrete should be noted on the plans and are considered the property owner’s maintenance responsibility. General Comment Survey 4. An existing and proposed site condition survey is required. Grading/Building Permit 4.1 Show all existing and proposed public and private easements. Grading/Building Permit Living Streets 5. Design sidewalks to meet ADA requirements. Grading/Building Permit 6. Saw cut concrete sidewalk joints on public sidewalks. Grading/Building Permit 7. Public sidewalk to be minimum 8-ft wide with an 8-ft boulevard along France Avenue and 5-ft wide minimum with a 5-ft minimum boulevard along 70th Street. Grading/Building Permit 8. Public access easements will be required to allow the public to use the streets and sidewalks internal to the site. Maintenance of all internal streets and sidewalks shall be the responsibility of the owner. This aligns with the Southdale Area Design Guidelines. General Comment 9. The applicant should consider additional pedestrian and bicycle crossings/connections to Brandon Square Mall to the east and Rue de France mall to the south. General Comment Traffic and Street 10. Review fire access requirements with fire department. Fire truck turning template attached. Grading/Building Permit 11. Driveway Entrance permit required for entrance reconstruction. Building Permit 12. Refer to standard plates 410 and 415. Minimum of 24’ in width for two-way drive. 20’ provided for center drive. 15’ radii per standard plates; various radii provided. Building Permit 13. Road and lane closures on France Ave S must be coordinated with Hennepin County. Street repairs must be completed to the County’s standards. General Comment 14. 70th St W was reconstructed in 2007. Road patching on 70th St W shall conform to Edina Standard Plates 540 and 543. Certificate of Occupancy 15. Provide easements or right-of-way along 70th St W to accommodate recommended additional vehicle lane, boulevard and pedestrian and bicycle facilities. Certificate of Occupancy 16. Provide easements for future public streets at two locations. Along the center street south to the southerly property line and along the east property line to the southerly property line. Certificate of Occupancy 17. Consider providing directional signage/information for local transit services or subsidizing transit passes for tenants and employees. General Comment 18. Provide 57 bicycle parking stalls (5% of proposed vehicle parking). Of these, 38 (min.) should be provided in the parking ramp; the remaining 19 (min.) should be provided elsewhere on the site. All bicycle parking stalls should be in convenient, well-lit locations within 50’ of a public entrance to a principal building. Rack style and spacing should follow the recommendations of the Association of Pedestrian and Bicycle Professionals (APBP). Grading/Building Permit 19. Turning movements and travel routes for delivery vehicles should be reviewed. Steps should be taken to minimize the impact of delivery vehicles on pedestrian and bicycle movement through the site (additional signage, designated delivery zones, etc.) General Comment 20. Proposed trees, vegetation, signage and other items adjacent to intersections should maintain a clear view zone as defined in Section 26-190 of City Code. Grading/Building Permit 21. Implement Tier 2 Travel Demand Management strategies (5 minimum). Those proposed by the applicant include; 1. Covered bicycle parking and a bicycle repair station. 2. Internal and perimeter sidewalks with boulevard trees, landscaping and other buffers between motor vehicle traffic. 3. Marked pedestrian crosswalks. Other strategies recommended by staff include; 1. Designate EV charging stations as recommended by staff (see Sustainability below). 2. Designate parking stalls for car sharing service (i.e, HourCar), placed in visible, convenient locations near pedestrian and bicycle facilities. 3. Widen internal sidewalks to 8’ (minimum) to accommodate shared pedestrian and bicycle use or installing bicycle pavement markings on internal streets. 4. Maintain or widening the existing vegetated boulevards to improve user safety and comfort. 5. Provide additional pedestrian and bicycle crossings/connections to Brandon Square Mall to the east and Rue de France mall to the south. 6. Provide directional signage/information for transportation amenities (adjacent transit services, bicycle parking, car sharing, adjacent parks/trails). 7. Subsidize transit passes for tenants and employees. Certificate of Occupancy Sanitary and Water Utilities 22. Verify fire demand and hydrant locations. Attached system flow/pressure curve provided for developer’s design. Grading/Building Permit 23. Domestic water shall be sized by the developer’s engineer. Grading/Building Permit 24. Domestic sanitary shall be sized by the developer’s engineer. Grading/Building Permit 25. Apply for a sewer and water connection permit with Public Works. Prior to Starting Utility Work 25.1 Meter required for building service line and combined lines. No meter required for fire only service line. Grading/Building Permit 25.2 Public Works to determine acceptable installation methods. Grading/Building Permit 26. Disconnected sanitary and water services to be capped at main. 27. A SAC determination will be required by the Metropolitan Council. The SAC determination will be used by the City to calculate sewer and water connection charges Grading/Building Permit 28. Single connection from main for fire and domestic, split after main connection. Grading/Building Permit 29. No evidence of a well onsite. If any wells are found during construction, wells not in use must be sealed by a licensed well contractor per MN Rules, Chapter 4725. Certificate of Occupancy Storm Water Utility 30. Provide final geotechnical report with soil borings. Draft report was provided date 10/14/2020 as attachment to stormwater report. Grading/Building Permit 31. Provide hydraulic and hydrologic report meeting watershed and state construction site permit requirements. Latest report provided dated 10/21/20. Provide revised report for comments. Grading/Building Permit 32. Submit watershed district permit and copies of private maintenance agreement in favor of watershed. Grading/Building Permit 33. Attached to this review is a technical memorandum from Barr Engineering that reviewed the potential for backflow in the existing conditions, and nearby flood elevations to inform design. A. The site existing conditions should assume that the site accepts no backflow from public systems. The attached report provides a summary of additional model detail to inform the review. B. The attached report shows the site accepts overflow from nearby private commercial systems. The applicant can exclude these flows in the existing conditions to the extent that they can reduce them in the proposed conditions. Work with neighboring property on proposed changes and the flood risk associated with these flows. C. Design should account for tailwater. The attached report provides hydraulic grade line in nearby France Avenue system for use. D. Design should account for existing pumped flow configuration. The attached report assumes pumping Grading/Building Permit rates at 1cfs. Further information was requested, but useful information was not provided. We will accept additional evidence of current pump size and flow characteristics if you wish to modify this assumption. 34. Coordinate landscaping plan and stormwater management plan. Trees planned in underground infiltration system vicinity. Grading/Building Permit Grading Erosion and Sediment Control 35. A SWPPP consistent with the State General Construction Site Stormwater Permit is required. Grading/Building Permit Constructability and Safety 36. Construction staging, traffic control, and pedestrian access plans will be required. Be prepared to provide detailed plans for construction phasing and minimization of pedestrian and traffic impacts. Grading/Building Permit 37. Retaining walls over 4-ft in height require design by a structural engineer. Grading/Building Permit 38. Any needed closures of France Avenue shall be coordinated with Hennepin County. General Comment 39. 70th Street shall not be used for construction staging. Any short- term closures shall be approved by the City Engineer. General Comment 40. Construction staging or construction fencing shall not impede the City’s ability to snowplow the adjacent streets. If construction fencing removes storage space for snow, developer shall be responsible for snow removal in the street adjacent to any impacts to City operations. General Comment 41. Developer shall consider pre-condition surveys of 70th Street and France Avenue to aid in determine post-construction impacts caused by the project. Impacts caused by the project shall be the responsibility of the contractor to correct. General Comment Other Agency Coordination 42. MDH, MPCA and MCES permits required as needed. Grading/Building Permit 43. Nine Mile Creek Watershed District permit is required. Grading/Building Permit Sustainability 44. The Metropolitan Council's Extreme Heat map shows that during an extreme heat event (when air temperatures are 90 or above), this area of Edina can be up to 35 degrees F hotter than General Comment surrounding areas. Green roofs, mature tree canopy and climate- adapted plantings reduce the urban heat island effect, and reduce amount of greenhouse gas emissions trapped in the atmosphere and energy needs to cool a building. 45. The University of Minnesota's Solar Suitability map rates this property as "good" for solar roof installations with a grade of 83 out of 100. Rooftop solar generates emission-free energy. Staff affirms effort to add solar-ready capacity to roof. General Comment 46. Staff recommends installing EV chargers for a minimum of 5% of proposed parking (27 stalls) in addition to wiring 10% (540 stalls) for EV conversion in the future. General Comment 47. Staff acknowledges and appreciates that this development proposal seeks to engage most pathways toward sustainable building design, with the completion of items marked “yes” items from Sustainable Design Questionnaire as described below: - utilize Xcel Energy’s Energy Design Assistance and/or Centerpoint Energy’s Builder and Developer programs for this development - appliances and equipment be Energy Star or EPA WaterSense certified - Take action beyond state building and energy code: Utilize LED Lighting, programmable thermostats, VRF HVAC systems, lighting controls in common spaces, building automation system - Green roof areas included on new office tower and residential tower - Building operations subscribe to renewable energy - Demolition of existing structures will meet LEED Green Building Demolition and/or B3 State of Minnesota Sustainable Building Guidelines - Scrap and excess construction materials will be separated and recycled - Workers will be provided with separate recycling dumpsters and training in proper use - Plant trees for increased tree canopy coverage - Provide shade trees, native, climate-adapted and pollinator-friendly landscaping - Provide recycling and organics recycling for building users once building starts operating - outdoor landscaping watering system include a water sensor to automatically reduce watering in wet conditions General Comment Barr Engineering Co. 4300 MarketPointe Drive, Suite 200, Minneapolis, MN 55435 952.832.2600 www.barr.com Technical Memorandum To: Ross Bintner– City of Edina (City) From: Michael McKinney, PE – Barr Engineering Co. (Barr) Subject: 7001 France Ave existing condition XPSWMM model review Date: October 28, 2020 Project: 23270354.00 Stormwater Management General Engineering The following technical memorandum summarizes hydrologic and hydraulic evaluation of the 7001 France Ave property and connections to City of Edina (City) storm sewer infrastructure. The memorandum summarizes existing flood inundation and flood storage volume within the 7001 France Ave site and summarizes tailwater conditions in the receiving City storm sewer trunk line along France Ave. 1.0 Hydrologic and Hydraulic Modeling: XPSWMM Model Updates The City’s Nine Mile Creek XPSWMM model was updated and used to evaluate existing hydrologic and hydraulic condition on the 7001 France Ave site. Model updates were incorporated using methodology and source data outlined in the 2018 Edina CWRMP (Edina, 2018). The following subsections describe updates made to the existing conditions XPSWMM model, including all relevant modeling assumptions. 1.1 Updated 7001 France Ave storm sewer modeling per ALTA survey ALTA survey information was provided for the 7001 France Ave site on October 14, 2020 (D. Bade, personal communication, October 14, 2020). Storm sewer survey data included in the ALTA survey was reviewed and incorporated into existing condition modeling (Figure 1). Updated storm sewer inlet locations included in the ALTA survey were incorporated and subwatershed divides were updated accordingly (see Section 1.2). The 7001 France Ave storm sewer lift station was not included within the ALTA survey (see discussion of assumptions and data gaps in Section 1.3) 1.2 Update subwatershed divides in vicinity of 7001 France Ave Subwatersheds within and adjacent to the 7001 France Ave site were updated to: • Capture drainage to storm sewer inlets included in the ALTA survey, and • Capture potential for bypass from inlets along W 70th St to the 7001 France Ave site. Updated subwatershed divides are shown on Figure 1. In addition to updates within the 7001 France Ave site and along W 70th St, the subwatershed divide for the neighboring 3501 W 70th St parking lot (Brandon Square Mall) was updated to more-accurately capture runoff to, and storage within, the parking lot. Stage-area-storage curves and hydrologic parameters were generated for all new and updated subwatershed divides. To: Ross Bintner– City of Edina (City) From: Michael McKinney, PE – Barr Engineering Co. (Barr) Subject: 7001 France Ave existing condition XPSWMM model review Date: October 28, 2020 Page: 2 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Figure 1 7001 France Ave: storm sewer and subwatershed divides 1.3 Remaining assumptions and data gaps Missing or incomplete data from the ALTA survey and City storm sewer data are outlined, below: • 7001 France Ave lift station information, • Storm sewer connection from Brandon Square Mall parking lot to W 70th St trunk line, and • Minor storm sewer data gaps (e.g., missing upstream invert, missing pipe diameter). Scanned record drawings for the 7001 France Ave US Bank property were provided (P. Ellis and D. J. Arndt, personal communication, October 27, 2020), but did not contain information for the site lift station (e.g., lift station record drawing, operation elevations, pump model, pump curve, etc.). An assumed lift station was modeled with a maximum capacity of 1 cfs (~450 gpm). Lift Station To: Ross Bintner– City of Edina (City) From: Michael McKinney, PE – Barr Engineering Co. (Barr) Subject: 7001 France Ave existing condition XPSWMM model review Date: October 28, 2020 Page: 3 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx City survey information indicates there is a 12-inch pipe connection from the Brandon Square Parking lot to the W 70th St trunk line (R. Bintner, personal communication, October 13, 2020). Private storm sewer infrastructure information for the Brandon Square Mall is not available. Storm sewer invert elevations and roof drainage connections from the Brandon Square Mall site were assumed. Other minor storm sewer data gaps (e.g., missing upstream invert, missing pipe size, etc.) were filled based on review of connected storm sewer infrastructure. All assumptions are tracked within the model link and node GIS feature classes. 2.0 XPSWMM Model Results The City requested that Barr update the City Nine Mile Creek XPSWMM model in the vicinity of the 7001 France Ave site to evaluate the following: 1) Evaluate the maximum stored stormwater runoff volume and flood inundation extent on the 7001 France Ave site for the Atlas 14 10-year, 24-hour event (10-year event) and the Atlas 14 100-year, 24-hour (100-year event). 2) Evaluate the hydraulic grade line along France Ave for the 10-year and 100-year events. 3) Evaluate the stage tailwater hydrograph at the connection point from the 7001 France Ave site to the France Ave storm sewer trunk line for the 10-year and 100-year events. 4) Evaluate backflow from the France Ave storm sewer trunk line to the 7001 France Ave site. If present, review items 1 through 3 above with backflow prevention in place. Questions originally posed by the City are answered in order in the following subsections. 2.1 Evaluate the maximum stored volume and flood inundation extent Maximum stored volume and maximum water surface elevations for subwatersheds within the 7001 France Ave site are summarized in Table 1, and maximum flood inundation extents are shown in Figure 2. Additionally, Figure 2 shows the 10-year and 100-year maximum water surface elevations at structures along France Ave and shows the location of overflow entering the 7001 France Ave site from structures along W 70th St and the Brandon Square Mall parking lot. Overflow volumes from W 70th St and Brandon Square Mall are summarized in Table 2. Results summarized in Table 1, Table 2, and Figure 2 are based on model updates and assumption discussed in Section 1.0. To: Ross Bintner– City of Edina (City) From: Michael McKinney, PE – Barr Engineering Co. (Barr) Subject: 7001 France Ave existing condition XPSWMM model review Date: October 28, 2020 Page: 4 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Table 1 Maximum stored volume: 7001 France Ave Subwatershed Maximum Water Surface Elevation (ft) Maximum Stored Volume (cf) Atlas 14, 10-year event Atlas 14, 100-year event Atlas 14, 10-year event Atlas 14, 100-year event CL_51a 859.5 861.5 23,040 66,170 CL_51b 865.2 865.6 62 67 CL_51c 866.1 866.3 136 247 CL_51d 865.3 865.6 66 69 CL_51e 862.9 863.1 3,129 3,676 CL_51 863.0 863.1 63 192 Total (cf) 26,495 70,421 Table 2 Overflow volume summary to 7001 France Ave site Total Overflow Volume (cf) Overflow Description (1) Atlas 14, 10-year event Atlas 14, 100-year event Primary OF from Brandon Square Mall [Overflows at elev. 870.5 feet] 8,687 27,176 Overflow from CBs on W 70th St [Overflows at elev. 870.8 feet] 0 285 Total to 7001 France Ave Lift Station 8,687 27,461 Secondary OF from Brandon Square Mall [Overflows at elev. 870.7 feet] 55 6,340 (1) Overflow locations shown on Figure 2. To: Ross Bintner– City of Edina (City) From: Michael McKinney, PE – Barr Engineering Co. (Barr) Subject: 7001 France Ave existing condition XPSWMM model review Date: October 28, 2020 Page: 5 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Figure 2 Flood inundation extents and maximum water surface elevations along France Ave: 10-year and 100-year events 2.2 Evaluate the hydraulic grade line along France Ave The 10-year event and 100-year event hydraulic grade lines along the France Ave storm sewer trunk line from W 70th St south to Hazelton Road are shown in figures included in Appendix A. The storm sewer connection from 7001 France Ave is shown on these figures to highlight tailwater boundary conditions in the receiving portion of the France Ave trunk line for both events. The 10-year and 100-year maximum water surface elevations at structures along France Ave are additionally shown in Figure 2. Key elevations within the 7001 France Ave site are summarized, below: Overflow from W 70th St CBs Brandon Square Mall: Primary Overflow Brandon Square Mall: Secondary Overflow Lift Station To: Ross Bintner– City of Edina (City) From: Michael McKinney, PE – Barr Engineering Co. (Barr) Subject: 7001 France Ave existing condition XPSWMM model review Date: October 28, 2020 Page: 6 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx • Upstream invert of 7001 France Ave storm sewer connection to France Ave: 856.3 ft • Overflow elevation from 7001 France Ave Entrance to France Ave: 862.9 ft • Low elevation in CL_51a (bank teller location): 856.9 ft 2.3 Evaluate the tailwater stage hydrograph at France Ave trunk line connection The stage hydrograph for the 10-year and 100-year events at the connection point from the 7001 France Ave property to the France Ave storm sewer trunk line is shown in Figure 3. Tailwater conditions in the receiving portion of the France Ave storm sewer trunkline restrict outflow from the 7001 France Ave during the modeled 10-year and 100-year events. It is critical to consider the tailwater boundary condition of the receiving portion of the France Ave storm sewer trunk line when evaluating the connection from the 7001 France Ave site. For this reason, tabular versions of the 10-year and 100-year stage hydrographs are included in Appendix A. Figure 3 Stage hydrograph at the 7001 France Ave / France Ave trunk line connection for the 10-year and 100-year events 2.4 Evaluate backflow from the France Ave storm sewer connection Based on the updated existing conditions XPSWMM model, there is no backflow from the France Ave storm sewer connection to the 7001 France Ave site during the 10-year or 100-year events. For this reason, no additional evaluation of backflow prevention was performed. Maximum Stage: 10-year: 862.1 100-year: 862.3 To: Ross Bintner– City of Edina (City) From: Michael McKinney, PE – Barr Engineering Co. (Barr) Subject: 7001 France Ave existing condition XPSWMM model review Date: October 28, 2020 Page: 7 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx 3.0 Conclusions and Recommendations Existing hydrologic and hydraulic conditions at the 7001 France Ave site were evaluated using the City’s Nine Mile Creek XPSWMM model. The existing conditions XPSWMM model was updated based on received ALTA survey data and best available City storm sewer data. The updated exiting conditions XPSWMM model was used to evaluate the following: • Maximum flood inundation extent and maximum stored runoff volume on the 7001 France Ave site for the 10-year and 100-year events. • The hydraulic grade line along the receiving France Ave storm sewer trunk line for the 10-year and 100-year events. • The tailwater stage hydrograph at the connection point from 7001 France Ave to the France Ave storm sewer for the 10-year and 100-year events. • Backflow from the France Ave trunk line to the 7001 France Ave site to ensure there is no backflow during the 10-year or 100-year events. Barr recommends that information provided in this technical memorandum be reviewed and incorporated into design and evaluation of proposed conditions and/or redevelopment of the 7001 France Ave site. Specifically, the following storm water management recommendations should be considered: • Maximum existing condition stored runoff volumes on the 7001 France Ave site (Table 1) should be considered when evaluating grading and stormwater management. If available storage on site is significantly reduced, proposed conditions could result in increased flood risk to neighboring properties and/or increased discharge rate to receiving City storm sewer infrastructure. • The tailwater stage hydrograph at the connection point from 7001 France Ave to the France Ave storm sewer trunkline (Figure 3 and Appendix A) should be incorporated into evaluation of proposed connections from the 7001 France Ave site (i.e., free discharge to the France Ave trunk line should not be assumed). • The potential for backflow from the France Ave storm sewer trunk line should be considered when evaluating proposed connections to the France Ave trunk line. Based on existing conditions, there is no backflow from the France Ave trunk line to the 7001 France Ave site for the 10-year or 100-year design events. Any future or proposed conditions should maintain this result. • Data gaps and assumption outlined in Section 1.3 should be considered. Specifically, it is recommended that existing condition modeling of the 7001 France Ave lift station and private connections from the Brandon Square Mall be reviewed and updated if data becomes available. To: Ross Bintner– City of Edina (City) From: Michael McKinney, PE – Barr Engineering Co. (Barr) Subject: 7001 France Ave existing condition XPSWMM model review Date: October 28, 2020 Page: 8 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx References Barr Engineering Co. (Barr). 2018. 2018 Comprehensive Water Resources Management Plan. Prepared for the City of Edina. D. Bade, personal correspondence, October 14, 2020. Email correspondence and delivery of ALTA survey for the 7001 France Ave site. P. Ellis and D. J. Arndt, personal communication, October 27, 2020. Email correspondence and delivery of scanned record drawings for the existing 7001 France Ave US Bank site. R. Bintner, personal communication, October 13, 2020. Phone correspondence related to connection from Brandon Square Mall to W 70th St storm sewer trunkline. Appendix A France Ave hydraulic grade line and stage hydrograph at 7001 France Ave connection \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Figure A1 France Ave storm sewer hydraulic grade line: 10-year design event \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Figure A2 France Ave storm sewer hydraulic grade line: 100-year design event \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Table A1 Stage hydrograph at 7001 France Ave / France Ave trunk line connection structure Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 0 854.2 854.2 0.1 854.2 854.2 0.2 854.2 854.2 0.3 854.2 854.2 0.4 854.2 854.2 0.5 854.2 854.2 0.6 854.2 854.2 0.7 854.2 854.2 0.8 854.2 854.2 0.9 854.2 854.2 1 854.2 854.2 1.1 854.2 854.2 1.2 854.2 854.2 1.3 854.2 854.2 1.4 854.2 854.2 1.5 854.2 854.2 1.6 854.2 854.2 1.7 854.2 854.2 1.8 854.2 854.2 1.9 854.2 854.2 2 854.2 854.2 2.1 854.2 854.2 2.2 854.2 854.221 2.3 854.2 854.228 2.4 854.2 854.233 2.5 854.2 854.257 2.6 854.2 854.278 2.7 854.2 854.294 2.8 854.2 854.311 2.9 854.2 854.328 3 854.2 854.34 3.1 854.2 854.348 3.2 854.2 854.354 3.3 854.2 854.36 3.4 854.2 854.364 3.5 854.2 854.368 3.6 854.2 854.371 3.7 854.2 854.374 3.8 854.2 854.377 3.9 854.2 854.379 4 854.2 854.381 4.1 854.2 854.383 4.2 854.2 854.385 4.3 854.2 854.386 4.4 854.221 854.388 4.5 854.225 854.389 4.6 854.219 854.39 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 4.7 854.225 854.391 4.8 854.238 854.392 4.9 854.252 854.392 5 854.262 854.393 5.1 854.271 854.394 5.2 854.28 854.394 5.3 854.289 854.395 5.4 854.296 854.395 5.5 854.302 854.395 5.6 854.307 854.396 5.7 854.311 854.396 5.8 854.315 854.396 5.9 854.318 854.396 6 854.327 854.411 6.1 854.348 854.441 6.2 854.367 854.465 6.3 854.383 854.482 6.4 854.396 854.495 6.5 854.405 854.504 6.6 854.413 854.512 6.7 854.42 854.518 6.8 854.425 854.522 6.9 854.43 854.525 7 854.433 854.528 7.1 854.436 854.531 7.2 854.439 854.533 7.3 854.442 854.535 7.4 854.444 854.536 7.5 854.445 854.537 7.6 854.447 854.538 7.7 854.448 854.539 7.8 854.449 854.54 7.9 854.45 854.54 8 854.451 854.541 8.1 854.452 854.541 8.2 854.452 854.541 8.3 854.453 854.542 8.4 854.453 854.542 8.5 854.454 854.542 8.6 854.454 854.542 8.7 854.454 854.542 8.8 854.455 854.542 8.9 854.455 854.542 9 854.499 854.624 9.1 854.57 854.731 9.2 854.617 854.793 9.3 854.648 854.832 9.4 854.67 854.858 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 9.5 854.685 854.875 9.6 854.695 854.887 9.7 854.703 854.895 9.8 854.71 854.902 9.9 854.714 854.906 10 854.718 854.909 10.1 854.721 854.911 10.2 854.723 854.913 10.3 854.725 854.914 10.4 854.726 854.915 10.5 854.801 855.041 10.6 854.886 855.154 10.7 854.93 855.214 10.8 854.959 855.25 10.9 854.977 855.272 11 855.043 855.376 11.1 855.098 855.467 11.2 855.129 855.514 11.3 855.148 855.558 11.4 855.16 855.624 11.5 855.343 856.587 11.6 855.511 858.649 11.7 855.684 860.176 11.8 856.284 861.154 11.9 861.201 862.08 12 862.085 862.273 12.1 862.058 862.284 12.2 861.268 862.295 12.3 860.167 862.262 12.4 859.625 862.228 12.5 857.706 862.188 12.6 855.617 862.121 12.7 855.53 862.045 12.8 855.483 860.985 12.9 855.451 859.948 13 855.215 859.309 13.1 855.142 858.141 13.2 855.104 857.789 13.3 855.081 857.514 13.4 855.066 855.732 13.5 854.987 855.259 13.6 854.912 855.128 13.7 854.87 855.059 13.8 854.843 855.017 13.9 854.825 854.99 14 854.812 854.972 14.1 854.803 854.96 14.2 854.796 854.952 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 14.3 854.791 854.946 14.4 854.787 854.942 14.5 854.784 854.939 14.6 854.782 854.937 14.7 854.781 854.936 14.8 854.779 854.935 14.9 854.778 854.934 15 854.745 854.87 15.1 854.701 854.8 15.2 854.672 854.755 15.3 854.651 854.724 15.4 854.635 854.702 15.5 854.623 854.686 15.6 854.614 854.674 15.7 854.606 854.664 15.8 854.601 854.657 15.9 854.596 854.651 16 854.592 854.646 16.1 854.589 854.642 16.2 854.586 854.639 16.3 854.584 854.637 16.4 854.582 854.635 16.5 854.58 854.633 16.6 854.579 854.632 16.7 854.578 854.631 16.8 854.577 854.63 16.9 854.576 854.63 17 854.575 854.629 17.1 854.575 854.629 17.2 854.574 854.628 17.3 854.574 854.628 17.4 854.573 854.628 17.5 854.573 854.627 17.6 854.573 854.627 17.7 854.573 854.627 17.8 854.573 854.627 17.9 854.573 854.627 18 854.568 854.617 18.1 854.559 854.601 18.2 854.552 854.588 18.3 854.546 854.579 18.4 854.541 854.572 18.5 854.537 854.566 18.6 854.534 854.561 18.7 854.532 854.557 18.8 854.529 854.554 18.9 854.528 854.551 19 854.526 854.548 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 19.1 854.524 854.547 19.2 854.523 854.545 19.3 854.522 854.544 19.4 854.522 854.542 19.5 854.521 854.541 19.6 854.52 854.54 19.7 854.52 854.54 19.8 854.519 854.539 19.9 854.519 854.538 20 854.518 854.538 20.1 854.518 854.537 20.2 854.518 854.537 20.3 854.518 854.537 20.4 854.517 854.536 20.5 854.517 854.536 20.6 854.517 854.536 20.7 854.517 854.536 20.8 854.517 854.536 20.9 854.517 854.536 21 854.517 854.535 21.1 854.517 854.535 21.2 854.517 854.535 21.3 854.348 854.535 21.4 854.346 854.535 21.5 854.346 854.535 21.6 854.346 854.535 21.7 854.346 854.535 21.8 854.345 854.535 21.9 854.345 854.535 22 854.345 854.535 22.1 854.345 854.535 22.2 854.345 854.535 22.3 854.345 854.535 22.4 854.345 854.535 22.5 854.345 854.535 22.6 854.344 854.535 22.7 854.344 854.535 22.8 854.344 854.535 22.9 854.344 854.535 23 854.344 854.535 23.1 854.344 854.535 23.2 854.344 854.535 23.3 854.344 854.535 23.4 854.344 854.535 23.5 854.344 854.535 23.6 854.344 854.535 23.7 854.344 854.535 23.8 854.344 854.535 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 23.9 854.344 854.535 24 854.34 854.532 24.1 854.332 854.525 24.2 854.323 854.519 24.3 854.314 854.513 24.4 854.304 854.509 24.5 854.298 854.506 24.6 854.292 854.503 24.7 854.287 854.5 24.8 854.281 854.498 24.9 854.277 854.496 25 854.273 854.495 25.1 854.269 854.494 25.2 854.264 854.492 25.3 854.26 854.491 25.4 854.255 854.49 25.5 854.252 854.49 25.6 854.248 854.489 25.7 854.245 854.488 25.8 854.242 854.487 25.9 854.239 854.487 26 854.236 854.487 26.1 854.233 854.486 26.2 854.231 854.486 26.3 854.228 854.485 26.4 854.226 854.485 26.5 854.224 854.485 26.6 854.222 854.485 26.7 854.22 854.484 26.8 854.218 854.484 26.9 854.216 854.484 27 854.215 854.484 27.1 854.213 854.484 27.2 854.212 854.484 27.3 854.21 854.484 27.4 854.209 854.484 27.5 854.208 854.483 27.6 854.207 854.483 27.7 854.206 854.483 27.8 854.206 854.483 27.9 854.205 854.483 28 854.205 854.483 28.1 854.204 854.483 28.2 854.204 854.483 28.3 854.204 854.483 28.4 854.203 854.483 28.5 854.203 854.483 28.6 854.203 854.483 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 28.7 854.203 854.483 28.8 854.202 854.483 28.9 854.202 854.484 29 854.202 854.484 29.1 854.202 854.484 29.2 854.202 854.484 29.3 854.202 854.484 29.4 854.202 854.484 29.5 854.201 854.484 29.6 854.201 854.484 29.7 854.201 854.484 29.8 854.201 854.484 29.9 854.201 854.484 30 854.201 854.484 30.1 854.201 854.484 30.2 854.201 854.484 30.3 854.201 854.484 30.4 854.201 854.484 30.5 854.201 854.484 30.6 854.201 854.484 30.7 854.201 854.484 30.8 854.201 854.484 30.9 854.201 854.484 31 854.201 854.484 31.1 854.2 854.484 31.2 854.2 854.484 31.3 854.2 854.485 31.4 854.2 854.485 31.5 854.2 854.485 31.6 854.2 854.485 31.7 854.2 854.485 31.8 854.2 854.485 31.9 854.2 854.485 32 854.2 854.485 32.1 854.2 854.485 32.2 854.2 854.485 32.3 854.2 854.485 32.4 854.2 854.485 32.5 854.2 854.485 32.6 854.2 854.485 32.7 854.2 854.485 32.8 854.2 854.485 32.9 854.2 854.485 33 854.2 854.486 33.1 854.2 854.486 33.2 854.2 854.486 33.3 854.2 854.486 33.4 854.2 854.486 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 33.5 854.2 854.486 33.6 854.2 854.486 33.7 854.2 854.486 33.8 854.2 854.486 33.9 854.2 854.486 34 854.2 854.486 34.1 854.2 854.486 34.2 854.2 854.487 34.3 854.2 854.487 34.4 854.2 854.487 34.5 854.2 854.487 34.6 854.2 854.487 34.7 854.2 854.487 34.8 854.2 854.487 34.9 854.2 854.487 35 854.2 854.488 35.1 854.2 854.488 35.2 854.2 854.331 35.3 854.2 854.23 35.4 854.2 854.214 35.5 854.2 854.208 35.6 854.2 854.205 35.7 854.2 854.203 35.8 854.2 854.202 35.9 854.2 854.202 36 854.2 854.201 36.1 854.2 854.201 36.2 854.2 854.201 36.3 854.2 854.2 36.4 854.2 854.2 36.5 854.2 854.2 36.6 854.2 854.2 36.7 854.2 854.2 36.8 854.2 854.2 36.9 854.2 854.2 37 854.2 854.2 37.1 854.2 854.2 37.2 854.2 854.2 37.3 854.2 854.2 37.4 854.2 854.2 37.5 854.2 854.2 37.6 854.2 854.2 37.7 854.2 854.2 37.8 854.2 854.2 37.9 854.2 854.2 38 854.2 854.2 38.1 854.2 854.2 38.2 854.2 854.2 \\barr.com\projects\Mpls\23 MN\27\2327354\WorkFiles\2020\SW\Potential 2020 updates\7001 France Ave\02 Tech Memo\7001 France Ave Existing Conditions Review 20201029.docx Time (hr) Stage Hydrograph (NGVD29, ft) A14 10-year A14 100-year 38.3 854.2 854.2 38.4 854.2 854.2 38.5 854.2 854.2 38.6 854.2 854.2 38.7 854.2 854.2 38.8 854.2 854.2 38.9 854.2 854.2 39 854.2 854.2 39.1 854.2 854.2 39.2 854.2 854.2 39.3 854.2 854.2 39.4 854.2 854.2 39.5 854.2 854.2 39.6 854.2 854.2 39.7 854.2 854.2 39.8 854.2 854.2 39.9 854.2 854.2 40 854.2 854.2 Date: November 10, 2020 To: Cary Teague – Community Development Director Chad Millner, PE – Director of Engineering Cc: 7001 France Avenue, Owner and Development Team From: Andrew Scipioni – Transportation Planner Re: 7001 France Avenue – Transportation Review Mortenson and Orion Investments are proposing to redevelop 7001 France Avenue, currently occupied by U.S. Bank. The proposed redevelopment would replace the existing building with four distinct buildings containing 379 residential units, 152,500 square feet of office space, 3,300 square feet of retail space, a 6,500-square-foot bank and a 1,500-square-foot coffee shop without a drive-thru. Spack Solutions completed a traffic impact study (TIS) for this project on behalf of the City. This memo will review the findings of the TIS and other transportation impacts of the proposed development. Trip Generation Spack analyzed trip generation using two methods. One method is based on the trip generation rates for various land uses in the Institute of Transportation Engineers (ITE) Trip Generation Manual, 10th Edition. This manual provides national average traffic generation rates for different land uses. The second method is based on trip generation rates generated from local data collected by Spack. The local data estimates that the proposed development will generate 8,100 total new trips (over 1,300 more than the ITE data). Figure 1 shows the distribution of new trips by land use. Figure 1: Trip Generation by Land Use (Local data supplemented by ITE) 5068 63% 1548 19% 82 1% 124 1%728 9% 550 7% Supermarket Multi-Family Housing Shopping Center Coffee/Donut Shop General Office Drive-In Bank Spack’s analysis shows that almost 5,100 (over 60%) of the total new trips will be generated by the proposed supermarket, with the residential and business uses accounting for 19% and 9% of the total new trips, respectively. Capacity Analysis Four roadway corridors surrounding the site were studied by Spack (France and York Avenues, West 70th Street and Hazelton Road), as well as 10 adjacent intersections along those corridors (see Figure 2). Figure 2: Study Intersections All study corridors are projected to operate within their planning level capacities (volume-to-capacity ratio of less than 1.0) through the 2040 build scenario. However, West 70th Street between France and York Avenues is projected to approach the almost congested level (volume-to-capacity ratio near 0.8) in the 2025 and 2040 build scenarios. All signalized and roundabout study intersections are projected to operate with acceptable overall intersection delays through the 2040 build scenario except for France Avenue and West 70th Street. This intersection experiences overall delays at Level of Service (LOS) E during the 2025 and 2040 build scenarios. Additionally, higher than preferred queuing is experienced for specific movements at each signalized study intersection. These queues are a product of the extended cycle lengths and green time given to France and York Avenues. Except for at France Avenue and West 70th Street, updated signal timing removes the queuing conditions at these intersections and return queues to similar or less than the existing scenario. The deficiencies at France Avenue and West 70th Street are recommended by Spack to be addressed by: 1. Constructing a dedicated northbound right turn lane for the existing RIRO development access; 2. Converting the existing eastbound dedicated right turn lane into a shared through/right turn lane; and 3. Constructing a second eastbound through lane east of France Avenue that converts into a dedicated right turn lane for the proposed RIRO development access. While these recommendations improve level of service for vehicles, they may have negative impacts on other modes of transportation. Adding a second eastbound through lane will likely require converting the existing shared on-street bike lane to an off-street facility shared with pedestrians. Additional public right-of-way would likely be required along France Avenue and West 70th Street to accommodate the recommended additional vehicle lanes, boulevards and shared pedestrian and bicycle facilities. Spack also noted that if traffic volumes remain lower than 2018 levels due to the current effects of the COVID- 19 pandemic, all study intersections are forecast to operate acceptably without mitigation. Parking Analysis City Code requires a minimum of 1,385 parking stalls for this mixed-use development and 1,202 parking stalls are proposed on-site. Spack evaluated parking demand for the proposed development using national parking demand data from ITE’s Parking Generation, 5th Edition and Twin Cities data collected by Spack. Table 1 compares the number of proposed parking stalls with the City requirements and estimated demand. Land Use National Data (ITE) Local Data (Spack) Proposed Required by City Code Residential (mid rise) 144 75 Residential (high rise) 264 183 Residential Subtotal 408 258 496 664 Non-Residential (office) 365 217 Non-Residential (supermarket) 147 182 Non-Residential (shopping center) 6 21 Non-Residential (bank) 24 33 Non-Residential (coffee/donut shop) 16 16 Non-Residential Subtotal 558 469 706 721 Total 966 727 1,202 1,385 Table 1: Proposed Parking Stalls vs. City Requirements and Estimated Demand Spack recommended that a parking variance be granted as the proposed parking supply exceeds the estimated parking demand based on both national and local data. Multi-Modal Facilities 7001 France Avenue is currently bordered by a 5’ boulevard-style sidewalk along West 70th Street to the north and an 8’ boulevard-style concrete path along France Avenue to the west. Shared bike lanes are present along West 70th Street to the north. There are a small number of internal sidewalks and no pedestrian or bicycle connections to either neighboring property (Brandon Square Mall to the east and Rue de France mall to the South) other than along the France Avenue or West 70th Street. The site is less than a 1/10 mile from the Edina Promenade, which provides walking and biking connections to Centennial Lakes Park and the Nine Mile Creek Regional Trail. The only new facilities proposed by the 2018 Pedestrian and Bicycle Master Plan adjacent to the site are buffered bike lanes on France Avenue. While there are no transit stops immediately adjacent to 7001 France Avenue, Metro Transit operates several routes nearby accessible by existing pedestrian and bicycle facilities: Local Routes 6 and 538 have stops less than ¼ mile away (less than a 5-minute walk) along West 70th Street and Hazelton Road, respectively. These routes connect to the Southdale Transit Center and several commercial/industrial areas in southeastern Edina; Uptown and Downtown Minneapolis; Best Buy Corporate Headquarters in Richfield; and Southtown and the Mall of America/South Loop in Bloomington. Express Route 578 has stops less than ½ mile away (less than a 10-minute walk) along York Avenue. This route connects southeastern Edina to Downtown Minneapolis. In addition to these existing routes, Metro Transit is in the process of developing the E Line bus rapid transit (BRT) service, which will replace portions of Local Route 6 with faster and more reliable service. The southernmost stop, at the Southdale Transit Center, will be less than ½ mile from 7001 France Avenue (or less than a 10-minute walk). The E Line is proposed to operate along France Avenue between Southdale, Uptown/Downtown Minneapolis and the University of Minnesota – Twin Cities campus. Pending full funding, construction could begin as early as 2023. Compliance with Transportation Plans/Policies Table 2 details the ways in which the proposed redevelopment supports current City transportation plans and policies. Table 2: Compliance with Transportation Plans/Policies 2018 Comprehensive Plan Goal Assessment 1. Improve mobility for residents, visitors and businesses with a balanced system of transportation alternatives for transit users, pedestrians, bicyclists and motorists. The project provides facilities for pedestrians, bicyclists, motorists and shared mobility users. 2. Implement a fully multi-modal transportation system that supports the land use vision and future land use plan for managing and shaping future growth. The project provides facilities for pedestrians, bicyclists, motorists and shared mobility users. 3. Minimize the impacts of the transportation system on Edina’s environment and neighborhood quality of life and emphasize methods to reduce greenhouse gas emissions. Sketch plan narrative notes electric vehicle (EV) charging stations will be included on-site and the development questionnaire notes that 50% of the private parking levels will be wired for future electric vehicle charging. Staff recommends installing EV chargers for a minimum of 5% of proposed parking (61 stalls) in addition to wiring 45% (540 stalls) for EV conversion in the future. These stalls should be in convenient locations near primary building entrances. 4. Reduce the overall dependence on and use of single- occupancy vehicles by promoting land use patterns that allow for shorter vehicle trips and the use of alternative travel options. The project promotes walking and biking with varied adjacent land uses and facilities for pedestrians and bicyclists. 6. Encourage and support attractive and reliable high- performance transit service and connections. The applicant should consider providing directional signage/information for local transit services or subsidizing transit passes for tenants and employees. 7. Develop and manage parking provisions to encourage joint and shared use of facilities, ride- sharing and bicycle parking. Sketch plan narrative notes on-site parking stalls for car sharing service (i.e. HourCar) will be included. These stalls should be in convenient locations near primary building entrances. The project is proposed to include a minimum of 61 bicycle parking stalls, 5% of the proposed parking stalls per City Code. These parking stalls should be in convenient, well-lit locations within 50’ of a public entrance to a principal building. Rack style and spacing should follow the recommendations of the Association of Pedestrian and Bicycle Professionals (APBP). A bike repair station is also proposed for the site and should be located adjacent to bike parking. 9. Provide for efficient movement of goods within Edina, while minimizing the impacts of freight traffic on other trips and reducing negative impacts on land uses on freight corridors. Turning movements and travel routes for delivery vehicles should be reviewed by the applicant. Steps should be taken to minimize the impact of delivery vehicles on pedestrian and bicycle movement through the site (additional signage, designated delivery zones, etc.) 13. Provide and maintain adequate access to and from, and safety on, local and regional roadway adjacent to community redevelopment and other activity that potentially impacts the City of Edina. Proposed trees, vegetation, signage and other items adjacent to intersections should maintain a clear view zone as defined in Section 26-190 of City Code. 14. Manage, maintain and operate roadways to maximize wherever possible the safety and mobility of all users and all modes. Proposed sidewalks/trails along France Avenue and West 70th Street should maintain 8’ minimum width to accommodate shared pedestrian and bicycle traffic. The existing vegetated boulevards should be maintained or widened to improve user safety and comfort. Living Streets Plan (2015) Principle Explanation 2. Living Streets provide access and mobility for all transportation modes while enhancing safety and convenience for all users. The project provides accommodations for motorists, cyclists and pedestrians. 4. The City will require new developments to provide interconnected street and sidewalk networks that connect to existing or planned streets or sidewalks on the perimeter of the development. The project includes network of internal streets and sidewalks that connect to existing facilities along the perimeter of the development. 10. Living Streets are designed and built with coordination between business and property owners along commercial corridors to develop vibrant commercial districts. The applicant should consider additional pedestrian and bicycle crossings/connections to Brandon Square Mall to the east and Rue de France mall to the south. 13. Living Streets will improve the current and future quality of life for the public. The proposed boulevard-style sidewalk along France Avenue will improve pedestrian safety and comfort adjacent to the property. Similar style sidewalks should be considered along West 70th Street and along the proposed internal streets. Greater Southdale District Plan (2018) Transportation Goals Explanation 1-A. Regional Roadway Access Maintain adequate regional vehicle accessibility while also minimizing its negative impacts on Greater Southdale area circulation, not only regarding cars and vehicle deliveries, but also transit and bicycle usage, and pedestrian convenience and comfort. The project is expected to result in unacceptable peak hour delays at France Avenue and West 70th Street (LOS E) for the 2025 and 2040 build scenarios. Signal timing updates are recommended to mitigate this effect. 1-B. Street Grid Establish a district-wide grid system based on blocks that are approximately 200’ x 200’. Grids are highly connected street networks that are essential for neighborhoods that balance public and private life. To the extent that grids enhance property access, they are important for unlocking land value, increasing economic benefits. The site is proposed to be divided into four “development pads” with internal streets and sidewalks. 1-C. Internal Roadways Develop prototype streetscape designs for new streets/roadways created as part of and to service redevelopment, and for possible redesign of existing streets/roadways, emphasizing legibility, pedestrian safety and comfort, street trees and other greenery, energy- efficient, pedestrian-scale lighting, and sustainability and stormwater management techniques. Sketch plan identifies amenities like boulevard trees, marked crosswalks, and stormwater management features. 1-E. Mobility Hub Develop a strategy for a mobility hub(s) that would: 1. Connect different modes of travel – walking, biking, transit, and shared mobility; 2. Integrate information technology to help travelers find, access and pay for transit and on-demand shared mobility services; and Enhance mobility for travelers of all ages and abilities. Sketch plan narrative notes on-site parking stalls for car sharing service (i.e. HourCar) will be included. These stalls should be placed in visible, convenient locations near pedestrian and bicycle facilities. Some exposed parking stalls could be converted to shared bike/scooter parking in the future. 1-G. Parking and Loading Develop a plan to establish public District shared parking facilities in key locations to service public facilities and/or to augment private parking. Future-proof parking structures by requiring flexibility and adaptability in above-ground parking structure for possible future changes in use, addressing such issues as floor-to-ceiling height and other relevant features. The proposed parking supply exceeds estimated demand by 236-472 stalls, allowing additional capacity for shared district parking. 2-A. Signature/Gateway Roadways Transform France Avenue, York Avenue, and West 66th Street with traffic-calming measures and beautification measures to discourage an increase in through traffic, enhance pedestrian/bicyclist/transit user safety and comfort, promote adjacent neighborhood livability, and establish a deeper sense of arrival and sense of place for the Greater Southdale District. Extend the identity of the Greater Southdale District beyond its edges while conversely sharing the value of its amenity with neighboring residential areas, i.e. establishing a seam rather than a border. Sketch plan narrative identifies amenities along France Avenue like boulevard trees, rain gardens, gathering areas and an “entry plaza” at the corner of France Avenue and West 70th Street. 2-B Pedestrian Circulation Create additional opportunities for pedestrians to safely and comfortably cross France and York Avenues by increasing the number of signalized intersections, including mid-block connections or other measures where appropriate, thus reducing the posted speed on these streets and facilitating a slower and more effective traffic signal progression for through traffic. Determine design and costs for: 1. New pedestrian/bike/vehicular intersections; and 2. New pedestrian/bike intersections. Create expanded sidewalks, with double rows of tree canopy, on France Avenue, York Avenue, and West 66th Street. Sketch plan proposes two pedestrian/bicycle facilities along France Avenue (one straight and wide, one meandering and narrow), with rows of trees, vegetation and landscaping on either side. 2-C. Bicycle System and Facilities Provide a continuous, on-site route for bicycles that is connected to east/west streets penetrating the site and to provide access to the adjacent neighborhoods. Applicant should consider widening internal sidewalks to 8’ (minimum) to accommodate shared pedestrian and bicycle use or install bicycle pavement markings on internal streets. Applicant should consider directional signage to the Edina Promenade and the Nine Mile Creek Regional Trail. Travel Demand Management Opportunities The applicant has proposed several strategies to support alternative modes of transportation to, from and within the site and reduce the impact of motor vehicles in the neighborhood. These include: EV charging stations Bicycle parking and a bicycle repair station Internal and perimeter sidewalks with boulevard trees, landscaping, and other buffers between motor vehicle traffic Marked pedestrian crosswalks Designated parking stalls for car sharing service (i.e. HourCar) Other strategies to consider implementing (as previously mentioned) include: Designating 5% of proposed parking (61 stalls) for EVs and making an additional 5% (61 stalls) equipped for EV conversion in the future. These stalls should be in convenient locations near primary building entrances. Installing bicycle parking stalls in convenient, well-lit locations within 50’ of a public entrance to a principal building. Rack style and spacing should follow the recommendations of the Association of Pedestrian and Bicycle Professionals (APBP). The proposed bike repair station should be located adjacent to bike parking. Widening internal sidewalks to 8’ (minimum) to accommodate shared pedestrian and bicycle use or installing bicycle pavement markings on internal streets. Maintaining or widening the existing vegetated boulevards to improve user safety and comfort. Providing additional pedestrian and bicycle crossings/connections to Brandon Square Mall to the east and Rue de France mall to the south. Placing car sharing parking stalls in visible, convenient locations near pedestrian and bicycle facilities. Minimizing the impact of delivery vehicles on pedestrian and bicycle movement through the site (directional signage, designated delivery zones, etc.). Providing directional signage/information for transportation amenities (adjacent transit services, bicycle parking, car sharing, adjacent parks/trails). Subsidizing transit passes for tenants and employees. Transportation Commission Comments Members of the Transportation Commission were given an opportunity to provide comments on the TIS and other transportation impacts of the proposed development. These comments are reflective of individual Commissioners, not the entire Commission; Support pedestrian and bicycle connections to neighboring properties (Brandon Square Mall and Rue de France). Support the bike repair station. Support reviewing turning movements and travel routes for delivery vehicles. Disappointed in lack of a balanced multi-modal approach that accommodates pedestrians and bicycles equally to vehicles. Recommend more than 61 proposed bike parking stalls given the retail uses in the area. Recommend abiding by the assumption that vehicle traffic will return to normal levels after the pandemic and considering the parking/capacity analyses accordingly. Recommend reviewing delivery vehicle parking accommodations. Recommend shared use paths be a minimum of 8’ and preferable 10’ to separate bicycles from pedestrians. 0 5 10 15 20 25 30 35 40 45 50 55 60 65 70 75 80 85 90 95 100 0 1000 2000 3000 4000 5000 6000 7000 8000 9000 10000 11000 12000 13000 14000Pressure (psi)Flow (gpm) 70TH AND FRANCE REDEVELOPMENT Flow Curve Hydrant Flow Curve Hydraulic Model Assumtions: Average day demand, Water towers at 10' below overflow, Well Pumps OFF Static Pressure +/-87 psiFire Flow = 7,000 gpm @ 20 psi INPUT DESCRIPTIONINPUT VALUEUNITSOUTPUT DESCRIPTIONOUTPUT VALUEUNITSUNITSVINEdina CobraAVERAGE TIRE TURNING ANGLE LEFT39.7DEGREESWHEELBASE258INCHESAVERAGE TIRE TURNING ANGLE RIGHT39.7DEGREESFRONT AXLESteerTek 24KAVERAGE REAR AXLE TURNING RADIUS LEFT310.7INCHES25.9FEETFRONT AXLE KPI70.87INCHESAVERAGE REAR AXLE TURNING RADIUS RIGHT310.7INCHES25.9FEETFRONT AXLE TRACK95.01INCHESOUTSIDE REAR AXLE TURNING RADIUS LEFT361.7INCHES30.1FEETFRONT TIREMichelin XFE 425/65R22.5OUTSIDE REAR AXLE TURNING RADIUS RIGHT361.7INCHES30.1FEETFRONT TIRE OVERALL WIDTH16.6INCHESINSIDE REAR AXLE TURNING RADIUS LEFT259.7INCHES21.6FEETFRONT WHEELAlcoa 12.25 X 22.5 AlINSIDE REAR AXLE TURNING RADIUS RIGHT259.7INCHES21.6FEETFRONT WHEEL INSET4.68INCHESFRONT AXLE TO FRONT OF GRILL79.37INCHESFRONT BUMPER LENGTH24INCHESFRONT BUMPER WIDTH102INCHESFRONT BUMPER CORNER RADIUS (R) OR CHAMFER (C)? RFRONT BUMPER CORNER RADIUS9 INCHESLEFT TURN CRAMP INSIDE ANGLE43DEGREESLEFT TURN CRAMP OUTSIDE ANGLE36.41DEGREESRIGHT TURN CRAMP INSIDE ANGLE43DEGREESRIGHT TURN CRAMP OUTSIDE ANGLE36.41DEGREESOUTPUT DESCRIPTIONOUTPUT VALUEUNITSUNITSTURNING RADIUS LEFT441.5INCHES36.8FEETTURNING RADIUS RIGHT441.5INCHES36.8FEETCURB‐TO‐CURB RADIUS LEFT449.8INCHES37.5FEETCURB‐TO‐CURB RADIUS RIGHT449.8INCHES37.5FEETWALL‐TO‐WALL RADIUS LEFT507.6INCHES42.3FEETWALL‐TO‐WALL RADIUS RIGHT507.6INCHES42.3FEETRosenbauer Motors v. 10282015mjbTURNING RADIUS CALCULATIONS BASED ON AVERAGE OF INNER AND OUTER FRONT WHEEL CRAMP ANGLES INPUT DESCRIPTIONINPUT VALUEUNITSOUTPUT DESCRIPTIONOUTPUT VALUEUNITSUNITSVINEdina PumpersAVERAGE TIRE TURNING ANGLE LEFT40.6DEGREESWHEELBASE203INCHESAVERAGE TIRE TURNING ANGLE RIGHT40.6DEGREESFRONT AXLESteerTek 20KAVERAGE REAR AXLE TURNING RADIUS LEFT236.6INCHES19.7FEETFRONT AXLE KPI70.87INCHESAVERAGE REAR AXLE TURNING RADIUS RIGHT236.6INCHES19.7FEETFRONT AXLE TRACK95.01INCHESOUTSIDE REAR AXLE TURNING RADIUS LEFT287.6INCHES24.0FEETFRONT TIREX Multiway HD XZE 385OUTSIDE REAR AXLE TURNING RADIUS RIGHT287.6INCHES24.0FEETFRONT TIRE OVERALL WIDTH15.1INCHESINSIDE REAR AXLE TURNING RADIUS LEFT185.6INCHES15.5FEETFRONT WHEELAlcoa 12.25 X 22.5 AlINSIDE REAR AXLE TURNING RADIUS RIGHT185.6INCHES15.5FEETFRONT WHEEL INSET4.68INCHESFRONT AXLE TO FRONT OF GRILL79.37INCHESFRONT BUMPER LENGTH24INCHESFRONT BUMPER WIDTH102INCHESFRONT BUMPER CORNER RADIUS (R) OR CHAMFER (C)? RFRONT BUMPER CORNER RADIUS0.125 INCHESLEFT TURN CRAMP INSIDE ANGLE45DEGREESLEFT TURN CRAMP OUTSIDE ANGLE36.26DEGREESRIGHT TURN CRAMP INSIDE ANGLE45DEGREESRIGHT TURN CRAMP OUTSIDE ANGLE36.26DEGREESOUTPUT DESCRIPTIONOUTPUT VALUEUNITSUNITSTURNING RADIUS LEFT349.2INCHES29.1FEETTURNING RADIUS RIGHT349.2INCHES29.1FEETCURB‐TO‐CURB RADIUS LEFT356.7INCHES29.7FEETCURB‐TO‐CURB RADIUS RIGHT356.7INCHES29.7FEETWALL‐TO‐WALL RADIUS LEFT420.2INCHES35.0FEETWALL‐TO‐WALL RADIUS RIGHT420.2INCHES35.0FEETRosenbauer Motors v. 10282015mjbTURNING RADIUS CALCULATIONS BASED ON AVERAGE OF INNER AND OUTER FRONT WHEEL CRAMP ANGLES October 7, 2021 Cary Teague, Community Development Director David Fisher, Chief Building Official 70th & France Ave Information / Background: A High Rise Apartment Building with a Parking Ramp and Other Buildings. - This would be using the 2020 Minnesota State Building Code with the 2018 International Building Code. - This would be using the 2020 Minnesota State Fire Code with the 2018 International Fire Code. - NFPA 13-Fire Sprinkler System is required. - Verify Fire Department access. - Verify the addresses. - Recommend meeting with staff for 30, 60 and 90 percent meeting before submitted for building permit. - Recommend escrow is provided with the demo and new building permits to assure City standards are met for code compliance. - Notify Contractor about hour of construction 7 a.m. to 7 p.m. Monday through Friday, 9 a.m. to 5 p.m. Saturday and no work on Sunday and holidays. A construction management plan will be required at time of building permit providing a tentative schedule for construction. - Provide documentation where all construction workers will be parking through the construction process at time of building permit. Survey Responses 30 January 2019 - 08 November 2021 Public Hearing Comments-70th & FranceRevision Better Together Edina Project: Public Hearing: A revision to the approved re-development plans for the southeast corner of 70th and France (7001 & 7025 France Ave. S). VISITORS 153 CONTRIBUTORS 38 RESPONSES 38 2 Registered 0 Unverified 36 Anonymous 2 Registered 0 Unverified 36 Anonymous Respondent No:1 Login:Anonymous Email:n/a Responded At:Oct 02, 2021 17:36:38 pm Last Seen:Oct 02, 2021 17:36:38 pm IP Address:n/a Q1.First and Last Name Kelly Veit Q2.Address 6809 Cornelia Drive Q3.Comment The new revisions presented by the developer are absolutely ridiculous. They pushed through their goal of a 24 story apartment building with the lure of a “work force” housing apartment building. By the end of the intitial conversation regarding this property they changed their tune to “ we will look into possibly providing affordable housing” (I am loosely quoting here, but they changed their tune at the final meeting). Now they want to put a parking garage instead. If anyone would pay attention to the Greater Southdale Design Plan, this is no way works with that. Why would you possibly need a huge parking garage for the proposed 1500sqft of retail? A large parking garage was not required for the initial plan of two rather large residence buildings. Why now? There is absolutely no need for a parking garage. There is also no need for a 24 story residence, but the city council that voted that in felt differently from the city residents. I feel that the council needs to table this project. It is not right for the area. Please look at the parking garage at 70th and York as an example. It creates a wall to the shopping area at the galleria. You can’t walk through it, it’s ugly and it does nothing to add to the area. I suspect that the parking garage is also never fully utilized. Wait until something more appropriate comes available for this development. Respondent No:2 Login:Anonymous Email:n/a Responded At:Oct 02, 2021 22:26:19 pm Last Seen:Oct 02, 2021 22:26:19 pm IP Address:n/a Q1.First and Last Name Brandt Uthus Q2.Address 6929 Cornelia Drive Q3.Comment Cornelia Drive is a cut through that people take to avoid the traffic and congestion at 70th and France. I live on Cornelia Drive. My wife and I have 3 young kids. Within a span of 6 houses there are 15 young kids. Traffics and SPEED of traffic on Cornelia Drive is extremely dangerous and has only gotten worse as development on France has caused people to seek more efficient routes for travel. This new project will almost certainly exacerbate the problem. Overall I support the project, but if Cornelia Drive traffic and speed of traffic isn’t dealt with, the City is going to experience a tragic accident. Please address traffic on Cornelia Drive as a consequence for this new project. Respondent No:3 Login:Anonymous Email:n/a Responded At:Oct 03, 2021 08:38:26 am Last Seen:Oct 03, 2021 08:38:26 am IP Address:n/a Q1.First and Last Name Marilyn Listvan Q2.Address 5509 Highland Road, Edina, MN 55436-2535 Q3.Comment This proposed change seems like “bait and switch”. Edina needs to keep focused on providing affordable housing for sustaining (or creating) a vibrant, diverse population. While parking is important, that should have been considered in the original proposal and should not be switched in at the elimination of affordable housing!! Respondent No:4 Login:Anonymous Email:n/a Responded At:Oct 03, 2021 15:41:17 pm Last Seen:Oct 03, 2021 15:41:17 pm IP Address:n/a Q1.First and Last Name Eva Lockhart Q2.Address 4448 Fondell Drive Q3.Comment A twenty four story building here, at the actual edge of a residential, single family neighborhood, with an elementary school only blocks away, is absolutely NOT what we need or every should have in Edina. The shadow of this building alone is an issue for everyone living in very close vicinity of this building. We currently have 4-6 story apartment buildings on very busy roads, with no single family housing, nor schools nearby (such as at the intersections of 66th and Xerxes (York) Avenues, yet here, with single family homes, and people walking, strolling with children and pets and small children walking to school, you want A 24 STORY BUILDING?! This is outrageous and completely not acceptable to the neighborhood! No one is complaining about having affordable housing here; no one was complaining about an apartment building, but 24 floors? How many houses will change their view from trees and shrubs to a giant glass tower? How many more people will be taking short cuts through the neighborhood to speed up their commute if they are driving up 70th from highway 100 or crosstown 62? Hundreds more people will live in such a building, versus the one that was originally planned. Would YOU or any of the commissioners and/or mayor enjoy living within two to three blocks of this size building? We did not all move to Edina in order to live next to skyscrapers! This is so out of line. It is one thing, in a purely commercial and high density zone (like the street on which Byerly's can be accessed as well as Target) for a large scale design like this to go up. For it to appear with a half block of single family homes is absurd, and dangerous as far as traffic flow is concerned. Small children walking to and from school would suddenly encounter how many hundreds more cars as people cut through the neighborhood for short cuts? We already hear racing cars along highway 100 and 494 at night, and now they'll race through our neighborhood as well? This is unsafe, will look unsightly and how many more hundreds of apartment buildings are really needed in our city? Why aren't 4-6 story condominiums or townhomes being built here instead? Or, at the very least, affordable housing in a normal scale building? This is a real affront to Edina residents and an insult to our intelligence to assume we would all be okay with this! I am disgusted and appalled by this. Rethink this proposal NOW! Respondent No:5 Login:Anonymous Email:n/a Responded At:Oct 03, 2021 16:02:41 pm Last Seen:Oct 03, 2021 16:02:41 pm IP Address:n/a Q1.First and Last Name Gregg Swedberg Q2.Address 6700 Brittany Rd, Edina Q3.Comment There is no place in Edina for 24 stories of ANYTHING. The Council never should have approved the plan in the first place. The idea that now we have to replace affordable housing with an 8-story parking ramp is even more ludicrous. In what world do we need or want 8 stories of parking (higher than the Mall of America) in Edina? I appreciate that density is desired and necessary. But does it all have to be done NOW? And all in one block? Can we not build up to a development of this size to meet a demand instead of speculating on one? Until this area gets more infrastructure, it will cause traffic headaches. Please plan ahead. Respondent No:6 Login:Anonymous Email:n/a Responded At:Oct 04, 2021 15:52:40 pm Last Seen:Oct 04, 2021 15:52:40 pm IP Address:n/a Q1.First and Last Name Jane Fandrey Q2.Address 7320 Glouchester Drive / Edina Q3.Comment I’m curious where the children in this development will go to school. Presumably in a development this large, even if most renters/owners are assumed to be childless, there will be a fairly large number of kids. Cornelia Elementary seems to be at maximum attendance. Further, I really don’t like the appearance of the building. I don’t love the ticky tacky office building appearance and think that something a little less industrial/glass block would be pleasanter. Surely there’s a middle ground between Louis Sullivan’s early skyscrapers and this, something that might evoke the idea that humans live within it, rather than bytes in a data farm. I appreciate the thought that’s gone into keep the human element at street level and the parks (even though in practice I’ve found parks in this type of development to feel a little cold and alienating, meant more for looking good in a brochure than for actual use), and I hope that some decent retail is found to fill the space. Respondent No:7 Login:Anonymous Email:n/a Responded At:Oct 04, 2021 19:09:54 pm Last Seen:Oct 04, 2021 19:09:54 pm IP Address:n/a Q1.First and Last Name Sam Sturm Q2.Address 7121 Bristol Blvd; Edina, MN 55435 Q3.Comment These plans for a new US Bank branch, a 24-story apartment, a office/retail building, and a parking ramp don't excite me very much. There isn't much planned with this new development for us local residents to enjoy or look forward to. When I think of the Southdale region, I think of visionary developments such as Southdale Mall and Centennial Lakes. Both the mall and the park can be used by the public year-round. Both make this area a desirable place to live for people who live in the greater region. Now, it seems like the Southdale area is now getting a lot of new apartments to increase the density of people, but we're not committed to incorporating new public spaces with these new developments like those in the old tradition. Why can't this new development bring new public, recreational space to the area just live Centenial Lakes did? This development doesn't even seem to include a water feature to look at, let alone any space for activities. If nothing else, my hope is a 24 story building is not built in this location. A building this tall would seem out-of-place - even with the 16- story Bauer nearby - and block a lot of my sight-lines from my east-facing windows. Respondent No:8 Login:Anonymous Email:n/a Responded At:Oct 05, 2021 10:19:53 am Last Seen:Oct 05, 2021 10:19:53 am IP Address:n/a Q1.First and Last Name Karen Huffman Q2.Address 4724 Dunberry Lane Q3.Comment A 24-story apartment building?? Are you kidding? Because we are without sufficient public transportation, traffic will be a nightmare—an ugly 8-level parking facility ensures that! Edina needs NO more apartment buildings! Please keep our city a desirable place to live, not just another bedroom community. Respondent No:9 Login:Anonymous Email:n/a Responded At:Oct 07, 2021 05:49:11 am Last Seen:Oct 07, 2021 05:49:11 am IP Address:n/a Q1.First and Last Name John Haugen Q2.Address 5709 Beard Ave S Q3.Comment The city needs to publish here why the developer removed the 9 story apartment building and why 9 stories of parking are necessary. Showing the changes to the plan without explanation does not serve public understanding. That amount of parking seems excessive. Respondent No:10 Login:Anonymous Email:n/a Responded At:Oct 08, 2021 08:43:07 am Last Seen:Oct 08, 2021 08:43:07 am IP Address:n/a Q1.First and Last Name Ronald Scholder Q2.Address 6328 Interlachen Blvd. Q3.Comment Looks like an awesome development and a meaningful one for the City of Edina! Respondent No:11 Login:Anonymous Email:n/a Responded At:Oct 08, 2021 11:25:30 am Last Seen:Oct 08, 2021 11:25:30 am IP Address:n/a Q1.First and Last Name Angela Chapman Q2.Address 5509 Parkwood Lane Q3.Comment I am in favor to have this project move forward! I love living in Edina and I have no doubt in my mind that this space needs to be redeveloped! The plans look amazing and the city of Edina will be even better once this project is built. Thank you! Respondent No:12 Login:Anonymous Email:n/a Responded At:Oct 08, 2021 18:53:53 pm Last Seen:Oct 08, 2021 18:53:53 pm IP Address:n/a Q1.First and Last Name Judson Welliver Q2.Address 5211 Larada Lane Q3.Comment Great project! Respondent No:13 Login:Anonymous Email:n/a Responded At:Oct 10, 2021 05:30:08 am Last Seen:Oct 10, 2021 05:30:08 am IP Address:n/a Q1.First and Last Name Joshua Miskovich Q2.Address 5312 Forslin Drive Edina, Mn 55436 Q3.Comment I feel that this project is good for Edina as a fresh facelift, modern technologies, energy efficient and many more reasons such as providing additional local jobs are all reasons to give this area a nee facelift. Respondent No:14 Login:Anonymous Email:n/a Responded At:Oct 11, 2021 06:46:58 am Last Seen:Oct 11, 2021 06:46:58 am IP Address:n/a Q1.First and Last Name robert carlson and wife of 49 yrs... LINDA Q2.Address 5250 Grandview Square 2105 Edina 55436 Q3.Comment While the existing plan was quite nice we understand the need in this rapidly changing market for the revised development plan and support it wholeheartedly for the following reasons: 1. The lower density appeals to us in that location especially when a convenient parking ramp is included for the convenience of all including those of us who are a bit handicapped. 2. The new plan is practical and very pedestrian friendly. 3. The buildings are attractive - They incorporate current architectural design with good looking elevations that are not overbearing and compliment the entire area.. 4 The entire City will come to live work and enjoy a fun experience with the exclusion of no one. A very inclusive philosophy is a real objective of the developer who has provided Edina residents with previous successful projects. These guys do what they promise. Linda an I are in our 70s now. Have been Edina residents since 2012 and at our age want to enjoy this area ASAP. Please find it in your thinking to accommodate us and all Edina folks and approve this revision this year!! Sincerely Bob and Linda Respondent No:15 Login:Anonymous Email:n/a Responded At:Oct 11, 2021 08:07:58 am Last Seen:Oct 11, 2021 08:07:58 am IP Address:n/a Q1.First and Last Name Patrick Judge Q2.Address 4707, Townes Road Q3.Comment This looks great and should be an excellent addition to the area. Respondent No:16 Login:Anonymous Email:n/a Responded At:Oct 11, 2021 14:34:53 pm Last Seen:Oct 11, 2021 14:34:53 pm IP Address:n/a Q1.First and Last Name Ryan Hartung Q2.Address 5115 Arden Avenue Q3.Comment This looks like a beautiful project and will provide a massive upgrade to the area. Respondent No:17 Login:Anonymous Email:n/a Responded At:Oct 12, 2021 09:51:20 am Last Seen:Oct 12, 2021 09:51:20 am IP Address:n/a Q1.First and Last Name Seth Cogswell Q2.Address 4519 West 56th Street Q3.Comment The current US Bank building is dated and a bit of an eye sore. Given the numerous new and attractive developments in the vicinity, the proposed plan would be a significant, needed improvement. Let's keep the forward progress going. Respondent No:18 Login:Anonymous Email:n/a Responded At:Oct 12, 2021 12:50:24 pm Last Seen:Oct 12, 2021 12:50:24 pm IP Address:n/a Q1.First and Last Name David Hardt Q2.Address 5212 kellogg ave Edina, MN Q3.Comment As a home owner in Edina and business owner with an office building only a few blocks from this site, I'm fully supportive of this plan! More jobs to Edina is a good thing! Respondent No:19 Login:Anonymous Email:n/a Responded At:Oct 12, 2021 13:08:04 pm Last Seen:Oct 12, 2021 13:08:04 pm IP Address:n/a Q1.First and Last Name Mary Jane Hackett Q2.Address 5801 Vernon Lane Q3.Comment This rendering looks amazing! Quite an upgrade to that corner. This is a great project and very well thought.out. Mortenson is the local builder to make it happen. Respondent No:20 Login:Anonymous Email:n/a Responded At:Oct 12, 2021 13:51:30 pm Last Seen:Oct 12, 2021 13:51:30 pm IP Address:n/a Q1.First and Last Name Jena Cogswell Q2.Address 4519 W 56th Street, Edina MN 55424 Q3.Comment I am strongly advocating for the redevelopment of 7001 and 7025 France Ave South. The current building is outdated and under utilized. This is a great opportunity for commerce and community, at a prime location that is easily accessible. Respondent No:21 Login:Anonymous Email:n/a Responded At:Oct 12, 2021 15:10:07 pm Last Seen:Oct 12, 2021 15:10:07 pm IP Address:n/a Q1.First and Last Name David Dickey Q2.Address 5021 Yvonne Terrace Q3.Comment What a cool development and asset for the Southdale retail and residential core.” I would appreciate it and use it! Respondent No:22 Login:Anonymous Email:n/a Responded At:Oct 13, 2021 05:26:45 am Last Seen:Oct 13, 2021 05:26:45 am IP Address:n/a Q1.First and Last Name Hali Stafford Q2.Address 4912 Merilane Ave Q3.Comment My family has lived in Edina for the past 8 years after moving all across the country. We welcome the continued improvement and development of the Southdale area, specifically to include more high end shopping and dining options. This entire project will bring much needed life and energy to that area and we welcome it with open arms. Respondent No:23 Login:Anonymous Email:n/a Responded At:Oct 13, 2021 17:00:11 pm Last Seen:Oct 13, 2021 17:00:11 pm IP Address:n/a Q1.First and Last Name Mark Chamberlain Q2.Address 7004 Bristol Blvd Q3.Comment Five to six years ago the City hired consultant Mic Johnson for the Southdale Redevelopment Work Group. I attended many of those meetings during the first year, and heard Mr. Johnson tell the group that redevelopment along France Ave should only be 4 stories with a 50' setback, and that you should build higher as you move into the core between France and York, with 6-8 stories next and the tallest buildings in the middle. That way the shorter buildings in front will "hide" the taller buildings from the Cornelia neighborhood to the west. And I don't recall those taller buildings being 20 - 24 stories, rather more like 12 - 14. In 2017 when the 20 and 24 story Estelle project was proposed at 69th & France, which was fortunately rejected by the Council, a Councilmember lamented that if only the project was only on the east side of France Ave., then he would be okay with it. Really? Are you kidding me? Why would buildings 5 to 6 times taller than the City's paid Consultant recommended be okay just because they are along France Avenue on the east side? That's less than a football field further from the Cornelia neighborhood than if they were on the west side of France, and there's no way you can "hide" a 24 story building with shorter buildings in front of it when the 24 story building is on the corner lot. What a waste of time and money was spent on the Redevelopment Plan, when like the Comp Plan, it is totally ignored. All this oversized redevelopment does nothing for existing residents, many who have lived here for decades and have paid tens of thousands of dollars in property taxes to the City. All we get out of it is more congestion, an unsightly skyline, and a City that still wants to raise our taxes over 8% this year despite all the increased revenues they are receiving from other recent redevelopments. It seems the City is more interested in attracting new, more transient residents than they are in protecting existing neighborhoods and the desires of residents who are more likely stakeholders in the community. In my opinion, existing residents' best interests are not being well served by our current Council and City staff. Respondent No:24 Login:MichaelLund Email:mlund@launchproperties.co m Responded At:Oct 13, 2021 17:43:41 pm Last Seen:Oct 14, 2021 00:38:36 am IP Address:73.94.53.44 Q1.First and Last Name Michael Lund Q2.Address 5608 Dale Avenue Q3.Comment I have lived in Edina since 1990. I have seen the dramatic transformation of the old Guitar Center site. I think this site will be equally transformative and provide a high-quality project to the residents of Edina with many amenities. I have known Ted and his team for many years, and his latest projects down on 44th and France are representative of his high-quality standards and vision for the future of Edina. Respondent No:25 Login:Anonymous Email:n/a Responded At:Oct 14, 2021 12:32:48 pm Last Seen:Oct 14, 2021 12:32:48 pm IP Address:n/a Q1.First and Last Name Kyle Vorachek Q2.Address 6425 Indian Hills Rd, Edina, MN 55439 Q3.Comment I fully support this re-development. This corner has been an unsightly property for too-long. The proposed plan will help continue the beautification of the city. Not only that, it appears it will help increase population density and livability of the France Ave. area. Having more residents can only further attract investment to the area. Please approve this plan! Respondent No:26 Login:Anonymous Email:n/a Responded At:Oct 18, 2021 11:31:20 am Last Seen:Oct 18, 2021 11:31:20 am IP Address:n/a Q1.First and Last Name Keith Ballard Q2.Address 7412 Coventry Way, Edina, MN 55439 Q3.Comment As a longtime resident of Edina we really appreciate efforts to improve our City. The US Bank building is old, tired, and is not reflective of what we want Edina to be. Our young family of three is in the Southdale district all the time, we drive or bike to the area, and we want this project to happen. This project brings the best of Edina together at one site: job creation, modern architecture, housing, and future expandability within the Southdale district. Please consider this our full endorsement of support for the proposed redevelopment. Respondent No:27 Login:Anonymous Email:n/a Responded At:Oct 18, 2021 11:31:46 am Last Seen:Oct 18, 2021 11:31:46 am IP Address:n/a Q1.First and Last Name Max Hackett Q2.Address 5429 Park Pl Q3.Comment A big YES to this project. The current brick building is an eyesore and this would be a huge improvement in the area. Respondent No:28 Login:Anonymous Email:n/a Responded At:Oct 18, 2021 14:55:26 pm Last Seen:Oct 18, 2021 14:55:26 pm IP Address:n/a Q1.First and Last Name Toby McKenna Q2.Address 6241 Knoll Drive Q3.Comment I am excited to see this project take life. As both a U.S. Bank customer and an Edina resident, I believe this enhances the surrounding area and elevates the company’s physical footprint at this location. I fully support this project and look forward to seeing it come to life. Respondent No:29 Login:Anonymous Email:n/a Responded At:Oct 18, 2021 15:12:57 pm Last Seen:Oct 18, 2021 15:12:57 pm IP Address:n/a Q1.First and Last Name Jamie Ballard Q2.Address 7412 Coventry Way Q3.Comment I have been an Edina resident my entire life and fully support the proposed plans for 7001 France Ave. It would provide huge lifestyle, functionality, and aesthetic improvements for Edina and also attract consumers from the surrounding communities. The proposed updates on this prime corner of Edina are crucial for the future of our city and our long-term sustainability of being the premier suburb in the state of MN. Thank you! Respondent No:30 Login:Anonymous Email:n/a Responded At:Oct 20, 2021 07:58:58 am Last Seen:Oct 20, 2021 07:58:58 am IP Address:n/a Q1.First and Last Name Josh O'Neill Q2.Address 3717 W. Fuller Street, Edina Q3.Comment I'm very impressed with how the developer and its partners have amended their plans to navigate through very challenging supply chain and pricing challenges. That is a very difficult task to accomplish and still make the project viable. This will be a great improvement to the France Avenue corridor and be done by a world class team with a superb portfolio of high quality projects. I strongly support this project and look forward to seeing it come to life. Respondent No:31 Login:Anonymous Email:n/a Responded At:Oct 30, 2021 09:55:31 am Last Seen:Oct 30, 2021 09:55:31 am IP Address:n/a Q1.First and Last Name Anne Griffiths Q2.Address 4713 Hibiscus Ave Q3.Comment Dear City Council, I live in the South Cornelia/Lake Edina neighborhood. A 24 story building proposed at the corner of 70th and France is too tall for that intersection. That is a dramatic height difference from the neighboring one story homes. This neighborhood has many ramblers that draw upon the neighborhood charm, and that would be harmed by this, also leading to fewer rambler options for aging neighbors that wish to stay in place. Something half its height (or preferably less) would establish a village sense to the neighborhood. We don't need to look like Nicollet Mall and downtown Minneapolis is emptying. Let's not build building that make sense for 10 years only to empty subsequently. Thanks for your consideration, Anne Griffiths Respondent No:32 Login:Anonymous Email:n/a Responded At:Oct 30, 2021 20:24:16 pm Last Seen:Oct 30, 2021 20:24:16 pm IP Address:n/a Q1.First and Last Name Suzanne Rudi Q2.Address 4708 Valley View Road, Edina MN 55424 Q3.Comment I strongly oppose the proposed revisions to the 70th and France site because our community must prioritize affordable housing and this project moves us backwards, not forwards, toward that goal. Our city must remain committed to increasing affordable housing units. We should not support more parking ramps, which drives continued reliance on private cars versus public transportation, biking, walking, etc. Approving the proposed changes would be a monumental mistake. All families deserve a home and we must act in line with our values. Respondent No:33 Login:Anonymous Email:n/a Responded At:Nov 03, 2021 11:26:06 am Last Seen:Nov 03, 2021 11:26:06 am IP Address:n/a Q1.First and Last Name Larissa Bodine Q2.Address 4502 OAK DR Q3.Comment I fully support the project as a way to add density, add office and retail opportunities, and increase property values in the area. Great project! Respondent No:34 Login:Anonymous Email:n/a Responded At:Nov 03, 2021 11:31:21 am Last Seen:Nov 03, 2021 11:31:21 am IP Address:n/a Q1.First and Last Name Joseph Conzemius Q2.Address 5012 Arden Avenue, Edina, MN 55424 Q3.Comment I am writing in full support of the entire project at 70th and France. The proposed redevelopment will add to the retransformation of the France Avenue corridor and will add a world-class office building that this market has not seen in more than two decades. I fully support the project. Respondent No:35 Login:Anonymous Email:n/a Responded At:Nov 03, 2021 12:23:52 pm Last Seen:Nov 03, 2021 12:23:52 pm IP Address:n/a Q1.First and Last Name Mike Doyle Q2.Address 4389 Mackey Ave Q3.Comment In full support of this project! We need more housing and love the idea of new office space in this submarket. Respondent No:36 Login:Anonymous Email:n/a Responded At:Nov 06, 2021 07:14:56 am Last Seen:Nov 06, 2021 07:14:56 am IP Address:n/a Q1.First and Last Name Robert J Bowman Q2.Address 6566 France Ave S, Apt 307 Q3.Comment France Avenue remains a dangerous barrier for pedestrians and bicycles and divides residential and commercial areas of Edina. Developments like the US Bank project provide opportunities to address this problem. Edina should get something in return for TIF financing. That "something" should include some kind of pedestrian and bicycle structure (tunnel? bridge?) that would enhance the quality of living in Edina. Respondent No:37 Login:PeterJ Email:peterjirik@gmail.com Responded At:Nov 08, 2021 08:58:47 am Last Seen:Nov 08, 2021 16:44:38 pm IP Address:174.53.131.48 Q1.First and Last Name Peter Jirik Q2.Address 6920 Dawson Lane, Hennepin Q3.Comment I wish to take the opportunity to speak out against this project as it is presently constituted. The present project is nowhere close to the original proposal. As presently constituted this project contains the following significant defects: • The 24 story luxury tower exceeds the original PCD-3 (8 story/96 feet) zoning by 300% • Will increase traffic congestion on France (including E/W flow on 66th, 70th and 72 streets) • Updated traffic study inadequate (in fact a joke 4 pages). The original traffic study failed • Will increase cut-through traffic along Cornelia Drive, West Shore Drive and Woodale Ave South • Does not include affordable housing (the originally proposed affordable housing has been dropped) • The HUGE parking garage that replaced the originally proposed affordable housing does not meet city codes • Out of scale/out of proportion for the neighborhood • Will present neighborhood safety issues with respect to traffic near Cornelia Elementary school • Does not meet the Greater Southdale District Design Experience Guidelines • Does not provide a reasonable transition in building height looking to the East and will loom over the neighborhoods • Developer is seeking 20M in taxpayer (TIF) funds, Thus draining money from the School system and other city government functions. I respectfully request the City Council NOT approve this project without significant changes by the developer. Respondent No:38 Login:Anonymous Email:n/a Responded At:Nov 08, 2021 09:59:38 am Last Seen:Nov 08, 2021 09:59:38 am IP Address:n/a Q1.First and Last Name Roberta Castellano Q2.Address 4854 France Ave S Q3.Comment I am not clear on what we are getting with the proposed development. Reflecting back on an exchange between Planning Commissioner Miranda and Cary Teague, PC Miranda had asked if the interior driveways would be private, to the extent that if a group of people were to stage a protest march, would the owners be able to restrict them from doing so. I am paraphrasing here, as you can see. And Cary responded that yes, the owners would have control. So the roads are not public. Will they be clearly labeled as such? Or will they be misleadingly represented as public roads? I think it is important to be clear on this point. Correct me if I am wrong, but the public can drive into and through the Lunds site (grocery and 71 France apartments) without the public needing to compensate Lunds for an easement to do so. And the drive aisles comprise quite a bit of acreage at the Lunds site. Also, I am anxious about this development, as the public is paying for a "dog relief " area for residents of the 4500 France Ave S apartments (Lorient/Ted Carlson), The "dog relief area" was represented to the public as a public pocket park, which really, honestly, does anyone think that is what it really is? 2200 Zane Ave N | Minneapolis, MN 55422 www.archfieldoffice.com Cary: At your request, we reviewed the revised PUD submission for the proposed development at 70th and France (US Bank site) based on our experience working with the Greater Southdale Work Group to craft a physical vision for the future district, translating their guiding principles to the built environment. The resulting vision for development in the Greater Southdale District is to create an enhanced human experience along existing major and new connector streets, with overall experience shaped via landscape setbacks, building step backs, a hierarchy of street typologies, transparency at street level, a minimized impact of the car, and managing storm water as an amenity. The outcome of our collaborations with the Work Group is described in the urban design chapter of the Greater Southdale District Plan and resulted in the Greater Southdale District Design Experience Guidelines. As you are aware, we have been supportive of this proposal in the past because it tried to balance financial concerns with the quality of the human experience along its streets and programmatic needs for parking to support primarily the office building component of the site. In its previous iteration, below grade parking was used on three of the building sites, leaving the US Bank site flexible for future possibilities as the market for retail/drive-up banks changes. The architecture tried to integrate material and architectural forms that would provide street continuity, with a program element within each building to support the experience at the street. Of note, the previous scheme shortened the parking plinth for the housing and created an east-west oriented plaza; this was helpful in mitigating the length of the housing building, and offering a cue to how 71st Street might develop as an eventual connection to the Promenade. Although we had concerns about the use of metal screen on the office building, there was a clear focus on the transparency and active retail at the ground floor. Above the parking levels, the office building stepped back, creating a strong façade on France Avenue to reinforce its stature as the District’s most notable street. Roof tops were programmed with activities and landscaping that would add to the development character and to the green goals of the district – which have all disappeared. Intense activity was imagined on three of the four building sites, with the southeastern block adding a diversity of housing types that honored the City’s greater focus on diversity and equity. However, as we look at the current work by the developer and architect, much of those human-centric elements have been replaced in favor of parking. By our calculations, 64% of all four building sites (not counting streets) in the current proposal have on-grade parking screened by metal screens, metal panel, and landscaping. This is no different than what the district in trying to overcome, with uninviting parking To City of Edina Cary Teague, Community Development Director 4801 W. 50th Street Edina, MN 55424 From Mic Johnson, FAIA Date October 1, 2021 2 lots and blank walls. In this proposal, it appears that an effort has gone into and emphasis on landscaping to attempt to sway the evaluation of the current project as having the potential to provide a rich and varied experience. There are many streets around the world that have little or no landscaping, and provide some of the most delightful experiences with only the activity of the shops, restaurants and front porches that stich people together and create a sense of community in a special place made and designed by them. Try to imagine the current proposal without landscaping. There would not be much to attract the casual stroller, shopper or even the people who might live in the tower to come down and be in the street. The current efforts to construct a viable community within these four very important blocks seems minimal by the development team. One of the most important aspects of the Design Experience Guidelines is centered around creating buildings that are equal on all four sides – with program space fronting all streets they face, all integrated throughout the district in support of the life of an evolving community. Not the way we have built in the past, with streets full of cars and land full of parking lots and utilities but rather a place made of green streets many of which will have no cars on them, with permeable paving, varied architecture and varied uses – with all building services, parking and site utilities that do not contribute to the life of the street and the activities of the community hidden from view. We have reviewed the Applicant’s submission in detail and while we have flagged a number of issues, following are a few of the primary concerns relative to the proposal’s adherence with the Design Experience Guidelines and the City’s vision for the future growth and evolution of the Greater Southdale District. Parking Design Experience Guideline Excerpt All parking, other than short-term retail or guest parking, and building services need to be located below grade or hidden within the building. If on ground level or above, parking and/or building services must be surrounded on all sides by program space such as commercial or housing. Applicant’s Response All proposed parking on Sites A, B, and C is enclosed within buildings with the exception of street parallel parking stalls which are encouraged for creating pedestrian safety and ease of access. Residential loading spaces for the site are planned with locations enclosed within the building as well as supplemental locations street side at strategic locations. Short-term guest stalls all are located at enclosed locations within the building for Site A and also accommodated in Site C’s ramp. AFO Comment Minimizing the visual impact of car storage was one of the primary tenets of the design guidelines put forward by the Work Group, as one the most important issues that would change the character of the district from car- oriented to pedestrian-oriented. The applicant has ignored this repeatedly throughout the proposal with no liner buildings or ground level program space. 3 Building Size Design Experience Guideline Excerpt No building façade can be longer than 200’ without changing direction by a minimum of 90 degrees. Applicant’s Response The new block plan size for the development particularly the north to south dimension for Sites A and B is driven by the location of the available access point on France Avenue and the desire to have Site D (US Bank) be smaller. Since this creates are greater dimension for Sites A and B there are instances where podiums for Sites A and B do not fully comply completely with this guidance. The design of the each of these dimensional lengths mitigates this deviation. Please see site plans for this submittal. AFO Comment The 200 x 200 foot grid pattern was not necessarily about specific block size or aligning streets into a perfect grid. It was conceived as a strategy to bring buildings back to a more human scale, where the pedestrian would experience diversity in material, pattern and shape of various buildings along a series of blocks. The height of street room was informed by the height of each wall of the building facing the street. The intent of the grid is about the pedestrian experience, not about aligning streets so you can drive your car through streets without turning. In our opinion, this misinterpretation of the 200 foot grid has been an assumption on the part of the development team and the cause of the large parking podium on site A. It points to balancing between the numbers of parking stalls available below and screened above grade parking and the number of the housing units. The diagram at left shows two blocks of more equal size on the east side of the site, separated by 71st Street. This street would provide access to parking and building services, and align future development with equal blocks on the east side connecting to the Promenade, while allowing Ewing to remain as the major pedestrian street through the development. A shared street aligning with the round-about would be developed in another phase of growth in the district. Street Typologies and Setbacks Design Experience Guideline Excerpt These streets, including 69th Street, 70th Street, Hazelton Road, Parklawn Avenue, and West 76th Street, serve an important role within the district. These are unique streets in that they form the district’s superblocks with France and York Avenues, keeping traffic out of adjacent single family neighborhoods while connecting to the neighborhoods through the 30 4 foot setbacks that are landscaped to provide a pedestrian focused experience. This typology is intended to respect the neighborhood scale and context in a meaningful way, with an ample tree canopy, extensive setbacks and consistently-scaled buildings at the face of the public realm. By employing these characteristics, the landscape experience of the single family residential neighborhoods is extended through the Greater Southdale District. Applicant’s Response Setbacks and building step-backs on 70th Street were not addressed in the applicant’s narrative. It can only be found in the diagrams. AFO Comment This guideline was developed to relate to the Cornelia Overlay and Transition Zones for all development close to single family neighborhoods. The desire was in part to create a very different kind of landscape with an affinity to typical front yards of neighborhoods and extend that experience along the east-west streets that form the district’s Super Blocks. The above diagram shows the setback alignments along 70th (in the dashed red line), 30 feet from the curb, and a building step back above 60 feet by another 30 feet. These dimensions are intended to support the transition from the single family neighborhoods and increase the potential for a more ‘residential’ scaled streetscape as a part of the characteristics of the transition zones. The applicant’s plan dimensions on page 57 of the civil narrative indicate 18’-3” building setback at the northwest corner of the site and 20’-7” building setback at the northeast corner of the site. In addition, the diagrams above, extracted from page 22 of the applicant’s design package do not meet the setback of 30 feet or stepbacks of 30 feet above the 60 foot podium. 5 Material Usage Design Experience Guideline Excerpt All facades on the first vertical 60 feet of a building (above grade) shall use natural materials facing the public realm. Above 50-60 feet, glass, precast panels with brick/tile are the preferred material palette. Metal panel can be used as a secondary part of a wall system. Applicant’s Response The building uses natural materials facing the public realm in this way. Please see exterior elevations for this submittal. AFO Comment Based on our review of the exterior elevations, we understand the following: Site A: There are no natural materials below 60 feet. Approximately 25% of the base is precast, faux wood metal panel and glass, and 75% is metal panel screening for the parking garage. Site B: the first floor is metal panel and glass, the remaining building façade is glass. Site D: Glass and metal panel on the first floor, the remainder of the parking garage is metal panel. The intent of the guidelines is to build district character through the use of natural materials that represent the both quality and continuity of the public realm within the Southdale District. We know it will take time and imagination to create a cohesive material palette for the public realm, with each new project taking cues from existing material usage across the district. However, the applicant is not using natural materials on any of the three sites described in this proposal, but rather using materials that are out of context given the goals set forth in the Design Experience Guidelines. And lastly, there is no mention of the sustainability or resiliency of building systems and site development. There is no discussion about the role of green roofs in supporting rooftop programming and stormwater management, or on-grade waterways. There is no mention of permeable materials that would support stormwater retention or reflect less heat into the public realm. There is no discussion about how the exterior building systems and façade orientation might reduce the energy required to heat and cool the interior. There is no discussion about potential solar panels on the roofs and or other systems that might inform future actions to meet the climate crisis. All of which support discussion about the how to make a compact community that will meet individual, social, and cultural needs of the district in next 50 years going forward. Recommendations on Next Steps We understand there is a budget/proforma that must be paid attention to, and we know there is a program that must be met. But we also know there are many ways to solve design and program problems to meet an owner or developer’s budget and proforma. Many cities recognize their various districts and neighborhoods have a culture, a way of growing, a way of maintaining their character – or, in the case of Edina, a new way to see how they would like their community to work, look and feel. The Experience Guidelines were a result of this desire: to transform the past suburban context into a place without parking lots, or visible parking structures, into a place of blocks and streets that were focused on the experience of residents and visitors. The development should invite the community/neighbors to go to the site, to 6 walk through it, to stay – as a place that represents them. Everyone who will eventually live there will do so because they are excited to be there. The role of the City and the community is to provide guidance to developers and architects about the desire, hopes, and the policies and guidelines that are important to residents of the Southdale district and the broader community – which can then be balanced with the owner’s objectives of meeting budget, proforma, and program. Our 4-year-long process with the Work Group focused on creating a framework, a plan, and a set of guidelines and principles that would support the type of experiences the residents and community wanted to see in the District. We articulated characteristics of street rooms by the scale of building walls, defining the qualities of natural light and connection from one street room to the next to enhance the daily experience of people that live in the adjacent Cornelia Neighborhood and potential new residents of the Greater Southdale District. Based on the above factors, we are unable to support this proposal in its current form. We also recommend the applicant re-familiarize themselves with our previous memos evaluating each stage this proposal has gone through. Many of those recommendations appear to still not be understood as we look to the current proposal. Thank you for the opportunity to review. Please let me know if you have any questions. Mic Attachment: Sketch Plan review memo to 70th and France Development Team, dated September 4, 2020 City of Edina – New Construction Sustainability Questionnaire Page 1 City of Edina Sustainable Construction Questionnaire The City of Edina has set ambitious goals to reduce greenhouse gas emissions in the community. To help achieve these goals, developers seeking City approval must complete this form as part of their zoning application. Upon receipt of this form, please email Sustainability Coordinator, Grace Hancock, GHancock@edinamn.gov, to set up a time to walk through the form and discuss sustainable building strategies. Please email the completed form to Cary Teague, CTeague@edinamn.gov, and copy Grace Hancock. Topics Answers Yes or No Brief Description Sustainable Design & Energy Consumption Will you utilize Xcel Energy’s Energy Design Assistance or Energy Efficient Buildings, and/or Centerpoint Energy’s Builder and Developer programs for this development? Yes The project will enroll in the Xcel Energy EDA program. Will the buildings meet SB2030 energy goals? TBD Project is being benchmarked against SB2030 and will strive to achieve the lowest building EUI (energy use intensity) feasible. Will the building be LEED certified? TBD The buildings are being explored to follow ParkSmart, LEED Certified, Well Core, and/or Harvard 9 Foundations of a Healthy Building. Further evaluation is being completed on each block. Will all appliances and equipment be Energy Star or EPA WaterSense certified? Yes Will water heaters be electric or natural gas? Both - Natural Gas and Electric Will building heat be powered by electricity or natural gas? Heat will be a combination of DX rooftop natural gas heat DOAS, natural gas RTUs, electric VRF heat pumps, and electric VAVs depending on the building. Will different strategies to conserve energy (beyond those required by code) be included? If so, please describe Yes Project will utilize LED Lighting, programmable theromostats, VRF HVAC systems, lighting controls in common spaces, building automation system, and energy star equipment and appliances. Continuing to evaluate strategies beyond code. Will there be renewable energy such as solar or wind be generated on site? TBD Exploring having buildings solar ready (electrical infrastructure and roof supports) for future PV installation Will the project include a geothermal system? No Will the completed project subscribe to a community solar program or other renewable energy program? Yes Working with Xcel energy on existing and potential future opportunities to subscribe to renewable programs. Will there be purchase of renewable energy credits (RECs)? TBD Tenant option to purchase at a later date City of Edina – New Construction Sustainability Questionnaire Page 2 City of Edina Sustainable Construction Questionnaire Comments: Managing Storm Water What percent of the property is pervious surface before the redevelopment? What is the percent post development? Existing Site = 260,594 SF 171,882 SF of impervious surface – (24,682 SF of building footprint + 147,200 SF of paving) 66% Impervious 34% Pervious Post Development 182,595 SF of impervious surface (119,945 SF building footprint + 62,650 SF of paving) 70.1% Impervious 29.9% Pervious Net Decrease in Pervious: 4.1% While the impervous surface sf is increasing, there is now storm water management of the full site to accommodate the design. What new surfaces will be pervious? (i.e. Sidewalks, driveways, overflow parking) Pedestrian surfaces will include both standard concrete and colored concrete. The colored concrete is located in select areas to denote major building entrances and boulevard areas. Concrete pavers are planned for a portion of the public plaza on the south side of the residential tower. Pervious areas will include open space along France Avenue as well as a multi- function plaza space within the development. Will a green roof be included on the new structure to assist in storm water retention? Yes Residential tower and Office will have a section of green roof Will rain gardens or similar features be included on site to filter and retain the storm water? TBD Storm water management plan has been approved by the Minnehaha Creek Watershed District Comments: Landscaping Features to Manage Air Quality and Heat Island Effect Will existing healthy trees be protected and saved? No Due to the location of existing trees, the development of the land will require removal of those trees. City of Edina – New Construction Sustainability Questionnaire Page 3 City of Edina Sustainable Construction Questionnaire What percent of the property is covered by tree canopy before redevelopment? What is the percent post development? For sites A, B, C the Calculations for the tree coverages are as follows. Site A,B,C = 215,705 SF Existing Tree Coverages: Site A,B,C = 26,552 SF (12.3%) Proposed Tree Coverages (75% of full canopy diameter): Site A,B,C = 37,556 SF (17.4%) Will you be replanting/replacing trees at least four to five inches in diameter to positively impact the tree canopy (ordinance requirement is only 2.5 inches in diameter)? Yes, for half the trees in the design. Code requirement for tree planting for Edina has a size ranging from 5.5” to 2.5”. We reflect this on the plans. We will coordinate with the City Forester to ensure he approves all species and sizes. Will shade trees be provided along roadways, drives and surface parking areas beyond those required by code? TBD We provide shade trees along internal roadways and 70th and within the development in the public plaza space. Will native plantings be used in the landscaping? Yes Plants selected for the boulevard areas are species that will tolerate the harsh conditions of their environment. Trees and plants within these areas are salt- tolerant which help to improve their longevity. Several of the tree species selected for the rest of the site are either native to Minnesota or are adapted species of natives that are better suited for their location or condition. Will landscaping include pollinator-friendly varieties? Yes Many of the plants in the stormwater filtration areas along France are pollinator friendly native plants. This environment will not only be a functional part of the stormwater management system but also provide a highly aesthetic landscape with areas for seating and art display. Will future owners and managers be trained in methods to avoid harmful chemicals being used on landscaping? Yes Comments: We have proposed a pocket park/plaza space along the east-west internal street that will be made up of permeable City of Edina – New Construction Sustainability Questionnaire Page 4 City of Edina Sustainable Construction Questionnaire paving for stormwater capture, perimeter planting and tree cover to minimize heat gain. Planting beds with shrubs, perennials and trees will align the perimeter all public sidewalks increasing permeable surface area, providing a shade canopy, and reducing solar heat gain. Seasonal planter pots are planned at building entrances and throughout the streetscape in the district to break up larger hardscape areas and add interest to key focal point and gathering areas. The rooftop terraces and amenity levels will also have a substantial green system of raised planters for trees, shrubs and perennials, and green roof trays in place of hardscape and ballast. A comprehensive landscape planting program will be provided with a water efficient irrigation system to minimize evaporation, manage water use, and monitor moisture levels during dry and wet conditions. Managing Construction Waste Will demolition of existing structures meet LEED Green Building Demolition and/or B3 State of Minnesota Sustainable Building Guidelines? Yes Will existing building elements be salvaged for reuse? Example, timber, steel, asphalt, cabinets, etc. No Current building has asbestos and will be remediated. Are scrap and excess construction materials being separated and recycled? Yes All construction waste is sent to a recycling facility where the commingled debris is separated by material type to be recycled or sent to a landfill. Mortenson also has a robust 5S program with the expectation of Just- In- Time deliveries with no more than 2-3 days’ worth of material on site at one given time. Are workers provided with separate recycling dumpsters and training in proper use? Yes During First Day, First Hour orientation, Mortenson has a slide discussing the expectations of 5S on the project, including waste management. Workers are provided food dumpsters to keep all organics separate from contaminating building materials being sent to the recycling facility. City of Edina – New Construction Sustainability Questionnaire Page 5 City of Edina Sustainable Construction Questionnaire Comments: Managing Operational Waste Will a recycling service be provided to those in the multifamily complex? To any businesses on site? Yes Will an organic recycling service be provided to those in the multifamily complex? To any businesses on site? Yes Will future users of the building be provided with education and training regarding proper recycling practices? Yes Comments: The site will comply with state and county regulations on waste management. Managing Water Consumption Is the project including features to reduce water consumption beyond features required by code? Yes Low flow fixtures Is there a grey water system included to reuse water on site? Will future users of the building be provided with education and training regarding conservation of water? No/Yes No grey water system. Residents will be educated on how to reduce water usage. Will outdoor landscaping watering system include a water sensor to automatically reduce watering in wet conditions? Yes The irrigation for the site will contain a water sensor and other water saving components to mitigate water usage. Comments: Sustainable Transportation Features Is the site accessible by public transit within ½ mile? Yes Bus stop access is adjacent to project off of 70th. Are site features included to make the use of public transit convenient and simple? Examples include sheltered waiting areas, paved sidewalks and clear site lines. Yes Sidewalks and clear site lines to the bus stop If there is no public transit within ½ mile, is the project providing features to help bridge the distance to allow flexibility to use public transit? N/A Is bike parking available near the main entrance for guests? Space in parking structure (e.g. bike corral, bike lockers) for residents’ bikes? Yes Multiple locations, see slides. Is bike parking and a shower facility provided for employees? Yes The office employees will have access to bike parking and shower facilities Do you have EV Charging Stations for owners, guests or customers to use? Yes Will there be parking spaces provided for car- sharing vehicles to reduce the overall number of cars? Yes Updated January 2021 Memo To: Cary Teague, City of Edina From: Ed Terhaar, P.E. File: 227704479 Date: October 7, 2021 Reference: Traffic and Parking Review for Redevelopment in the Southeast Corner of France Avenue and 70th Street in Edina, MN I hereby certify that this report was prepared by me or under my direct supervision and that I am a duly Licensed Professional Engineer under the laws of the State of Minnesota. __________________________________ DATE: October 7, 2021 Edward F. Terhaar License No. 24441 PURPOSE AND BACKGROUND This memorandum documents our traffic and parking review for the proposed redevelopment project located in the southeast corner of France Avenue and 70th Street. The project will consist of removing the existing buildings and constructing new buildings containing residential, retail, and office uses as well as a freestanding parking ramp. Access for the project will be provided at the existing right in/right out access on France Avenue, a proposed right in/right out access on 70th Street, and at access points on the south leg of the existing roundabout intersection on 70th Street. For purpose of this review, the current proposed project is assumed to consist of the following uses: • 267 apartment dwelling units • 188,058 square feet of office space • 6,500 square foot bank • 1,500 square foot coffee shop • 6,000 square foot sit-down restaurant • 24,500 square feet of general retail space • A freestanding parking ramp with 540 parking stalls and a 1,300 square foot bicycle facility In addition to the 540-stall parking ramp, Site A includes 444 parking stalls, Site B includes 128 parking stalls, and the bank includes 23 parking stalls. A total of 1,135 parking stalls are included in the project. A full traffic and parking study was completed in October 2020 for a previous proposed development at this location. The current traffic and parking review compares the trip generation and parking demand to the results presented in the previous study. TRAFFIC REVIEW Trip Generation Weekday a.m. and p.m. peak hour trip generation for the proposed development were calculated based on data presented in the tenth edition of Trip Generation, published by the Institute of Transportation Engineers Cary Teague City of Edina October 7, 2021 (ITE). The resultant gross trip generation estimates for the previous project as presented in the October 2020 study are shown in Table 1. Table 1 Weekday Gross Trip Generation for Previous Proposed Project as Presented in the October 2020 Study Land Use Size Weekday AM Peak Hour Weekday PM Peak Hour Weekday Daily In Out Total In Out Total Total Apartments 110 DU 10 30 40 30 18 48 598 Apartments 269 DU 20 63 83 59 38 97 1,197 Office 152,500 SF 152 25 177 28 147 175 1,486 Supermarket 50,300 SF 115 77 192 237 228 465 5,371 Shopping Center 3,300 SF 2 1 3 6 7 13 125 Bank 6,500 SF 36 26 62 66 66 132 650 Coffee Shop 1,500 SF 76 73 149 27 27 54 1,214 Totals 411 295 706 453 531 984 10,641 SF=square feet, DU=dwelling units The resultant gross trip generation estimates for the current project are shown in Table 2. Table 2 Weekday Gross Trip Generation for Current Proposed Project Land Use Size Weekday AM Peak Hour Weekday PM Peak Hour Weekday Daily In Out Total In Out Total Total Apartments 267 DU 25 71 96 71 46 117 1,452 Office 188,058 SF 187 31 218 34 182 216 1,832 Bank 6,500 SF 4 DIL 21 14 35 53 56 109 499 Coffee Shop 1,500 SF 77 75 152 27 27 54 1,231 Sit-down Restaurant 6,000 SF 2 2 4 31 16 47 503 Retail 24,500 SF 14 9 23 44 49 93 925 Totals 326 202 528 260 376 636 6,442 SF=square feet, DU=dwelling units, DIL=drive-in lanes As shown above, the current proposed project generates fewer trips during all time periods. The trip comparison between the two projects is shown in Table 3. Table 3 Weekday Gross Trip Generation Comparison Land Use Weekday AM Peak Hour Weekday PM Peak Hour Weekday Daily In Out Total In Out Total Total Previous Project 411 295 706 453 531 984 10,641 Current Project 326 202 528 260 376 636 6,442 Total Difference -85 -93 -178 -193 -155 -348 -4,199 Percentage decrease (20.7%) (31.5%) (25.2%) (42.6%) (29.2%) (35.4%) (39.5%) Cary Teague City of Edina October 7, 2021 Traffic Operations As shown above, the current project generates 25.2% fewer trips during the a.m. peak hour, 35.4% fewer during the p.m. peak hour, and 39.5% fewer on a daily basis. Due to the reduction in the number of trips generated, the current project will have less impact on traffic operations than reported in the October 2020 study. As shown in the site plan, the project includes the construction of a dedicated right turn lane at the existing right in/right out access on France Avenue and at the proposed right in/right out access on 70th Street. Both of these right turn lanes will be necessary to accommodate the proposed traffic volumes using the access points. The need to convert the eastbound 70th Street approach at France Avenue to a left turn lane, through lane, and though/right turn lane was described in the original report. If necessary in the future, the proposed eastbound right turn lane at the proposed right in/right out access would allow for the second eastbound through lane on 70th Street west of France. Since this lane would drop at the proposed right in/right out, through vehicles would need to exit the lane as described in the report. The original study also recommended the construction of a northbound right turn lane on France Avenue at 70th Street. Based on the expected trip generation reductions, the right turn lane will not be needed in the short-term to accommodate the proposed project. It may be needed in the future should areawide traffic volume increases occur in the France Avenue corridor. PARKING REVIEW The project includes a total of 1,135 parking stalls, with 540 in the freestanding parking ramp, 444 in Site A, 128 in Site B, and 23 on the bank site. In addition, the site plan shows the bank building will have 23 surface stalls for customer and employee use. The proposed amount of parking was compared to industry standards to determine adequacy. Parking data from the Institute of Transportation Engineers (ITE) was used to determine the expected parking demand for the proposed land uses. Data provided in the ITE publication Parking Generation, 5th Edition, indicates the various proposed uses peak at different times during the day. The ITE data was adjusted to account for the expected modal split for the site. The results are shown in Table 4. Based on the ITE data, the peak weekday parking demand for the overall site is 695 spaces, which occurs between 11 a.m. and 2 p.m. The total of 1,135 spaces provided is 440 spaces more than the peak demand. The proposed number of parking stalls adequately accommodates the peak parking demand. The current Edina City code requires 780 parking spaces for the retail and office uses and 267 parking spaces for the apartment units, for a total requirement of 1,047 spaces. The total of 1,135 spaces provided is 88 spaces more than the City code requirement. The proposed number of parking stalls adequately accommodates the City code requirement. TABLE 4 WEEKDAY PARKING DEMAND Adjustment Month of Factor for Year Time of Day Factor Net Parking Needs by Time of Day Gross Walking, Transit Adjust. Land Parking Multi-Purpose, Factor 6 am- 8 am- 11 am- 2 pm- 4 pm- 6 pm- 6 am- 8 am- 11 am- 2 pm- 4 pm- 6 pm- Use Size Unit Rate and Vacancies (MAX) 8 am 11 am 2 pm 4 pm 6 pm 9 pm 8 am 11 am 2 pm 4 pm 6 pm 9 pm Apartment 267 dwell. unit 1.31/unit 10% 100% 100% 60% 50% 50% 60% 75% 315 189 157 157 189 236 Restaurant - 6000 sq. ft.10.52/1000 10% 100% 5% 10% 100% 50% 70% 100% 3 6 57 28 40 57 Office 188058 sq. ft. 2.39/1000 10% 100% 50% 100% 100% 90% 50% 10% 202 405 405 364 202 40 Bank 6500 sq. ft. 3.72/1000 10% 100% 25% 80% 100% 90% 75% 10% 5 17 22 20 16 2 Coffee shop 1500 sq. ft.10.49/1000 10% 100% 100% 100% 75% 75% 75% 10% 14 14 11 11 11 1 Retail 24500 sq. ft. 1.95/1000 10% 100% 25% 75% 100% 90% 75% 90% 11 32 43 39 32 39 Note: Gross parking rates from ITE Parking Generation, 5th edition TOTAL PARKING DEMAND 550 663 695 619 490 375 • • • • • • • • • • • • • • • • • • ................................................................................ 1 ..................................................................... 3 ...................................................................... 5 ..................................................................... 10 ........................................ 28 ......................................................................................... 30 ................................................................................... 3 .................................................................................. 6 .............................................................................. 7 .......................................................................... 11 .......................................... 12 .......................................... 12 . 13 . 14 ................ 15 ................ 15 .................................. 18 .. 19 ................................ 20 ................................. 20 ............................... 21 ...................................................................... 23 ................................................................... 24 • • • • • • Congested: volume/capacity of 1.0 0 0.2 0.4 0.6 0.8 1 1.2 70th St W of France Ave 70th St btwn France Ave and York Ave 70th St E of York Ave France Avenue York Ave N of Hazelton Rd York Ave S of Hazelton Rd Hazelton Road btwn France Ave and York AveVolume to Capacity RatioExisting 2025 No-Build 2025 Build 2040 No-Build 2040 Build 0 10 20 30 40 50 60 France Ave/70th Street York Ave/70th St York Ave/Hazelton Rd France Ave/Hazelton RdAverage Delay (seconds)Existing 2025 No-Build 2025 Build 2040 No-Build 2040 Build LOS E = 55s LOS C = 20s 0 10 20 30 40 50 60 70 France Ave/70th Street York Ave/70th St York Ave/Hazelton Rd France Ave/Hazelton RdAverage Delay (seconds)Existing 2025 No-Build 2025 Build 2040 No-Build 2040 Build LOS E = 55s LOS C = 20s 0 5 10 15 20 25 30 35 40 70th St/RAB Access 70th St/ Promenade RAB 70th St/Target RAM Hazelton Rd/RABAverage Delay (seconds)Existing 2025 No-Build 2025 Build 2040 No-Build 2040 Build LOS E = 35s LOS C = 15s 0 5 10 15 20 25 30 35 40 70th St/RAB Access 70th St/ Promenade RAB 70th St/Target RAM Hazelton Rd/RABAverage Delay (seconds)Existing 2025 No-Build 2025 Build 2040 No-Build 2040 Build LOS E = 35s LOS C = 15s 0 1 2 3 4 5 6 70th St/Future RIRO Access France Ave/RIRO Access95th Percentile Queues (vehicles)Existing 2025 No-Build 2025 Build 2040 No-Build 2040 Build Queue = 5 0 1 2 3 4 5 6 7 8 70th St/Future RIRO Access France Ave/RIRO Access95th Percentile Queues (vehicles)Existing 2025 No-Build 2025 Build 2040 No-Build 2040 Build Queue = 5 • • • • • • • • • 0 10 20 30 40 50 60 70 France Ave/70th StreetAverage Delay (seconds)2025 Build 2040 Build 2040 Mitigated LOS E = 55s LOS C = 20s 0 10 20 30 40 50 60 France Ave/70th StreetAverage Delay (seconds)2025 Build_COVID 2040 Build_COVID LOS E = 55s LOS C = 20s 0 10 20 30 40 50 60 France Ave/70th StreetAverage Delay (seconds)2040 Mitigated Build w/ RIRO 2040 Mitigated Build w/out RIRO LOS E = 55s LOS C = 20s 0 5 10 15 20 25 30 35 40 70th St/RAB AccessAverage Delay (seconds)2040 Mitigated w/ RIRO 2040 Mitigated w/out RIRO LOS E = 35s LOS C = 15s • • • • • • 0 1 2 3 4 5 6 7 8 70th St/Future RIRO Access95th Percentile Queues (vehicles)2040 Mitigated w/ RIRO 2040 Mitigated w/out RIRO Queue = 5 𝑁𝑢𝑚𝑎𝑒𝑟 𝑜𝑒 𝑆𝑜𝑎𝑎𝑒𝑟=𝐹𝐹𝐴 (0.0005 × 𝐹𝐹𝐴)+190 • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • • 3KEY NOTE SYMBOLPARTITION TYPE SYMBOLDETAIL NUMBERINGSECTION REFERENCEELEVATION REFERENCETYPEPARTITIONPARTITIONSHEET NO.DETAIL NO.SHEET NO.SHEET NO.DETAIL NO.1A10.1TITLE1/2" = 1'-0"1A3.11A3.1A9.112341A4.3SECTIONPLANEXTERIOR ELEVATIONIDENTIFICATION NUMBER REFERS TO KEY NOTE LIST NOTE: KEY NOTES DIFFER FROM SHEET TO SHEETSCALE OF DETAIL UNLESS TYPICAL AND INDICATED IN TITLE BLOCKSEQUENTIAL NUMBER FOR LARGE DRAWINGSWHICH DESCRIBES THE DETAILSEQUENTIAL NUMBERING OF ELEVATION SHEETMOUNTING HEIGHTS DIAGRAM (ACCESSORIES)C3142XX'-X"T.O. XXXEL = XX'-X"ELEVATION REFSPOT ELEVATION REFXREVISION NUMBERFIRE EXTINGUISHERCABINETFIRE EXTINGUISHER -WALL MOUNTEDMISCELLANEOUS SYMBOLSELEVATION SYMBOLSSignatureTyped or Printed NameLicense #DatePROJECT NUMBERDRAWN BYCHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota10/16/2020 6:55:06 PMT1.1TITLE SHEET220535ESG ESG70th & France70th & FranceEdina, MNPRELIMDEVELOPMENTPLAN SUBMITTAL10/16/2020PROJECT TEAMDRAWING INDEX70th & FranceEdina, MN 55435Site LocationDRAWING INDEXDRAWINGNUMBERDRAWING NAME10/16/2020ARCHITECTURALT1.1 TITLE SHEET●T2.0 UNIT MIX AND SQUARE FOOTAGES●CIVILC100EXISTING CONDITIONS AND REMOVALS PLAN●C101PRELIMINARY PLAT●C200SITE PLAN (EXISTING)●C300GRADING PLAN●C400SANITARY AND WATERMAIN PLAN●C401STORM SEWER PLAN●C500CITY DETAILS●C501DETAILS●LANDSCAPEL1.0LANDSCAPE PLAN●L1.1LANDSCAPE PLANTING PLAN●L1.2STREET INTERSECTION VIGNETTES●L2.0LANDSCAPE DETAILS●ARCHITECTURALA0.1EXISTING SITE IMAGES●A0.2SITE PLAN●A0.40EXTERIOR ELEVATIONS - SITE●A0.41EXTERIOR ELEVATIONS - SITE●ARCHITECTURAL SITE AA0.20-ASITE A FLOOR PLANS●A0.21-ASITE A FLOOR PLANS●A0.30-ASITE A ELEVATIONS●A0.31-ASITE A ELEVATIONS●A0.40-ASITE A EXTERIOR MATERIALS●ARCHITECTURAL SITE BA0.20-BSITE B FLOOR PLANS●A0.21-BSITE B FLOOR PLANS●A0.22-BSITE B FLOOR PLANS●A0.23-BSITE B FLOOR PLANS●A0.30-BSITE B ELEVATIONS●A0.31-BSITE B ELEVATIONS●A0.32-BSITE B ELEVATIONS●A0.33-BSITE B ELEVATIONS●A0.40-BSITE B EXTERIOR MATERIALS●ARCHITECTURAL SITE CA0.20-CSITE C FLOOR PLANS●A0.30-CSITE C ELEVATIONS●A0.40-CSITE C EXTERIOR MATERIALS●ARCHITECTURAL SITE DA0.10-DSITE D SITE PLAN AND FLOOR PLAN●A0.20-DSITE D EXTERIOR ELEVATIONS●A0.30-DSITE D EXTERIOR MATERIALS●OWNER/DEVELOPER:Orion Investments4530 West 77th Street, Suite 365Edina, MN 55435Ph: 612-812-7788ARCHITECT:Elness Swenson Graham Architects, Inc.500 Washington Ave. South, Suite 1080Minneapolis, MN 55415Ph: 612-339-5508Fx: 612-339-5382CONTRACTOR:Mortenson Construction700 Meadow Lane NorthMinneapolis, MN 55422Ph: 763-522-2100CIVIL ENGINEER:Westwood Engineering12701 Whitewater Dr #300 Minnetonka, MN 55343Ph: 952-937-5150LANDSCAPE ARCHITECT:Confluence530 N 3rd Street, Suite 120Minneapolis, MN 55401Ph: 612-333-3702STRUCTURAL ENGINEER:T.B.D.MECHANICAL ENGINEER:T.B.D.PLUMBING ENGINEER:T.B.D.ELECTRICAL ENGINEER:T.B.D.SYMBOLS LEGENDFRANCE AVE70THNo. DescriptionDatePROJECT LOCATIONVicinityPROJECT LOCATION SignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota10/16/2020 5:47:36 PMT2.0UNIT MIX AND SQUAREFOOTAGES220535Author Checker10/12/2070th & France70th & FranceEdina, MNPRELIMDEVELOPMENTPLAN SUBMITTAL10/16/2020No. DescriptionDate AIR CONDITIONERGAS METERFIRST FLOOR ELEVATIONFFEHANDICAP PARKINGASH TREEBIRCH TREEFRUIT TREEASHSANITARY SEWERPOSTSIGNLANDSCAPE LIGHTLIGHT POSTVALVEELECTRICAL BOXSTORM SEWERBRCFRTLCHSPCLOCUST TREECOLORADO SPRUCE TREESPNNORWAY SPRUCE TREEGAS UNDERGROUNDFIBER OPTIC UNDERGROUNDTELEPHONE UNDERGROUNDWATERMAINWOOD FENCEPOWER UNDERGROUNDCABLE TV UNDERGROUNDOAKOAK TREECRABAPPLE TREECRBMULTIMULTIPLE TRUNKELECTRICAL MANHOLETRAFFIC SIGNALTRAFFIC BOXCONCRETE SURFACEBITUMINOUS SURFACECATCH BASINSTORM MANHOLESANITARY MANHOLEHAND HOLECABLE TV BOXTELEPHONE BOXFIRE HYDRANT1. This survey was prepared using First American Title Commitment Number NCS-1026991-MPLS having an effective date of August 11, 2020 at 7:30 a.m.2. The address of the surveyed property is 7001 France Avenue S., Edina, Minnesota. (Table A Item 2)3. Subject property appears to be classified as Zone X when scaled from Flood Insurance Rate Map Community - Panel Number 27163C0340E dated 02/03/2010. (Table A Item 3)4. Subject property contains 260,594 Sq.Ft. or 5.982 acres. (Table A Item 4)5. No Zoning information provided by the title company. (Table A Item 6 (a))6. Subject property contains 199 regular parking stalls, 6 handicapped stalls and 0 motorcycle stalls. (Table A Item 9)7. The underground utilities shown have been located from field survey information and existing drawings. The surveyor makes no guarantees that the underground utilities showncomprise all such utilities in the area, either in service or abandoned. The surveyor further does not warrant that that the underground utilities shown are in the exact location indicatedalthough he does certify that they are located as accurately as possible from information available. The surveyor has not physically located the underground utilities. (State One CallTicket Nos. 202531763 & 202531764). (Table A Item 11)8. As of the date the field work was completed for this survey, there was no observable evidence of current earth moving work, exterior building construction or building additions. (Table AItem 16)9. As of the date of this survey, there are no proposed changes in street right of way lines, based on a conversation with the proper official with the City of Edina. Hennepin County has notresponded at the time of this survey. As of the date the field work was completed for this survey, there was no observable evidence of recent street or sidewalk construction or repairs.(Table A Item 17)10. The surveyor did not locate any wetland delineation markers observed in the process of conducting the fieldwork. No markers were observed. (Table A Item 18)11. Based on the information contained within title commitment listed above and a physical inspection of the subject property, the surveyor is not aware of any off site easements orservitudes other than shown hereon. (Table A Item 19)12. Bearings based on the Hennepin County coordinate system, (NAD 83 - 1986 Adjustment).Lot 1, Block 1, except that part thereof which lies Northwesterly of a line drawn from a point on the North line of Section 32, Township 28, Range 24 distant 110 feet Easterly of theNorthwest corner of said section to a point on the West line thereof distant 110 feet Southerly of said Northwest corner; Lot 2, Block 1, except the Easterly 70 feet thereof; Yorktown,Hennepin County, Minnesota.(Torrens Property: Certificate of Title No. 1077413)GENERAL NOTESLEGAL DESCRIPTIONTo: Mortenson Development, Inc., Orion Investments, US Bank National Association and First AmericanTitle Insurance Company:This is to certify that this map or plat and the survey on which it is based were made in accordance withthe 2016 Minimum Standard Detail Requirements for ALTA/NSPS Land Title Surveys, jointly establishedand adopted by ALTA and NSPS, and includes Items 1, 2, 3, 4, 6(b), 7(a), 7(b)(1), 8, 9, 11, 13, 14, 16-19 ofTable A thereof. The fieldwork was completed on September 16, 2020.Date of Plat or Map: 09/22/2020 Nathan H. CarlsonMinnesota License No. 45873nate.carlson@westwoodps.com SCHEDULE B II TITLE ITEM NOTESSURVEYOR'S CERTIFICATEThe following notes correspond to the numbering system of Schedule B II of the above mentioned title commitment. Items 1-10, 13 & 19-22 are not survey matters.11. Easements for utility and sanitary sewer purposes shown and dedicated in the plat of Yorktown recorded June 8, 1972 as Document No. 1033725, and recited on the certificate of title.Said easement for utility and sanitary sewer purposes affects the subject property and is depicted hereon.12. Easement for telecommunications purposes, together with any incidental rights, in favor of Northwestern Bell Telephone Company, an Iowa corporation, as granted and described in theEasement dated November 10, 1970, recorded November 19, 1970 as Document No. 983149. Said easement for telecommunications purposes affects the subject property and isdepicted hereon.14. Easement for scenic and open space purposes, together with any incidental rights, in favor of the Village (now City) of Edina, Minnesota, as granted and described in the Grant ofEasement dated May 3, 1972, recorded June 8, 1972 as Document No. 1033728. Said easement for scenic and open space purposes affects the subject property and is depictedhereon.15. Public right of way for France Avenue South (also known as County Road No. 17) as currently established and maintained, including but not limited to the following:(a) Easement for Public Road Purposes dated July 5, 1972, recorded July 6, 1972 as Document No. 1036934; and(b) Permanent easement for highway purposes as described in the Final Certificate dated July 19, 1991, recorded July 22, 1991 as Document No. 2189613.Said easement for public right of way purposes affects the subject property and is depicted hereon.16. Public right of way for 70th Street West as currently established and maintained, including but not limited to the following:(a) Street right of way dedicated in the plat of Yorktown recorded June 8, 1972 as Document No. 1033725;(b) Permanent easement for highway purposes as described in the Final Certificate dated July 19, 1991, recorded July 22, 1991 as Document No. 2189613; and(c) Grant of Permanent Easement dated April 19, 2011, recorded May 26, 2011 as Document No. T4859947.Said easement for public right of way purposes affects the subject property and is depicted hereon.17. Easement for public sidewalk and utility purposes, together with any incidental rights, in favor of the City of Edina, Minnesota, as granted and described in the Grant of Permanent andTemporary Easements dated March 30, 2013, recorded April 15, 2013 as Document No. T05067233, and as affected by the Amendment to Grant of Permanent and TemporaryEasements dated October 17, 2013, recorded November 13, 2013 as Document No. T05132844. Said easement for public sidewalk and utility purposes affects the subjectproperty and is depicted hereon. Temporary easements have expired.18. The following recital will remain on the certificate of title, and all subsequent certificates of title issued for this land, until an Examiner’s Directive is obtained and recorded authorizingthe Registrar of Titles to remove the recital:“Subject to the transmission line easement and incidental rights connected therewith of Northern States Power Company, a Minnesota corporation, as contained in the Stipulation filedin Torrens Case No. 11922; now over the North 25 feet of West 70th Street as dedicated in the plat of Yorktown adjoining the above land.” Said easement for transmission linepurposes does not affect the subject property and is not depicted hereon.Phone(952) 937-515012701 Whitewater Drive, Suite #300Fax(952) 937-5822 Minnetonka, MN 55343Toll Free(888) 937-5150SEE SHEET 2 OF 2 FOR EASEMENT DETAIL FFEASHBRCFRTLCHSPCSPNOAKCRBMULTIBITUMINOUS SURFACECONCRETE SURFACEMULTIPLE TRUNKCRABAPPLE TREEOAK TREECABLE TV UNDERGROUNDPOWER UNDERGROUNDWOOD FENCEWATERMAINTELEPHONE UNDERGROUNDFIBER OPTIC UNDERGROUNDGAS UNDERGROUNDNORWAY SPRUCE TREECOLORADO SPRUCE TREELOCUST TREESTORM SEWERSANITARY SEWERFRUIT TREEBIRCH TREEASH TREEFIRE HYDRANTTELEPHONE BOXCABLE TV BOXHAND HOLESANITARY MANHOLESTORM MANHOLECATCH BASINTRAFFIC BOXTRAFFIC SIGNALELECTRICAL MANHOLEELECTRICAL BOXVALVELIGHT POSTLANDSCAPE LIGHTSIGNPOSTHANDICAP PARKINGFIRST FLOOR ELEVATIONGAS METERAIR CONDITIONEREASEMENT DETAILPhone(952) 937-515012701 Whitewater Drive, Suite #300Fax(952) 937-5822 Minnetonka, MN 55343Toll Free(888) 937-5150 GASGASGASGASGASGASGASGASGAS GAS GAS PUG PUG PUGPUG PUG PUG PUG PUG PUGFOFOFOFOFOFOFOFOFOFOFOFO FO FO FOFOFO FO FOPUGPUGPUGPUGW A T W A T WAT PUG PUG PUG PUG PUG PUG PUG PUGPUGPUGPUGPUGGAS GAS GASGASGASCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOTUG TUGPUGPUG P U GPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUGPUGPUGPUGPUGPUGCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXGAS GAS GAS FO FOFOFOFOFOFOFOFOFOFOFO PUGPUGPUGXXX PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGCANOPYFFE=872.10FFE=860.05FFE=870.03CANOPYLANDSCAPEEDGE STEPS W/HANDRAILMONUMENTSIGNFFE=860.44BRICKRETAINING WALL CONCRETE RETAINING WALLSTONERETAININGWALL72.711.3 12.022.0 6.140.0 6.097.7 6.33.0 100.13.5 16.23.5 5.925.3 2.116.0 22.424.0 22.432.0 2.013.7131.63.116.35.372.065.844.326.366.656.227.34.68.611.38.68.34.527.2 8.3 EXISTING BRICKBUILDING7001 France Avenue,Edina, MinnesotaBuilding Footprint=24,682 Sq. Ft.STORM GRATEWOOD STEPSFND.TPOSTBLDG. HT.=29.4 FT.TRASHENCLOSURESTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STO STOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STOSTOSTOSTOSTOSTOSTO STOSAN STOSTOSTOSTOSTOSANSANSANSANSANSANSANSANSANSTOSANSANSANSANSAN EXISTING BUILDINGTRASHENCLOSURE STOSANSTO STO WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATISLANDSPED RAMPPEDRAMPPED RAMPBENCHBITUMINOUS SURFACE 70.00WEST 70TH STREETFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 110N. LINE OF SEC. 32, TWP. 28, RGE. 24NW CORNER OF SEC. 32,TWP. 28, RGE. 24110W. LINE OF SEC. 32, TWP. 28, RGE. 24 70.008882010 2010 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)152020.0015SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)11 SPACES 2 HANDICAPSPACES 10 SPACES 23 SPACES 23 SPACES 21 SPACES 22 SPACES 16 SPACES 18 SPACES 9 SPACES 4 HANDICAPSPACES 2SPACES 5SPACES 12 SPACES 12 SPACES 15 SPACESBACK OF CURB IS 0.4 S.OF PROPERTY LINEBACK OF CURB IS0.1 S. AND 0.7 E.OF PROPERTY LINEBACK OF CURB IS 0.8 E. OFPROPERTY LINE BACK OF CURB ONPROPERTY LINE 100.9583.42 BACK OF CURB IS 2.9SE OF PROPERTY LINEBACK OF CURB 0.2 E. OFPROPERTY LINE N89°50'44"E 505.00S00°11'54"E 496.57S89°48'06"W 524.96N00°12'08"W 476.97 28.27N44°49'18"E EEEEEEEEEEEACACMGGGGTSTSTSTSTSTSTSTSTSTSTSTSTSTTVTVHHTTVAULT-SUMP PUMPLIFT STATION(LOCKED)TTRIM=857.7INV(NE)=856.6INV(S)=856.5STOSTOSTOSTORIM=871.0FULL OF DEBRISRIM=870.6INV(E)=866.4INV(NE)-866.3RIM=871.6INV(E)=865.1INV(W)=864.9INV(S)=866.1RIM=869.1INV(E)=864.5RIM=868.3INV(N/E)=864.3INV(W)=863.6RIM=866.7INV(N)=862.7INV(S)=863.0INV(E/W)=862.6RIM=866.5INV(N)=862.6INV(E)=862.5INV(W)=861.7RIM=871.5INV(E)=867.215" RCPRIM=867.5INV=863.2RIM=857.1INV=856.6RIM=857.2INV=856.7RIM=868.4INV=857.9RIM = 862.97IE = 855.15 (CITY AS-BUILT)RIM=859.4INV=856.7SGREY WATERRIM=864.3INV=857.8RIM=860.0INV=858.1RIM=866.8INV(E)=859.4INV(W)=859.1RIM=862.9INV=860.112" RCPRIM=862.8INV(NE)=859.0INV(E/S)=857.5RIM=862.8INV(N)=857.2INV(E)=859.2INV(SE)=857.5INV(SW)=856.3RIM=866.3INV=859.6RIM=865.4INV=860.1RIM=865.9INV=860.5RIM=864.9INV=860.3RIM=866.2INV=863.3RIM=869.5FULL OFWATERRIM=871.1INV=868.015" CLAYRIM=863.4FULL OF ICE& DEBRISRIM=863.1INV(NE)=859.6INV(W)=859.1RIM=861.2INV=858.112" RCPRIM=861.8INV(E)=857.7INV(W)=858.2INV(S)=857.6RIM=862.1INV=857.912" RCPRIM=871.2INV=865.4RIM=871.1INV(N)=864.2INV(SW)=864.1RIM=871.3INV=861.6RIM=870.6INV=860.3RIM=862.5INV(N)=852.8INV(S)=852.6RIM=868.6INV(N)=858.4INV(W)=858.2SSANS15" RCP21" RCPS15" RCP 12" RCP21" RCP12" RCP21" RCP9" CLAY @ 0.8%24" RCP24" RCP24" RCP12" RCP15" CONC15" RCP12" RCP 15" RCP8"PVC 8" CLAY8" CAST IRON12" CLAY 8" CLAY10" CLAY 8" CLAY10" CLAY12"RCP ST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" SPNDEAD16" LCH14" SPN12" SPN18" SPN14" LCH18" SPN14" ASH14" SPN2" ASH16" SPN14" SPN14" SPN10" ASH10" ASH8" ASH14" ASH14" ASH20" ASH13" ASH17" ASH10" ASH13" ASH15" LCH12" ASH9" ASH12" ASH10" ASH15" ASH12" ASH 10" ASH15" ASH8" ASH8" ASH12" ASH15" ASH12" ASH7" ASH8" ASH12" ASH 6" ASH14" ASH4" SPC4" SPC5" SPC5" SPCMULTI-BIRCHMULTI-BIRCHMULTI-BIRCHMULTI-BIRCHMULTI-CRB MULTI-CRB27" ASH2" OAK 15" LCH14" SPN10" SPN12" SPN10" SPN18" SPN16" SPN16" SPN12" LCH14" LCH14" LCH16" LCH20" LCH18" FRT4" ASH4" ASH4" ASH12" ASH 12" ASH 12" ASH 12" ASH GW: 853.0GW: 853.5GW: 858.0GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \\\\\ \\\\\\\\\************************XXXXXX\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \ \\\\ \ \ \ \ \ \ \ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\XXXXXXXXXXXXXXXXXXXXXXX\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\X\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \ \\\ \ \\\\\\\\\\\\ \ \ \ \ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \ \ \ \ \ \ \ \ \ \ \ \ \ \\\\\\\\ \ \ \ \ \ \ \\\\\ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \\\ \\ \\ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\222222222\\\\\\\\\\\\233144444444455666666666666666778444SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY MEOR UNDER MY DIRECT SUPERVISION AND THAT I AM ADULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWSOF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE:REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10RM01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTEXISTING CONDITIONSAND REMOVALS PLAN 70TH AND FRANCE REDEVELOPMENTC100 .10/16/20DAVID T. BADE . . . 10/16/20 4530 WEST 77TH STREET SUITE #365EDINA, MN 55435 ORION/MORTENSON © 2020 Westwood Professional Services, Inc.Common Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## . . . . . . . . . .PROJECT NUMBER: 0029211.10PROPERTY LINE\\\\\\CURB & GUTTERSAW CUT PAVEMENTSANSANITARY SEWERWATWATER MAINSTOSTORM SEWERCONCRETEBITUMINOUSBUILDINGTREELIGHT POLETRAFFIC SIGNEXISTINGPROPOSEDSANWATSTOCONSTRUCTION BARRICADEWATHYDRANTWATGASGASGASPUGUNDERGROUND ELECTRICPUGTUGUNDERGROUND TELEPHONETUGPOHOVERHEAD ELECTRICPOHTOHOVERHEAD TELEPHONETOHFOTELEPHONE FIBER OPTICFOCTVCABLE TELEVISIONCTVRETAINING WALLFENCEXSOIL BORING LOCATIONSB-19TREE LINEXEXISTINGREMOVALS\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\REMOVAL LEGEND1. LOCATIONS AND ELEVATIONS OF EXISTING TOPOGRAPHY AND UTILITIES AS SHOWN ON THISPLAN ARE APPROXIMATE. CONTRACTOR SHALL FIELD VERIFY SITE CONDITIONS AND UTILITYLOCATIONS PRIOR TO EXCAVATION/CONSTRUCTION. THE ENGINEER SHALL BE NOTIFIEDIMMEDIATELY IF ANY DISCREPANCIES ARE FOUND.2. CONTRACTOR SHALL COORDINATE LIMITS OF REMOVALS WITH PROPOSED IMPROVEMENTSAND FIELD VERIFY CONDITION OF EXISTING APPURTENANCES TO REMAIN. CONTRACTORSHALL BE RESPONSIBLE FOR PROTECTING OR REPLACING MISCELLANEOUS ITEMS (SUCH ASFENCES, SIGNS, IRRIGATION HEADS, ETC.) THAT MAY BE DAMAGED BY CONSTRUCTION.3. CONTRACTOR SHALL PLACE ALL NECESSARY EROSION CONTROL MEASURES REQUIRED TOMAINTAIN SITE STABILITY PRIOR TO EXECUTING ANY SITE REMOVALS.4. CONTRACTOR SHALL BE RESPONSIBLE FOR COORDINATION WITH UTILITY PROVIDERS FORREMOVAL AND/OR RELOCATION OF EXISTING UTILITIES AFFECTED BY SITE DEVELOPMENT. ALLPERMITS, APPLICATIONS AND FEES ARE THE RESPONSIBILITY OF THE CONTRACTOR.REMOVAL NOTESSSX*XXXNOT FOR CONSTRUCTION0'30'60'90'1" = 30'1. SAW CUT LINE2. REMOVE BITUMINOUS3. EXISTING BITUMINOUS TO REMAIN4. REMOVE CONCRETE5. REMOVE EXISTING BUILDING6. REMOVE CURB7. REMOVE RETAINING WALL8. REMOVE MONUMENT SIGNREMOVAL KEYNOTES1TREES TO BE REMOVED: 72TREES TO REMAIN: 4TOTAL TREES: 76TREE REMOVAL QUANTITIES XXXXXX WEST 70TH STREETFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 XXXWEST 70TH STREETFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 XXXXLOT 1LOT 2LOT 3LOT 48882010 2010UTILITY EASEMENT PERTHE PLAT OF YORKTOWNDOC. NO. 103372522822TELECOMMUNICATIONSEASEMENT PER DOC.NO. 983149SANITARY SEWER EASEMENTPER DOC. NO. 1033725 152020 15SCENIC AND OPEN SPACEEASEMENT IN FAVOR OFEDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728SCENIC AND OPEN SPACE EASEMENTIN FAVOR OF EDINA VILLAGE (NOWCITY) PER DOC. NO. 103372810 10PUBLIC ROAD EASEMENTIN PER DOC. NO.1036934 HIGHWAY EASEMENT PER DOC. NO. 2189613 HIGHWAY EASEMENT PER DOC. NO. 2189613PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844 SIDEWALK & UTILITYEASEMENT PER DOC.NOS. T05067233 &T05132844TELECOMMUNICATIONSEASEMENT PER DOC.NO. 983149N00°00'00"E 333.75 N00°00'00"E 162.98 N90°00'00"E 524.98274.92250.06264.54260.44250.62274.34245.71259.28163.93 313.04 334.45162.12 PROPOSED UTILITY EASEMENT(BY SEPARATE INSTRUMENT)PROPOSED UTILITY EASEMENT(BY SEPARATE INSTRUMENT)PROPOSED UTILITY EASEMENT(BY SEPARATE INSTRUMENT)PROPOSED ROAD EASEMENT(BY SEPARATE INSTRUMENT)303028.5 208.5 161628.5 208.5S89°48'06"W 524.96N00°12'08"W 476.97 28.27N44°49'18"E N89°50'44"E 505.00S00°11'54"E 496.57 SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY MEOR UNDER MY DIRECT SUPERVISION AND THAT I AM ADULY LICENSED LAND SURVEYOR UNDER THE LAWS OF THESTATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE:REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10PP01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTPRELIMINARY PLAT 70TH AND FRANCE REDEVELOPMENTC101 4587310/16/20Nathan H. Carlson . NHC BJY 10/16/20 4530 WEST 77TH STREET SUITE #365EDINA, MN 55435 ORION/MORTENSONNOT FOR CONSTRUCTION© 2020 Westwood Professional Services, Inc.Common Ground AllianceCall 48 Hours before digging:811 or call811.com0'30'60'90'1" = 30'30' 6' or 3' . . . . . . . . . .PROJECT NUMBER: 0029211.10LOT 12.02 AC.LOT AREA(ACRE)LEGALDESCRIPTIONOFFICE/GROCERYPROPOSED USELOT 21.99 AC.MULTI-FAMILY RESIDENTIALLOT 30.93 AC.SENIOR HOUSINGLOT 41.03 AC.BANKSITE DATA CHARTOrion/Mortenson4530 West 77th St., Ste. 365Edina, MN 55435OWNER / SUBDIVIDERENGINEERWESTWOOD PROFESSIONAL SERVICES12701 WHITEWATER DRIVE, SUITE 300,MINNETONKA, MINNESOTA 55343Phone: 952-937-5150ZONINGEXISTING: PCD-3 - PLANNED COMMERCIALPROPOSED: PUD - PLANNED UNIT DEVELOPMENTTOTAL5.97 AC. XXXFND.TPOSTWEST 70TH STREETFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 8882010 2010 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)152020.0015SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)ST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASH10" ASH15" LCH12" ASH GW: 853.0GW: 853.5GW: 858.0GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDCOMMERCIAL/GROCERY/RETAIL SPACEFOOTPRINT = 51,600 SFFFE = 868.00MULTI-FAMILY HOUSINGFOOTPRINT = 44,300 SFFFE = 870.75SENIOR HOUSINGFOOTPRINT = 21,050 SFFFE = 866.255,642 SFELEVATORLOBBYOFFICE LOBBY3,473 SFCOFFEE RETAIL1,341 SFXXXXBANK DEVELOPMENTLOT 1LOT 2LOT 3LOT 410'8.5' (TYP.)24'24'24'24'8.5' (TYP.)25.5'26'8.5'13.33'8.5'13.33'9'8.5'R10'R10'R15'R15'R45'R10'R30'R20'24'R200'R224'R146'R123'R40'R15'R15'24'26'8.5'13.33'8.5'13.33'26'8.5'13.33'8.5'13.33'24'22'24'R100'44.72'38.5'174.5'69.7'34.8'29.5'50.0'13.0'34.8'13.9'34.8'12.8'14.4'42.5'AAAABBBCA60'25.5'A1A1A1A1A1A1A1A1A1A1A1A1A1A222555556D1B51B7777888888888888888889A9A9A9A9A11111111111111511111111131313134348488A8A8A9A8A8A8AEBB2121212121219'13'10.9'12.5'12.0'8.7'10.0'8.0'S.1S.4S.1S.4S.1S.1S.4S.2S.1S.4S.4S.4S.1S.4S.2S.3S.4S.1S.4S.4S.1S.4S.1S.3S.3SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY MEOR UNDER MY DIRECT SUPERVISION AND THAT I AM ADULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWSOF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE:REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10SP01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTSITE PLAN 70TH AND FRANCE REDEVELOPMENTC200 .10/16/20DAVID T. BADE . . . 10/16/20 4530 WEST 77TH STREET SUITE #365EDINA, MN 55435 ORION/MORTENSONNOT FOR CONSTRUCTION© 2020 Westwood Professional Services, Inc.Common Ground AllianceCall 48 Hours before digging:811 or call811.com0'30'60'90'1" = 30'30' 6' or 3' . . . . . . . . . .PROJECT NUMBER: 0029211.10S.1S.10S.2S.3REFERENCESTOP SIGNS.4NO TRUCKSRIGHT LANE MUST TURN RIGHTPEDESTRIAN CROSSING1A B612 CURB AND GUTTER1B B618 CURB AND GUTTER2 SURMOUNTABLE CURB AND GUTTER5 VALLEY GUTTER6 CONCRETE CROSS GUTTER7 ENTRANCE THRU CURB AND GUTTER8 PRIVATE CONCRETE SIDEWALK8A PUBLIC CONCRETE SIDEWALK9 PRIVATE PEDESTRIAN CURB RAMP9A PUBLIC PEDESTRIAN CURB RAMP11 CROSS WALK STRIPING13 TRAFFIC ARROW14 SIGN INSTALLATION19 PAVEMENT SECTIONS21 HEAVY DUTY CONCRETE SECTION22 SAW CUT CONTROL JOINT24 CONCRETE CURB AT SIDEWALK31 TRANSITION CURB (B612)43 RETAINING WALL WITH FENCE USING SLEEVE-IT SYSTEM45 B612 AND SURMOUNTABLE CURB TRANSITION48 CONCRETE STAIR AND RAILING DETAIL1·EXISTING ZONING:PDC-3, PLANNED COMMERCIAL·PROPOSED ZONING:PUD - PLANNED UNIT DEVELOPMENT·PARCEL DESCRIPTION:LOT 1, BLOCK 1, YORKTOWN, HENNEPINCOUNTY, MINNESOTA·PROPERTY AREA:260,594 SF (5.98 AC)·PERVIOUS SURFACE:71,861 SF (27.6%)·IMPERVIOUS SURFACE(RATIO):188,733 SF (72.4%)·FLOOR-AREA-RATIO(FAR):SEE ARCH PLANS·BUILDING SETBACK PER CODE:XX'=FRONTXX'=SIDE / XX'=SIDE TO ROWXX'=REARLOT 1BLDG FOOTPRINTAREA(SF)LOT AREA(ACRE)LEGALDESCRIPTION51,600PROPOSED USELOT 2LOT 3LOT 4TOTAL5.98 AC.123,050-44,30021,0506,100SIGN LEGENDSITE DETAILS (SI-0XX)SITE DEVELOPMENT SUMMARYSITE DATA CHART1. BACKGROUND INFORMATION FOR THIS PROJECT PROVIDED BY WESTWOOD PROFESSIONALSERVICES, MINNETONKA, MN, 2020.2. LOCATIONS AND ELEVATIONS OF EXISTING TOPOGRAPHY AND UTILITIES AS SHOWN ON THISPLAN ARE APPROXIMATE. CONTRACTOR SHALL FIELD VERIFY SITE CONDITIONS AND UTILITYLOCATIONS PRIOR TO EXCAVATION/CONSTRUCTION. IF ANY DISCREPANCIES ARE FOUND, THEENGINEER SHOULD BE NOTIFIED IMMEDIATELY.3. REFER TO BOUNDARY SURVEY FOR LOT BEARINGS, DIMENSIONS AND AREAS.4. ALL DIMENSIONS ARE TO FACE OF CURB OR EXTERIOR FACE OF BUILDING UNLESS OTHERWISENOTED.5. REFER TO ARCHITECTURAL PLANS FOR EXACT BUILDING DIMENSIONS AND LOCATIONS OFEXITS, RAMPS, AND TRUCK DOCKS.6. ALL CURB RADII ARE SHALL BE 5.0 FEET (TO FACE OF CURB) UNLESS OTHERWISE NOTED.7. ALL CURB AND GUTTER SHALL BE B612 UNLESS OTHERWISE NOTED.8. THE CONTRACTOR SHALL BE RESPONSIBLE FOR PROVIDING AND MAINTAINING TRAFFICCONTROL DEVICES SUCH AS BARRICADES, WARNING SIGNS, DIRECTIONAL SIGNS, FLAGGERSAND LIGHTS TO CONTROL THE MOVEMENT OF TRAFFIC WHERE NECESSARY. PLACEMENT OFTHESE DEVICES SHALL BE APPROVED BY THE CITY AND ENGINEER PRIOR TO PLACEMENT.TRAFFIC CONTROL DEVICES SHALL CONFORM TO APPROPRIATE MNDOT STANDARDS.9. BITUMINOUS PAVEMENT AND CONCRETE SECTIONS TO BE IN ACCORDANCE WITH THERECOMMENDATIONS OF THE GEOTECHNICAL ENGINEER.10. CONTRACTOR SHALL MAINTAIN FULL ACCESS TO ADJACENT PROPERTIES DURINGCONSTRUCTION AND TAKE ALL PRECAUTIONS NECESSARY TO AVOID PROPERTY DAMAGE TOADJACENT PROPERTIES.11. SITE LIGHTING SHOWN ON PLAN IS FOR REFERENCE ONLY. REFER TO LIGHTING PLAN PREPAREDBY OTHERS FOR SITE LIGHTING DETAILS AND PHOTOMETRICS.GENERAL SITE NOTESPROPERTY LINESETBACK LINEEASEMENT LINECURB AND GUTTERLOT LINEPOND NORMAL WATER LEVELRETAINING WALLCONCRETE PAVEMENTNUMBER OF PARKING STALLSTRANSFORMERSITE LIGHTINGEXISTINGPROPOSEDFENCEXXHEAVY DUTY BITUMINOUS PAVEMENTNORMAL DUTY BITUMINOUS PAVEMENTTRAFFIC SIGNPOWER POLEBOLLARD / POSTCONCRETE SIDEWALKTIP-OUT CURB AND GUTTERSITE LEGEND5T 2.02 AC.OFFICE/GROCERY1.99 AC.MULTI-FAMILY RESIDENTIAL0.93 AC.SENIOR HOUSING1.03 AC.BANKA. PLANTER CURB (TYP.)B. CONCRETE PAVERS (TYP.)C. GENERATORD. EXISTING SURMOUNTABLE CURB IN ROUNDABOUTE. BIKE LANE EXIT RAMP ONTO SHARED SIDEWALKSITE KEYNOTESX GASGASGASGASGASGASGASGASGAS GAS GAS PUG PUG PUGPUG PUG PUG PUG PUG PUGFOFOFOFOFOFOFOFOFOFOFOFO FO FO FOFOFO FO FOPUGPUGPUGPUG WAT PUG PUG PUG PUG PUG PUG PUGPUGPUGPUGPUG PUGGAS GAS CTVCTV CTVCTVCTVCTVCTVCTVFO FO FO FOFOFOFOFOFOFOFO FO FO FO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOTUGPUGPUG P U GPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUGPUGPUGPUGPUGPUGCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXFO FOFOFOFOFOFOFOFOFOFOPUGPUGPUGFND.TPOSTSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTO STOSTOSTOSTOSTOSTOSTOSANSANSANSANSANSTOSANSTOSTO WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWEST 70TH STREETFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 8882010 2010 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)152020.0015SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)EEEEEEEEEEMGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTOSTOSTOSTORIM=871.0FULL OF DEBRISRIM=870.6INV(E)=866.4INV(NE)-866.3RIM=871.6INV(E)=865.1INV(W)=864.9INV(S)=866.1RIM=869.1INV(E)=864.5RIM=868.3INV(N/E)=864.3INV(W)=863.6RIM=866.7INV(N)=862.7INV(S)=863.0INV(E/W)=862.6RIM=866.5INV(N)=862.6INV(E)=862.5INV(W)=861.7RIM=871.5INV(E)=867.215" RCPRIM=867.5INV=863.2RIM = 862.97IE = 855.15 (CITY AS-BUILT)RIM=866.8INV(E)=859.4INV(W)=859.1RIM=862.8INV(N)=857.2INV(E)=859.2INV(SE)=857.5INV(SW)=856.3RIM=866.2INV=863.3RIM=869.5FULL OFWATERRIM=871.1INV=868.0RIM=863.4FULL OF ICE& DEBRISRIM=863.1INV(NE)=859.6INV(W)=859.1RIM=861.2INV=858.112" RCPRIM=861.8INV(E)=857.7INV(W)=858.2INV(S)=857.6RIM=862.1INV=857.912" RCPRIM=862.5INV(N)=852.8INV(S)=852.615" RCP21" RCPS12" RCP21" RCP12" RCP21" RCP9" CLAY @ 0.8%24" RCP24" RCP24" RCP12" RCP 8"PVC 12"RCP ST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASH10" ASH15" LCH12" ASH GW: 853.0GW: 853.5GW: 858.0GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDCOMMERCIAL/GROCERY/RETAIL SPACEFOOTPRINT = 51,600 SFFFE = 868.00MULTI-FAMILY HOUSINGFOOTPRINT = 44,300 SFFFE = 870.75SENIOR HOUSINGFOOTPRINT = 21,050 SFFFE = 866.25XXXX865862863864 866860865859861862863864866867868 869 867868869860865858859859859861862863864865865864864866866867867868868 87 0 8758 6 7 868 86 9 87 1 87 2 87 3 87487087586987187287387 4 870867 868 8698718728738708678688698718 7 0 871 87 086986886 7 867 8688658 6 9 8698 7 1 865 8 6 7 8658688 6 7 866866867869868867 86786886 9 868 869870864864864 871.83869868868869868.00867.50866.75866.50867.25867.50868.75870.75870.75870.50870.00868.00869.80869.30869.30869.30864.50864.00864.00864.00866.25867.60866.90866.25866.75865863864 86786 6 865864 863866 868.00868.00868.00868.00865866866865 SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY MEOR UNDER MY DIRECT SUPERVISION AND THAT I AM ADULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWSOF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE:REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10GD01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTGRADING PLAN 70TH AND FRANCE REDEVELOPMENTC300 .10/16/20DAVID T. BADE . . . 10/16/20 4530 WEST 77TH STREET SUITE #365EDINA, MN 55435 ORION/MORTENSON © 2020 Westwood Professional Services, Inc.Common Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## . . . . . . . . . .PROJECT NUMBER: 0029211.10PROPERTY LINE982980POND NORMAL WATER LEVELRIDGE LINETOP AND BOTTOM OF RETAINING WALLEMERGENCY OVERFLOWSB-19SOIL BORING LOCATIONSTOSTORM SEWERDRAIN TILEWATER MAINSANITARY SEWEREXISTINGPROPOSEDINDEX CONTOURINTERVAL CONTOUR982980WATSANSPOT ELEVATIONFLOW DIRECTIONSB-19RETAINING WALLGRADING LIMITSGLCURB AND GUTTERFLARED END SECTION (WITH RIPRAP)GRADING LEGEND1. LOCATIONS AND ELEVATIONS OF EXISTING TOPOGRAPHY AND UTILITIES AS SHOWN ON THISPLAN ARE APPROXIMATE. CONTRACTOR SHALL FIELD VERIFY SITE CONDITIONS AND UTILITYLOCATIONS PRIOR TO EXCAVATION/CONSTRUCTION. THE ENGINEER SHALL BE NOTIFIEDIMMEDIATELY IF ANY DISCREPANCIES ARE FOUND.2. CONTRACTORS SHALL REFER TO ARCHITECTURAL PLANS FOR EXACT LOCATIONS ANDDIMENSIONS OF VESTIBULE, SLOPED PAVEMENT, EXIT PORCHES, RAMPS, TRUCK DOCKS, PRECISEBUILDING DIMENSIONS, EXACT BUILDING UTILITY ENTRANCE LOCATIONS, AND EXACTLOCATIONS AND NUMBER OF DOWNSPOUTS.3. ALL EXCAVATION SHALL BE IN ACCORDANCE WITH THE CURRENT EDITION OF "STANDARDSPECIFICATIONS FOR TRENCH EXCAVATION AND BACKFILL/SURFACE RESTORATION" ASPREPARED BY THE CITY ENGINEERS ASSOCIATION OF MINNESOTA.4. ALL DISTURBED UNPAVED AREAS ARE TO RECEIVE FOUR INCHES OF TOPSOIL AND SOD OR SEED.THESE AREAS SHALL BE WATERED UNTIL A HEALTHY STAND OF GRASS IS OBTAINED. SEELANDSCAPE PLAN FOR PLANTING AND TURF ESTABLISHMENT.5. THE CONTRACTOR SHALL BE RESPONSIBLE FOR PROVIDING AND MAINTAINING TRAFFICCONTROL DEVICES SUCH AS BARRICADES, WARNING SIGNS, DIRECTIONAL SIGNS, FLAGMENAND LIGHTS TO CONTROL THE MOVEMENT OF TRAFFIC WHERE NECESSARY. PLACEMENT OFTHESE DEVICES SHALL BE APPROVED BY THE ENGINEER PRIOR TO PLACEMENT. TRAFFICCONTROL DEVICES SHALL CONFORM TO APPROPRIATE MNDOT STANDARDS.6. ALL SLOPES SHALL BE GRADED TO 3:1 OR FLATTER, UNLESS OTHERWISE INDICATED ON THISSHEET.7. CONTRACTOR SHALL UNIFORMLY GRADE AREAS WITHIN LIMITS OF GRADING AND PROVIDE ASMOOTH FINISHED SURFACE WITH UNIFORM SLOPES BETWEEN POINTS WHERE ELEVATIONSARE SHOWN OR BETWEEN SUCH POINTS AND EXISTING GRADES.8. SPOT ELEVATIONS SHOWN INDICATE FINISHED PAVEMENT ELEVATIONS & GUTTER FLOWLINE UNLESS OTHERWISE NOTED. PROPOSED CONTOURS ARE TO FINISHED SURFACEGRADE.9. SEE SOILS REPORT FOR PAVEMENT THICKNESSES AND HOLD DOWNS.10. CONTRACTOR SHALL DISPOSE OF ANY EXCESS SOIL MATERIAL THAT EXISTS AFTER THE SITEGRADING AND UTILITY CONSTRUCTION IS COMPLETED. THE CONTRACTOR SHALL DISPOSE OFALL EXCESS SOIL MATERIAL IN A MANNER ACCEPTABLE TO THE OWNER AND THE REGULATINGAGENCIES.11. CONTRACTOR SHALL PROVIDE A STRUCTURAL RETAINING WALL DESIGN CERTIFIED BY ALICENSED PROFESSIONAL ENGINEER.12. ALL CONSTRUCTION SHALL CONFORM TO LOCAL, STATE AND FEDERAL RULES INCLUDING THENATIONAL POLLUTANT DISCHARGE ELIMINATION SYSTEM (NPDES) PERMIT REQUIREMENTS.13. PRIOR TO PLACEMENT OF ANY STRUCTURE OR PAVEMENT, A PROOF ROLL, AT MINIMUM, WILLBE REQUIRED ON THE SUBGRADE. PROOF ROLLING SHALL BE ACCOMPLISHED BY MAKINGMINIMUM OF 2 COMPLETE PASSES WITH FULLY-LOADED TANDEM-AXLE DUMP TRUCK, ORAPPROVED EQUAL, IN EACH OF 2 PERPENDICULAR DIRECTIONS WHILE UNDER SUPERVISIONAND DIRECTION OF THE INDEPENDENT TESTING LABORATORY. AREAS OF FAILURE SHALL BEEXCAVATED AND RE-COMPACTED AS SPECIFIED HEREIN.14. EMBANKMENT MATERIAL PLACED BENEATH BUILDINGS AND STREET OR PARKING AREAS SHALLBE COMPACTED IN ACCORDANCE WITH THE SPECIFIED DENSITY METHOD AS OUTLINED INMNDOT 2105.3F1 AND THE REQUIREMENTS OF THE GEOTECHNICAL ENGINEER.15. EMBANKMENT MATERIAL NOT PLACED IN THE BUILDING PAD, STREETS OR PARKING AREA,SHALL BE COMPACTED IN ACCORDANCE WITH REQUIREMENTS OF THE ORDINARYCOMPACTION METHOD AS OUTLINED IN MNDOT 2105.3F2.16. ALL SOILS AND MATERIALS TESTING SHALL BE COMPLETED BY AN INDEPENDENTGEOTECHNICAL ENGINEER. EXCAVATION FOR THE PURPOSE OF REMOVING UNSTABLE ORUNSUITABLE SOILS SHALL BE COMPLETED AS REQUIRED BY THE GEOTECHNICAL ENGINEER. THECONTRACTOR SHALL BE RESPONSIBLE FOR COORDINATING ALL REQUIRED SOILS TESTS ANDINSPECTIONS WITH THE GEOTECHNICAL ENGINEER.1. BASIN EXCAVATION AND PIPE INSTALLATION MAY TAKE PLACE BEFORE CURB INSTALLATION.ALL OTHER BASIN CONSTRUCTION MUST WAIT UNTIL FINAL SITE LANDSCAPING. REMOVESEDIMENT FROM EXCAVATED BASIN PRIOR TO PLACEMENT OF FILTER MEDIA. PLACE SANDBAGS OR SIMILAR ITEM IN CURB CUTS TO PRE-FILTER STORM WATER UNTIL PLANTS AREESTABLISHED IN BASINS. MAINTAIN INLET PROTECTION ON DOWN STREAM INLETS UNTILBASINS ARE ON-LINE.2. BASIN EXCAVATION SHALL BE WITH TOOTHED-BUCKETS TO SCARIFY THE BOTTOM.3. PLACE SILT FENCE AROUND BASINS AS SHOWN IMMEDIATELY AFTER BASIN CONSTRUCTION.4. BASINS MUST BE TESTED FOR INFILTRATION RATE AFTER TOTAL SITE STABILIZATION. A DUALRING INFILTROMETER SHALL BE USED FOR TESTING. MINIMUM INFILTRATION RATE IS 1-INCHPER HOUR. IF BASIN DOES NOT MEET INFILTRATION RATE, CONTRACTOR MUST TAKECORRECTIVE ACTION UNTIL MINIMUM INFILTRATION RATE IS MET. CORRECTIVE ACTION MAYINCLUDE REMOVING PLUG IN DRAIN TILE. ALL TESTING AND CORRECTIVE ACTION SHALL BETHE RESPONSIBILITY OF THE CONTRACTOR, AND SHALL BE INCIDENTAL TO THE CONTRACT,WITH NO DIRECT COMPENSATION MADE.GRADING NOTESFILTRATION/INFILTRATION BASIN NOTES0.00%900.00900.00TW=XXX.XXBW=XXX.XXE.O.F.NOT FOR CONSTRUCTION0'30'60'90'1" = 30' GASGASGASGASGASGASGASGASGAS GAS GAS PUG PUG PUGPUG PUG PUG PUG PUG PUGFOFOFOFOFOFOFOFOFOFOFOFO FO FO FOFOFO FO FOPUGPUGPUGPUG WAT PUG PUG PUG PUG PUG PUG PUGPUGPUGPUGPUG PUGGAS GAS CTVCTV CTVCTVCTVCTVCTVCTVFO FO FO FOFOFOFOFOFOFOFO FO FO FO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOTUGPUGPUG P U GPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUGPUGPUGPUGPUGPUGCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXFO FOFOFOFOFOFOFOFOFOFOPUGPUGPUGFND.TPOSTSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTO STOSTOSTOSTOSTOSTOSTOSANSANSANSANSANSTOSANSTOSTO WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWEST 70TH STREETFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 8882010 2010 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)152020.0015SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)EEEEEEEEEEMGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTOSTOSTOSTORIM=871.0FULL OF DEBRISRIM=870.6INV(E)=866.4INV(NE)-866.3RIM=871.6INV(E)=865.1INV(W)=864.9INV(S)=866.1RIM=869.1INV(E)=864.5RIM=868.3INV(N/E)=864.3INV(W)=863.6RIM=866.7INV(N)=862.7INV(S)=863.0INV(E/W)=862.6RIM=866.5INV(N)=862.6INV(E)=862.5INV(W)=861.7RIM=871.5INV(E)=867.215" RCPRIM=867.5INV=863.2RIM = 862.97IE = 855.15 (CITY AS-BUILT)RIM=866.8INV(E)=859.4INV(W)=859.1RIM=862.8INV(N)=857.2INV(E)=859.2INV(SE)=857.5INV(SW)=856.3RIM=866.2INV=863.3RIM=869.5FULL OFWATERRIM=871.1INV=868.0RIM=863.4FULL OF ICE& DEBRISRIM=863.1INV(NE)=859.6INV(W)=859.1RIM=861.2INV=858.112" RCPRIM=861.8INV(E)=857.7INV(W)=858.2INV(S)=857.6RIM=862.1INV=857.912" RCPRIM=862.5INV(N)=852.8INV(S)=852.615" RCP21" RCPS12" RCP21" RCP12" RCP21" RCP9" CLAY @ 0.8%24" RCP24" RCP24" RCP12" RCP 8"PVC 12"RCP ST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASH10" ASH15" LCH12" ASH GW: 853.0GW: 853.5GW: 858.0GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDCOMMERCIAL/GROCERY/RETAIL SPACEFOOTPRINT = 51,600 SFFFE = 868.00MULTI-FAMILY HOUSINGFOOTPRINT = 44,300 SFFFE = 870.75SENIOR HOUSINGFOOTPRINT = 21,050 SFFFE = 866.255,642 SFELEVATORLOBBYOFFICE LOBBY3,473 SFCOFFEE RETAIL1,341 SFXXXXBANK DEVELOPMENT8" SAN STUBIE=858.788" WM STUB8" SAN STUBIE=857.158" WM STUB8" WM STUB6" SAN STUBIE=856.466" SAN STUBIE=860.278" SAN STUBIE=861.366" WM STUB8" WM STUBHYDRANTHYDRANTHYDRANTHYDRANTHYDRANT6" WM STUB6" SAN STUB119 LF - 10" PVC @ 0.70%SAN MH 11RIM=862.45IE(E)=855.52IE(SW)=855.42CORE DRILL INTOEXISTING SAN MH 10RIM=862.97IE(S,NE)=855.1539 LF - 10" PVC @ 0.70%SAN MH 12RIM=862.90IE(N)=855.96IE(E)=855.96IE(W)=855.8648 LF - 10" PVC @ 0.70%SAN MH 13RIM=864.50IE(N,E)=856.90IE(W)=856.80218 LF - 10" PVC @ 0.70%SAN MH 14RIM=867.00IE(E,S)=858.52IE(W)=858.42SAN MH 15RIM=867.80IE(N)=859.15IE(W)=859.0576 LF - 10" PVC @ 0.70%SAN MH 16RIM=869.10IE(W,N)=859.95IE(S)=859.85100 LF - 10" PVC @ 0.70%171 LF - 8" PVC @ 0.70%SAN MH 16RIM=870.00IE(W)=861.25IE(S)=861.1516 LF - 8" PVC @ 0.70%16 LF - 6" PVC @ 2.00%26 LF - 10" PVC @ 1.00%25 LF - 8" PVC @ 1.00%INSULATE PIPE25 LF - 6" PVC @ 2.00%8" DIP1234567891011121314151617181920AAA8" DIP8" DIP8" DIP8" DIPSHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY MEOR UNDER MY DIRECT SUPERVISION AND THAT I AM ADULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWSOF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE:REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10UT01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTSANITARY ANDWATERMAIN PLAN 70TH AND FRANCE REDEVELOPMENTC400 .10/16/20DAVID T. BADE . . . 10/16/20 4530 WEST 77TH STREET SUITE #365EDINA, MN 55435 ORION/MORTENSON © 2020 Westwood Professional Services, Inc.Common Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## . . . . . . . . . .PROJECT NUMBER: 0029211.10SANEXISTINGPROPOSEDSANITARY SEWERSTOSTORM SEWERWATWATER MAINEASEMENT LINEPROPERTY LINEWATHYDRANTGATE VALVEDRAIN TILEFLARED END SECTION (WITH RIPRAP)LIGHT POLEGASGASGASPUGUNDERGROUND ELECTRICPUGTUGUNDERGROUND TELEPHONETOHPOHOVERHEAD ELECTRICPOHTOHOVERHEAD TELEPHONETOHFOTELEPHONE FIBER OPTICFOCTVCABLE TELEVISIONCTVFMFMSANITARY SEWER FORCE MAINCURB AND GUTTERUTILITY LEGEND1. THE CONTRACTOR IS SPECIFICALLY CAUTIONED THAT THE LOCATION AND/OR ELEVATION OF EXISTING UTILITIES AS SHOWN ON THESEPLANS ARE BASED ON RECORDS OF THE VARIOUS UTILITY COMPANIES AND LIMITED MEASUREMENTS TAKEN IN THE FIELD. THEINFORMATION SHALL NOT BE RELIED ON AS BEING EXACT OR COMPLETE. THE CONTRACTOR SHALL VERIFY EXISTING CONDITIONS PRIORTO CONSTRUCTION AND NOTIFY THE OWNER OR ENGINEER OF DISCREPANCIES.2. ALL SANITARY SEWER, STORM SEWER AND WATER MAIN MATERIAL AND INSTALLATIONS SHALL BE PER CITY REQUIREMENTS, MINNESOTAPLUMBING CODE, AND IN ACCORDANCE WITH THE CURRENT EDITION OF "STANDARD SPECIFICATIONS FOR WATER MAIN AND SERVICELINE INSTALLATION AND SANITARY SEWER AND STORM SEWER INSTALLATION" AS PREPARED BY THE CITY ENGINEERS ASSOCIATION OFMINNESOTA.3. PRIOR TO CONSTRUCTION, THE CONTRACTOR SHALL OBTAIN THE NECESSARY FEDERAL, STATE AND LOCAL PERMITS FOR THE PROPOSEDWORK OR VERIFY WITH THE OWNER OR ENGINEER THAT PERMITS HAVE BEEN OBTAINED. PERMIT FEES SHALL BE THE RESPONSIBILITY OFTHE CONTRACTOR UNLESS OTHERWISE ARRANGED WITH THE OWNER.4. CONTRACTOR SHALL REFER TO ARCHITECTURAL PLANS FOR EXACT LOCATION AND DIMENSIONS OF DOORWAYS, RAMPS, TRUCK DOCKS,PRECISE BUILDING DIMENSIONS AND EXACT BUILDING UTILITY CONNECTION LOCATIONS.5. ALL PRIVATE UTILITIES SHALL BE CONSTRUCTED IN ACCORDANCE WITH THE SPECIFICATIONS OF THE APPROPRIATE UTILITY COMPANY.THE CONTRACTOR SHALL COORDINATE THE SERVICE LINE CONSTRUCTION WITH THE UTILITY COMPANIES.6. CONTRACTOR SHALL OBTAIN ALL NECESSARY CITY PERMITS FOR UTILITY CONNECTIONS, AND UTILITIES SHALL BE INSPECTED ANDAPPROVED BY THE CITY. THE CITY SHALL BE NOTIFIED 48-HOURS PRIOR TO COMMENCING WITH THE UTILITY CONSTRUCTION OR ANYREQUIRED TESTING. CONTRACTOR SHALL NOT OPERATE, INTERFERE WITH, CONNECT ANY PIPE OR HOSE TO, OR TAP ANY WATER MAINBELONGING TO THE CITY UNLESS DULY AUTHORIZED TO DO SO BY THE CITY. ANY ADVERSE CONSEQUENCES OF SCHEDULED ORUNSCHEDULED DISRUPTIONS OF SERVICE TO THE PUBLIC ARE TO BE THE RESPONSIBILITY OF THE CONTRACTOR.7. WATER MAIN LENGTHS AS SHOWN ARE APPROXIMATE HORIZONTAL LENGTHS. ALLOW FOR ADDITIONAL PIPE WHEN INSTALLING ONSLOPES OR WHEN DEFLECTIONS ARE REQUIRED. THE JOINT DEFLECTIONS SHALL NOT EXCEED THE MAXIMUM RECOMMENDED BY THE PIPEMANUFACTURER OR BY LOCAL GOVERNING SPECIFICATIONS. FITTINGS REQUIRED TO CONSTRUCT WATER MAIN SHALL BE INCLUDED INWATER MAIN CONSTRUCTION.8. PROVIDE WATER MAIN THRUST RESTRAINTS PER CITY STANDARD REQUIREMENTS.9. A MINIMUM VERTICAL SEPARATION OF 18 INCHES IS REQUIRED AT ALL WATER LINE CROSSINGS WITH SANITARY SEWER OR STORMSEWER. THE WATER LINE SHALL NOT HAVE JOINTS OR CONNECTION WITHIN 10-FEET OF THE CROSSING. INSULATE CROSSINGS WITHSTORM SEWER.10. UTILITY SERVICES TYPICALLY TERMINATE 5' OUTSIDE BUILDING WALL UNLESS OTHERWISE SHOWN OR NOTED.11. DUCTILE IRON WATER LINES SHALL BE CLASS 52, PER AWWA C115 OR C151. COPPER WATER LINES SHALL BE TYPE K PER ASTM B88. PVCWATER LINES SHALL BE PER AWWA C900 AND INSTALLED PER AWWA C605 IF ALLOWED BY CITY.12. ALL WATER LINES SHALL HAVE 7.5' MINIMUM COVER. INSULATE WATER MAIN IF LESS THAN 8' OF COVER. INSULATION SHALL BE DOWSTYROFOAM HI BRAND 35 OR EQUIVALENT, WITH 4 INCHES OF THICKNESS.13. SANITARY SEWER PIPE OUTSIDE THE BUILDING ENVELOPE SHALL BE POLYVINYL CHLORIDE (PVC) SDR 35 OR 26. SDR 26 IS REQUIRED FORDEPTHS GREATER THAN 15 FEET. SANITARY SEWER PIPE WITHIN 5 FEET OF THE BUILDING AND UNDER FOOTINGS SHALL BE SCHEDULE 40PER ASTM D2665. ALL PLASTIC SANITARY SEWER SHALL BE INSTALLED PER D2321. SOLVENT WELD JOINTS MUST INCLUDE USE OF APRIMER WHICH IS OF A CONTRASTING COLOR TO THE PIPE AND CEMENT. ALL SANITARY SEWER SHALL BE TESTED ACCORDING TOMINNESOTA PLUMBING CODE, PART 712.0.14. STORM SEWER PIPE:A. RCP AND HDPE PIPE MAY BE INSTALLED WITH APPROVAL OF LOCAL GOVERNING AGENCY.B. REINFORCED CONCRETE PIPE SHALL BE CLASS 5 FOR PIPE DIAMETERS 18" AND SMALLER, CLASS 3 FOR PIPE DIAMETERS 21" ANDLARGER UNLESS OTHERWISE NOTED, PER ASTM C76 WITH R-4 GASKETS.C. HDPE STORM PIPE 4- TO 10-INCHES IN DIAMETER SHALL MEET REQUIREMENTS OF AASHTO M252. HDPE STORM PIPE 12- TO60-INCHES IN DIAMETER SHALL MEET REQUIREMENTS OF ASTM F2306. FITTINGS SHALL BE PER ASTM D3212 AND INSTALLED PERASTM D2321.D. PVC STORM SEWER PIPE AND FITTINGS SHALL BE SCHEDULE 40 PIPE PER ASTM D2665 AND INSTALLED PER ASTM D2321.E. CORRUGATED METAL PIPE (CMP) FOR SIZES 18- TO 120-INCH AND MUST MEET ASTM A760 OR ASTM A796 AND BE INSTALLED PERASTM A798. CMP MAY NOT BE INSTALLED WITHIN 10-FEET OF A WATERMAIN, WATER SERVICE, OR A BUILDING.F. ALL STORM SEWER JOINTS AND STRUCTURE CONNECTIONS SHALL BE GASTIGHT OR WATERTIGHT AS REQUIRED BY MINNESOTAPLUMBING CODE, PART 707.3. STORM SEWER LOCATED WITHIN 10-FEET OF A BUILDING AND/OR WATER LINE SHALL BE TESTED PERMINNESOTA PLUMBING CODE, PART 712.15. ALL NONCONDUCTIVE PIPE SHALL BE INSTALLED WITH A LOCATE (TRACER) WIRE PER MINNESOTA RULES, PART 7560.0150.16. POST INDICATOR VALVES SHALL BE CLOW F-5750 (OR EQUIVALENT) MEETING AWWA STANDARD C509 AND CITY STANDARDS. VALVE TOBE MECHANICAL JOINT RESILIENT WEDGE GATE VALVE. POST TO BE ADJUSTABLE FOR 8 FEET WATER MAIN DEPTH. THE ELECTRICAL ALARMSWITCH SHALL BE PART NO. PCVS2 (OR EQUIVALENT).17. AFTER CONSTRUCTION IS COMPLETED, THE CONTRACTOR SHALL PROVIDE THE OWNER WITH AN AS-BUILT RECORD OF UTILITYCONSTRUCTION. THE AS-BUILT SHALL INCLUDE LOCATION AND LENGTH DEVIATIONS OR CHANGES TO THE PLAN. CONTRACTOR TOVERIFY WITH OWNER OR ENGINEER WHETHER A PLAN WITH POST-CONSTRUCTION ELEVATIONS IS REQUIRED.18. ALL MANHOLE CASTINGS IN PAVED AREAS SHALL BE SUMPED 0.05 FEET. RIM ELEVATIONS ON PLAN REFLECT THE SUMPED ELEVATIONS.19. ALL CATCH BASIN CASTINGS IN CURB SHALL BE SUMPED 0.15 FEET AND MANHOLE CASTINGS IN PAVED AREAS SHALL BE SUMPED 0.05FEET. RIM ELEVATIONS ON PLAN REFLECT THE SUMPED ELEVATIONS.GENERAL UTILITY NOTESSDTNOT FOR CONSTRUCTION0'30'60'90'1" = 30'A. CONNECT TO EXISTING. COORDINATE CONNECTION WITH THE CITY.UTILITY KEYNOTEA GASGASGASGASGASGASGASGASGAS GAS GAS PUG PUG PUGPUG PUG PUG PUG PUG PUGFOFOFOFOFOFOFOFOFOFOFOFO FO FO FOFOFO FO FOPUGPUGPUGPUG WAT PUG PUG PUG PUG PUG PUG PUGPUGPUGPUGPUG PUGGAS GAS CTVCTV CTVCTVCTVCTVCTVCTVFO FO FO FOFOFOFOFOFOFOFO FO FO FO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOTUGPUGPUG P U GPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUGPUGPUGPUGPUGPUGCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXFO FOFOFOFOFOFOFOFOFOFOPUGPUGPUGFND.TPOSTSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTO STOSTOSTOSTOSTOSTOSTOSANSANSANSANSANSTOSANSTOSTO WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWEST 70TH STREETFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 8882010 2010 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)152020.0015SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)EEEEEEEEEEMGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTOSTOSTOSTORIM=871.0FULL OF DEBRISRIM=870.6INV(E)=866.4INV(NE)-866.3RIM=871.6INV(E)=865.1INV(W)=864.9INV(S)=866.1RIM=869.1INV(E)=864.5RIM=868.3INV(N/E)=864.3INV(W)=863.6RIM=866.7INV(N)=862.7INV(S)=863.0INV(E/W)=862.6RIM=866.5INV(N)=862.6INV(E)=862.5INV(W)=861.7RIM=871.5INV(E)=867.215" RCPRIM=867.5INV=863.2RIM = 862.97IE = 855.15 (CITY AS-BUILT)RIM=866.8INV(E)=859.4INV(W)=859.1RIM=862.8INV(N)=857.2INV(E)=859.2INV(SE)=857.5INV(SW)=856.3RIM=866.2INV=863.3RIM=869.5FULL OFWATERRIM=871.1INV=868.0RIM=863.4FULL OF ICE& DEBRISRIM=863.1INV(NE)=859.6INV(W)=859.1RIM=861.2INV=858.112" RCPRIM=861.8INV(E)=857.7INV(W)=858.2INV(S)=857.6RIM=862.1INV=857.912" RCPRIM=862.5INV(N)=852.8INV(S)=852.615" RCP21" RCPS12" RCP21" RCP12" RCP21" RCP9" CLAY @ 0.8%24" RCP24" RCP24" RCP12" RCP 8"PVC 12"RCP ST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASH10" ASH15" LCH12" ASH GW: 853.0GW: 853.5GW: 858.0GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDCOMMERCIAL/GROCERY/RETAIL SPACEFOOTPRINT = 51,600 SFFFE = 868.00MULTI-FAMILY HOUSINGFOOTPRINT = 44,300 SFFFE = 870.75SENIOR HOUSINGFOOTPRINT = 21,050 SFFFE = 866.25XXXX8" PVC ROOF DRAINIE=861.258" PVC ROOF DRAINIE=861.258" PVC ROOF DRAINIE=861.2510" PVC ROOF DRAINIE=862.1010" PVC ROOF DRAINIE=860.1012" PVC ROOF DRAINIE=859.50FLOOD STORAGE VAULTBOTTOM OF VAULT = 855.00TOP OF VAULT = 862.00TOTAL VOLUME = 30,240 CFSTORMTECH MC-3500 CHAMBERSBOTTOM OF ROCK=856.00BOTTOM OF CHAMBERS=856.75WEIR ELEV=858.75INFILTRATION VOLUME=19,796 CFTOTAL VOLUME=32,712 CF18" STORM STUBIE=859.10STMH 101RIM=862.80IE(S,NE)=856.6028 LF - 15" RCP@ 1.04%54 LF - 15" RCP @ 1.04%REPLACE STMH 100RIM=862.80IE(W,N)=856.30STMH 102RIM=864.30IE(N)=859.30IE(SW,E)=857.15202 LF - 15" RCP @ 0.50%STMH 103RIM=865.25IE(NE,W)=858.17OCS 104RIM=864.75IE(N)=856.75IE(SW)=858.2823 LF - 15" RCP @ 0.50%CBMH 302RIM=865.30IE(E)=861.05IE(S)=859.30IE(W)=859.00110 LF - 21" RCP @ 0.50%CBMH 201RIM=865.35IE(NE)=861.353' SUMP=858.3516 LF -12" RCP@ 0.60%STMH 200RIM=865.50IE(SW)=861.25IE(W,E)=857.95CB 310RIM=863.50IE(S,E)=859.00STMH 300RIM=865.20IE(S)=858.28IE(N,E)=856.75CBMH 301RIM=865.35IE(E)=858.70IE(W,N)=858.453' SUMP=855.4556 LF - 30" RCP@ 0.30%STORMWATER PUMP - DUPLEX DISCHARGE RATE BELOW5 CFS. RATE TO BE COORDINATED WITH CITY.CONNECT TO BOX CULVERTSTORAGE SYSTEM.29 LF - 18" RCP@ 1.00%CB 304RIM=865.50IE(W,E)=862.50190 LF - 12" RCP @ 0.50%100 LF - 12" RCP @ 0.50%CBMH 302RIM=867.60IE(S,W)=862.00CB 411RIM=866.15IE(E)=862.153' SUMP=859.15CB 421RIM=867.15IE(E)=863.153' SUMP=860.15STMH 430RIM=867.90IE(E)=862.00IE(N,S)=857.95STMH 440RIM=866.10IE(E)=860.00IE(N,S)=857.9524 LF - TRENCHDRAIN @ 1.00%TRENCH DRAINRIM=867.80IE(S)=866.56TRENCH DRAINRIM=867.80IE(S)=866.80120 LF - 12" PVC @ 0.78%CBMH 501RIM=870.60IE(E)=866.40IE(S)=865.63IE(N)=865.1333 LF - 15" RCP @ 0.70%REBUILD STMH 500RIM=871.60IE(N)=867.05IE(E)=865.10IE(S)=864.90IE(W)=864.901234567891011121314151617181920GENERATOR FOR STORM PUMP - GARAGE LEVELSHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY MEOR UNDER MY DIRECT SUPERVISION AND THAT I AM ADULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWSOF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE:REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10UT01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTSTORM SEWER PLAN 70TH AND FRANCE REDEVELOPMENTC401 .10/16/20DAVID T. BADE . . . 10/16/20 4530 WEST 77TH STREET SUITE #365EDINA, MN 55435 ORION/MORTENSON © 2020 Westwood Professional Services, Inc.Common Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## . . . . . . . . . .PROJECT NUMBER: 0029211.10SANEXISTINGPROPOSEDSANITARY SEWERSTOSTORM SEWERWATWATER MAINEASEMENT LINEPROPERTY LINEWATHYDRANTGATE VALVEDRAIN TILEFLARED END SECTION (WITH RIPRAP)LIGHT POLEGASGASGASPUGUNDERGROUND ELECTRICPUGTUGUNDERGROUND TELEPHONETOHPOHOVERHEAD ELECTRICPOHTOHOVERHEAD TELEPHONETOHFOTELEPHONE FIBER OPTICFOCTVCABLE TELEVISIONCTVFMFMSANITARY SEWER FORCE MAINCURB AND GUTTERUTILITY LEGEND1. THE CONTRACTOR IS SPECIFICALLY CAUTIONED THAT THE LOCATION AND/OR ELEVATION OF EXISTING UTILITIES AS SHOWN ON THESEPLANS ARE BASED ON RECORDS OF THE VARIOUS UTILITY COMPANIES AND LIMITED MEASUREMENTS TAKEN IN THE FIELD. THEINFORMATION SHALL NOT BE RELIED ON AS BEING EXACT OR COMPLETE. THE CONTRACTOR SHALL VERIFY EXISTING CONDITIONS PRIORTO CONSTRUCTION AND NOTIFY THE OWNER OR ENGINEER OF DISCREPANCIES.2. ALL SANITARY SEWER, STORM SEWER AND WATER MAIN MATERIAL AND INSTALLATIONS SHALL BE PER CITY REQUIREMENTS, MINNESOTAPLUMBING CODE, AND IN ACCORDANCE WITH THE CURRENT EDITION OF "STANDARD SPECIFICATIONS FOR WATER MAIN AND SERVICELINE INSTALLATION AND SANITARY SEWER AND STORM SEWER INSTALLATION" AS PREPARED BY THE CITY ENGINEERS ASSOCIATION OFMINNESOTA.3. PRIOR TO CONSTRUCTION, THE CONTRACTOR SHALL OBTAIN THE NECESSARY FEDERAL, STATE AND LOCAL PERMITS FOR THE PROPOSEDWORK OR VERIFY WITH THE OWNER OR ENGINEER THAT PERMITS HAVE BEEN OBTAINED. PERMIT FEES SHALL BE THE RESPONSIBILITY OFTHE CONTRACTOR UNLESS OTHERWISE ARRANGED WITH THE OWNER.4. CONTRACTOR SHALL REFER TO ARCHITECTURAL PLANS FOR EXACT LOCATION AND DIMENSIONS OF DOORWAYS, RAMPS, TRUCK DOCKS,PRECISE BUILDING DIMENSIONS AND EXACT BUILDING UTILITY CONNECTION LOCATIONS.5. ALL PRIVATE UTILITIES SHALL BE CONSTRUCTED IN ACCORDANCE WITH THE SPECIFICATIONS OF THE APPROPRIATE UTILITY COMPANY.THE CONTRACTOR SHALL COORDINATE THE SERVICE LINE CONSTRUCTION WITH THE UTILITY COMPANIES.6. CONTRACTOR SHALL OBTAIN ALL NECESSARY CITY PERMITS FOR UTILITY CONNECTIONS, AND UTILITIES SHALL BE INSPECTED ANDAPPROVED BY THE CITY. THE CITY SHALL BE NOTIFIED 48-HOURS PRIOR TO COMMENCING WITH THE UTILITY CONSTRUCTION OR ANYREQUIRED TESTING. CONTRACTOR SHALL NOT OPERATE, INTERFERE WITH, CONNECT ANY PIPE OR HOSE TO, OR TAP ANY WATER MAINBELONGING TO THE CITY UNLESS DULY AUTHORIZED TO DO SO BY THE CITY. ANY ADVERSE CONSEQUENCES OF SCHEDULED ORUNSCHEDULED DISRUPTIONS OF SERVICE TO THE PUBLIC ARE TO BE THE RESPONSIBILITY OF THE CONTRACTOR.7. WATER MAIN LENGTHS AS SHOWN ARE APPROXIMATE HORIZONTAL LENGTHS. ALLOW FOR ADDITIONAL PIPE WHEN INSTALLING ONSLOPES OR WHEN DEFLECTIONS ARE REQUIRED. THE JOINT DEFLECTIONS SHALL NOT EXCEED THE MAXIMUM RECOMMENDED BY THE PIPEMANUFACTURER OR BY LOCAL GOVERNING SPECIFICATIONS. FITTINGS REQUIRED TO CONSTRUCT WATER MAIN SHALL BE INCLUDED INWATER MAIN CONSTRUCTION.8. PROVIDE WATER MAIN THRUST RESTRAINTS PER CITY STANDARD REQUIREMENTS.9. A MINIMUM VERTICAL SEPARATION OF 18 INCHES IS REQUIRED AT ALL WATER LINE CROSSINGS WITH SANITARY SEWER OR STORMSEWER. THE WATER LINE SHALL NOT HAVE JOINTS OR CONNECTION WITHIN 10-FEET OF THE CROSSING. INSULATE CROSSINGS WITHSTORM SEWER.10. UTILITY SERVICES TYPICALLY TERMINATE 5' OUTSIDE BUILDING WALL UNLESS OTHERWISE SHOWN OR NOTED.11. DUCTILE IRON WATER LINES SHALL BE CLASS 52, PER AWWA C115 OR C151. COPPER WATER LINES SHALL BE TYPE K PER ASTM B88. PVCWATER LINES SHALL BE PER AWWA C900 AND INSTALLED PER AWWA C605 IF ALLOWED BY CITY.12. ALL WATER LINES SHALL HAVE 8' MINIMUM COVER. INSULATE WATER MAIN IF LESS THAN 8' OF COVER. INSULATION SHALL BE DOWSTYROFOAM HI BRAND 35 OR EQUIVALENT, WITH 4 INCHES OF THICKNESS.13. SANITARY SEWER PIPE OUTSIDE THE BUILDING ENVELOPE SHALL BE POLYVINYL CHLORIDE (PVC) SDR 35 OR 26. SDR 26 IS REQUIRED FORDEPTHS GREATER THAN 15 FEET. SANITARY SEWER PIPE WITHIN 5 FEET OF THE BUILDING AND UNDER FOOTINGS SHALL BE SCHEDULE 40PER ASTM D2665. ALL PLASTIC SANITARY SEWER SHALL BE INSTALLED PER D2321. SOLVENT WELD JOINTS MUST INCLUDE USE OF APRIMER WHICH IS OF A CONTRASTING COLOR TO THE PIPE AND CEMENT. ALL SANITARY SEWER SHALL BE TESTED ACCORDING TOMINNESOTA PLUMBING CODE, PART 712.0.14. STORM SEWER PIPE:A. RCP AND HDPE PIPE MAY BE INSTALLED WITH APPROVAL OF LOCAL GOVERNING AGENCY.B. REINFORCED CONCRETE PIPE SHALL BE CLASS 5 FOR PIPE DIAMETERS 18" AND SMALLER, CLASS 3 FOR PIPE DIAMETERS 21" ANDLARGER UNLESS OTHERWISE NOTED, PER ASTM C76 WITH R-4 GASKETS.C. HDPE STORM PIPE 4- TO 10-INCHES IN DIAMETER SHALL MEET REQUIREMENTS OF AASHTO M252. HDPE STORM PIPE 12- TO60-INCHES IN DIAMETER SHALL MEET REQUIREMENTS OF ASTM F2306. FITTINGS SHALL BE PER ASTM D3212 AND INSTALLED PERASTM D2321.D. PVC STORM SEWER PIPE AND FITTINGS SHALL BE SCHEDULE 40 PIPE PER ASTM D2665 AND INSTALLED PER ASTM D2321.E. CORRUGATED METAL PIPE (CMP) FOR SIZES 18- TO 120-INCH AND MUST MEET ASTM A760 OR ASTM A796 AND BE INSTALLED PERASTM A798. CMP MAY NOT BE INSTALLED WITHIN 10-FEET OF A WATERMAIN, WATER SERVICE, OR A BUILDING.F. ALL STORM SEWER JOINTS AND STRUCTURE CONNECTIONS SHALL BE GASTIGHT OR WATERTIGHT AS REQUIRED BY MINNESOTAPLUMBING CODE, PART 707.3. STORM SEWER LOCATED WITHIN 10-FEET OF A BUILDING AND/OR WATER LINE SHALL BE TESTED PERMINNESOTA PLUMBING CODE, PART 712.15. ALL NONCONDUCTIVE PIPE SHALL BE INSTALLED WITH A LOCATE (TRACER) WIRE PER MINNESOTA RULES, PART 7560.0150.16. POST INDICATOR VALVES SHALL BE CLOW F-5750 (OR EQUIVALENT) MEETING AWWA STANDARD C509 AND CITY STANDARDS. VALVE TOBE MECHANICAL JOINT RESILIENT WEDGE GATE VALVE. POST TO BE ADJUSTABLE FOR 8 FEET WATER MAIN DEPTH. THE ELECTRICAL ALARMSWITCH SHALL BE PART NO. PCVS2 (OR EQUIVALENT).17. AFTER CONSTRUCTION IS COMPLETED, THE CONTRACTOR SHALL PROVIDE THE OWNER WITH AN AS-BUILT RECORD OF UTILITYCONSTRUCTION. THE AS-BUILT SHALL INCLUDE LOCATION AND LENGTH DEVIATIONS OR CHANGES TO THE PLAN. CONTRACTOR TOVERIFY WITH OWNER OR ENGINEER WHETHER A PLAN WITH POST-CONSTRUCTION ELEVATIONS IS REQUIRED.18. ALL MANHOLE CASTINGS IN PAVED AREAS SHALL BE SUMPED 0.05 FEET. RIM ELEVATIONS ON PLAN REFLECT THE SUMPED ELEVATIONS.19. ALL CATCH BASIN CASTINGS IN CURB SHALL BE SUMPED 0.15 FEET AND MANHOLE CASTINGS IN PAVED AREAS SHALL BE SUMPED 0.05FEET. RIM ELEVATIONS ON PLAN REFLECT THE SUMPED ELEVATIONS.GENERAL UTILITY NOTESSDT1UTILITY CROSSINGSNUMBER SAN IE STM IE-857.022-857.393856.46857.434855.89-5856.21-6-857.997857.15858.048857.02-9-858.3810857.36858.4211858.35-12861.61-13861.67858.6214859.23-15859.78-16866.01861.2917865.94-NOT FOR CONSTRUCTION0'30'60'90'1" = 30'18865.81-19866.50-20864.97-WM TOP856.50 - LOWER WM856.70 - LOWER WM-856.50 - LOWER WM856.50 - LOWER WM858.00 - LOWER WM-857.20 - LOWER WM858.00 - LOWER WM-859.40859.17-860.50 - LOWER WM861.2-862.50862.80863.28864.33 SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY MEOR UNDER MY DIRECT SUPERVISION AND THAT I AM ADULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWSOF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE:REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10DT01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTCITY DETAILS 70TH AND FRANCE REDEVELOPMENTC500 .10/16/20DAVID T. BADE . . . 10/16/20 4530 WEST 77TH STREET SUITE #365EDINA, MN 55435 ORION/MORTENSON © 2020 Westwood Professional Services, Inc.Common Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## . . . . . . . . . .PROJECT NUMBER: 0029211.10NOT FOR CONSTRUCTION0'#########1" = ### SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY MEOR UNDER MY DIRECT SUPERVISION AND THAT I AM ADULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWSOF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE:REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10DT01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTDETAILS 70TH AND FRANCE REDEVELOPMENTC501 .10/16/20DAVID T. BADE . . . 10/16/20 4530 WEST 77TH STREET SUITE #365EDINA, MN 55435 ORION/MORTENSON © 2020 Westwood Professional Services, Inc.Common Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## . . . . . . . . . .PROJECT NUMBER: 0029211.104"LAST REVISED:08/08/17WM06WATERMAIN INSULATIONSEWERWATERMINIMUM 2INSULATION LAYERSWITH JOINTSSTAGGERED6" COMPACTEDGRANULAR FILLWATERMAINW.M. COVER WIDTH (W) 4.0'-4.9' 8' 5.0'-5.9' 6' 6.0'-7.0' 4' 7.0' + 0'NOTES:1. INSULATION SHALL BE EXTRUDED POLYSTYRENE (XEPS) INSULATION BOARD, "CERTIFOAM SE" OR"STYROFOAM SM" OR EQUIVALENT.2. INSULATION SHALL BE PLACED ON A SMOOTH, LEVEL FOUNDATION WHICH HAS BEEN FIRMLY COMPACTED.3. SEPARATE LAYERS OF INSULATION USED TO MAKE UP THE 4" THICKNESS SHALL HAVE STAGGERED JOINTSTO ENSURE THE CONTINUITY OF THE INSULATION.4. ALL WATERMAIN/ STORM SEWER CROSSINGS WITH LESS THAN 36" CLEARANCE SHALL BE INSULATED.5. SANITARY SEWER INSULATION SIMILARMINIMUM 1 1/2" THICK INSULATIONLAYERS WITH JOINTS STAGGEREDAND EXTENDING 4' EACH WAYFROM WATERMAIN C/LMECHANICAL COMPACTEDBACKFILL6"W/2W/218"MIN.INSULATION FOR SHALLOW WATER MAININSULATION AT PIPE CROSSING4"ENTRANCE THRU CURB AND GUTTERSI07NOTES:1. 1/2" PREFORMED JOINT FILLER MATERIAL- AASHTO M2132. CONCRETE GUTTER SHALL BE PER MnDOT SPEC 2531LAST REVISED:08/15/17PLAN VIEWSECTION A-A1/2" EXPANSION JOINT 3'R MIN.VARIABLE WIDTH TO BE STAKED IN FIELD1/2" EXPANSION JOINT IFMATCHING CONCRETE3'3'R MIN.1/2" EXPANSION JOINTFLOW LINETO BE PAID AS 6" CONC. APRONTO BE PAID ASCONC. C&G TO BE PAID ASCONC. C&GBIT. SURFGUTTERAS DIRECTED BY ENGINEER3.0'TO BE PAID AS6" CONC. D.W.TO BE PAID AS 6" CONC. APRONAA6"MAX.AANOTES:1. PROVIDE A RELATIVELY FLAT MINIMUM 4'x4' LANDING BEHIND THE PEDESTRIAN RAMP, 2% MAXIMUM CROSS SLOPE BOTH DIRECTIONS.2. CURB RAMP AREA TO BE CONCRETE AND MEET LATEST ADA REQUIREMENTS. RAMP CROSS SLOPE 2% MAXIMUM. BACK-TO-BACK PEDESTRIAN RAMPS SHALL HAVE MINIMUM 48'' LANDING BETWEEN, OR PROVIDE AT-GRADE CROSSING.3. SIDE FLARES TO BE CONCRETE AND IMPLEMENTED WHERE ADJACENT TO PAVED AREAS. FLARED SLOPE TO BE 10% MAXIMUM. EXISTING CURB RAMP ALTERATIONS, WITH NO LANDING, SHALL BE 8.33% MAXIMUM. PROVIDE 10% MAXIMUM SLOPE, UNLESS NOTED OTHERWISE.4. ANY VERTICAL LIP THAT OCCURS AT THE FLOW LINE MAY NOT BE GREATER THAN 1/4 INCH.5. ADA REQUIRED DETECTABLE WARNING SURFACE(TRUNCATED DOMES) SHALL BE 2' MIN. IN DIRECTION OF LANDING AT CURB AND SHALL EXTEND THE FULL WIDTH OF THE LANDING. AREA SHALL BE CONTRASTING COLOR TO THE ADJACENT WALKING SURFACE WITH A PREFABRICATED CAST IRON TRUNCATED DOME INSERT MEETING THE ADA DOME SIZE AND SPACING REQUIREMENTS.ALAST REVISED:08/15/17PUBLIC PEDESTRIAN CURB RAMPSI09AA332233FACE OFCURBBACK OFCURBFACE OFCURB15158"5' MIN.4' MIN. ORPER PLAN5' M IN . 5'-4"MIN. 2' 8"5' MIN.5' MIN.4' MIN. ORPER PLAN5'-4"MIN. 2'CURB FACEOR GUTTER5% APPROACHSLOPE MAXSEE NOTE #41/2" PREFORMEDJOINT FILLER MATERIALRAMP5'-4" MIN.LANDING4' MIN.RAMP 8.33%MAX. SLOPECONCRETE WALKDET. WARN.SURFACEROUND ALL SLOPEDINTERSECTIONSSIDE FLARE 10%MAX. SLOPESIDE FLARE5' MIN.RAMP4' MIN.SIDE FLARE5' MIN.ELEVATION OF RAMPSECTION A-APLAN VIEW OF DIAGONAL RAMPPLAN VIEW OF PERPENDICULAR RAMPNOTES:1. TAPED AREAS TO BE CENTERED AND ALIGNED ON CENTER LINE AND LANE LINES. MAKE ADJUSTMENTS IN CENTER MEDIAN AREA.2. ZEBRA CROSSWALKS SHALL BE WHITE POLYMER-PREFORMED TAPE OR AN ACCEPTABLE EQUIVALENT APPROVED BY THE ENGINEER.3. A MINIMUM OF 1.5 FT. CLEAR DISTANCE MUST BE LEFT ADJACENT TO CURB. IF LAST STRIPED AREA FALLS INTO THIS DISTANCE, IT MUST BE OMITTED.4. REMOVE ALL CONFLICTING PAVEMENT MARKINGS AS DIRECTED BY THE ENGINEER.5. AT SKEWED CROSSWALKS, THE TAPED AREAS ARE TO REMAIN PARALLEL TO THE LANE LINES.6. WHERE PAVEMENT MARKINGS CAN NOT BE INLAYED INTO THE HOT MAT, PAVEMENT SHALL BE GROOVED FOR THE INSTALLATION OF THE POLYMER-PREFORMED MARKINGS. SEE Mn/DOT STANDARD SPECIFICATION 2564.LAST REVISED:08/15/17CROSS WALK STRIPINGSI11PAVEMENT MARKING(TYP.)DRIVING LANE(WIDTH VARIES)6 FT3 FT 3 FTDRIVING LANE(WIDTH VARIES)ROADCLNOTE:1. ALL TRAFFIC FLOW ARROWS TO BE SOLID WHITE REFLECTIVE TRAFFIC PAINT AS PER DIMENSIONS ABOVETRAFFIC ARROWLAST REVISED:08/15/17SI132.001.753.751.002.00R4.75HANDICAP SYMBOLLAST REVISED:08/15/17HANDICAP ACCESSIBLE SIGNAGE AND STRIPINGSI15HANDICAP SIGNNOPARKINGNOTE:BOTTOM OF SIGNS TO BE MOUNTED60"-66" FROM PARKING GRADE, SEESIGN POST INSTALLATION DETAILHANDICAP PARKINGNOTE:STRIPING TO MATCHPARKING, UNLESSPER LOCAL CODENOTE:SEE PLAN FOR PARKING LAYOUTNOPARKINGPARKINGVEHICLE IDREQUIREDUP TO $200 FINEFOR VIOLATIONVANACCESSIBLENOPARKING ACCESS AISLEHANDICAP PARKING SPACE WITHPAINTED INTERNATIONAL SYMBOL OFACCESSIBILITY WITH CONTRASTINGSQUARE BACKGROUND, CENTEREDTOWARD DRIVE AISLE.HANDICAP PARKINGSIGNS, 12"X18", OR PERLOCAL CODEHANDICAP SIGNCENTERED AT HEAD OFSPACE ON CENTER STRIPEHANDICAP PARKING ACCESSAISLE WITH PAINTED 12"HIGH LETTERING OF "NOPARKING" CENTEREDTOWARD DRIVE AISLEPER CITYCODE HANDICAP VANACCESSIBLE PARKINGSIGN, 12"X16", OR PERLOCAL CODE, ASAPPLICABLEFACE OF CURBSIDEWALKHANDICAP SIGNCENTERED AT HEAD OFSPACE, 2' MIN. AND 8'MAX. FROM FACE OFCURB2"-0"2"-0"10" DIAMETER CENTERSYMBOL IN PARKING STALL,ALL LINES TO BE 5" WIDE2"-0"NOPARKING4" WIDE PAINTED STRIPINGAT 45 DEGREES AND AT 2'O.C. AT ACCESS AISLE8'MIN.8'MIN.8'MIN.5°67.5°SI19PAVEMENT SECTIONS SHOWN ARE FOR PLANNING PURPOSES ONLY.REFER TO GEOTECHNICAL REPORT FOR FINAL PAVEMENT SECTIONS.LAST REVISED:08/15/17PAVEMENT SECTIONSX" MnDOT TYPE SPWEA340E WEARING COURSEX" MnDOT TYPE SPNWB330E BASE COURSEX" MnDOT SPEC. 3138 CLASS 5X" CONCRETE PAVEMENT W/ #4 REBAR AT 16" O.C. EACH WAYX" MnDOT SPEC. 3138 CLASS 5CONCRETE PAVEMENTBITUMINOUS PAVEMENT (HEAVY DUTY)BITUMINOUS PAVEMENT (STANDARD DUTY)COMPACTED SAND SUBGRADE (100% STANDARD PROCTOR)COMPACTED SAND SUBGRADE (100% STANDARD PROCTOR)MNDOT SPEC. 2357 BITUMINOUS TACK COATX" MnDOT TYPE SPWEA340E WEARING COURSEX" MnDOT TYPE SPNWB330E BASE COURSEX" MnDOT SPEC. 3138 CLASS 5COMPACTED SAND SUBGRADE (100% STANDARD PROCTOR)MNDOT SPEC. 2357 BITUMINOUS TACK COAT6" COMPACTED CL. 5 AGGREGATEBASE, MNDOT 3138, 2211LAST REVISED:08/15/17HEAVY DUTY CONCRETESECTION LOADING DOCKSI21NOTES:1. CONCRETE SHALL BE REINFORCED WITH WELDED WIRE FABRIC OR REINFORCED BARS TO ASSIST IN CONTROLLING CRACKING FROM DRYING SHRINKAGE AND THERMAL CHANGES.2. SAWED OR FORMED CONTROL JOINTS SHOULD BE INCLUDED FOR EACH 225 SQUARE FEET OF AREA OR LESS (15 FEET BY 15 FEET). CONTRACTOR SHALL PREPARE JOINTING PATTERN AND SUBMIT TO ENGINEER PRIOR TO CONSTRUCTION.3. SAW CUTS SHOULD NOT CUT THROUGH THE WELDED WIRE FABRIC OR REINFORCING STEEL AND DOWELS SHOULD BE UTILIZED AT FORMED AND/OR COLD JOINTS.4. DOWELS SHALL BE UTILIZED AT FORMED AND/OR COLD JOINTS. DOWELS SHALL BE 30" LONG 1/2" DIAMETER SMOOTH AND GREASED TIE BARS AT 30" SPACING, MINIMUM 18" FROM PAVEMENT EDGE.7" 4000 PSI TYPE 3 CONCRETESURFACE COMPACTION2"4"AAMOUNTABLE CURB & GUTTERCONSTRUCTION AT CATCH BASINLAST REVISED:08/15/17SI28PERSPECTIVESECTION A-ANOTE:MOUNTABLE CURB & GUTTER TO BEFORMED INTO A B618 TYPE AT CATCH BASINMOUNTABLE CONCRETECURB & GUTTERCATCH BASIN FRAME& COVER#4 REBAR2" DEPRESSION10' MIN. TRANSITIONDESIGN GUTTERLINE GRADENEENAH FRAME & COVER R-3067-V WITHTYPE V GRATE OR APPROVED EQUALEXPANSION JOINTTOP OF CURB10' MIN.TRANSITION10' MIN.TRANSITIONFLOWNO SCALENO SCALEAALAST REVISED:08/15/17TRANSITION CURBSI31PERSPECTIVESECTION A-ANO SCALENO SCALEB6 STYLE CURBSEE DETAIL SI01TRANSITIONVARIESLAST REVISED:08/15/17SI40MODULAR BLOCK RETAINING WALL8"NOTE:CONTRACTOR TO PROVIDE ENGINEERING ANDSHOP DRAWINGS IF WALL IS GREATER THAN 4FEET TALL. CONTRACTOR TO SUBMIT WALLBLOCK TYPE, SIZE, AND COLOR FOR APPROVAL.1" - 1 1/4"SWALE AT TOP OF WALLMAY BE REQUIRED, VERIFY8" MIN. LOW PERMEABLE SOILFILTER FABRICUNIT DRAINAGE FILL(3/4" CRUSHED ROCKOR STONE)APPROXIMATE LIMITSOF EXCAVATION4" PERFORATED PVC DRAINTILEWRAPPED IN FILTER FABRIC,DAYLIGHT OR TO STORM SYSTEM,AS REQUIREDUNREINFORCED CONCRETE ORCRUSHED STONE LEVELING PADFINISHED GRADECONCRETE MODULAR BLOCKANCHORING PINS (AS REQUIRED)CAP UNIT, ADHERED TO TOPCOURSE WITH ADHESIVEFOUNDATIONSOILRETAINED SOILDESIGN HEIGHT LAST REVISED:08/15/17FENCE AT MODULAR BLOCK WALLSI41NOTE:CONCRETE SLEEVE (AND/OR FOOTING) TO BE SET DURING WALLCONSTRUCTION, NOT DRILLED THROUGH GEOGRID AFTERWARDS, WHEN DIRECTLY BEHIND UNITS.CONCRETE MODULARBLOCKFENCE POSTFENCE POST CONCRETEFOOTING AND SLEEVE,DIAMETER, AND DEPTH PERFENCE SPECIFICATIONSGEOGRIDCAP UNIT, ADHERED TO TOPCOURSE WITH ADHESIVEANCHORING PINS (AS REQUIRED)3.5' MIN.1.5'-2'±12"12"TREADLAST REVISED:08/15/17CONCRETE STAIR AND RAILINGSI48NOTES:1. CONTRACTOR TO PROVIDE SHOP DRAWINGS FOR APPROVAL. FIELD VERIFY CONDITIONS.2. RAILING AND STAIRS BOTH SIDES OF STAIRS AND PER ADA REQUIREMENTS.3. ALL HARDWARE TO BE GALVANIZED OR STAINLESS STEEL, AND FINISH TO MATCH RAILING.4. RAILING FINISH TO BE PRIMED AND PAINTED. COLOR TO PER OWNER.HAND RAIL, 1 1/2" DIAMETERTUBULAR STEEL, WELD ANDGRIND ALL JOINTS, POSTS 6'MAXIMUM SPACING3" RADIUS(TYP.)1/2" RADIUS,NOSECONCRETESTEPS WITHNON-SLIP FINISHMNDOT 3138 CLASS 5AGGREGATE BASE#4 REBAR @12" O.C. MAX.EACH WAY,3" CLEAR#5 REBAR @ NOSE,2" CLEAR(TYP.)ADJACENT PAVEMENT(TYP.)EXPANSION JOINT(TYP.)RAILING POST:SURFACE MOUNTOR EMBEDDED(6" DEPTH)TREAD SLOPE1/8" PER FT.SEE PLAN12"3'-0" 1'-6"12"1"6" RISERLAST REVISED:08/15/17SI50TYPICAL CURB CUT SECTION AT DRIVEWAYS3'18'3'TRANSITION TO B618CURBB618 CURB12'B618 CURBC/L DRIVEWAYSETBACK LINEPROPERTY LINE3NOTES:1. VERIFY DRIVEWAY LOCATION WITH DEVELOPER2. VERIFY MAXIMUM DRIVEWAY WIDTH WITH CITY3. LOCATION SHOWN TYPICAL FOR GARAGE RIGHT ON TANGENT OF THE ROADX'TRANSITION TO B618CURB12"MIN.LAST REVISED:08/15/17MACHINE SLICED SILT FENCE(HEAVY DUTY)GD03FLOWFLOW RUNOFFNOTES:1. INSPECT AND REPAIR FENCE AFTER EACH STORM EVENT AND REMOVE SEDIMENT WHEN ACCUMULATED TO 1/2 THE HEIGHT OF THE FABRIC OR MORE.2. REMOVED SEDIMENT SHALL BE DEPOSITED TO AN AREA THAT WILL NOT CONTRIBUTE SEDIMENT OFF-SITE AND CAN BE PERMANENTLY STABILIZED.3. SILT FENCE SHALL BE PLACED ON SLOPE CONTOURS TO MAXIMIZE PONDING EFFICIENCY.4. ALL ENDS OF THE SILT FENCE SHALL BE WRAPPED UPSLOPE SO THE ELEVATION OF THE BOTTOM OF FABRIC IS HIGHER THAN "PONDING HEIGHT".5. "HEAVY DUTY" IS SAME AS MACHINE SLICED ONLY HAND INSTALLED.WOVEN MONOFILAMENT (36" WIDE)FILTER FABRIC, ATTACHSECURELY TO UPSTREAMSIDE OF POST WITH 3-50LBTENSILE STRENGTH PLASTICZIP-TIES PER POST WITHINTOP 8" OF FABRIC5' STEEL T-POSTFABRIC SLICED INTOSOIL WITHCOMPACTED BACKFILL5' STEEL T-POST6'-0" MAX.SPACINGSTANDARD DETAILPONDING HEIGHTTRENCH WITH NATIVE BACKFILLLAST REVISED:08/15/17CONSTRUCTION ENTRANCEGD05NOTES:1. FILTER FABRIC SHALL BE PLACED UNDER ROCK/WOOD CHIPS TO STOP MUD MIGRATION THROUGH ROCK/WOOD CHIPS.2. WOODCHIPS USED FOR CONSTRUCTION ENTRANCES MUST BE 80% NOT LESS THAN 2-INCHES AND NOT MORE THAN 5-INCHES. NO CHIPPED-UP MANUFACTURED WOOD AND/OR CHEMICALLY TREATED IS ALLOWED.3. ENTRANCES MUST BE MAINTAINED REGULARLY TO PREVENT SEDIMENTATION ON PUBLIC ROADWAYS. FUGITIVE ROCK OR WOODCHIPS WILL BE REMOVED FROM ADJACENT ROADWAYS DAILY OR MORE FREQUENTLY AS NECESSARY.4. LENGTH AND WIDTH TO BE ADJUSTED FOR SITE CONDITIONS.HARD SURFACEPUBLIC ROAD1"-2" WASHED ROCKOR WOODCHIPS PERSPECIFICATIONS18" MINIMUM CUT OFF TOMINIMIZE RUNOFF FROM SITEROCK=12" MIN.WOODCHIPS=18" MIN.20 ' M I N . W I D T H 50' MIN.12' MIN.15' MIN.VARIESLAST REVISED:08/15/17CONCRETE WASHOUT AREAGD08A ANOTES:1. CONCRETE WASHOUT AREAS WILL HAVE AN IMPERMEABLE LINER TO PREVENT CONCRETE WASHOUT WATER FROM INFILTRATING/CONTACTING WITH SOIL.2. IMPERMEABLE LINER INCLUDES 10 MIL POLY LINER OR COMPACTED CLAY LINER.3. WASHOUT SYSTEMS CAN BE USED AS ALTERNATE WASHOUT AREAS.ROOF ACCESSEARTH BERMMULCH & SEEDSILT FENCECONCRETEWASHOUT SIGNIMPERMEABLE LINERSILT FENCE1.5'MIN.SECTION A-APOC K E TNOTES:1. ALL GEOTEXTILE USED FOR INLET PROTECTION SHALL BE MONOFILAMENT IN BOTH DIRECTIONS, (MEETING MnDOT SPEC. 3733 GEOTEXTILES)2. FINISHED SIZE (INCLUDING POCKETS) SHALL EXTEND A MINIMUM OF 10" AROUND THE PERIMETER TO FACILITATE MAINTENANCE OR REMOVAL.3. DO NOT INSTALL PROTECTION IN INLETS SHALLOWER THAN 30". THE INSTALLED BAG SHALL HAVE A MINIMUM SIDE CLEARANCE BETWEEN THE INLET WALLS AND THE BAG, MEASURED AT THE BOTTOM OF THE OVERFLOW HOLES, OF 3". WHERE NECESSARY THE CONTRACTOR SHALL CLINCH THE BAG (USING PLASTIC ZIP TIES) TO ACHIEVE THE 3" CLEARANCE.LAST REVISED:08/15/17STORM DRAINFILTER BAG INSERTGD10FLAP4"INLET SPECIFICATIONSTO MATCH THE PLANDIMENSION LENGTHAND WIDTH21MINIMUM DOUBLESTITCHED SEAMS ALLAROUND SIDE PIECESAND ON FLAP POCKETSFRONT, BACK, ANDBOTTOM TO BEMADE FROM SINGLEPIECE OF FABRIC2"x4" HOLE SHALL BEHEAT CUT INTO ALLFOUR SIDE PANELSUSE REBAR OR STEEL RODFOR REMOVAL ( FOR INLETSWITH CAST CURB BOX,REPLACE ROD WITH WOOD2" X 4") . EXTEND 10"BEYOND GRATE ON BOTHSIDES, SECURE TO GRATEWITH WIRE OR PLASTIC TIES41 2 " 12"12"2"LAST REVISED:08/15/17INLET PROTECTION WITH ROCK LOGGD11NOTE:1. ALL GEOTEXTILE USED FOR INLET PROTECTION SHALL BE MONOFILAMENT IN BOTH DIRECTIONS. (MEETING SPEC. 3733 (TYPE 1) GEOTEXTILES, PROPOSED 2005 EDITION)ENDS SECURELYCLOSED TO PREVENTLOSS OF OPENGRADED AGGREGATEFILL. SECURED WITH50 PSI ZIP TIEOVERLAP ENDS 6"4' LONG AND 5" DIAMETER GEOTEXTILE SOCK.SEAM JOINED BY TWO ROWS OF STITCHINGWITH A PLASTIC MESH BACKING ORHEATBONDED. (OR APPROVED EQUIVALENT)FILL ROCK LOG WITH OPEN GRADEDAGGREGATE CONSISTING OF SOUND,DURABLE PARTICLES OF CRUSHED QUARRYROCK OR GRAVEL CONFORMING TO 3137,CA-3 (<1.5") GRADATION (OR EQUIVALENT).6"MAX.8"ANOTES:1. PROVIDE A RELATIVELY FLAT MINIMUM 4'x4' LANDING BEHIND THE PEDESTRIAN RAMP, 2% MAXIMUM CROSS SLOPE BOTH DIRECTIONS.2. CURB RAMP AREA TO BE CONCRETE AND MEET LATEST ADA REQUIREMENTS. RAMP CROSS SLOPE 2% MAXIMUM. BACK-TO-BACK PEDESTRIAN RAMPS SHALL HAVE MINIMUM 48'' LANDING BETWEEN, OR PROVIDE AT-GRADE CROSSING.3. SIDE FLARES TO BE CONCRETE AND IMPLEMENTED WHERE ADJACENT TO PAVED AREAS. FLARED SLOPE TO BE 10% MAXIMUM. EXISTING CURB RAMP ALTERATIONS, WITH NO LANDING, SHALL BE 8.33% MAXIMUM. PROVIDE 10% MAXIMUM SLOPE, UNLESS NOTED OTHERWISE.4. ANY VERTICAL LIP THAT OCCURS AT THE FLOW LINE MAY NOT BE GREATER THAN 1/4 INCH.5. RAMP AND FLARED SIDE SURFACE TO BE MEDIUM BROOM FINISH, PERPENDICULAR TO TRAVEL PATH.6. WALK SHALL BE PER MnDOT SPEC 2521 MIX NO. 3A32 WITH A 28-DAY DESIGN STRENGTH OF 3900-PSI.ALAST REVISED:08/15/17PRIVATE PEDESTRIAN CURB RAMPSI092PLAN VIEW OF DIAGONAL RAMPPLAN VIEW OF PERPENDICULAR RAMPSECTION A-AELEVATION OF RAMP32333FACE OFCURB5BACK OFCURB5FACE OFCURBCURB FACEOR GUTTER5% APPROACHSLOPE MAX1/2" PREFORMEDJOINT FILLER MATERIALRAMP 8.33%MAX. SLOPEROUND ALL SLOPEDINTERSECTIONSSIDE FLARE 10%MAX. SLOPECONCRETE WALK8" 5'-4"MIN.5' MIN.4' MIN. ORPER PLAN5' M IN . 5'-4"MIN.5' MIN.5' MIN.4' MIN. ORPER PLANRAMP5'-4" MIN.LANDING4' MIN.SIDE FLARE5' MIN.RAMP4' MIN.SIDE FLARE5' MIN.AA1143'-0"7'-0"3'-0"SIGN INSTALLEDIN LANDSCAPE AREAHANDICAP STALL PARKING SIGNINSTALLED IN PARKING LOTNOTE:1. SIGN TO BE 2-SIDED WHERE HANDICAP PARKING STALLS FACE ONE ANOTHER.2. PARKING GRADE IS DEFINED AS EITHER FLOW LINE OF CURB OR PAVEMENT SURFACEAT THE HEAD OF THE STALL.12"LAST REVISED:06/15/19SIGN POST INSTALLATIONSI14CONCRETE CURB &GUTTERCAP REQUIRED2" GALVANIZEDSTEEL PIPE,ROUND, SET INCONCRETEMOWING EDGEPAVEMENT6" STEELCASINGCONCRETEFOOTING2'-0"MIN.10"BOTTOM OF THELOWEST SIGN TOBE MOUNTED60"-66" FROMPARKING GRADE2'-0"MIN.3'-6" MIN. FROSTDEPTH IF GREATERCONCRETE CROSS GUTTERSI06NOTES:1. 1/2" PREFORMED JOINT FILLER MATERIAL- AASHTO M2132. CONCRETE GUTTER SHALL BE PER MnDOT SPEC 2531LAST REVISED:08/15/17EXPANSION JOINT(TYP.)SLOPE3/4" per ft3'7"#4 REBARSECTION A-A3' MIN.GUTTER FLOW LINEAA1LAST REVISED:01/09/20B6 STYLE CURB AND GUTTERSI01NOTES:1. EXPANSION JOINT SPACING IS 100'2. MIN. 3" CL. 5 UNDER C.&G.3. CURB SHALL BE PER MnDOT SPEC 25317"8"X"Y"6"13 1/2"Curb TypeXYB612B618B62424"18"12" 20"26"32"SLOPE 3/4" PER FT.13R-3"R=3"R=1/2"TIP OUT SLOPE 3/4" PER FT.LAST REVISED:11/29/18FLUSH CURB AND GUTTERSI02-D12"8"20"SLOPE GUTTER TO MATCH(3/4" PER FT. TYP)TIP GUTTER OUT AS REQUIRED3" RADIUS1/2" RADIUS7"1/4" BACK8.5" 1A0.32-B1A0.33-B1A0.30-B1A0.31-BNot EnclosedELEVATORLOBBYBANK TO BEDEVELOPED BYOTHERSWAT CTVCTVCTVCTVCTVCTV CTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXXXX STOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTOSTOSTO STOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSANSANSANSANSANSANSAN WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWAT70.00WEST 70TH STREET110N. LINE OF SEC. 32, TWP. 28, RGE. 24NW CORNER OF SEC. 32,TWP. 28, RGE. 2470.00N89°50'44"E 505.00S00°11'54"E 496.57S89°48'06"W 524.96N00°12'08"W 476.97 28.27N44°49'18"EMT STSTSTSTSTSTSTTVTVHHTTTTSTO STOSTOSTOSTOSTOSTOSABABBBBBBBBBBBBBBBBBBBBBBBBBBBBBBFFFBAAAAAAAAAAAAAAAAAAAAAAAACCCCCCCCCCCCCCCCBCBCBGCBCBCBBBBCCBCBGCCCBCBGGGGGKEEEEGGEKEEEGEEGKEKKKBBBBBBBBBEDDDJKDEELMLMEGEGNLLOHH8'-0"8'-0"8'-0"5'-0"6'-0" 10'-0"11'-0"11'-0"AWALKCCIP PLANT BED CURBDCIP RETAINING WALLELIMESTONE FEATURESTREE GRATESFBENCH FEATURESGWASTE AND RECYCLINGHBIKE RACKSICANOPY/ PERGOLA FEATUREJSCULPTURAL/ ART MOMENTPLAN KEYNOTES:BPLANTING BEDKSTAIRLMHANDRAILSNSIGNAGEOTABLE AND CHAIRS CONCRETE PAVINGDECORATIVE PAVING ADECORATIVE PAVING BTURFPLANT BEDSTORM FILTRATION FEATURELANDSCAPE SITE PLAN HATCH LEGEND:SITE PLAN01L1.0 20'40'10'0'SCALE:1"=20'PLANNORTHA BC DSignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FORC O N S T R U C T I O N I hereby certify that this plan, specification,orreport was prepared by me or under mydirectsupervision and that I am a duly licensedlandscape architect under the laws of the Stateof Minnesota10/7/2020 9:06:34 PM 20364MG / JC TM70th & France70th & FranceEdina, MNNORTHTRUENo.Description DateTerry Minarik42422 10-16-2020530 N THIRD ST, SUITE 120,MINNEAPOLIS, MN 55102PH: 612.333.3702 FAX: 515.288.8359www.thinkconfluence.comL1.0LANDSCAPE SITE PLAN Not EnclosedELEVATORLOBBYGAS GAS GAS GASFOFOFOFO FOFOFOFOFOFOFOFOFOFOFOFO FO FO FO FOFOFOFO FO FO FO FO WAT GAS GAS GASCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOFOFOFOFOTUG TUGCTVCTVCTVCTVCTVCTV CTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXXXXFO FO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOXXXX PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STOSTO STOSTOSANSANSANSANSANSANSANSTOWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWEST 70TH STREET110N. LINE OF SEC. 32, TWP. 28, RGE. 24TWP. 28, RGE. 24N89°50'44"E 505.00S89°48'06"W 524.96N00°12'08"W 476.97 28.27N44°49'18"E EEEEEEEMGGGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTO STOSTOSTOSTOSTOSTOS(2) Rg(2) Rg(16) Dt(16) Dt(5) Rg(5) Rg(16) Dt(16) Dt(16) Dt(16) Dt(3) Rg(52) Dt(47) Cb(15) Ss(83) Sh(29) Ss(74) Sh(15) Ss(25) Sh(7) Cm(6) Cm(4) Cm(7) Cm(9) Cm(62) Dt(35) Dt(16) Hi(46) Hi(26) Hi(15) Hi(32) Hi(3) Cm(4) Cm(16) Dt(16) Dt(16) Dt(16) Dt(3) Cm(13) Cb(14) Cb(16) Dt(16) Dt(3) Rg(3) Rg(16) Dt(16) Dt(14) Cb(44) Sh(52) Ep(18) Sh(18) Ep(48) Sh(52) Ep(18) Sh(34) Sh(24) Sh(18) Sh(151) Dt(26) Sh(17) Sh(110) Dt(3) Rg(9) Gi(5) Up(2) Up(2) Up(1) Bn(2) Bn(2) Bn(1) Bn(8) As(6) Gs(2) Gc(1) As(1) As(2) Gc(1) Tg(1) Tg(1) Tg(1) Tg(2) As(4) Gc(1) As(1) As(2) Gc(2) Gc(1) As(1) As(1) Gc(1) GcTREESCODEQTYCOMMON / BOTANICAL NAMECONTCALAs 16 Sienna Glen Maple / Acer x freemanii `Sienna` TMB & B 4"CalBn 6 River Birch (Single Stem) / Betula nigraB & B 2.5"CalGi 9 Northern Acclaim Honey Locust / Gleditsia triacanthos inermis `Harve` TM B & B 8"Gs 6Skyline Honey Locust / Gleditsia triacanthos `Skyline`B & B 4"CalGc 14 True North Kentucky Coffeetree / Gymnocladus dioica `UMNSynergy` TM B & B 4"CalTg 4 Greenspire Linden / Tilia cordata `Greenspire`B & B 4"CalUp 12 American Elm / Ulmus americana `Princeton`B & B 4"CalSHRUBSCODEQTYCOMMON / BOTANICAL NAMECONTCm 44 Muskingum Dogwood / Cornus racemosa `Muszam`5 galHi 136 Invincibelle Wee White Hydrangea / Hydrangea arborescens `NCHA5` 5 galRg 26 Gro-Low Fragrant Sumac / Rhus aromatica `Gro-Low`5 galSs 59 Sem Ash Leaf Spirea / Sorbaria sorbifolia `Sem`5 galGRASSESCODEQTYCOMMON / BOTANICAL NAMECONTCb 88 Korean Feather Reed Grass / Calamagrostis brachytricha1 galDt 634 Tufted Hair Grass / Deschampsia cespitosa `Tardiflora`1 galSh 429 Prairie Dropseed / Sporobolus heterolepis5 galPERENNIALSCODEQTYCOMMON / BOTANICAL NAMECONTEp 122 Coneflower / Echinacea purpurea5 galGROUND COVERSCODEQTYCOMMON / BOTANICAL NAMECONTS5 2,845 sf SOD xsodSf 3,413 sf STORM FILTRATION PLANTINGSflatPerennial Plugs - Dip IrrigationPanicum Shenandoah (Red Switch Grass)/ P. virgatum `Shenandoah`Blue-Eyed Grass/ Sisyrinchium angustifoliumPLANT SCHEDULECONCRETE PAVINGDECORATIVE PAVING ADECORATIVE PAVING BTURFPLANT BEDSTORM FILTRATION FEATURELANDSCAPE SITE PLAN HATCH LEGEND:LANDSCAPE PLANTING PLAN1L1.1 20'40'10'0'SCALE:1"=20'PLANNORTHA BC DSignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FORC O N S T R U C T I O N I hereby certify that this plan, specification,orreport was prepared by me or under mydirectsupervision and that I am a duly licensedlandscape architect under the laws of the Stateof Minnesota10/7/2020 9:06:34 PM 20364MG / JC TM70th & France70th & FranceEdina, MNNORTHTRUENo.Description DateTerry Minarik42422 10-16-2020530 N THIRD ST, SUITE 120,MINNEAPOLIS, MN 55102PH: 612.333.3702 FAX: 515.288.8359www.thinkconfluence.comL1.1LANDSCAPE PLANTING PLAN PLANNORTHABC DSignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FORC O N S T R U C T I O N I hereby certify that this plan, specification,orreport was prepared by me or under mydirectsupervision and that I am a duly licensedlandscape architect under the laws of the Stateof Minnesota10/7/2020 9:06:34 PM 20364MG / JC TM70th & France70th & FranceEdina, MNNORTHTRUENo.Description DateTerry Minarik42422 10-16-2020530 N THIRD ST, SUITE 120,MINNEAPOLIS, MN 55102PH: 612.333.3702 FAX: 515.288.8359www.thinkconfluence.comL1.2STREET INTERSECTIONVIGNETTESEAST 71ST STREET DESIGN INTENT01L1.2N.T.S71ST STREET (MIDBLOCK / PLAZA ) INTERSECTION DESIGN INTENT03L1.2N.T.S70TH ST (MIDBLOCK) INTERSECTION DESIGN INTENT02L1.2N.T.SFRANCE AVENUE (MIDBLOCK) INTERSECTION DESIGN INTENT04L1.2N.T.S TURF @ PLANT BED04L2.01-1/2" - 1'-0"FINISHED GRADE AND EDGECONDITION VARIES - SEE PLANFOR CONDITION.3/16" METAL EDGERW/STAKE, PER SPEC.PLANT BED / GRASS MIXAREA MAY OCCUR, SEE PLAN.11EACH TREE SHALL BE PLANTED SUCHTHAT THE ROOT FLARE IS VISIBLE AT THETOP OF THE ROOT BALL. IF THE ROOTFLARE IS NOT VISIBLE, THE SOIL SHALL BEREMOVED IN A LEVEL MANNER FROM THEROOT BALL TO WHERE THE FIRST MAINORDER ROOT (12" DIA. OR LARGER)EMERGES FROM THE TRUNK. SET MAINORDER ROOT 1" HIGHER THAN ADJACENTGRADE. DO NOT COVER TOP OF ROOTBALL WITH SOIL.SCARIFY SIDES OF TREE PIT WITH SPADEBY HAND TO BIND WITH PREPARED SOIL.PLANTING PIT TO BE TWO TO FIVE TIMESTHE DIAMETER OF ROOT ALL, SLOPEDTAMP SOIL AROUND ROOT BALL BASEFIRMLY WITH FOOT PRESSURE SO THATROOT BALL DOES NOT SHIFT.DRAINAGE TRENCH AS REQUIRED PERPERCOLATION TEST IN SPEC. AUGER A 4"DIA. HOLE & FILL W/ 34" GRAVEL.PLACE ROOT BALL ON UNDISTURBED ORCOMPACTED SOIL.DIG PLANTING PIT 4-6" DEEPER THANROOTBALL.UNDISTURBED SUBGRADE.REMOVE BURLAP, WINE, ROPE ANDWIRE FROM TOP HALF OF ROOT BALL.COMPACT PLANTING SOIL TO85% OF MAXIMUM DRY UNITWEIGHT PER ASTM D 698.EDGE CONDITION VARIES, SEEPLAN.4" BUILT-UP EARTH SAUCERBEYOND EDGE OF ROOT BALL.3" SHREDDED HARDWOODMULCH. DO NOT PLACE MULCHIN CONTACT WITH ROOT FLARE.RODENT TRUNK PROTECTIONFOR DECIDUOUS TREES: 12"HARDWIRE-CLOTH MESHCYLINDER. DIMENSIONS: 8"DIAMETER (OR GREATER) X 36"HEIGHT. STAKE IN PLACE,AVOIDING ROOTS. SEE SPEC.TREE PLANTING DETAIL, TYP.01L2.01/2" = 1'-0"SEE PLAN12"MIN.PREPARE SOIL FORTHE ENTIRE BED4"3" SHREDDED HARDWOOD MULCH. DONOT PLACE MULCH IN CONTACT WITHSHRUB STEM.NOTE: SEE SPECIFICATION SECTIONRELATED TO EXTERIOR PLANTING.CONTAINER GROWN MATERIAL SHALLHAVE ROOTS HAND LOOSENED.MIN.4" DEEPER THAN ROOT BALL.SCARIFY SIDES AND BOTTOM OF ENTIREBED WITH SPADE BY HAND TO BIND WITHPLANTING SOIL.UNDISTURBED SUBGRADE.PLANTING DETAIL, TYP.02L2.01/2" = 1'-0"5' DIAMETER MULCH RING, TYP.12"12"12"12"12"PLANSECTION AFILTRATION BASIN SUBGRADE, SEE CIVILPLANTING SOIL MIX, SEE CIVIL FOR DEPTH,3" HARDWOOD MULCHPLUG, SEE MIX FOR SPECIESA'A1/2" SCALESTORM FEATURE PLUG LAYOUT03L2.01/2" = 1'-0"SEE PLAN SEE PLAN SEEPLANSE E PLA N PLANSECTION A'-AA'APLANNORTHABC DSignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FORCONSTRUCTIONI hereby certify that this plan, specification,orreport was prepared by me or under mydirectsupervision and that I am a duly licensedlandscape architect under the laws of the Stateof Minnesota10/7/2020 9:06:34 PM 20364MG / JC TM70th & France70th & FranceEdina, MNNORTHTRUENo.Description DateTerry Minarik42422 10-16-2020530 N THIRD ST, SUITE 120,MINNEAPOLIS, MN 55102PH: 612.333.3702 FAX: 515.288.8359www.thinkconfluence.comL2.0LANDSCAPE DETAILS SignatureTyped or Printed NameLicense #DatePROJECT NUMBERDRAWN BYCHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota10/16/2020 5:47:29 PMA0.1EXISTING SITE IMAGES220535AuthorChecker70th & France70th & FranceEdina, MNPRELIMDEVELOPMENTPLAN SUBMITTAL10/16/2020No. DescriptionDateVIEW FROM SOUTHWEST CORNER OF SITEVIEW FROM EAST SIDE OF SITE LOOKING WESTVIEW FROM SOUTHWEST SIDE OF SITE LOOKING EASTVIEW FROM NORTHEAST CORNER OF SITE LOOKING NORTHVIEW FROM NORTHEAST CORNER OF SITE LOOKING EASTVIEW FROM SOUTH SIDE OF SITE LOOKING SOUTHEAST DN1A0.401A0.41SITE BRETAIL/COMMERCIAL/GROCERSITE ARESIDENTIAL TOWERSITE DBANKSITE CMULTIFAMILY RESIDENTIAL70TH STREET W 71ST STREET W FRANCE AVE S EWING AVE SDREW AVE S51' - 9"12' - 4"39' - 9"251' - 10"68' - 6"180' - 2"182' - 4"248' - 8"57' - 8"61' - 4"181' - 2"45' - 2"42' - 5"10' - 0"10' - 0"37' - 11"26' - 9"FOR SITE D INFORMATION: REFER TO SHEETS A.010-D, A.020-D, AND A.030-D SignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota10/16/2020 5:47:30 PMA0.2SITE PLAN220535Author Checker70th & France70th & FranceEdina, MNPRELIMDEVELOPMENTPLAN SUBMITTAL10/16/20201" = 20'-0"A0.21ARCHITECTURAL SITE PLANNo. DescriptionDate DN SITE A RESIDENTIAL TOWER EWING AVE SDREW AVE SRESIDENTIAL LOBBY & AMENITY (TO RESIDENTIAL PARKING) RESIDENTIAL PARKING 20 STALLS LOADING TRASH/ RECYCLING RETAIL/FLEX 40 STALLS RAMPUP RAMPDOWN (TO RESIDENTIAL PARKING) MOVE IN UTILITY RETAIL/FLEX SPACE PARKING ENTRY/EXIT PARKING ENTRY/EXIT 182' - 0"248' - 6"RESIDENTIAL PARKING 83 STALLS PER @ LEVEL 3-4 RAMP UP RAMP DOWN RESIDENTIAL UNITS 248' - 6"182' - 0" Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 10/16/2020 6:02:06 PMA0.20-A SITE A FLOOR PLANS 220535 Author Checker 70th & France 70th & France Edina, MN PRELIM DEVELOPMENT PLAN SUBMITTAL 10/16/2020 1/16" = 1'-0"A0.20-A 1 SITE 'A' LEVEL 1 FLOOR PLAN 1/16" = 1'-0"A0.20-A 2 SITE 'A' LEVEL 2-4 FLOOR PLAN No. Description Date RESIDENTIALAMENITYDECK RESIDENTIAL AMENITY UNOCCUPIABLEROOF AREA 84' - 0"182' - 0" 8' - 0"136' - 0"38' - 0"24' - 6"35' - 0"24' - 6"248' - 6"136' - 0"38' - 0"29' - 6"35' - 0"29' - 6"94' - 0"3' - 0"AMENITY SKYLINE DECK (800 SF) SOUTHERN SUNDECK (2500 SF)29' - 6"35' - 0"29' - 6"64' - 6"8' - 0"135' - 8"12' - 8"25' - 7" 156' - 5" RAMPUP RESIDENTIAL PARKING 108 STALLS @ LEVEL P1 182' - 4"248' - 10"Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 10/16/2020 6:02:07 PMA0.21-A SITE A FLOOR PLANS 220535 Author Checker 70th & France 70th & France Edina, MN PRELIM DEVELOPMENT PLAN SUBMITTAL 10/16/2020 1/16" = 1'-0"A0.21-A 1 LEVEL 5 FLOOR PLAN 1/16" = 1'-0"A0.21-A 2 LEVEL 6-23 FLOOR PLAN1/16" = 1'-0"A0.21-A 3 LEVEL 24 FLOOR PLAN No. Description Date 1/16" = 1'-0"A0.21-A 4 SITE 'A' LEVEL P1 FLOOR PLAN 'A' LEVEL L1 100' - 0" 'A' LEVEL L2 114' - 0" 'A' LEVEL L3 124' - 0" 'A' LEVEL L4 134' - 0" 'A' LEVEL L5 146' - 0" 'A' LEVEL L6 160' - 0" LEVEL L7 170' - 0" TOWER 7 170' - 0" TOWER 8 180' - 0" TOWER 9 190' - 0" TOWER 11 210' - 0" TOWER 12 220' - 0" TOWER 13 230' - 0" TOWER 14 240' - 0" TOWER 15 250' - 0" TOWER 16 260' - 0" TOWER 17 270' - 0" TOWER 18 280' - 0" TOWER 19 290' - 0" TOWER 20 300' - 0" TOWER 21 310' - 0" TOWER 22 320' - 0" TOWER 24 344' - 0" TOWER ROOF UPPER 356' - 0" LEVEL 10 200' - 0" TOWER 23 332' - 0"26' - 0"12' - 0"12' - 0"12' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"14' - 0"12' - 0"10' - 0"10' - 0"14' - 0"WINDOW WALL PRECAST PANEL (MULTIPLE COLORS) GLASS RAILING WINDOW WALL STONE PANEL PERFORATED METAL PANEL METAL PANEL ILLUMINATED METAL SCREEN COLORED PANEL #1 METAL PANEL STONE PANEL282' - 0"DARK STAINED CONCRETE CONCRETE PANEL #4 TOWER SCREEN WALL 382' - 0" 'A' LEVEL L1 100' - 0" 'A' LEVEL L2 114' - 0" 'A' LEVEL L3 124' - 0" 'A' LEVEL L4 134' - 0" 'A' LEVEL L5 146' - 0" 'A' LEVEL L6 160' - 0" LEVEL L7 170' - 0" TOWER 7 170' - 0" TOWER 8 180' - 0" TOWER 9 190' - 0" TOWER 11 210' - 0" TOWER 12 220' - 0" TOWER 13 230' - 0" TOWER 14 240' - 0" TOWER 15 250' - 0" TOWER 16 260' - 0" TOWER 17 270' - 0" TOWER 18 280' - 0" TOWER 19 290' - 0" TOWER 20 300' - 0" TOWER 21 310' - 0" TOWER 22 320' - 0" TOWER 24 344' - 0" TOWER ROOF UPPER 356' - 0" LEVEL 10 200' - 0"14' - 0"10' - 0"10' - 0"12' - 0"14' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"12' - 0"12' - 0"12' - 0"26' - 0"TOWER 23 332' - 0" WINDOW WALL PRECAST PANEL (MULTIPLE COLORS) GLASS RAILING STONE PANEL STONE PANEL282' - 0"DARK STAINED CONCRETE WOOD LOOK PANELDARK STAINED CONCRETEMETAL PANEL#1 TOWER SCREEN WALL 382' - 0" Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 10/16/2020 6:02:08 PMA0.30-A SITE A ELEVATIONS 220535 ESG ESG 70th & France 70th & France Edina, MN PRELIM DEVELOPMENT PLAN SUBMITTAL 10/16/2020 1/16" = 1'-0"A0.30-A 1 EAST ELEVATION 1/16" = 1'-0"A0.30-A 2 NORTH ELEVATION No. Description Date 'A' LEVEL L1 100' - 0" 'A' LEVEL L2 114' - 0" 'A' LEVEL L3 124' - 0" 'A' LEVEL L4 134' - 0" 'A' LEVEL L5 146' - 0" 'A' LEVEL L6 160' - 0" LEVEL L7 170' - 0" TOWER 7 170' - 0" TOWER 8 180' - 0" TOWER 9 190' - 0" TOWER 11 210' - 0" TOWER 12 220' - 0" TOWER 13 230' - 0" TOWER 14 240' - 0" TOWER 15 250' - 0" TOWER 16 260' - 0" TOWER 17 270' - 0" TOWER 18 280' - 0" TOWER 19 290' - 0" TOWER 20 300' - 0" TOWER 21 310' - 0" TOWER 22 320' - 0" TOWER 24 344' - 0" TOWER ROOF UPPER 356' - 0" LEVEL 10 200' - 0" TOWER 23 332' - 0" WINDOW WALL CONCRETE PANEL (MULTIPLE COLORS) GLASS RAILING26' - 0"12' - 0"12' - 0"12' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"14' - 0"12' - 0"10' - 0"10' - 0"14' - 0"282' - 0"PERFORATED METAL PANEL STONE PANELWOOD LOOK PANEL TOWER SCREEN WALL 382' - 0" 'A' LEVEL L1 100' - 0" 'A' LEVEL L2 114' - 0" 'A' LEVEL L3 124' - 0" 'A' LEVEL L4 134' - 0" 'A' LEVEL L5 146' - 0" 'A' LEVEL L6 160' - 0" LEVEL L7 170' - 0" TOWER 7 170' - 0" TOWER 8 180' - 0" TOWER 9 190' - 0" TOWER 11 210' - 0" TOWER 12 220' - 0" TOWER 13 230' - 0" TOWER 14 240' - 0" TOWER 15 250' - 0" TOWER 16 260' - 0" TOWER 17 270' - 0" TOWER 18 280' - 0" TOWER 19 290' - 0" TOWER 20 300' - 0" TOWER 21 310' - 0" TOWER 22 320' - 0" TOWER 24 344' - 0" TOWER ROOF UPPER 356' - 0" LEVEL 10 200' - 0" TOWER 23 332' - 0" WINDOW WALL CONCRETE PANEL (MULTIPLE COLORS) GLASS RAILING 26' - 0"12' - 0"12' - 0"12' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"10' - 0"14' - 0"12' - 0"10' - 0"10' - 0"14' - 0"282' - 0"WOOD LOOK PANEL ILLUMINATED METAL SCREEN STONE#1 PANELWOOD LOOK PANELPERFERATED METAL PANEL#1CONCRETE PANEL #4METAL PANEL #1 TOWER SCREEN WALL 382' - 0" Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 10/16/2020 6:02:08 PMA0.31-A SITE A ELEVATIONS 220535 Author Checker 70th & France 70th & France Edina, MN PRELIM DEVELOPMENT PLAN SUBMITTAL 10/16/2020 1/16" = 1'-0"A0.31-A 1 SOUTH ELEVATION 1/16" = 1'-0"A0.31-A 2 WEST ELEVATION No. Description Date 2 7 E S G | A R C H I T E C T U R E & D E S I G N 2 8 E S G | A R C H I T E C T U R E & D E S I G N 2 9 E S G | A R C H I T E C T U R E & D E S I G N 3 0 E S G | A R C H I T E C T U R E & D E S I G N E S G | A R C H I T E C T U R E & D E S I G N 3 2 E S G | A R C H I T E C T U R E & D E S I G N 3 3 E S G | A R C H I T E C T U R E & D E S I G N 3 4 E S G | A R C H I T E C T U R E & D E S I G N 3 5 E S G | A R C H I T E C T U R E & D E S I G N XXXXXXXX WATCTVCTVXX STOSTOSTOSTOSTO STOSTOSTOSTOSTOSTOSTOSTOSTOSTO SANSANSANSANSANSANSAN STOSTO CTVSTO SANSANSANSANSANSANSAN 9/10/2021 11:30:10 AM GASGASGASGASPUGPUGPUGPUGPUGPUGPUGPUGPUG FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOWATPUGGASGAS CTVCTVFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOPUGTUGPUGPUGSTOSTOSTOSTO STOSTOSTOSTOSTOSTO SANSANSANSANSAN SANSTOSTO820102010TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)1515SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)4040HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)9" CLAY @ 0.8%12" RCPXXXXX FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOFOFOFOFOFO STOSTO SANSANSANSANSANSAN 9/10/2021 11:30:10 AM XXXXXXX FOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOFOFOFOFO FOFOFOFOFOFOFOFOFO STOSTO SANSANSANSANSANSAN 3 KEY NOTE SYMBOL PARTITION TYPE SYMBOL DETAIL NUMBERING SECTION REFERENCE ELEVATION REFERENCE TYPE PARTITION PARTITION SHEET NO. DETAIL NO. SHEET NO. SHEET NO. DETAIL NO. 1 A10.1 TITLE 1/2" = 1'-0"1 A3.1 1 A3.1 A9.1 1 2 3 4 1 A4.3 SECTION PLAN EXTERIOR ELEVATION IDENTIFICATION NUMBER REFERS TO KEY NOTE LIST NOTE: KEY NOTES DIFFER FROM SHEET TO SHEET SCALE OF DETAIL UNLESS TYPICAL AND INDICATED IN TITLE BLOCK SEQUENTIAL NUMBER FOR LARGE DRAWINGS WHICH DESCRIBES THE DETAIL SEQUENTIAL NUMBERING OF ELEVATION SHEET MOUNTING HEIGHTS DIAGRAM (ACCESSORIES) C3 1 4 2 XX'-X" T.O. XXX EL = XX'-X"ELEVATION REF SPOT ELEVATION REF X REVISION NUMBER FIRE EXTINGUISHER CABINET FIRE EXTINGUISHER - WALL MOUNTED MISCELLANEOUS SYMBOLS ELEVATION SYMBOLS Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:09:59 PMT1.1 TITLE SHEET 220535 ESG ESG 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 PROJECT TEAM DRAWING INDEX 70th & France Edina, MN 55435 Site Location DRAWING INDEX DRAWING NUMBER DRAWING NAME 09/13/2021 PRELIMINARY DEVELOPMENT PLAN / PUDARCHITECTURAL SITE A T1.1 TITLE SHEET ● CIVIL C100 EXISTING CONDITIONS AND REMOVALS PLAN ● C101 PRELIMINARY PLAT ● C200 SITE PLAN ● C300 GRADING PLAN ● C301 EROSION CONTROL PLAN ● C400 SANITARY AND WATERMAIN PLAN ● C401 STORM SEWER PLAN ● C500 CITY DETAILS ● C501 DETAILS ● LANDSCAPE L1.0 LANDSCAPE SITE PLAN ● L1.0 (2)LANDSCAPE SITE PLAN - RENDERED ● L1.1 LANDSCAPE PLANTING PLAN ● L2.0 LANDSCAPE DETAILS ● ARCHITECTURAL A0.1 EXISTING SITE IMAGES ● A0.2 SITE PLAN ● A0.3 EXTERIOR ELEVATIONS - SITE ● A0.4 EXTERIOR RENDERINGS ● ARCHITECTURAL SITE A A0.19-A PRELIMINARY SITE A METRICS ● A0.20-A SITE A FLOOR PLANS ● A0.21-A SITE A FLOOR PLANS ● A0.22-A SITE A FLOOR PLANS ● A0.30-A SITE A ELEVATIONS ● A0.31-A SITE A ELEVATIONS ● A0.40-A SITE A EXTERIOR MATERIALS ● ARCHITECTURAL SITE B A0.20-B SITE B FLOOR PLANS ● A0.21-B SITE B FLOOR PLANS ● A0.22-B SITE B FLOOR PLANS ● A0.30-B SITE B ELEVATIONS ● A0.31-B SITE B ELEVATIONS ● A0.32-B SITE B ELEVATIONS ● A0.33-B SITE B ELEVATIONS ● A0.40-B SITE B EXTERIOR MATERIALS ● OWNER/DEVELOPER:Mortenson Development, Inc. 700 Meadow Lane North Minneapolis, MN 55422 Orion Investments 4530 West 77th Street, Suite 365 Edina, MN 55435 Ph: 612-812-7788 ARCHITECT:Elness Swenson Graham Architects, Inc. 500 Washington Ave. South, Suite 1080 Minneapolis, MN 55415 Ph: 612-339-5508 Fx: 612-339-5382 CONTRACTOR:Mortenson Construction 700 Meadow Lane North Minneapolis, MN 55422 Ph: 763-522-2100 CIVIL ENGINEER:Westwood Engineering 12701 Whitewater Dr #300 Minnetonka, MN 55343 Ph: 952-937-5150 LANDSCAPE ARCHITECT:Confluence 530 N 3rd Street, Suite 120 Minneapolis, MN 55401 Ph: 612-333-3702 STRUCTURAL ENGINEER:T.B.D. MECHANICAL ENGINEER:T.B.D. PLUMBING ENGINEER:T.B.D. ELECTRICAL ENGINEER:T.B.D. SYMBOLS LEGEND FRANCE AVE70TH PROJECT LOCATION Vicinity PROJECT LOCATION No. Description Date GASGASGASGASGASGASGASGASGAS GAS GAS PUG PUG PUGPUG PUG PUG PUG PUG PUGFOFOFOFOFOFOFOFOFOFOFOFO FO FO FOFOFO FO FOPUGPUGPUGPUG WAT WA T WAT PUG PUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGGAS GAS GASGASGASCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOTUG TUGPUGPUG PUGPUGPUGPUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXGAS GAS GAS FO FOFOFOFOFOFOFOFOFOFOFO PUGPUGPUGXXX PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUG26.3CANOPYFFE=872.10FFE=860.05FFE=870.03CANOPYLANDSCAPEEDGE STEPS W/HANDRAILMONUMENTSIGNFFE=860.44BRICKRETAINING WALL CONCRETE RETAINING WALLSTONERETAININGWALL72.711.3 12.022.0 6.140.0 6.097.7 6.33.0 100.13.5 16.23.5 5.925.3 2.116.0 22.424.0 22.432.0 2.013.7131.63.116.35.372.065.844.366.656.211.3 27.34.68.64.58.68.327.2 SAN8.3 EXISTING BRICKBUILDING7001 France Avenue,Edina, MinnesotaBuilding Footprint=24,682 Sq. Ft.STORM GRATEWOOD STEPSFND.TPOSTBLDG. HT.=29.4 FT.TRASHENCLOSURESTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STO STOSTOSTOSTOSTOSTOSTOSTO ST OSTOSTOSTOSTOSTOSTOSTOSTOSTOSANSANSANSANSANSANSANSANSANSANSANSANSAN EXISTING BUILDINGTRASHENCLOSURE20.00STOSANSTO STO WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATISLANDSPEDRAMPPED RAMPPED RAMPBITUMINOUS SURFACE BENCH 70.00FRANCE AVENUE SOUTH COUNTY ROAD NO. 17 WEST 70TH STREET110N. LINE OF SEC. 32, TWP. 28, RGE. 24NW CORNER OF SEC. 32,TWP. 28, RGE. 24110W. LINE OF SEC. 32, TWP. 28, RGE. 24 70.008882010 20 10 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)1520 15SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)11 SPACES 28.27N44°49'18"E 2 HANDICAP SPACES 21 SPACES 10 SPACES 23 SPACES 23 SPACES 22 SPACES 16 SPACES 18 SPACES 9 SPACES 4 HANDICAP SPACES 2 SPACES 5 SPACES 12 SPACES 12 SPACES 15 SPACESBACK OF CURB IS 0.4 S.OF PROPERTY LINEBACK OF CURB IS0.1 S. AND 0.7 E.OF PROPERTY LINEBACK OF CURB IS 0.8 E. OF PROPERTY LINE BACK OF CURB ONPROPERTY LINE 100.9583.42 BACK OF CURB IS 2.9SE OF PROPERTY LINEBACK OF CURB 0.2 E. OFPROPERTY LINE N89°50'44"E 505.00S00°11'54"E 496.57S89°48'06"W 524.96N00°12'08"W 476.97 EEEEEEEEEEEACACMGGGGTSTSTSTSTSTSTSTSTSTSTSTSTSTTVTVHHTTVAULT-SUMP PUMPLIFT STATION (LOCKED)TTRIM=857.7INV(NE)=856.6INV(S)=856.5STOSTOSTOSTORIM=871.0FULL OFDEBRISRIM=870.6INV(E)=866.4INV(NE)-866.3RIM=871.6INV(E)=865.1INV(W)=864.9INV(S)=866.1RIM=869.1INV(E)=864.5RIM=868.3INV(N/E)=864.3INV(W)=863.6RIM=866.7INV(N)=862.7INV(S)=863.0INV(E/W)=862.6RIM=866.5INV(N)=862.6INV(E)=862.5INV(W)=861.7RIM=871.5INV(E)=867.215"RCPRIM=867.5INV=863.2RIM=857.1INV=856.6RIM=857.2INV=856.7RIM=868.4INV=857.9RIM = 862.97IE = 855.15 (CITY AS-BUILT)RIM=859.4INV=856.7SGREY WATERRIM=864.3INV=857.8RIM=860.0INV=858.1RIM=866.8INV(E)=859.4INV(W)=859.1RIM=862.9INV=860.112" RCPRIM=862.8INV(NE)=859.0INV(E/S)=857.5RIM=862.8INV(N)=857.2INV(E)=859.2INV(SE)=857.5INV(SW)=856.3RIM=866.3INV=859.6RIM=865.4INV=860.1RIM=865.9INV=860.5RIM=864.9INV=860.3RIM=866.2INV=863.3RIM=869.5FULLOFWATERRIM=871.1INV=868.015" CLAYRIM=863.4FULL OF ICE & DEBRISRIM=863.1INV(NE)=859.6INV(W)=859.1RIM=861.2INV=858.112" RCPRIM=861.8INV(E)=857.7INV(W)=858.2INV(S)=857.6RIM=862.1INV=857.912" RCPRIM=871.2INV=865.4RIM=871.1INV(N)=864.2INV(SW)=864.1RIM=871.3INV=861.6RIM=870.6INV=860.3RIM=862.5INV(N)=852.8INV(S)=852.6RIM=868.6INV(N)=858.4INV(W)=858.2SSANS15" RCP21" RCPS15" RCP 12" RCP21" RCP12" RCP21" RCP9" CLAY @ 0.8%24" RCP24" RCP24" RCP12" RCP15" CONC15" RCP12" RCP 15" RCP8"PVC 8" CLAY8" CAST IRON12" CLAY 8" CLAY10" CLAY 8" CLAY10" CLAY12"RCP ST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" SPNDEAD16" LCH14" SPN12" SPN18" SPN14" LCH18" SPN14" ASH14" SPN2" ASH16" SPN14" SPN14" SPN10" ASH10" ASH8" ASH14" ASH14" ASH20" ASH13" ASH17" ASH10" ASH13" ASH15" LCH12" ASH9" ASH12" ASH10" ASH15" ASH12" ASH 10" ASH15" ASH8" ASH8" ASH12" ASH15" ASH12" ASH7" ASH8" ASH12" ASH 6" ASH14" ASH4" SPC4" SPC5" SPC5" SPCMULTI-BIRCHMULTI-BIRCHMULTI-BIRCHMULTI-BIRCHMULTI-CRB MULTI-CRB27" ASH2" OAK 15" LCH14" SPN10" SPN12" SPN10" SPN18" SPN16" SPN16" SPN12" LCH14" LCH14" LCH16" LCH20" LCH18" FRT4" ASH4" ASH4" ASH12" ASH 12" ASH 12" ASH 12" ASH GW: 852.7GW: 853.5GW: 857.5GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDST-101GW: 852.9ST-102GW: 853.5ST-103GW: 853.5ST-104GW: 854.6ST-105GW: NOT OBSERVEDST-106GW: 853.4ST-107GW: NOT OBSERVEDST-108GW: NOT OBSERVEDFRANCE AVENUE SOUTH COUNTY ROAD NO. 1715" RCP18" RCP15" RCPSTOSTOSTO XXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXXX\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \ \ \ \ \\\\\ \\\\\\\\\************************XXXXXX\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \ \ \ \ \ \ \ \ \ \ \ \ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\XXXXXXXXXXXXXXXXXXXXXXX\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\X\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \ \ \ \ \ \\\\\\\\\\\\ \\\\ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \ \ \ \ \ \ \ \ \ \\\ \ \ \ \ \ \ \ \ \ \ \ \ \ \ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \\\ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\ \\\ \ \ \ \ \\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\222222222\\\\\\\\\\\\233144444444455666666666666666778444SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10RM01.DWG EDINA, MN09/13/202170TH AND FRANCE REDEVELOPMENTEXISTING CONDITIONS AND REMOVALS PLAN 70TH AND FRANCE REDEVELOPMENTC100 .09/13/2021 DAVID T. BADE . . . 10/16/2020 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSON :HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.10PROPERTY LINE\\\\\\CURB & GUTTERSAW CUT PAVEMENTSANSANITARY SEWERWATWATER MAINSTOSTORM SEWERCONCRETEBITUMINOUSBUILDINGTREELIGHT POLETRAFFIC SIGNEXISTINGPROPOSEDSANWATSTOCONSTRUCTION BARRICADEWATHYDRANTWATGASGASGASPUGUNDERGROUND ELECTRICPUGTUGUNDERGROUND TELEPHONETUGPOHOVERHEAD ELECTRICPOHTOHOVERHEAD TELEPHONETOHFOTELEPHONE FIBER OPTICFOCTVCABLE TELEVISIONCTVRETAINING WALLFENCEXSOIL BORING LOCATIONSB-19TREE LINEXEXISTINGREMOVALS\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\\REMOVAL LEGEND1. LOCATIONS AND ELEVATIONS OF EXISTING TOPOGRAPHY AND UTILITIES AS SHOWN ON THISPLAN ARE APPROXIMATE. CONTRACTOR SHALL FIELD VERIFY SITE CONDITIONS AND UTILITYLOCATIONS PRIOR TO EXCAVATION/CONSTRUCTION. THE ENGINEER SHALL BE NOTIFIEDIMMEDIATELY IF ANY DISCREPANCIES ARE FOUND.2. CONTRACTOR SHALL COORDINATE LIMITS OF REMOVALS WITH PROPOSED IMPROVEMENTSAND FIELD VERIFY CONDITION OF EXISTING APPURTENANCES TO REMAIN. CONTRACTORSHALL BE RESPONSIBLE FOR PROTECTING OR REPLACING MISCELLANEOUS ITEMS (SUCH ASFENCES, SIGNS, IRRIGATION HEADS, ETC.) THAT MAY BE DAMAGED BY CONSTRUCTION.3. CONTRACTOR SHALL PLACE ALL NECESSARY EROSION CONTROL MEASURES REQUIRED TOMAINTAIN SITE STABILITY PRIOR TO EXECUTING ANY SITE REMOVALS.4. CONTRACTOR SHALL BE RESPONSIBLE FOR COORDINATION WITH UTILITY PROVIDERS FORREMOVAL AND/OR RELOCATION OF EXISTING UTILITIES AFFECTED BY SITE DEVELOPMENT. ALLPERMITS, APPLICATIONS AND FEES ARE THE RESPONSIBILITY OF THE CONTRACTOR.REMOVAL NOTESSSX*XXXNOT FOR CONSTRUCTION0'30'60'90'1" = 30'1. SAW CUT LINE2. REMOVE BITUMINOUS3. EXISTING BITUMINOUS TO REMAIN4. REMOVE CONCRETE5. REMOVE EXISTING BUILDING6. REMOVE CURB7. REMOVE RETAINING WALL8. REMOVE MONUMENT SIGNREMOVAL KEYNOTES1TREES TO BE REMOVED: 72TREES TO REMAIN: 4TOTAL TREES: 76TREE REMOVAL QUANTITIES XXXXXX WEST 70TH STREETFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 XXXSANSANSANSANSANSANFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 WEST 70TH STREETRIM=868.4INV=857.9S8" CLAY14" SPN14" ASH20" ASH13" ASH17" ASH12" ASH7" ASH 8" ASH12" ASH 4" SPC4" SPC5" SPC5" SPCMULTI-CRB27" ASHFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 GFE = 856.00GFE = 860.00GFE = 860.75GFE = 857.00TPROPOSED FINANCIALINSTITUTIONFOOTPRINT = 6,200 SFFFE = 866.00XXXXXLOT 1LOT 2LOT 3LOT 48882010 20 10UTILITY EASEMENT PERTHE PLAT OF YORKTOWNDOC. NO. 103372522822TELECOMMUNICATIONSEASEMENT PER DOC.NO. 983149SANITARY SEWER EASEMENTPER DOC. NO. 1033725 152020 15SCENIC AND OPEN SPACEEASEMENT IN FAVOR OFEDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728SCENIC AND OPEN SPACE EASEMENTIN FAVOR OF EDINA VILLAGE (NOWCITY) PER DOC. NO. 103372810 10PUBLIC ROAD EASEMENTIN PER DOC. NO. 1036934 HIGHWAY EASEMENT PER DOC. NO. 2189613 HIGHWAY EASEMENT PER DOC. NO. 2189613PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844 SIDEWALK & UTILITYEASEMENT PER DOC.NOS. T05067233 &T05132844TELECOMMUNICATIONSEASEMENT PER DOC.NO. 9831491 ( 1 (1 (274.92250.06264.54260.44250.62274.34245.71259.28163.93 313.04 334.45162.12 PROPOSED UTILITY EASEMENT(BY SEPARATE INSTRUMENT)PROPOSED UTILITY EASEMENT (BY SEPARATE INSTRUMENT)PROPOSED UTILITY EASEMENT(BY SEPARATE INSTRUMENT)PROPOSED ROAD EASEMENT (BY SEPARATE INSTRUMENT)303028.5 20 8.5 161628.5 20 8.5S89°48'06"W 524.96N00°12'08"W 476.97 28.27N44°49'18"E N89°50'44"E 505.00S00°11'54"E 496.57 PROPOSED ROAD EASEMENT (BY SEPARATE INSTRUMENT)SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED LAND SURVEYOR UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10PP01.DWG EDINA, MN10/16/2070TH AND FRANCE REDEVELOPMENTPRELIMINARY PLAT 70TH AND FRANCE REDEVELOPMENTC101 4587310/16/20 Nathan H. Carlson . NHC BJY 10/16/20 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSONNOT FOR CONSTRUCTION:HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com0'30'60'90'1" = 30'30' 6' or 3' 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.10LOT 12.02 AC.LOT AREA(ACRE)LEGALDESCRIPTIONOFFICE/GROCERYPROPOSED USELOT 21.99 AC.MULTI-FAMILY RESIDENTIALLOT 30.93 AC.SENIOR HOUSINGLOT 41.03 AC.BANKSITE DATA CHARTOrion/Mortenson4530 West 77th St., Ste. 365Edina, MN 55435OWNER / SUBDIVIDERENGINEERWESTWOOD PROFESSIONAL SERVICES12701 WHITEWATER DRIVE, SUITE 300,MINNETONKA, MINNESOTA 55343Phone: 952-937-5150ZONINGEXISTING: PCD-3 - PLANNED COMMERCIALPROPOSED: PUD - PLANNED UNIT DEVELOPMENTTOTAL5.97 AC. XXXFND.TPOST20.00FRANCE AVENUE SOUTH COUNTY ROAD NO. 17 WEST 70TH STREET8882010 20 10 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)1520 15SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)ST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASHGW: 852.7GW: 853.5GW: 857.5GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDST-101GW: 852.9ST-102GW: 853.5ST-103GW: 853.5ST-104GW: 854.6ST-105GW: NOT OBSERVEDST-106GW: 853.4ST-107GW: NOT OBSERVEDST-108GW: NOT OBSERVEDFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 COMMERCIAL/RETAIL SPACEFOOTPRINT = 47,200 SFFFE (HOSPITALITY) = 870.00FFE (OFFICE LOBBY) = 868.00FFE (LOADING DOCK) = 866.00MULTI-FAMILY HOUSINGBUILDING FOOTPRINT = 44,300 SFFFE (RESIDENTIAL) = 870.75PARKING RAMPFFE = 866.50GFE = 856.00GFE = 860.00GFE = 860.75GFE = 857.00TPROPOSED FINANCIALINSTITUTIONFOOTPRINT = 6,200 SFFFE = 866.00XXXXXLOT 1LOT 2LOT 3LOT 410'8.5' (TYP.)24'24'24'24'24'9'8.5'R10'R10'R10'R30'R20'R200'R224'R146'R123'R40'20'8.5'16.33'8.5'14.67'24'35.72'182.0'109.5'74.7'29.3'51.0'13.3'33.2'25.5'34.8'13.9'42.5'AAAABBA56'25.5'1A1A1A1A1A1A1A1A1A1A1A1A1A22555556D1B51B78888888888889A9A9A9A9A11111111111111111111131313134348488A8A8A9A8A8A8AEBB212110.9'12.5'12.0'8.7'10.0'8.0'S.1S.1S.4S.2S.1S.4S.1S.4S.2S.3S.4S.1S.4S.1S.4S.3S.3R20'R20'20'8.5'16.33'8.5'14.67'20'8.5'16.33'8.5'14.67'R20'R20'24'25.5'SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10SP01.DWG EDINA, MN09/13/202170TH AND FRANCE REDEVELOPMENTSITE PLAN 70TH AND FRANCE REDEVELOPMENTC200 .09/13/2021 DAVID T. BADE . . . 10/16/2020 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSONNOT FOR CONSTRUCTION:HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com0'30'60'90'1" = 30'30' 6' or 3' 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.10S.1S.10S.2S.3REFERENCESTOP SIGNS.4NO TRUCKSRIGHT LANE MUST TURN RIGHTPEDESTRIAN CROSSING1A B612 CURB AND GUTTER1B B618 CURB AND GUTTER2 SURMOUNTABLE CURB AND GUTTER5 VALLEY GUTTER6 CONCRETE CROSS GUTTER7 ENTRANCE THRU CURB AND GUTTER8 PRIVATE CONCRETE SIDEWALK8A PUBLIC CONCRETE SIDEWALK9 PRIVATE PEDESTRIAN CURB RAMP9A PUBLIC PEDESTRIAN CURB RAMP11 CROSS WALK STRIPING13 TRAFFIC ARROW14 SIGN INSTALLATION19 PAVEMENT SECTIONS21 HEAVY DUTY CONCRETE SECTION22 SAW CUT CONTROL JOINT24 CONCRETE CURB AT SIDEWALK31 TRANSITION CURB (B612)43 RETAINING WALL WITH FENCE USING SLEEVE-IT SYSTEM45 B612 AND SURMOUNTABLE CURB TRANSITION48 CONCRETE STAIR AND RAILING DETAIL1·EXISTING ZONING:PDC-3, PLANNED COMMERCIAL·PROPOSED ZONING:PUD - PLANNED UNIT DEVELOPMENT·PARCEL DESCRIPTION:LOT 1, BLOCK 1, YORKTOWN, HENNEPINCOUNTY, MINNESOTA·PROPERTY AREA:260,594 SF (5.98 AC)·PERVIOUS SURFACE:71,861 SF (27.6%)·IMPERVIOUS SURFACE(RATIO):188,733 SF (72.4%)·FLOOR-AREA-RATIO(FAR):SEE ARCH PLANS·BUILDING SETBACK PER CODE:XX'=FRONTXX'=SIDE / XX'=SIDE TO ROWXX'=REARLOT 1BLDG FOOTPRINTAREA(SF)LOT AREA(ACRE)LEGALDESCRIPTION51,600PROPOSED USELOT 2LOT 3LOT 4TOTAL5.98 AC.123,050-44,30021,0506,100SIGN LEGENDSITE DETAILS (SI-0XX)SITE DEVELOPMENT SUMMARYSITE DATA CHART1. BACKGROUND INFORMATION FOR THIS PROJECT PROVIDED BY WESTWOOD PROFESSIONALSERVICES, MINNETONKA, MN, 2020.2. LOCATIONS AND ELEVATIONS OF EXISTING TOPOGRAPHY AND UTILITIES AS SHOWN ON THISPLAN ARE APPROXIMATE. CONTRACTOR SHALL FIELD VERIFY SITE CONDITIONS AND UTILITYLOCATIONS PRIOR TO EXCAVATION/CONSTRUCTION. IF ANY DISCREPANCIES ARE FOUND, THEENGINEER SHOULD BE NOTIFIED IMMEDIATELY.3. REFER TO BOUNDARY SURVEY FOR LOT BEARINGS, DIMENSIONS AND AREAS.4. ALL DIMENSIONS ARE TO FACE OF CURB OR EXTERIOR FACE OF BUILDING UNLESS OTHERWISENOTED.5. REFER TO ARCHITECTURAL PLANS FOR EXACT BUILDING DIMENSIONS AND LOCATIONS OFEXITS, RAMPS, AND TRUCK DOCKS.6. ALL CURB RADII ARE SHALL BE 5.0 FEET (TO FACE OF CURB) UNLESS OTHERWISE NOTED.7. ALL CURB AND GUTTER SHALL BE B612 UNLESS OTHERWISE NOTED.8. THE CONTRACTOR SHALL BE RESPONSIBLE FOR PROVIDING AND MAINTAINING TRAFFICCONTROL DEVICES SUCH AS BARRICADES, WARNING SIGNS, DIRECTIONAL SIGNS, FLAGGERSAND LIGHTS TO CONTROL THE MOVEMENT OF TRAFFIC WHERE NECESSARY. PLACEMENT OFTHESE DEVICES SHALL BE APPROVED BY THE CITY AND ENGINEER PRIOR TO PLACEMENT.TRAFFIC CONTROL DEVICES SHALL CONFORM TO APPROPRIATE MNDOT STANDARDS.9. BITUMINOUS PAVEMENT AND CONCRETE SECTIONS TO BE IN ACCORDANCE WITH THERECOMMENDATIONS OF THE GEOTECHNICAL ENGINEER.10. CONTRACTOR SHALL MAINTAIN FULL ACCESS TO ADJACENT PROPERTIES DURINGCONSTRUCTION AND TAKE ALL PRECAUTIONS NECESSARY TO AVOID PROPERTY DAMAGE TOADJACENT PROPERTIES.11. SITE LIGHTING SHOWN ON PLAN IS FOR REFERENCE ONLY. REFER TO LIGHTING PLAN PREPAREDBY OTHERS FOR SITE LIGHTING DETAILS AND PHOTOMETRICS.GENERAL SITE NOTESPROPERTY LINESETBACK LINEEASEMENT LINECURB AND GUTTERLOT LINEPOND NORMAL WATER LEVELRETAINING WALLCONCRETE PAVEMENTNUMBER OF PARKING STALLSTRANSFORMERSITE LIGHTINGEXISTINGPROPOSEDFENCEXXHEAVY DUTY BITUMINOUS PAVEMENTNORMAL DUTY BITUMINOUS PAVEMENTTRAFFIC SIGNPOWER POLEBOLLARD / POSTCONCRETE SIDEWALKTIP-OUT CURB AND GUTTERSITE LEGEND5T 2.02 AC.OFFICE/GROCERY1.99 AC.MULTI-FAMILY RESIDENTIAL0.93 AC.SENIOR HOUSING1.03 AC.BANKA. PLANTER CURB (TYP.)B. CONCRETE PAVERS (TYP.)C. GENERATORD. EXISTING SURMOUNTABLE CURB IN ROUNDABOUTE. BIKE LANE EXIT RAMP ONTO SHARED SIDEWALKSITE KEYNOTESX 865 8708708708708708 7 0 8758 7 5 862 863 864 866 86786786786886886886986986986 9 871 871 87187187187 1 871871872872872 8 7 2 8728728738 7 3 8748 7 4 860860865865 865865870870858858859859861861862862863863864864864 864866866866866867867867 867868868868868869869871870870867867868 8 6 9 869860 870859 859 861862863864 867868869871872870866867868869871861862863864865862863864 866 867867 COMMERCIAL/RETAIL SPACEFOOTPRINT = 47,200 SFFFE (HOSPITALITY) = 870.00FFE (OFFICE LOBBY) = 868.00FFE (LOADING DOCK) = 866.00MULTI-FAMILY HOUSINGBUILDING FOOTPRINT = 44,300 SFFFE (RESIDENTIAL) = 870.75PARKING RAMPFFE = 866.50GFE = 856.00GFE = 860.00GFE = 860.75GFE = 857.00PROPOSED FINANCIALINSTITUTIONFOOTPRINT = 6,200 SFFFE = 866.00XXXXXGASGASGASGASGASGASGASGASGAS GAS GAS PUG PUG PUGPUG PUG PUG PUG PUG PUGFOFOFOFOFOFOFOFOFOFOFOFO FO FO FOFOFO FO FOPUGPUGPUGPUG WAT PUG PUG PUG PUG PUG PUG PUGPUGPUGPUGPUGPUGGAS GAS CTVCTV CTVCTVCTVCTVCTVCTVFO FO FO FOFOFOFOFOFOFOFO FO FO FO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOTUGPUGPUG PUGPUGPUGPUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXFO FOFOFOFOFOFOFOFOFOFOPUGPUGPUGFND.TPOSTSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTO ST OSTOSTOSTOSTOSTOSTOSANSANSANSANSAN20.00STOSANSTO STO WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 WEST 70TH STREET8882010 20 10 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)1520 15SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)EEEEEEEEEEMGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTOSTOSTOSTORIM=871.0FULL OFDEBRISRIM=870.6INV(E)=866.4INV(NE)-866.3RIM=871.6INV(E)=865.1INV(W)=864.9INV(S)=866.1RIM=869.1INV(E)=864.5RIM=868.3INV(N/E)=864.3INV(W)=863.6RIM=866.7INV(N)=862.7INV(S)=863.0INV(E/W)=862.6RIM=866.5INV(N)=862.6INV(E)=862.5INV(W)=861.7RIM=871.5INV(E)=867.215"RCPRIM=867.5INV=863.2RIM = 862.97IE = 855.15 (CITY AS-BUILT)RIM=866.8INV(E)=859.4INV(W)=859.1RIM=862.8INV(N)=857.2INV(E)=859.2INV(SE)=857.5INV(SW)=856.3RIM=866.2INV=863.3RIM=869.5FULLOFWATERRIM=871.1INV=868.0RIM=863.4FULL OF ICE & DEBRISRIM=863.1INV(NE)=859.6INV(W)=859.1RIM=861.2INV=858.112" RCPRIM=861.8INV(E)=857.7INV(W)=858.2INV(S)=857.6RIM=862.1INV=857.912" RCPRIM=862.5INV(N)=852.8INV(S)=852.615" RCP21" RCPS12" RCP21" RCP12" RCP21" RCP9" CLAY @ 0.8%24" RCP24" RCP24" RCP12" RCP 8"PVC 12"RCPST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASHGW: 852.7GW: 853.5GW: 857.5GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDST-101GW: 852.9ST-102GW: 853.5ST-103GW: 853.5ST-104GW: 854.6ST-105GW: NOT OBSERVEDST-106GW: 853.4ST-107GW: NOT OBSERVEDST-108GW: NOT OBSERVED15" RCPSTOSTOSTO871.83870.00870.20867.50870.00869.20869.11868.80867.68866.96866.77866.63866.42865.35870.00870.00868.00867.00870.20870.68870.71870.70870.75870.15866.22865.36865.53866.50866.50865.60864.60870.59E.O.F.864.72867.00869.42E.O.F.867.65E.O.F.867.60E.O.F.866.20E.O.F.866.61866.71866.37869.51870.77870.00870.00868.50867868869868.04866866866867870868869SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10GD01.DWG EDINA, MN09/13/202170TH AND FRANCE REDEVELOPMENTGRADING PLAN 70TH AND FRANCE REDEVELOPMENTC300 .09/13/2021 DAVID T. BADE . . . 10/16/2020 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSON :HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.10PROPERTY LINE982980POND NORMAL WATER LEVELRIDGE LINETOP AND BOTTOM OF RETAINING WALLEMERGENCY OVERFLOWSB-19SOIL BORING LOCATIONSTOSTORM SEWERDRAIN TILEWATER MAINSANITARY SEWEREXISTINGPROPOSEDINDEX CONTOURINTERVAL CONTOUR982980WATSANSPOT ELEVATIONFLOW DIRECTIONSB-19RETAINING WALLGRADING LIMITSGLCURB AND GUTTERFLARED END SECTION (WITH RIPRAP)GRADING LEGEND1. LOCATIONS AND ELEVATIONS OF EXISTING TOPOGRAPHY AND UTILITIES AS SHOWN ON THISPLAN ARE APPROXIMATE. CONTRACTOR SHALL FIELD VERIFY SITE CONDITIONS AND UTILITYLOCATIONS PRIOR TO EXCAVATION/CONSTRUCTION. THE ENGINEER SHALL BE NOTIFIEDIMMEDIATELY IF ANY DISCREPANCIES ARE FOUND.2. CONTRACTORS SHALL REFER TO ARCHITECTURAL PLANS FOR EXACT LOCATIONS ANDDIMENSIONS OF VESTIBULE, SLOPED PAVEMENT, EXIT PORCHES, RAMPS, TRUCK DOCKS, PRECISEBUILDING DIMENSIONS, EXACT BUILDING UTILITY ENTRANCE LOCATIONS, AND EXACTLOCATIONS AND NUMBER OF DOWNSPOUTS.3. ALL EXCAVATION SHALL BE IN ACCORDANCE WITH THE CURRENT EDITION OF "STANDARDSPECIFICATIONS FOR TRENCH EXCAVATION AND BACKFILL/SURFACE RESTORATION" ASPREPARED BY THE CITY ENGINEERS ASSOCIATION OF MINNESOTA.4. ALL DISTURBED UNPAVED AREAS ARE TO RECEIVE FOUR INCHES OF TOPSOIL AND SOD OR SEED.THESE AREAS SHALL BE WATERED UNTIL A HEALTHY STAND OF GRASS IS OBTAINED. SEELANDSCAPE PLAN FOR PLANTING AND TURF ESTABLISHMENT.5. THE CONTRACTOR SHALL BE RESPONSIBLE FOR PROVIDING AND MAINTAINING TRAFFICCONTROL DEVICES SUCH AS BARRICADES, WARNING SIGNS, DIRECTIONAL SIGNS, FLAGMENAND LIGHTS TO CONTROL THE MOVEMENT OF TRAFFIC WHERE NECESSARY. PLACEMENT OFTHESE DEVICES SHALL BE APPROVED BY THE ENGINEER PRIOR TO PLACEMENT. TRAFFICCONTROL DEVICES SHALL CONFORM TO APPROPRIATE MNDOT STANDARDS.6. ALL SLOPES SHALL BE GRADED TO 3:1 OR FLATTER, UNLESS OTHERWISE INDICATED ON THISSHEET.7. CONTRACTOR SHALL UNIFORMLY GRADE AREAS WITHIN LIMITS OF GRADING AND PROVIDE ASMOOTH FINISHED SURFACE WITH UNIFORM SLOPES BETWEEN POINTS WHERE ELEVATIONSARE SHOWN OR BETWEEN SUCH POINTS AND EXISTING GRADES.8. SPOT ELEVATIONS SHOWN INDICATE FINISHED PAVEMENT ELEVATIONS & GUTTER FLOWLINE UNLESS OTHERWISE NOTED. PROPOSED CONTOURS ARE TO FINISHED SURFACEGRADE.9. SEE SOILS REPORT FOR PAVEMENT THICKNESSES AND HOLD DOWNS.10. CONTRACTOR SHALL DISPOSE OF ANY EXCESS SOIL MATERIAL THAT EXISTS AFTER THE SITEGRADING AND UTILITY CONSTRUCTION IS COMPLETED. THE CONTRACTOR SHALL DISPOSE OFALL EXCESS SOIL MATERIAL IN A MANNER ACCEPTABLE TO THE OWNER AND THE REGULATINGAGENCIES.11. CONTRACTOR SHALL PROVIDE A STRUCTURAL RETAINING WALL DESIGN CERTIFIED BY ALICENSED PROFESSIONAL ENGINEER.12. ALL CONSTRUCTION SHALL CONFORM TO LOCAL, STATE AND FEDERAL RULES INCLUDING THENATIONAL POLLUTANT DISCHARGE ELIMINATION SYSTEM (NPDES) PERMIT REQUIREMENTS.13. PRIOR TO PLACEMENT OF ANY STRUCTURE OR PAVEMENT, A PROOF ROLL, AT MINIMUM, WILLBE REQUIRED ON THE SUBGRADE. PROOF ROLLING SHALL BE ACCOMPLISHED BY MAKINGMINIMUM OF 2 COMPLETE PASSES WITH FULLY-LOADED TANDEM-AXLE DUMP TRUCK, ORAPPROVED EQUAL, IN EACH OF 2 PERPENDICULAR DIRECTIONS WHILE UNDER SUPERVISIONAND DIRECTION OF THE INDEPENDENT TESTING LABORATORY. AREAS OF FAILURE SHALL BEEXCAVATED AND RE-COMPACTED AS SPECIFIED HEREIN.14. EMBANKMENT MATERIAL PLACED BENEATH BUILDINGS AND STREET OR PARKING AREAS SHALLBE COMPACTED IN ACCORDANCE WITH THE SPECIFIED DENSITY METHOD AS OUTLINED INMNDOT 2105.3F1 AND THE REQUIREMENTS OF THE GEOTECHNICAL ENGINEER.15. EMBANKMENT MATERIAL NOT PLACED IN THE BUILDING PAD, STREETS OR PARKING AREA,SHALL BE COMPACTED IN ACCORDANCE WITH REQUIREMENTS OF THE ORDINARYCOMPACTION METHOD AS OUTLINED IN MNDOT 2105.3F2.16. ALL SOILS AND MATERIALS TESTING SHALL BE COMPLETED BY AN INDEPENDENTGEOTECHNICAL ENGINEER. EXCAVATION FOR THE PURPOSE OF REMOVING UNSTABLE ORUNSUITABLE SOILS SHALL BE COMPLETED AS REQUIRED BY THE GEOTECHNICAL ENGINEER. THECONTRACTOR SHALL BE RESPONSIBLE FOR COORDINATING ALL REQUIRED SOILS TESTS ANDINSPECTIONS WITH THE GEOTECHNICAL ENGINEER.1. BASIN EXCAVATION AND PIPE INSTALLATION MAY TAKE PLACE BEFORE CURB INSTALLATION.ALL OTHER BASIN CONSTRUCTION MUST WAIT UNTIL FINAL SITE LANDSCAPING. REMOVESEDIMENT FROM EXCAVATED BASIN PRIOR TO PLACEMENT OF FILTER MEDIA. PLACE SANDBAGS OR SIMILAR ITEM IN CURB CUTS TO PRE-FILTER STORM WATER UNTIL PLANTS AREESTABLISHED IN BASINS. MAINTAIN INLET PROTECTION ON DOWN STREAM INLETS UNTILBASINS ARE ON-LINE.2. BASIN EXCAVATION SHALL BE WITH TOOTHED-BUCKETS TO SCARIFY THE BOTTOM.3. PLACE SILT FENCE AROUND BASINS AS SHOWN IMMEDIATELY AFTER BASIN CONSTRUCTION.4. BASINS MUST BE TESTED FOR INFILTRATION RATE AFTER TOTAL SITE STABILIZATION. A DUALRING INFILTROMETER SHALL BE USED FOR TESTING. MINIMUM INFILTRATION RATE IS 1-INCHPER HOUR. IF BASIN DOES NOT MEET INFILTRATION RATE, CONTRACTOR MUST TAKECORRECTIVE ACTION UNTIL MINIMUM INFILTRATION RATE IS MET. CORRECTIVE ACTION MAYINCLUDE REMOVING PLUG IN DRAIN TILE. ALL TESTING AND CORRECTIVE ACTION SHALL BETHE RESPONSIBILITY OF THE CONTRACTOR, AND SHALL BE INCIDENTAL TO THE CONTRACT,WITH NO DIRECT COMPENSATION MADE.GRADING NOTESFILTRATION/INFILTRATION BASIN NOTES0.00%900.00900.00TW=XXX.XXBW=XXX.XXE.O.F.NOT FOR CONSTRUCTION0'30'60'90'1" = 30'GEOTECHNICAL EVALUATIONS FOUND A LAYER OF CLAYEY SAND APPROXIMATELY 4 FEET BELOWTHE BOTTOM OF THE PROPOSED INFILTRATION CHAMBERS. SHOULD THIS MATERIAL BEENCOUNTERED DURING CONSTRUCTION, THE EXISTING CLAYEY SAND MUST BE REMOVED ANDREPLACED WITH MATERIAL HAVING AN INFILTRATION RATE COMPARABLE WITH THEPOORLY-GRADED SAND LOCATED AT THE BOTTOM OF THE SYSTEM.SOIL REPLACEMENT NOTE 865 8708708708708708 7 0 8758 7 5 862 863 864 866 86786786786886886886986986986 9 871 871 87187187187 1 871871872872872 8 7 2 8728728738 7 3 8748 7 4 860860865865 865865870870858858859859861861862862863863864864864 864866866866866867867867 867868868868868869869871870870867867868 8 6 9 869860 870859 859 861862863864 867868869871872870866867868869871861862863864865862863864 866 867867 TUG XXXFND.TPOSTSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTO ST OSTOSTOSTOSTOSTOSTOSTOSTOSTOFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 WEST 70TH STREETEEEEEEEEEEMGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTOSTOSTOSTOSST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASHGW: 852.7GW: 853.5GW: 857.5GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDST-101GW: 852.9ST-102GW: 853.5ST-103GW: 853.5ST-104GW: 854.6ST-105GW: NOT OBSERVEDST-106GW: 853.4ST-107GW: NOT OBSERVEDST-108GW: NOT OBSERVEDSTOSTOSTOCOMMERCIAL/RETAIL SPACEFOOTPRINT = 47,200 SFFFE (HOSPITALITY) = 870.00FFE (OFFICE LOBBY) = 868.00FFE (LOADING DOCK) = 866.00MULTI-FAMILY HOUSINGBUILDING FOOTPRINT = 44,300 SFFFE (RESIDENTIAL) = 870.75PARKING RAMPFFE = 866.50GFE = 856.00GFE = 860.00GFE = 860.75GFE = 857.00PROPOSED FINANCIALINSTITUTIONFOOTPRINT = 6,200 SFFFE = 866.00XXXXX871.83ROCKCONSTRUCTIONENTRANCESFSFSFSFSFSFSFSFSFSFSFSFSFSFSFSFSFSF SFSFSFSFSFSFSFSFSFSFSFINLET PROTECTION (TYP.)SILT FENCESILT FENCESILT FENCESILT FENCEINLET PROTECTION (TYP.)ROCK LOG INLET PROTECTIONSHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10EC01.DWG EDINA, MN09/13/202170TH AND FRANCE REDEVELOPMENTEROSION CONTROL PLAN 70TH AND FRANCE REDEVELOPMENTC301 .09/13/2021 DAVID T. BADE DTB DTB TDM 10/16/2020 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSON :HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.10NOT FOR CONSTRUCTION0'30'60'90'1" = 30'PROPERTY LINESILT FENCEPOND NORMAL WATER LEVELROCK CONSTRUCTION ENTRANCEEROSION CONTROL BLANKETEMERGENCY OVERFLOWSOIL BORING LOCATIONSTORM SEWERDRAIN TILEWATER MAINSANITARY SEWERINLET PROTECTIONEXISTINGPROPOSEDINDEX CONTOURINTERVAL CONTOURRETAINING WALLSFGRADING LIMITSCURB AND GUTTERFLARED END SECTION (WITH RIPRAP)TURF REINFORCEMENT MATEROSION CONTROL LEGEND1. THE CONTRACTOR IS SPECIFICALLY CAUTIONED THAT THE LOCATION AND/OR ELEVATION OFEXISTING UTILITIES AS SHOWN ON THESE PLANS ARE BASED ON RECORDS OF THE VARIOUSUTILITY COMPANIES AND LIMITED MEASUREMENTS TAKEN IN THE FIELD. THE INFORMATIONSHALL NOT BE RELIED ON AS BEING EXACT OR COMPLETE. THE CONTRACTOR SHALL VERIFYEXISTING CONDITIONS PRIOR TO CONSTRUCTION AND NOTIFY THE OWNER OR ENGINEER OFDISCREPANCIES.2. ALL SILT FENCE AND OTHER EROSION CONTROL FEATURES SHALL BE IN-PLACE PRIOR TO ANYEXCAVATION/CONSTRUCTION AND SHALL BE MAINTAINED UNTIL VIABLE TURF OR GROUNDCOVER HAS BEEN ESTABLISHED. EXISTING SILT FENCE ON-SITE SHALL BE MAINTAINED AND ORREMOVED AND SHALL BE CONSIDERED INCIDENTAL TO THE GRADING CONTRACT. IT IS OFEXTREME IMPORTANCE TO BE AWARE OF CURRENT FIELD CONDITIONS WITH RESPECT TOEROSION CONTROL. TEMPORARY PONDING, DIKES, HAYBALES, ETC., REQUIRED BY THE CITYSHALL BE INCIDENTAL TO THE GRADING CONTRACT.3. EROSION AND SILTATION CONTROL (ESC): THE CONTRACTOR SHALL ASSUME COMPLETERESPONSIBILITY FOR CONTROLLING ALL SILTATION AND EROSION OF THE PROJECT AREA. THECONTRACTOR SHALL USE WHATEVER MEANS NECESSARY TO CONTROL THE EROSION ANDSILTATION INCLUDING BUT NOT LIMITED TO: CATCH BASIN INSERTS, CONSTRUCTIONENTRANCES, EROSION CONTROL BLANKET, AND SILT FENCE. ESC SHALL COMMENCE WITHGRADING AND CONTINUE THROUGHOUT THE PROJECT UNTIL ACCEPTANCE OF THE WORK BYTHE OWNER. THE CONTRACTOR'S RESPONSIBILITY INCLUDES ALL IMPLEMENTATION ASREQUIRED TO PREVENT EROSION AND THE DEPOSITING OF SILT. THE OWNER MAY DIRECT THECONTRACTOR'S METHODS AS DEEMED FIT TO PROTECT PROPERTY AND IMPROVEMENTS. ANYDEPOSITION OF SILT OR MUD ON NEW OR EXISTING PAVEMENT OR IN EXISTING STORMSEWERS OR SWALES SHALL BE REMOVED AFTER EACH RAIN EVENT. AFFECTED AREAS SHALL BECLEANED TO THE SATISFACTION OF THE OWNER, ALL AT THE EXPENSE OF THE CONTRACTOR.ALL TEMPORARY EROSION CONTROL SHALL BE REMOVED BY THE CONTRACTOR AFTER THETURF IS ESTABLISHED.4. ALL STREETS DISTURBED DURING WORKING HOURS MUST BE CLEANED AT THE END OF EACHWORKING DAY. A CONSTRUCTION ENTRANCE TO THE SITE MUST BE PROVIDED ACCORDING TODETAILS TO REDUCE TRACKING OF DIRT ONTO PUBLIC STREETS.5. PROPOSED PONDS SHALL BE EXCAVATED FIRST AND USED AS TEMPORARY PONDING DURINGCONSTRUCTION.6. WHEN INSTALLING END-OF-LINE FLARED END SECTIONS, BRING THE SILT FENCE UP & OVER THEFLARED END SECTIONS & COVER DISTURBED AREAS WITH RIP RAP. THE UPSTREAM FLARED ENDSECTIONS SHALL HAVE WOOD FIBER BLANKET INSTALLED ON THE DISTURBED SOILS.7. ALL UNPAVED AREAS ALTERED DUE TO CONSTRUCTION ACTIVITIES MUST BE RESTORED WITHSEED AND MULCH, SOD, EROSION CONTROL BLANKET OR BE HARD SURFACE WITHIN 2 WEEKSOF COMPLETION OF CONSTRUCTION.8. THE SITE MUST BE STABILIZED PER THE REQUIREMENTS OF THE MPCA, NPDES, MNDOT, ANDCITY.A. TEMPORARY (GREATER THAN 1-YEAR) SEED SHALL BE MNDOT SEED MIX 22-111 AT30.5-POUNDS PER ACRE.B. TEMPORARY (LESS THAN 1-YEAR) SEED SHALL BE MNDOT SEED MIX 21-112 (FALL) OR21-111 (SPRING/SUMMER) AT 100-POUNDS PER ACREC. INFILTRATION/FILTRATION BASIN SHALL BE MNDOT SEED MIX 34-262 AT 14.5-POUNDS PERACRE.D. POND SLOPES SHALL BE MNDOT SEED MIX 33-261 AT 35-POUNDS PER ACRE.E. GENERAL SEEDING SHALL BE MNDOT SEED MIX 25-151 AT 70-POUNDS PER ACRE.F. MULCH SHALL BE MNDOT TYPE 1 APPLIED AT 2-TONS PER ACRE.9. FOR AREAS WITH SLOPE OF 3:1 OR GREATER, RESTORATION WITH SOD OR EROSION CONTROLBLANKET IS REQUIRED.10. ALL TEMPORARY STOCKPILES MUST HAVE SILT FENCE INSTALLED AROUND THEM TO TRAPSEDIMENT.11. ALL PERMANENT PONDS USED AS TEMPORARY SEDIMENT BASINS DURING CONSTRUCTIONSHALL BE DREDGED AFTER THE SITE HAS BEEN STABILIZED TO RESTORE THE POND TO THEPROPOSED BOTTOM ELEVATION.12. ALL CONSTRUCTION SHALL CONFORM TO LOCAL AND STATE RULES INCLUDING THE NATIONALPOLLUTANT DISCHARGE ELIMINATION SYSTEM (NPDES) PERMIT REQUIREMENTS.13. THE SITE MUST BE KEPT IN A WELL-DRAINED CONDITION AT ALL TIMES. THE CONTRACTORSHALL BE RESPONSIBLE FOR TEMPORARY DITCHES, PIPING OR OTHER MEANS REQUIRED TOINSURE PROPER DRAINAGE DURING CONSTRUCTION. LOW POINTS IN ROADWAYS ORBUILDING PADS MUST BE PROVIDED WITH A POSITIVE OUTFLOW.14. PUBLIC STREETS USED FOR HAULING SHALL BE KEPT FREE OF SOIL AND DEBRIS. STREETSWEEPING SHALL BE CONCURRENT WITH SITE WORK.GENERAL EROSION CONTROL NOTESSTOWATSANGLSB-19SB-19E.O.F.HEAVY DUTY SILT FENCEHDSFBIOROLLBIO982980982980ROCK LOG GASGASGASGASGASGASGASGASGAS GAS GAS PUG PUG PUGPUG PUG PUG PUG PUG PUGFOFOFOFOFOFOFOFOFOFOFOFO FO FO FOFOFO FO FOPUGPUGPUGPUG WAT PUG PUG PUG PUG PUG PUG PUGPUGPUGPUGPUGPUGGAS GAS CTVCTV CTVCTVCTVCTVCTVCTVFO FO FO FOFOFOFOFOFOFOFO FO FO FO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOTUGPUGPUG PUGPUGPUGPUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXFO FOFOFOFOFOFOFOFOFOFOPUGPUGPUGSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTO ST OSTOSTOSTOSTOSTOSTOSANSANSANSANSAN20.00STOSANSTO STO WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 WEST 70TH STREET8882010 20 10 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)1520 15SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)EEEEEEEEEEMGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTOSTOSTOSTORIM = 862.97IE = 855.15 (CITY AS-BUILT)S9" CLAY @ 0.8%ST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASHGW: 852.7GW: 853.5GW: 857.5GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDST-101GW: 852.9ST-102GW: 853.5ST-103GW: 853.5ST-104GW: 854.6ST-105GW: NOT OBSERVEDST-106GW: 853.4ST-107GW: NOT OBSERVEDST-108GW: NOT OBSERVEDSTOSTOSTOCOMMERCIAL/RETAIL SPACEFOOTPRINT = 47,200 SFFFE (HOSPITALITY) = 870.00FFE (OFFICE LOBBY) = 868.00FFE (LOADING DOCK) = 866.00MULTI-FAMILY HOUSINGBUILDING FOOTPRINT = 44,300 SFFFE (RESIDENTIAL) = 870.75PARKING RAMPFFE = 866.50GFE = 856.00GFE = 860.00GFE = 860.75GFE = 857.00PROPOSED FINANCIALINSTITUTIONFOOTPRINT = 6,200 SFFFE = 866.00XXXXX8" SAN STUBIE=858.608" WM STUB8" SAN STUBIE=856.948" WM STUB8" WM STUB6" SAN STUBIE=856.466" SAN STUBIE=860.278" SAN STUBIE=861.366" WM STUB8" WM STUBHYDRANTHYDRANTHYDRANTHYDRANTHYDRANT109 LF - 10" PVC @ 0.70%SAN MH 11RIM=863.85IE(E)=855.50IE(SW)=855.40CORE DRILL INTOEXISTING SAN MH 10RAISE RIM TO 863.67IE(S,NE)=855.1536 LF - 10" PVC @ 0.70%SAN MH 12RIM=864.56IE(N,E)=855.83IE(W)=855.73SAN MH 13RIM=865.55IE(N,E)=856.69IE(W)=856.59222 LF - 10" PVC @ 0.70%SAN MH 14RIM=866.94IE(E,S)=858.34IE(W)=858.24SAN MH 15RIM=867.78IE(N)=859.15IE(W)=859.05102 LF - 10" PVC @ 0.70%SAN MH 16RIM=867.89IE(W,N)=859.95IE(S)=859.85100 LF - 10" PVC @ 0.70%171 LF - 8" PVC @ 0.70%SAN MH 16RIM=870.32IE(W)=861.25IE(S)=861.1516 LF - 8" PVC @ 0.70%16 LF - 6" PVC @ 2.00%26 LF - 10" PVC @ 1.00%25 LF - 8" PVC @ 1.00%INSULATE PIPE25 LF - 6" PVC @ 2.00%8" DIP1234567891011121314151617181920AAA8" DIP8" DIP8" DIP8" DIP33 LF - 10"PVC @ 0.70%REFER TO US BANK LOT PLANS FORLOT SPECIFIC UTILITY INFORMATIONSHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10UT01.DWG EDINA, MN09/13/202170TH AND FRANCE REDEVELOPMENTSANITARY AND WATERMAIN PLAN 70TH AND FRANCE REDEVELOPMENTC400 .09/13/2021 DAVID T. BADE . . . 10/16/2020 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSON :HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.10SANEXISTINGPROPOSEDSANITARY SEWERSTOSTORM SEWERWATWATER MAINEASEMENT LINEPROPERTY LINEWATHYDRANTGATE VALVEDRAIN TILEFLARED END SECTION (WITH RIPRAP)LIGHT POLEGASGASGASPUGUNDERGROUND ELECTRICPUGTUGUNDERGROUND TELEPHONETOHPOHOVERHEAD ELECTRICPOHTOHOVERHEAD TELEPHONETOHFOTELEPHONE FIBER OPTICFOCTVCABLE TELEVISIONCTVFMFMSANITARY SEWER FORCE MAINCURB AND GUTTERUTILITY LEGEND1. THE CONTRACTOR IS SPECIFICALLY CAUTIONED THAT THE LOCATION AND/OR ELEVATION OF EXISTING UTILITIES AS SHOWN ON THESEPLANS ARE BASED ON RECORDS OF THE VARIOUS UTILITY COMPANIES AND LIMITED MEASUREMENTS TAKEN IN THE FIELD. THEINFORMATION SHALL NOT BE RELIED ON AS BEING EXACT OR COMPLETE. THE CONTRACTOR SHALL VERIFY EXISTING CONDITIONS PRIORTO CONSTRUCTION AND NOTIFY THE OWNER OR ENGINEER OF DISCREPANCIES.2. ALL SANITARY SEWER, STORM SEWER AND WATER MAIN MATERIAL AND INSTALLATIONS SHALL BE PER CITY REQUIREMENTS, MINNESOTAPLUMBING CODE, AND IN ACCORDANCE WITH THE CURRENT EDITION OF "STANDARD SPECIFICATIONS FOR WATER MAIN AND SERVICELINE INSTALLATION AND SANITARY SEWER AND STORM SEWER INSTALLATION" AS PREPARED BY THE CITY ENGINEERS ASSOCIATION OFMINNESOTA.3. PRIOR TO CONSTRUCTION, THE CONTRACTOR SHALL OBTAIN THE NECESSARY FEDERAL, STATE AND LOCAL PERMITS FOR THE PROPOSEDWORK OR VERIFY WITH THE OWNER OR ENGINEER THAT PERMITS HAVE BEEN OBTAINED. PERMIT FEES SHALL BE THE RESPONSIBILITY OFTHE CONTRACTOR UNLESS OTHERWISE ARRANGED WITH THE OWNER.4. CONTRACTOR SHALL REFER TO ARCHITECTURAL PLANS FOR EXACT LOCATION AND DIMENSIONS OF DOORWAYS, RAMPS, TRUCK DOCKS,PRECISE BUILDING DIMENSIONS AND EXACT BUILDING UTILITY CONNECTION LOCATIONS.5. ALL PRIVATE UTILITIES SHALL BE CONSTRUCTED IN ACCORDANCE WITH THE SPECIFICATIONS OF THE APPROPRIATE UTILITY COMPANY.THE CONTRACTOR SHALL COORDINATE THE SERVICE LINE CONSTRUCTION WITH THE UTILITY COMPANIES.6. CONTRACTOR SHALL OBTAIN ALL NECESSARY CITY PERMITS FOR UTILITY CONNECTIONS, AND UTILITIES SHALL BE INSPECTED ANDAPPROVED BY THE CITY. THE CITY SHALL BE NOTIFIED 48-HOURS PRIOR TO COMMENCING WITH THE UTILITY CONSTRUCTION OR ANYREQUIRED TESTING. CONTRACTOR SHALL NOT OPERATE, INTERFERE WITH, CONNECT ANY PIPE OR HOSE TO, OR TAP ANY WATER MAINBELONGING TO THE CITY UNLESS DULY AUTHORIZED TO DO SO BY THE CITY. ANY ADVERSE CONSEQUENCES OF SCHEDULED ORUNSCHEDULED DISRUPTIONS OF SERVICE TO THE PUBLIC ARE TO BE THE RESPONSIBILITY OF THE CONTRACTOR.7. WATER MAIN LENGTHS AS SHOWN ARE APPROXIMATE HORIZONTAL LENGTHS. ALLOW FOR ADDITIONAL PIPE WHEN INSTALLING ONSLOPES OR WHEN DEFLECTIONS ARE REQUIRED. THE JOINT DEFLECTIONS SHALL NOT EXCEED THE MAXIMUM RECOMMENDED BY THE PIPEMANUFACTURER OR BY LOCAL GOVERNING SPECIFICATIONS. FITTINGS REQUIRED TO CONSTRUCT WATER MAIN SHALL BE INCLUDED INWATER MAIN CONSTRUCTION.8. PROVIDE WATER MAIN THRUST RESTRAINTS PER CITY STANDARD REQUIREMENTS.9. A MINIMUM VERTICAL SEPARATION OF 18 INCHES IS REQUIRED AT ALL WATER LINE CROSSINGS WITH SANITARY SEWER OR STORMSEWER. THE WATER LINE SHALL NOT HAVE JOINTS OR CONNECTION WITHIN 10-FEET OF THE CROSSING. INSULATE CROSSINGS WITHSTORM SEWER.10. UTILITY SERVICES TYPICALLY TERMINATE 5' OUTSIDE BUILDING WALL UNLESS OTHERWISE SHOWN OR NOTED.11. DUCTILE IRON WATER LINES SHALL BE CLASS 52, PER AWWA C115 OR C151. COPPER WATER LINES SHALL BE TYPE K PER ASTM B88. PVCWATER LINES SHALL BE PER AWWA C900 AND INSTALLED PER AWWA C605 IF ALLOWED BY CITY.12. ALL WATER LINES SHALL HAVE 7.5' MINIMUM COVER. INSULATE WATER MAIN IF LESS THAN 8' OF COVER. INSULATION SHALL BE DOWSTYROFOAM HI BRAND 35 OR EQUIVALENT, WITH 4 INCHES OF THICKNESS.13. SANITARY SEWER PIPE OUTSIDE THE BUILDING ENVELOPE SHALL BE POLYVINYL CHLORIDE (PVC) SDR 35 OR 26. SDR 26 IS REQUIRED FORDEPTHS GREATER THAN 15 FEET. SANITARY SEWER PIPE WITHIN 5 FEET OF THE BUILDING AND UNDER FOOTINGS SHALL BE SCHEDULE 40PER ASTM D2665. ALL PLASTIC SANITARY SEWER SHALL BE INSTALLED PER D2321. SOLVENT WELD JOINTS MUST INCLUDE USE OF APRIMER WHICH IS OF A CONTRASTING COLOR TO THE PIPE AND CEMENT. ALL SANITARY SEWER SHALL BE TESTED ACCORDING TOMINNESOTA PLUMBING CODE, PART 712.0.14. STORM SEWER PIPE:A. RCP AND HDPE PIPE MAY BE INSTALLED WITH APPROVAL OF LOCAL GOVERNING AGENCY.B. REINFORCED CONCRETE PIPE SHALL BE CLASS 5 FOR PIPE DIAMETERS 18" AND SMALLER, CLASS 3 FOR PIPE DIAMETERS 21" ANDLARGER UNLESS OTHERWISE NOTED, PER ASTM C76 WITH R-4 GASKETS.C. HDPE STORM PIPE 4- TO 10-INCHES IN DIAMETER SHALL MEET REQUIREMENTS OF AASHTO M252. HDPE STORM PIPE 12- TO60-INCHES IN DIAMETER SHALL MEET REQUIREMENTS OF ASTM F2306. FITTINGS SHALL BE PER ASTM D3212 AND INSTALLED PERASTM D2321.D. PVC STORM SEWER PIPE AND FITTINGS SHALL BE SCHEDULE 40 PIPE PER ASTM D2665 AND INSTALLED PER ASTM D2321.E. CORRUGATED METAL PIPE (CMP) FOR SIZES 18- TO 120-INCH AND MUST MEET ASTM A760 OR ASTM A796 AND BE INSTALLED PERASTM A798. CMP MAY NOT BE INSTALLED WITHIN 10-FEET OF A WATERMAIN, WATER SERVICE, OR A BUILDING.F. ALL STORM SEWER JOINTS AND STRUCTURE CONNECTIONS SHALL BE GASTIGHT OR WATERTIGHT AS REQUIRED BY MINNESOTAPLUMBING CODE, PART 707.3. STORM SEWER LOCATED WITHIN 10-FEET OF A BUILDING AND/OR WATER LINE SHALL BE TESTED PERMINNESOTA PLUMBING CODE, PART 712.15. ALL NONCONDUCTIVE PIPE SHALL BE INSTALLED WITH A LOCATE (TRACER) WIRE PER MINNESOTA RULES, PART 7560.0150.16. POST INDICATOR VALVES SHALL BE CLOW F-5750 (OR EQUIVALENT) MEETING AWWA STANDARD C509 AND CITY STANDARDS. VALVE TOBE MECHANICAL JOINT RESILIENT WEDGE GATE VALVE. POST TO BE ADJUSTABLE FOR 8 FEET WATER MAIN DEPTH. THE ELECTRICAL ALARMSWITCH SHALL BE PART NO. PCVS2 (OR EQUIVALENT).17. AFTER CONSTRUCTION IS COMPLETED, THE CONTRACTOR SHALL PROVIDE THE OWNER WITH AN AS-BUILT RECORD OF UTILITYCONSTRUCTION. THE AS-BUILT SHALL INCLUDE LOCATION AND LENGTH DEVIATIONS OR CHANGES TO THE PLAN. CONTRACTOR TOVERIFY WITH OWNER OR ENGINEER WHETHER A PLAN WITH POST-CONSTRUCTION ELEVATIONS IS REQUIRED.18. ALL MANHOLE CASTINGS IN PAVED AREAS SHALL BE SUMPED 0.05 FEET. RIM ELEVATIONS ON PLAN REFLECT THE SUMPED ELEVATIONS.19. ALL CATCH BASIN CASTINGS IN CURB SHALL BE SUMPED 0.15 FEET AND MANHOLE CASTINGS IN PAVED AREAS SHALL BE SUMPED 0.05FEET. RIM ELEVATIONS ON PLAN REFLECT THE SUMPED ELEVATIONS.GENERAL UTILITY NOTESSDTNOT FOR CONSTRUCTION0'30'60'90'1" = 30'A. CONNECT TO EXISTING. COORDINATE CONNECTION WITH THE CITY.UTILITY KEYNOTEA GASGASGASGASGASGASGASGASGAS GAS GAS PUG PUG PUGPUG PUG PUG PUG PUG PUGFOFOFOFOFOFOFOFOFOFOFOFO FO FO FOFOFO FO FOPUGPUGPUGPUG WAT PUG PUG PUG PUG PUG PUG PUGPUGPUGPUGPUGPUGGAS GAS CTVCTV CTVCTVCTVCTVCTVCTVFO FO FO FOFOFOFOFOFOFOFO FO FO FO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOTUGPUGPUG PUGPUGPUGPUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUG PUG PUG PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXFO FOFOFOFOFOFOFOFOFOFOPUGPUGPUGSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTO ST OSTOSTOSTOSTOSTOSTOSANSANSANSANSAN20.00STOSANSTO STO WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATFRANCE AVENUE SOUTH COUNTY ROAD NO. 17 WEST 70TH STREET8882010 20 10 UTILITY EASEMENT PER THE PLATOF YORKTOWN DOC. NO.1033725 (ITEM NO. 11)22822TELECOMMUNICATIONS EASEMENTPER DOC. NO. 983149 (ITEM NO. 12)SANITARY SEWER EASEMENTPER DOC. NO. (ITEM NO. 11)1520 15SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY)PER DOC. NO. 1033728 (ITEM NO. 14)SCENIC AND OPEN SPACE EASEMENT INFAVOR OF EDINA VILLAGE (NOW CITY) PERDOC. NO. 1033728 (ITEM NO. 14)1010PUBLIC ROAD EASEMENT IN PER DOC.NO. 1036934 (ITEM NO. 15)STREET RIGHT OF WAY DEDICATED IN THE PLAT OFYORKTOWN DOC. NO. 1033725 (ITEM NO. 16)40 40 HIGHWAY EASEMENT PER DOC. NO.2189613 (ITEM NOS. 15 & 16)HIGHWAY EASEMENT PER DOC.NO. 2189613 (ITEM NOS. 15 & 16)PUBLIC STREET, DRAINAGE & UTILITYEASEMENT PER DOC. NO. T4859947(ITEM NO. 16)SIDEWALK & UTILITY EASEMENT PERDOC. NOS. T05067233 &T05132844(ITEM NO. 17)SIDEWALK & UTILITY EASEMENTPER DOC. NOS. T05067233 &T05132844 (ITEM NO. 17)TELECOMMUNICATIONSEASEMENT PER DOC. NO.983149 (ITEM NO. 12)EEEEEEEEEEMGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTOSTOSTOSTORIM=871.0FULL OFDEBRISRIM=870.6INV(E)=866.4INV(NE)-866.3RIM=871.6INV(E)=865.1INV(W)=864.9INV(S)=866.1RIM=869.1INV(E)=864.5RIM=868.3INV(N/E)=864.3INV(W)=863.6RIM=866.7INV(N)=862.7INV(S)=863.0INV(E/W)=862.6RIM=866.5INV(N)=862.6INV(E)=862.5INV(W)=861.7RIM=871.5INV(E)=867.215"RCPRIM=867.5INV=863.2RIM = 862.97IE = 855.15 (CITY AS-BUILT)RIM=866.8INV(E)=859.4INV(W)=859.1RIM=862.8INV(N)=857.2INV(E)=859.2INV(SE)=857.5INV(SW)=856.3RIM=866.2INV=863.3RIM=869.5FULLOFWATERRIM=871.1INV=868.0RIM=863.4FULL OF ICE & DEBRISRIM=863.1INV(NE)=859.6INV(W)=859.1RIM=861.2INV=858.112" RCPRIM=861.8INV(E)=857.7INV(W)=858.2INV(S)=857.6RIM=862.1INV=857.912" RCPRIM=862.5INV(N)=852.8INV(S)=852.615" RCP21" RCPS12" RCP21" RCP12" RCP21" RCP9" CLAY @ 0.8%24" RCP24" RCP24" RCP12" RCP 8"PVC 12"RCPST-5ST-6ST-4ST-3ST-2ST-116" ASH13" LCH14" ASHGW: 852.7GW: 853.5GW: 857.5GW: 848.6GW: NOT OBSERVEDGW: NOT OBSERVEDST-101GW: 852.9ST-102GW: 853.5ST-103GW: 853.5ST-104GW: 854.6ST-105GW: NOT OBSERVEDST-106GW: 853.4ST-107GW: NOT OBSERVEDST-108GW: NOT OBSERVED15" RCPSTOSTOSTOCOMMERCIAL/RETAIL SPACEFOOTPRINT = 47,200 SFFFE (HOSPITALITY) = 870.00FFE (OFFICE LOBBY) = 868.00FFE (LOADING DOCK) = 866.00MULTI-FAMILY HOUSINGBUILDING FOOTPRINT = 44,300 SFFFE (RESIDENTIAL) = 870.75PARKING RAMPFFE = 866.50GFE = 856.00GFE = 860.00GFE = 860.75GFE = 857.00PROPOSED FINANCIALINSTITUTIONFOOTPRINT = 6,200 SFFFE = 866.00XXXXX18" PVC ROOF DRAINIE=863.6415" PVC ROOF DRAINIE=861.0090" CONTECH CMP PIPESBOTTOM OF ROCK=855.50BOTTOM OF PIPES=856.50OUTLET ELEVATION=858.50INFILTRATION VOLUME=18,792 CF100-YEAR FLOOD VOLUME=60,076 CF100-YEAR HWL=863.34STMH 101RIM=863.36IE(S,N,E)=856.6028 LF - 15" RCP@ 1.07%54 LF - 15" RCP @ 1.43%REPLACE STMH 100RIM=863.13IE(W,N)=856.30STMH 102RIM=864.76IE(SW,E)=857.37202 LF - 15" RCP @ 0.50%STMH 103RIM=866.71IE(NE,W)=858.38OCS 104RIM=866.37IE(N)=856.50IE(SW)=858.5024 LF - 15" RCP @ 0.50%CBMH 201RIM=865.36IE(S)=860.66IE(E)=860.58IE(NW)=859.00CB 210RIM=866.22IE(E)=862.7260 LF -21" RCP@ 0.50%STMH 200RIM=866.65IE(W)=862.60IE(SE)=858.70IE(N)=856.503' SUMP=853.50CB 220RIM=865.60IE(W,E)=862.10190 LF - 12" RCP @ 0.50%88 LF - 12" RCP @ 0.50%STMH 202RIM=867.67IE(N)=862.69IE(S)=861.66IE(W)=861.536 LF - 18" PVC@ 2.00%30 LF - TRENCHDRAIN @ 1.00%TRENCH DRAINRIM=869.60IE=868.72TRENCH DRAINRIM=869.72IE=868.72CBMH 301RIM=870.60IE(E)=866.40IE(S,N)=865.0633 LF - 15" RCP @ 0.48%REBUILD STMH 300RIM=871.60IE(N)=867.05IE(E)=865.10IE(S)=864.90IE(W)=864.901234567891011121314151617181920CBMH 203RIM=867.00IE(N,S)=863.0265 LF - 12" STM@ 0.50%CONNECT TOCONTECH CMP PIPE.IE=859.8018" PVC ROOF DRAINIE=863.006 LF - 18" PVC@ 2.00%CONNECT TOCONTECH CMP PIPE.IE=859.8018" PVC ROOF DRAINIE=864.506 LF - 18" PVC@ 2.00%CONNECT TOCONTECH CMP PIPE.IE=859.8018" PVC ROOF DRAINIE=864.506 LF - 18" PVC@ 2.00%CONNECT TOCONTECH CMP PIPE.IE=859.8018" PVC ROOF DRAINIE=863.6845 LF - 18" PVC@ 2.00%CONNECT TOCONTECH CMP PIPE.IE=859.8018" PVC ROOF DRAINIE=863.0445 LF - 18" PVC@ 2.00%CONNECT TOCONTECH CMP PIPE.IE=859.8023 LF -12" RCP@ 0.50%17 LF - 15" PVC @ 2.00%CBMH 302RIM=869.51IE(S)=868.70IE(E)=866.00IE(N)=865.35CB 310RIM=870.77IE=867.2772 LF - 12" RCP @ 0.48%29 LF - 12" RCP@ 4.38%REFER TO US BANK LOT PLANS FORLOT SPECIFIC UTILITY INFORMATIONSUMP MH 230RIM=867.14IE(W)=862.14IE(E)=859.88SUMP=856.88SUMP MH 240RIM=868.50IE(W)=862.78IE(E)=859.88SUMP=856.88SUMP MH 250RIM=869.87IE(W)=864.38IE(E)=859.88SUMP=856.88SUMP MH 260RIM=870.64IE(E)=864.38IE(W)=859.88SUMP=856.88SUMP MH 270RIM=868.94IE(E)=862.88IE(W)=859.88SUMP=856.88SUMP MH 280RIM=867.64IE(E)=863.52IE(W)=859.88SUMP=856.88SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10UT01.DWG EDINA, MN09/13/202170TH AND FRANCE REDEVELOPMENTSTORM SEWER PLAN 70TH AND FRANCE REDEVELOPMENTC401 .09/13/2021 DAVID T. BADE . . . 10/16/2020 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSON :HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.10SANEXISTINGPROPOSEDSANITARY SEWERSTOSTORM SEWERWATWATER MAINEASEMENT LINEPROPERTY LINEWATHYDRANTGATE VALVEDRAIN TILEFLARED END SECTION (WITH RIPRAP)LIGHT POLEGASGASGASPUGUNDERGROUND ELECTRICPUGTUGUNDERGROUND TELEPHONETOHPOHOVERHEAD ELECTRICPOHTOHOVERHEAD TELEPHONETOHFOTELEPHONE FIBER OPTICFOCTVCABLE TELEVISIONCTVFMFMSANITARY SEWER FORCE MAINCURB AND GUTTERUTILITY LEGEND1. THE CONTRACTOR IS SPECIFICALLY CAUTIONED THAT THE LOCATION AND/OR ELEVATION OF EXISTING UTILITIES AS SHOWN ON THESEPLANS ARE BASED ON RECORDS OF THE VARIOUS UTILITY COMPANIES AND LIMITED MEASUREMENTS TAKEN IN THE FIELD. THEINFORMATION SHALL NOT BE RELIED ON AS BEING EXACT OR COMPLETE. THE CONTRACTOR SHALL VERIFY EXISTING CONDITIONS PRIORTO CONSTRUCTION AND NOTIFY THE OWNER OR ENGINEER OF DISCREPANCIES.2. ALL SANITARY SEWER, STORM SEWER AND WATER MAIN MATERIAL AND INSTALLATIONS SHALL BE PER CITY REQUIREMENTS, MINNESOTAPLUMBING CODE, AND IN ACCORDANCE WITH THE CURRENT EDITION OF "STANDARD SPECIFICATIONS FOR WATER MAIN AND SERVICELINE INSTALLATION AND SANITARY SEWER AND STORM SEWER INSTALLATION" AS PREPARED BY THE CITY ENGINEERS ASSOCIATION OFMINNESOTA.3. PRIOR TO CONSTRUCTION, THE CONTRACTOR SHALL OBTAIN THE NECESSARY FEDERAL, STATE AND LOCAL PERMITS FOR THE PROPOSEDWORK OR VERIFY WITH THE OWNER OR ENGINEER THAT PERMITS HAVE BEEN OBTAINED. PERMIT FEES SHALL BE THE RESPONSIBILITY OFTHE CONTRACTOR UNLESS OTHERWISE ARRANGED WITH THE OWNER.4. CONTRACTOR SHALL REFER TO ARCHITECTURAL PLANS FOR EXACT LOCATION AND DIMENSIONS OF DOORWAYS, RAMPS, TRUCK DOCKS,PRECISE BUILDING DIMENSIONS AND EXACT BUILDING UTILITY CONNECTION LOCATIONS.5. ALL PRIVATE UTILITIES SHALL BE CONSTRUCTED IN ACCORDANCE WITH THE SPECIFICATIONS OF THE APPROPRIATE UTILITY COMPANY.THE CONTRACTOR SHALL COORDINATE THE SERVICE LINE CONSTRUCTION WITH THE UTILITY COMPANIES.6. CONTRACTOR SHALL OBTAIN ALL NECESSARY CITY PERMITS FOR UTILITY CONNECTIONS, AND UTILITIES SHALL BE INSPECTED ANDAPPROVED BY THE CITY. THE CITY SHALL BE NOTIFIED 48-HOURS PRIOR TO COMMENCING WITH THE UTILITY CONSTRUCTION OR ANYREQUIRED TESTING. CONTRACTOR SHALL NOT OPERATE, INTERFERE WITH, CONNECT ANY PIPE OR HOSE TO, OR TAP ANY WATER MAINBELONGING TO THE CITY UNLESS DULY AUTHORIZED TO DO SO BY THE CITY. ANY ADVERSE CONSEQUENCES OF SCHEDULED ORUNSCHEDULED DISRUPTIONS OF SERVICE TO THE PUBLIC ARE TO BE THE RESPONSIBILITY OF THE CONTRACTOR.7. WATER MAIN LENGTHS AS SHOWN ARE APPROXIMATE HORIZONTAL LENGTHS. ALLOW FOR ADDITIONAL PIPE WHEN INSTALLING ONSLOPES OR WHEN DEFLECTIONS ARE REQUIRED. THE JOINT DEFLECTIONS SHALL NOT EXCEED THE MAXIMUM RECOMMENDED BY THE PIPEMANUFACTURER OR BY LOCAL GOVERNING SPECIFICATIONS. FITTINGS REQUIRED TO CONSTRUCT WATER MAIN SHALL BE INCLUDED INWATER MAIN CONSTRUCTION.8. PROVIDE WATER MAIN THRUST RESTRAINTS PER CITY STANDARD REQUIREMENTS.9. A MINIMUM VERTICAL SEPARATION OF 18 INCHES IS REQUIRED AT ALL WATER LINE CROSSINGS WITH SANITARY SEWER OR STORMSEWER. THE WATER LINE SHALL NOT HAVE JOINTS OR CONNECTION WITHIN 10-FEET OF THE CROSSING. INSULATE CROSSINGS WITHSTORM SEWER.10. UTILITY SERVICES TYPICALLY TERMINATE 5' OUTSIDE BUILDING WALL UNLESS OTHERWISE SHOWN OR NOTED.11. DUCTILE IRON WATER LINES SHALL BE CLASS 52, PER AWWA C115 OR C151. COPPER WATER LINES SHALL BE TYPE K PER ASTM B88. PVCWATER LINES SHALL BE PER AWWA C900 AND INSTALLED PER AWWA C605 IF ALLOWED BY CITY.12. ALL WATER LINES SHALL HAVE 8' MINIMUM COVER. INSULATE WATER MAIN IF LESS THAN 8' OF COVER. INSULATION SHALL BE DOWSTYROFOAM HI BRAND 35 OR EQUIVALENT, WITH 4 INCHES OF THICKNESS.13. SANITARY SEWER PIPE OUTSIDE THE BUILDING ENVELOPE SHALL BE POLYVINYL CHLORIDE (PVC) SDR 35 OR 26. SDR 26 IS REQUIRED FORDEPTHS GREATER THAN 15 FEET. SANITARY SEWER PIPE WITHIN 5 FEET OF THE BUILDING AND UNDER FOOTINGS SHALL BE SCHEDULE 40PER ASTM D2665. ALL PLASTIC SANITARY SEWER SHALL BE INSTALLED PER D2321. SOLVENT WELD JOINTS MUST INCLUDE USE OF APRIMER WHICH IS OF A CONTRASTING COLOR TO THE PIPE AND CEMENT. ALL SANITARY SEWER SHALL BE TESTED ACCORDING TOMINNESOTA PLUMBING CODE, PART 712.0.14. STORM SEWER PIPE:A. RCP AND HDPE PIPE MAY BE INSTALLED WITH APPROVAL OF LOCAL GOVERNING AGENCY.B. REINFORCED CONCRETE PIPE SHALL BE CLASS 5 FOR PIPE DIAMETERS 18" AND SMALLER, CLASS 3 FOR PIPE DIAMETERS 21" ANDLARGER UNLESS OTHERWISE NOTED, PER ASTM C76 WITH R-4 GASKETS.C. HDPE STORM PIPE 4- TO 10-INCHES IN DIAMETER SHALL MEET REQUIREMENTS OF AASHTO M252. HDPE STORM PIPE 12- TO60-INCHES IN DIAMETER SHALL MEET REQUIREMENTS OF ASTM F2306. FITTINGS SHALL BE PER ASTM D3212 AND INSTALLED PERASTM D2321.D. PVC STORM SEWER PIPE AND FITTINGS SHALL BE SCHEDULE 40 PIPE PER ASTM D2665 AND INSTALLED PER ASTM D2321.E. CORRUGATED METAL PIPE (CMP) FOR SIZES 18- TO 120-INCH AND MUST MEET ASTM A760 OR ASTM A796 AND BE INSTALLED PERASTM A798. CMP MAY NOT BE INSTALLED WITHIN 10-FEET OF A WATERMAIN, WATER SERVICE, OR A BUILDING.F. ALL STORM SEWER JOINTS AND STRUCTURE CONNECTIONS SHALL BE GASTIGHT OR WATERTIGHT AS REQUIRED BY MINNESOTAPLUMBING CODE, PART 707.3. STORM SEWER LOCATED WITHIN 10-FEET OF A BUILDING AND/OR WATER LINE SHALL BE TESTED PERMINNESOTA PLUMBING CODE, PART 712.15. ALL NONCONDUCTIVE PIPE SHALL BE INSTALLED WITH A LOCATE (TRACER) WIRE PER MINNESOTA RULES, PART 7560.0150.16. POST INDICATOR VALVES SHALL BE CLOW F-5750 (OR EQUIVALENT) MEETING AWWA STANDARD C509 AND CITY STANDARDS. VALVE TOBE MECHANICAL JOINT RESILIENT WEDGE GATE VALVE. POST TO BE ADJUSTABLE FOR 8 FEET WATER MAIN DEPTH. THE ELECTRICAL ALARMSWITCH SHALL BE PART NO. PCVS2 (OR EQUIVALENT).17. AFTER CONSTRUCTION IS COMPLETED, THE CONTRACTOR SHALL PROVIDE THE OWNER WITH AN AS-BUILT RECORD OF UTILITYCONSTRUCTION. THE AS-BUILT SHALL INCLUDE LOCATION AND LENGTH DEVIATIONS OR CHANGES TO THE PLAN. CONTRACTOR TOVERIFY WITH OWNER OR ENGINEER WHETHER A PLAN WITH POST-CONSTRUCTION ELEVATIONS IS REQUIRED.18. ALL MANHOLE CASTINGS IN PAVED AREAS SHALL BE SUMPED 0.05 FEET. RIM ELEVATIONS ON PLAN REFLECT THE SUMPED ELEVATIONS.19. ALL CATCH BASIN CASTINGS IN CURB SHALL BE SUMPED 0.15 FEET AND MANHOLE CASTINGS IN PAVED AREAS SHALL BE SUMPED 0.05FEET. RIM ELEVATIONS ON PLAN REFLECT THE SUMPED ELEVATIONS.GENERAL UTILITY NOTESSDTNOT FOR CONSTRUCTION0'30'60'90'1" = 30'12" SIDE SPACING(TYP.)12"36" INTERIOR SPACING(TYP.)90"'(TYP.)LAST REVISED:08/11/17UNDERGROUND CONTECH STORMWATER STORAGEST20WASHED COURSE AGGREGATE40% VOIDSSUITABLE SUBGRADE MATERIALPAVEMENT SECTION. SEE DETAIL FORSPECIFIC DEPTHS.ON-SITE FILL MATERIAL24" INLET PIPEBOTTOM OF SAND = 855.50SEE PLAN FOR PIPELENGTH24" CONNECTION PIPE6"WEIR WALLELEVATION = 858.5015" STRUCTURE OUTLET PIPEHEADER PIPE PROFILEIE = 856.50IE = 856.50IE = 858.24NOT TO SCALEFOR REFERENCE ONLY. CONTRACTOR TO PROVIDE ENGINEERWITH SHOP DRAWINGS PRIOR TO CONSTRUCTION. SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10DT01.DWG EDINA, MN09/13/202170TH AND FRANCE REDEVELOPMENTCITY DETAILS 70TH AND FRANCE REDEVELOPMENTC500 .09/13/2021 DAVID T. BADE . . . 10/16/2020 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSON :HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.10NOT FOR CONSTRUCTION0'#########1" = ### SHEET NUMBER:DATE:DATE:LICENSE NO. I HEREBY CERTIFY THAT THIS PLAN WAS PREPARED BY ME OR UNDER MY DIRECT SUPERVISION AND THAT I AM A DULY LICENSED PROFESSIONAL ENGINEER UNDER THE LAWS OF THE STATE OF MINNESOTA VERTICAL SCALE: HORIZONTAL SCALE: DRAWN: CHECKED: DESIGNED:INITIAL ISSUE: REVISIONS:PREPARED FOR: Phone (952) 937-5150 12701 Whitewater Drive, Suite #300 Fax (952) 937-5822 Minnetonka, MN 55343 Toll Free (888) 937-5150 N:\0029211.10\DWG\CIVIL\0029211.10DT01.DWG EDINA, MN09/13/202170TH AND FRANCE REDEVELOPMENTDETAILS 70TH AND FRANCE REDEVELOPMENTC501 .09/13/2021 DAVID T. BADE . . . 10/16/2020 4530 WEST 77TH STREET SUITE #365 EDINA, MN 55435 ORION/MORTENSON :HVWZRRG3URIHVVLRQDO6HUYLFHV,QFCommon Ground AllianceCall 48 Hours before digging:811 or call811.com### ### or ## 01/25/2021 02/26/2021 06/10/2021 09/13/2021 . US BANK FINAL DEVELOPMENT SUBMITTAL WATERSHED COMMENTS CLIENT REVISION PRELIMINARY DEVELOPMENT PLAN / PUD .PROJECT NUMBER: 0029211.104"LAST REVISED:08/08/17WM06WATERMAIN INSULATIONSEWERWATERMINIMUM 2INSULATION LAYERSWITH JOINTSSTAGGERED6" COMPACTEDGRANULAR FILLWATERMAINW.M. COVER WIDTH (W) 4.0'-4.9' 8' 5.0'-5.9' 6' 6.0'-7.0' 4' 7.0' + 0'NOTES:1. INSULATION SHALL BE EXTRUDED POLYSTYRENE (XEPS) INSULATION BOARD, "CERTIFOAM SE" OR"STYROFOAM SM" OR EQUIVALENT.2. INSULATION SHALL BE PLACED ON A SMOOTH, LEVEL FOUNDATION WHICH HAS BEEN FIRMLY COMPACTED.3. SEPARATE LAYERS OF INSULATION USED TO MAKE UP THE 4" THICKNESS SHALL HAVE STAGGERED JOINTSTO ENSURE THE CONTINUITY OF THE INSULATION.4. ALL WATERMAIN/ STORM SEWER CROSSINGS WITH LESS THAN 36" CLEARANCE SHALL BE INSULATED.5. SANITARY SEWER INSULATION SIMILARMINIMUM 1 1/2" THICK INSULATIONLAYERS WITH JOINTS STAGGEREDAND EXTENDING 4' EACH WAYFROM WATERMAIN C/LMECHANICAL COMPACTEDBACKFILL6"W/2W/218" MIN.INSULATION FOR SHALLOW WATER MAININSULATION AT PIPE CROSSING4"ENTRANCE THRU CURB AND GUTTERSI07NOTES:1. 1/2" PREFORMED JOINT FILLER MATERIAL- AASHTO M2132. CONCRETE GUTTER SHALL BE PER MnDOT SPEC 2531LAST REVISED:08/15/17PLAN VIEWSECTION A-A1/2" EXPANSION JOINT 3'R MIN.VARIABLE WIDTH TO BE STAKED IN FIELD1/2" EXPANSION JOINT IFMATCHING CONCRETE3'3'R MIN.1/2" EXPANSION JOINTFLOW LINETO BE PAID AS 6" CONC. APRONTO BE PAID AS CONC. C&G TO BE PAID AS CONC. C&GBIT. SURFGUTTERAS DIRECTED BY ENGINEER3.0'TO BE PAID AS6" CONC. D.W.TO BE PAID AS 6" CONC. APRONAA6" MAX.AANOTES:1. PROVIDE A RELATIVELY FLAT MINIMUM 4'x4' LANDING BEHIND THE PEDESTRIAN RAMP, 2% MAXIMUM CROSS SLOPE BOTH DIRECTIONS.2. CURB RAMP AREA TO BE CONCRETE AND MEET LATEST ADA REQUIREMENTS. RAMP CROSS SLOPE 2% MAXIMUM. BACK-TO-BACK PEDESTRIAN RAMPS SHALL HAVE MINIMUM 48'' LANDING BETWEEN, OR PROVIDE AT-GRADE CROSSING.3. SIDE FLARES TO BE CONCRETE AND IMPLEMENTED WHERE ADJACENT TO PAVED AREAS. FLARED SLOPE TO BE 10% MAXIMUM. EXISTING CURB RAMP ALTERATIONS, WITH NO LANDING, SHALL BE 8.33% MAXIMUM. PROVIDE 10% MAXIMUM SLOPE, UNLESS NOTED OTHERWISE.4. ANY VERTICAL LIP THAT OCCURS AT THE FLOW LINE MAY NOT BE GREATER THAN 1/4 INCH.5. ADA REQUIRED DETECTABLE WARNING SURFACE(TRUNCATED DOMES) SHALL BE 2' MIN. IN DIRECTION OF LANDING AT CURB AND SHALL EXTEND THE FULL WIDTH OF THE LANDING. AREA SHALL BE CONTRASTING COLOR TO THE ADJACENT WALKING SURFACE WITH A PREFABRICATED CAST IRON TRUNCATED DOME INSERT MEETING THE ADA DOME SIZE AND SPACING REQUIREMENTS.ALAST REVISED:08/15/17PUBLIC PEDESTRIAN CURB RAMPSI09AA332233FACE OFCURBBACK OFCURBFACE OFCURB15158"5' MIN.4' MIN. ORPER PLAN5' MIN. 5'-4" MIN. 2' 8"5' MIN.5' MIN.4' MIN. ORPER PLAN5'-4" MIN. 2'CURB FACEOR GUTTER5% APPROACHSLOPE MAXSEE NOTE #41/2" PREFORMEDJOINT FILLER MATERIALRAMP5'-4" MIN.LANDING4' MIN.RAMP 8.33%MAX. SLOPECONCRETE WALKDET. WARN.SURFACEROUND ALL SLOPEDINTERSECTIONSSIDE FLARE 10%MAX. SLOPESIDE FLARE5' MIN.RAMP4' MIN.SIDE FLARE5' MIN.ELEVATION OF RAMPSECTION A-APLAN VIEW OF DIAGONAL RAMPPLAN VIEW OF PERPENDICULAR RAMPNOTES:1. TAPED AREAS TO BE CENTERED AND ALIGNED ON CENTER LINE AND LANE LINES. MAKE ADJUSTMENTS IN CENTER MEDIAN AREA.2. ZEBRA CROSSWALKS SHALL BE WHITE POLYMER-PREFORMED TAPE OR AN ACCEPTABLE EQUIVALENT APPROVED BY THE ENGINEER.3. A MINIMUM OF 1.5 FT. CLEAR DISTANCE MUST BE LEFT ADJACENT TO CURB. IF LAST STRIPED AREA FALLS INTO THIS DISTANCE, IT MUST BE OMITTED.4. REMOVE ALL CONFLICTING PAVEMENT MARKINGS AS DIRECTED BY THE ENGINEER.5. AT SKEWED CROSSWALKS, THE TAPED AREAS ARE TO REMAIN PARALLEL TO THE LANE LINES.6. WHERE PAVEMENT MARKINGS CAN NOT BE INLAYED INTO THE HOT MAT, PAVEMENT SHALL BE GROOVED FOR THE INSTALLATION OF THE POLYMER-PREFORMED MARKINGS. SEE Mn/DOT STANDARD SPECIFICATION 2564.LAST REVISED:08/15/17CROSS WALK STRIPINGSI11PAVEMENT MARKING(TYP.)DRIVING LANE(WIDTH VARIES)6 FT3 FT 3 FTDRIVING LANE(WIDTH VARIES)ROADCLNOTE:1. ALL TRAFFIC FLOW ARROWS TO BE SOLID WHITE REFLECTIVE TRAFFIC PAINT AS PER DIMENSIONS ABOVETRAFFIC ARROWLAST REVISED:08/15/17SI132.001.753.751.002.00R4.75HANDICAP SYMBOLLAST REVISED:08/15/17HANDICAP ACCESSIBLE SIGNAGE AND STRIPINGSI15HANDICAP SIGNNOPARKINGNOTE:BOTTOM OF SIGNS TO BE MOUNTED60"-66" FROM PARKING GRADE, SEESIGN POST INSTALLATION DETAILHANDICAP PARKINGNOTE:STRIPING TO MATCHPARKING, UNLESSPER LOCAL CODENOTE:SEE PLAN FOR PARKING LAYOUTNOPARKINGPARKINGVEHICLE IDREQUIREDUP TO $200 FINEFOR VIOLATIONVANACCESSIBLENOPARKING ACCESS AISLEHANDICAP PARKING SPACE WITHPAINTED INTERNATIONAL SYMBOL OFACCESSIBILITY WITH CONTRASTINGSQUARE BACKGROUND, CENTEREDTOWARD DRIVE AISLE.HANDICAP PARKINGSIGNS, 12"X18", OR PERLOCAL CODEHANDICAP SIGNCENTERED AT HEAD OFSPACE ON CENTER STRIPEHANDICAP PARKING ACCESSAISLE WITH PAINTED 12"HIGH LETTERING OF "NOPARKING" CENTEREDTOWARD DRIVE AISLEPER CITY CODE HANDICAP VANACCESSIBLE PARKINGSIGN, 12"X16", OR PERLOCAL CODE, ASAPPLICABLEFACE OF CURBSIDEWALKHANDICAP SIGNCENTERED AT HEAD OFSPACE, 2' MIN. AND 8'MAX. FROM FACE OFCURB2"-0"2"-0"10" DIAMETER CENTERSYMBOL IN PARKING STALL,ALL LINES TO BE 5" WIDE2"-0"NOPARKING4" WIDE PAINTED STRIPINGAT 45 DEGREES AND AT 2'O.C. AT ACCESS AISLE8'MIN.8'MIN.8'MIN. SI19PAVEMENT SECTIONS SHOWN ARE FOR PLANNING PURPOSES ONLY.REFER TO GEOTECHNICAL REPORT FOR FINAL PAVEMENT SECTIONS.LAST REVISED:08/15/17PAVEMENT SECTIONS2" MnDOT TYPE SPWEA340E WEARING COURSE2" MnDOT TYPE SPNWB330E BASE COURSE8" MnDOT SPEC. 3138 CLASS 55" CONCRETE PAVEMENT W/ #4 REBAR AT 16" O.C. EACH WAY4" MnDOT SPEC. 3138 CLASS 5CONCRETE PAVEMENTBITUMINOUS PAVEMENT (HEAVY DUTY)BITUMINOUS PAVEMENT (STANDARD DUTY)COMPACTED SAND SUBGRADE (100% STANDARD PROCTOR)COMPACTED SAND SUBGRADE (100% STANDARD PROCTOR)MNDOT SPEC. 2357 BITUMINOUS TACK COAT1.5" MnDOT TYPE SPWEA340E WEARING COURSE2" MnDOT TYPE SPNWB330E BASE COURSE6" MnDOT SPEC. 3138 CLASS 5COMPACTED SAND SUBGRADE (100% STANDARD PROCTOR)MNDOT SPEC. 2357 BITUMINOUS TACK COAT6" COMPACTED CL. 5 AGGREGATEBASE, MNDOT 3138, 2211LAST REVISED:08/15/17HEAVY DUTY CONCRETESECTION LOADING DOCKSI21NOTES:1. CONCRETE SHALL BE REINFORCED WITH WELDED WIRE FABRIC OR REINFORCED BARS TO ASSIST IN CONTROLLING CRACKING FROM DRYING SHRINKAGE AND THERMAL CHANGES.2. SAWED OR FORMED CONTROL JOINTS SHOULD BE INCLUDED FOR EACH 225 SQUARE FEET OF AREA OR LESS (15 FEET BY 15 FEET). CONTRACTOR SHALL PREPARE JOINTING PATTERN AND SUBMIT TO ENGINEER PRIOR TO CONSTRUCTION.3. SAW CUTS SHOULD NOT CUT THROUGH THE WELDED WIRE FABRIC OR REINFORCING STEEL AND DOWELS SHOULD BE UTILIZED AT FORMED AND/OR COLD JOINTS.4. DOWELS SHALL BE UTILIZED AT FORMED AND/OR COLD JOINTS. DOWELS SHALL BE 30" LONG 1/2" DIAMETER SMOOTH AND GREASED TIE BARS AT 30" SPACING, MINIMUM 18" FROM PAVEMENT EDGE.7" 4000 PSI TYPE 3 CONCRETESURFACE COMPACTION2"4"AAMOUNTABLE CURB & GUTTERCONSTRUCTION AT CATCH BASINLAST REVISED:08/15/17SI28PERSPECTIVESECTION A-ANOTE:MOUNTABLE CURB & GUTTER TO BEFORMED INTO A B618 TYPE AT CATCH BASINMOUNTABLE CONCRETECURB & GUTTERCATCH BASIN FRAME& COVER#4 REBAR2" DEPRESSION10' MIN. TRANSITIONDESIGN GUTTERLINE GRADENEENAH FRAME & COVER R-3067-V WITHTYPE V GRATE OR APPROVED EQUALEXPANSION JOINTTOP OF CURB10' MIN.TRANSITION10' MIN.TRANSITIONFLOWNO SCALENO SCALEAALAST REVISED:08/15/17TRANSITION CURBSI31PERSPECTIVESECTION A-ANO SCALENO SCALEB6 STYLE CURBSEE DETAIL SI01TRANSITIONVARIESLAST REVISED:08/15/17SI40MODULAR BLOCK RETAINING WALL8"NOTE:CONTRACTOR TO PROVIDE ENGINEERING ANDSHOP DRAWINGS IF WALL IS GREATER THAN 4FEET TALL. CONTRACTOR TO SUBMIT WALLBLOCK TYPE, SIZE, AND COLOR FOR APPROVAL.1" - 1 1/4"SWALE AT TOP OF WALLMAY BE REQUIRED, VERIFY8" MIN. LOW PERMEABLE SOILFILTER FABRICUNIT DRAINAGE FILL(3/4" CRUSHED ROCKOR STONE)APPROXIMATE LIMITSOF EXCAVATION4" PERFORATED PVC DRAINTILEWRAPPED IN FILTER FABRIC,DAYLIGHT OR TO STORM SYSTEM,AS REQUIREDUNREINFORCED CONCRETE ORCRUSHED STONE LEVELING PADFINISHED GRADECONCRETE MODULAR BLOCKANCHORING PINS (AS REQUIRED)CAP UNIT, ADHERED TO TOPCOURSE WITH ADHESIVEFOUNDATIONSOILRETAINED SOILDESIGN HEIGHT LAST REVISED:08/15/17FENCE AT MODULAR BLOCK WALLSI41NOTE:CONCRETE SLEEVE (AND/OR FOOTING) TO BE SET DURING WALLCONSTRUCTION, NOT DRILLED THROUGH GEOGRID AFTERWARDS, WHEN DIRECTLY BEHIND UNITS.CONCRETE MODULARBLOCKFENCE POSTFENCE POST CONCRETEFOOTING AND SLEEVE,DIAMETER, AND DEPTH PERFENCE SPECIFICATIONSGEOGRIDCAP UNIT, ADHERED TO TOPCOURSE WITH ADHESIVEANCHORING PINS (AS REQUIRED)3.5' MIN. 12"12"TREADLAST REVISED:08/15/17CONCRETE STAIR AND RAILINGSI48NOTES:1. CONTRACTOR TO PROVIDE SHOP DRAWINGS FOR APPROVAL. FIELD VERIFY CONDITIONS.2. RAILING AND STAIRS BOTH SIDES OF STAIRS AND PER ADA REQUIREMENTS.3. ALL HARDWARE TO BE GALVANIZED OR STAINLESS STEEL, AND FINISH TO MATCH RAILING.4. RAILING FINISH TO BE PRIMED AND PAINTED. COLOR TO PER OWNER.HAND RAIL, 1 1/2" DIAMETERTUBULAR STEEL, WELD ANDGRIND ALL JOINTS, POSTS 6'MAXIMUM SPACING3" RADIUS(TYP.)1/2" RADIUS,NOSECONCRETESTEPS WITHNON-SLIP FINISHMNDOT 3138 CLASS 5AGGREGATE BASE#4 REBAR @12" O.C. MAX.EACH WAY,3" CLEAR#5 REBAR @ NOSE,2" CLEAR(TYP.)ADJACENT PAVEMENT(TYP.)EXPANSION JOINT(TYP.)RAILING POST:SURFACE MOUNTOR EMBEDDED(6" DEPTH)TREAD SLOPE1/8" PER FT.SEE PLAN12"3'-0" 1'-6"12"1"6" RISERLAST REVISED:08/15/17SI50TYPICAL CURB CUT SECTION AT DRIVEWAYS3'18'3'TRANSITION TO B618CURBB618 CURB12'B618 CURBC/L DRIVEWAYSETBACK LINEPROPERTY LINE3NOTES:1. VERIFY DRIVEWAY LOCATION WITH DEVELOPER2. VERIFY MAXIMUM DRIVEWAY WIDTH WITH CITY3. LOCATION SHOWN TYPICAL FOR GARAGE RIGHT ON TANGENT OF THE ROADX'TRANSITION TO B618CURB12"MIN.LAST REVISED:08/15/17MACHINE SLICED SILT FENCE(HEAVY DUTY)GD03FLOWFLOW RUNOFFNOTES:1. INSPECT AND REPAIR FENCE AFTER EACH STORM EVENT AND REMOVE SEDIMENT WHEN ACCUMULATED TO 1/2 THE HEIGHT OF THE FABRIC OR MORE.2. REMOVED SEDIMENT SHALL BE DEPOSITED TO AN AREA THAT WILL NOT CONTRIBUTE SEDIMENT OFF-SITE AND CAN BE PERMANENTLY STABILIZED.3. SILT FENCE SHALL BE PLACED ON SLOPE CONTOURS TO MAXIMIZE PONDING EFFICIENCY.4. ALL ENDS OF THE SILT FENCE SHALL BE WRAPPED UPSLOPE SO THE ELEVATION OF THE BOTTOM OF FABRIC IS HIGHER THAN "PONDING HEIGHT".5. "HEAVY DUTY" IS SAME AS MACHINE SLICED ONLY HAND INSTALLED.WOVEN MONOFILAMENT (36" WIDE)FILTER FABRIC, ATTACHSECURELY TO UPSTREAMSIDE OF POST WITH 3-50LBTENSILE STRENGTH PLASTICZIP-TIES PER POST WITHINTOP 8" OF FABRIC5' STEEL T-POSTFABRIC SLICED INTOSOIL WITHCOMPACTED BACKFILL5' STEEL T-POST6'-0" MAX.SPACINGSTANDARD DETAILPONDING HEIGHTTRENCH WITH NATIVE BACKFILLLAST REVISED:08/15/17CONSTRUCTION ENTRANCEGD05NOTES:1. FILTER FABRIC SHALL BE PLACED UNDER ROCK/WOOD CHIPS TO STOP MUD MIGRATION THROUGH ROCK/WOOD CHIPS.2. WOODCHIPS USED FOR CONSTRUCTION ENTRANCES MUST BE 80% NOT LESS THAN 2-INCHES AND NOT MORE THAN 5-INCHES. NO CHIPPED-UP MANUFACTURED WOOD AND/OR CHEMICALLY TREATED IS ALLOWED.3. ENTRANCES MUST BE MAINTAINED REGULARLY TO PREVENT SEDIMENTATION ON PUBLIC ROADWAYS. FUGITIVE ROCK OR WOODCHIPS WILL BE REMOVED FROM ADJACENT ROADWAYS DAILY OR MORE FREQUENTLY AS NECESSARY.4. LENGTH AND WIDTH TO BE ADJUSTED FOR SITE CONDITIONS.HARD SURFACEPUBLIC ROAD1"-2" WASHED ROCKOR WOODCHIPS PERSPECIFICATIONS18" MINIMUM CUT OFF TOMINIMIZE RUNOFF FROM SITEROCK=12" MIN.WOODCHIPS=18" MIN.2 0 ' M IN .WID TH 50' MIN.12' MIN.15' MIN.VARIESLAST REVISED:08/15/17CONCRETE WASHOUT AREAGD08AANOTES:1. CONCRETE WASHOUT AREAS WILL HAVE AN IMPERMEABLE LINER TO PREVENT CONCRETE WASHOUT WATER FROM INFILTRATING/CONTACTING WITH SOIL.2. IMPERMEABLE LINER INCLUDES 10 MIL POLY LINER OR COMPACTED CLAY LINER.3. WASHOUT SYSTEMS CAN BE USED AS ALTERNATE WASHOUT AREAS.ROOF ACCESSEARTH BERMMULCH & SEEDSILT FENCECONCRETEWASHOUT SIGNIMPERMEABLE LINERSILT FENCE1.5'MIN.SECTION A-APOCKETNOTES:1. ALL GEOTEXTILE USED FOR INLET PROTECTION SHALL BE MONOFILAMENT IN BOTH DIRECTIONS, (MEETING MnDOT SPEC. 3733 GEOTEXTILES)2. FINISHED SIZE (INCLUDING POCKETS) SHALL EXTEND A MINIMUM OF 10" AROUND THE PERIMETER TO FACILITATE MAINTENANCE OR REMOVAL.3. DO NOT INSTALL PROTECTION IN INLETS SHALLOWER THAN 30". THE INSTALLED BAG SHALL HAVE A MINIMUM SIDE CLEARANCE BETWEEN THE INLET WALLS AND THE BAG, MEASURED AT THE BOTTOM OF THE OVERFLOW HOLES, OF 3". WHERE NECESSARY THE CONTRACTOR SHALL CLINCH THE BAG (USING PLASTIC ZIP TIES) TO ACHIEVE THE 3" CLEARANCE.LAST REVISED:08/15/17STORM DRAINFILTER BAG INSERTGD10FLAP4"INLET SPECIFICATIONSTO MATCH THE PLANDIMENSION LENGTHAND WIDTH21MINIMUM DOUBLESTITCHED SEAMS ALLAROUND SIDE PIECESAND ON FLAP POCKETSFRONT, BACK, ANDBOTTOM TO BEMADE FROM SINGLEPIECE OF FABRIC2"x4" HOLE SHALL BEHEAT CUT INTO ALLFOUR SIDE PANELSUSE REBAR OR STEEL RODFOR REMOVAL ( FOR INLETSWITH CAST CURB BOX,REPLACE ROD WITH WOOD2" X 4") . EXTEND 10"BEYOND GRATE ON BOTHSIDES, SECURE TO GRATEWITH WIRE OR PLASTIC TIES412" 12"12"2"LAST REVISED:08/15/17INLET PROTECTION WITH ROCK LOGGD11NOTE:1. ALL GEOTEXTILE USED FOR INLET PROTECTION SHALL BE MONOFILAMENT IN BOTH DIRECTIONS. (MEETING SPEC. 3733 (TYPE 1) GEOTEXTILES, PROPOSED 2005 EDITION)ENDS SECURELYCLOSED TO PREVENTLOSS OF OPENGRADED AGGREGATEFILL. SECURED WITH50 PSI ZIP TIEOVERLAP ENDS 6"4' LONG AND 5" DIAMETER GEOTEXTILE SOCK.SEAM JOINED BY TWO ROWS OF STITCHINGWITH A PLASTIC MESH BACKING ORHEATBONDED. (OR APPROVED EQUIVALENT)FILL ROCK LOG WITH OPEN GRADEDAGGREGATE CONSISTING OF SOUND,DURABLE PARTICLES OF CRUSHED QUARRYROCK OR GRAVEL CONFORMING TO 3137,CA-3 (<1.5") GRADATION (OR EQUIVALENT).6"MAX.8"ANOTES:1. PROVIDE A RELATIVELY FLAT MINIMUM 4'x4' LANDING BEHIND THE PEDESTRIAN RAMP, 2% MAXIMUM CROSS SLOPE BOTH DIRECTIONS.2. CURB RAMP AREA TO BE CONCRETE AND MEET LATEST ADA REQUIREMENTS. RAMP CROSS SLOPE 2% MAXIMUM. BACK-TO-BACK PEDESTRIAN RAMPS SHALL HAVE MINIMUM 48'' LANDING BETWEEN, OR PROVIDE AT-GRADE CROSSING.3. SIDE FLARES TO BE CONCRETE AND IMPLEMENTED WHERE ADJACENT TO PAVED AREAS. FLARED SLOPE TO BE 10% MAXIMUM. EXISTING CURB RAMP ALTERATIONS, WITH NO LANDING, SHALL BE 8.33% MAXIMUM. PROVIDE 10% MAXIMUM SLOPE, UNLESS NOTED OTHERWISE.4. ANY VERTICAL LIP THAT OCCURS AT THE FLOW LINE MAY NOT BE GREATER THAN 1/4 INCH.5. RAMP AND FLARED SIDE SURFACE TO BE MEDIUM BROOM FINISH, PERPENDICULAR TO TRAVEL PATH.6. WALK SHALL BE PER MnDOT SPEC 2521 MIX NO. 3A32 WITH A 28-DAY DESIGN STRENGTH OF 3900-PSI.ALAST REVISED:08/15/17PRIVATE PEDESTRIAN CURB RAMPSI092PLAN VIEW OF DIAGONAL RAMPPLAN VIEW OF PERPENDICULAR RAMPSECTION A-AELEVATION OF RAMP32333FACE OFCURB5BACK OFCURB5FACE OFCURBCURB FACEOR GUTTER5% APPROACHSLOPE MAX1/2" PREFORMEDJOINT FILLER MATERIALRAMP 8.33%MAX. SLOPEROUND ALL SLOPEDINTERSECTIONSSIDE FLARE 10%MAX. SLOPECONCRETE WALK8" 5'-4" MIN.5' MIN.4' MIN. ORPER PLAN5' MIN. 5'-4" MIN.5' MIN.5' MIN.4' MIN. ORPER PLANRAMP5'-4" MIN.LANDING4' MIN.SIDE FLARE5' MIN.RAMP4' MIN.SIDE FLARE5' MIN.AA1143'-0"7'-0"3'-0"SIGN INSTALLEDIN LANDSCAPE AREAHANDICAP STALL PARKING SIGNINSTALLED IN PARKING LOTNOTE:1. SIGN TO BE 2-SIDED WHERE HANDICAP PARKING STALLS FACE ONE ANOTHER.2. PARKING GRADE IS DEFINED AS EITHER FLOW LINE OF CURB OR PAVEMENT SURFACEAT THE HEAD OF THE STALL.12"LAST REVISED:06/15/19SIGN POST INSTALLATIONSI14CONCRETE CURB &GUTTERCAP REQUIRED2" GALVANIZEDSTEEL PIPE,ROUND, SET INCONCRETEMOWING EDGEPAVEMENT6" STEELCASINGCONCRETEFOOTING2'-0"MIN.10"BOTTOM OF THELOWEST SIGN TOBE MOUNTED60"-66" FROMPARKING GRADE2'-0"MIN.3'-6" MIN. FROSTDEPTH IF GREATERCONCRETE CROSS GUTTERSI06NOTES:1. 1/2" PREFORMED JOINT FILLER MATERIAL- AASHTO M2132. CONCRETE GUTTER SHALL BE PER MnDOT SPEC 2531LAST REVISED:08/15/17EXPANSION JOINT(TYP.)SLOPE3/4" per ft3'7"#4 REBARSECTION A-A3' MIN.GUTTER FLOW LINEAA1LAST REVISED:01/09/20B6 STYLE CURB AND GUTTERSI01NOTES:1. EXPANSION JOINT SPACING IS 100'2. MIN. 3" CL. 5 UNDER C.&G.3. CURB SHALL BE PER MnDOT SPEC 25317"8"X"Y"6"13 1/2"Curb TypeXYB612B618B62424"18"12"20"26"32"SLOPE 3/4" PER FT.13R-3"R=3"R=1/2"TIP OUT SLOPE 3/4" PER FT.LAST REVISED:11/29/18FLUSH CURB AND GUTTERSI02-D12"8"20"SLOPE GUTTER TO MATCH(3/4" PER FT. TYP)TIP GUTTER OUT AS REQUIRED3" RADIUS1/2" RADIUS7"1/4" BACK8.5" COMMERCIAL/RETAIL SPACEFOOTPRINT = 47,200 SFFFE (HOSPITALITY) = 870.00FFE (OFFICE LOBBY) = 868.00FFE (LOADING DOCK) = 866.00MULTI-FAMILY HOUSINGBUILDING FOOTPRINT = 44,300 SFFFE (RESIDENTIAL) = 870.75PARKING RAMPFFE = 866.50GFE = 856.00GFE = 860.00GFE = 860.75GFE = 857.00TPUBLIC BIKE STORAGE / REPAIRPASS-THROUGHRAMP ACCESSPEDESTRIANRAMP ACCESSVEHICLEXXXXXXXXWAT CTVCTVCTVCTVCTV CTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXXXX STOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STO STOSTOSTOSTO ST OSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSANSANSANSANSANSANSAN WATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWAT70.00WEST 70TH STREET110N. LINE OF SEC. 32, TWP. 28, RGE. 24NW CORNER OF SEC. 32,70.00N89°50'44"E 505.00S00°11'54"E 496.57S89°48'06"W 524.96N00°12'08"W 476.97 28.27N44°49'18"EMT STSTSTSTSTSTSTTVTVHHTTTTSTO STOSTOSTOSTOSTOSTOSAABBBBBBBBAAAAAAAAAAAAAAAAAACCGGGEEEGGEKEEGEEGKEECCCBBBBBCCCBCBGGGBCBCBCBCBCBCGGEEGCBGCBCBCBCBCBCBCBCBGEBBBBBBBBGGGCBGKKEEECBGCBGCBCBCBCBCBCBCBCBCBCBGGGGGEEEEEEEEEEAABSEE US BANK DRAWINGSFOR CURRENT SITE PLANSBBBBBBCBCBCBCBCBCBCBLLLBOMBBMBAWALKCCIP PLANT BED CURBDCIP RETAINING WALLELIMESTONE FEATURESTREE GRATESFBENCH FEATURESGWASTE AND RECYCLINGHBIKE RACKSICANOPY/ PERGOLA FEATUREJSCULPTURAL/ ART MOMENTPLAN KEYNOTES:BPLANTING BEDKSTAIR W/HANDRAILSLMRETAINING WALLNSIGNAGEOTABLE AND CHAIRS CONCRETE PAVINGDECORATIVE PAVING ADECORATIVE PAVING BTURFPLANT BEDSTORM FILTRATION FEATURELANDSCAPE SITE PLAN HATCH LEGEND:SITE PLAN01L1.0 20'40'10'0'SCALE:1"=20'530 N THIRD ST, SUITE 120,MINNEAPOLIS, MN 55102PH: 612.333.3702 FAX: 515.288.8359www.thinkconfluence.comSignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FORCONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/10/2021 11:30:10 AM 220535JC TM70th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/2021No.Description DateL1.0LANDSCAPE SITE PLAN COMMERCIAL/RETAIL SPACEFOOTPRINT = 47,200 SFFFE (HOSPITALITY) = 870.00FFE (OFFICE LOBBY) = 868.00FFE (LOADING DOCK) = 866.00MULTI-FAMILY HOUSINGBUILDING FOOTPRINT = 44,300 SFFFE (RESIDENTIAL) = 870.75PARKING RAMPFFE = 866.50GFE = 856.00GFE = 860.00GFE = 860.75GFE = 857.00TPROPOSED FINANCIALINSTITUTIONFOOTPRINT = 6,200 SFFFE = 866.00XXXXXXXXGAS GAS GAS GASFOFOFOFO FOFOFOFOFOFOFOFOFOFOFOFO FO FO FO FOFOFOFO FO FO FO FO WAT GAS GAS GASCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVCTVFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFO FOFOFOFOFOFOFOFOTUG TUGCTVCTVCTVCTVCTVCTV CTVCTVCTVCTVCTVCTVCTVCTVCTVCTVXXXXXXFO FO FOFOFOFOFOFOFOFOFOFOFOFOFOFOFOFOXXXX PUG PUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGPUGSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTOSTO STOSTO STOSTOSANSANSANSANSANSANSANSTOWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWATWEST 70TH STREET110N. LINE OF SEC. 32, TWP. 28, RGE. 24N89°50'44"E 505.00S00°11'54"E 496.57S89°48'06"W 524.96N00°12'08"W 476.97 28.27N44°49'18"E EEEEEEEMGGGTSTSTSTSTSTSTSTSTTVTVHHTTTTSTO STOSTOSTOSTOSTOSTOSSEE US BANK DRAWINGSFOR CURRENTLANDSCAPE PLANSTREESQTYCOMMON / BOTANICAL NAMECONTCAL15 Sienna Glen Maple / Acer x freemanii `Sienna` TMB & B 2.5"Cal9 River Birch (Single Stem) / Betula nigraB & B 2.5"Cal9 Northern Acclaim Honey Locust / Gleditsia triacanthos inermis `Harve` TM B & B 8"4 Skyline Honey Locust / Gleditsia triacanthos `Skyline`B & B 4.5"Cal15 True North Kentucky Coffeetree / Gymnocladus dioica `UMNSynergy` TM B & B 5.5"Cal4 Prairie Gold Aspen / Populus tremuloides `NE Arb`B & B 2.5"Cal6 Greenspire Linden / Tilia cordata `Greenspire`B & B 4"Cal9American Elm / Ulmus americana `Princeton`B & B 3.5"CalEVERGREEN TREESQTYCOMMON / BOTANICAL NAMECONTCAL17 Pyramidal White Pine / Pinus strobus 'Fastigiata'B & BGROUND COVERSQTYCOMMON / BOTANICAL NAMECONT1,750 sf SOD xsod3,413 sf STORM FILTRATION PLANTINGSflatPerennial Plugs - Dip IrrigationPanicum Shenandoah (Red Switch Grass)/ P. virgatum `Shenandoah`Blue-Eyed Grass/ Sisyrinchium angustifoliumPLANT SCHEDULE - TREESUNDERSTORY PLANTING PALETTECONCRETE PAVINGDECORATIVE PAVING ADECORATIVE PAVING BTURFPLANT BEDSTORM FILTRATION FEATURELANDSCAPE SITE PLAN HATCH LEGEND:LANDSCAPE PLANTING PLAN1L1.1 20'40'10'0'SCALE:1"=20'530 N THIRD ST, SUITE 120,MINNEAPOLIS, MN 55102PH: 612.333.3702 FAX: 515.288.8359www.thinkconfluence.comSignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FORCONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/10/2021 11:30:10 AM 220535JC TM70th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/2021No.Description DateL1.1LANDSCAPE PLANTING PLAN TURF @ PLANT BED04L2.01-1/2" - 1'-0"FINISHED GRADE AND EDGECONDITION VARIES - SEE PLANFOR CONDITION.3/16" METAL EDGERW/STAKE, PER SPEC.PLANT BED / GRASS MIXAREA MAY OCCUR, SEE PLAN.11EACH TREE SHALL BE PLANTED SUCHTHAT THE ROOT FLARE IS VISIBLE AT THETOP OF THE ROOT BALL. IF THE ROOTFLARE IS NOT VISIBLE, THE SOIL SHALL BEREMOVED IN A LEVEL MANNER FROM THEROOT BALL TO WHERE THE FIRST MAINORDER ROOT (12" DIA. OR LARGER)EMERGES FROM THE TRUNK. SET MAINORDER ROOT 1" HIGHER THAN ADJACENTGRADE. DO NOT COVER TOP OF ROOTBALL WITH SOIL.SCARIFY SIDES OF TREE PIT WITH SPADEBY HAND TO BIND WITH PREPARED SOIL.PLANTING PIT TO BE TWO TO FIVE TIMESTHE DIAMETER OF ROOT ALL, SLOPEDTAMP SOIL AROUND ROOT BALL BASEFIRMLY WITH FOOT PRESSURE SO THATROOT BALL DOES NOT SHIFT.DRAINAGE TRENCH AS REQUIRED PERPERCOLATION TEST IN SPEC. AUGER A 4"DIA. HOLE & FILL W/ 34" GRAVEL.PLACE ROOT BALL ON UNDISTURBED ORCOMPACTED SOIL.DIG PLANTING PIT 4-6" DEEPER THANROOTBALL.UNDISTURBED SUBGRADE.REMOVE BURLAP, WINE, ROPE ANDWIRE FROM TOP HALF OF ROOT BALL.COMPACT PLANTING SOIL TO85% OF MAXIMUM DRY UNITWEIGHT PER ASTM D 698.EDGE CONDITION VARIES, SEEPLAN.4" BUILT-UP EARTH SAUCERBEYOND EDGE OF ROOT BALL.3" SHREDDED HARDWOODMULCH. DO NOT PLACE MULCHIN CONTACT WITH ROOT FLARE.RODENT TRUNK PROTECTIONFOR DECIDUOUS TREES: 12"HARDWIRE-CLOTH MESHCYLINDER. DIMENSIONS: 8"DIAMETER (OR GREATER) X 36"HEIGHT. STAKE IN PLACE,AVOIDING ROOTS. SEE SPEC.TREE PLANTING DETAIL, TYP.01L2.01/2" = 1'-0"SEE PLAN12"MIN.PREPARE SOIL FORTHE ENTIRE BED4"3" SHREDDED HARDWOOD MULCH. DONOT PLACE MULCH IN CONTACT WITHSHRUB STEM.NOTE: SEE SPECIFICATION SECTIONRELATED TO EXTERIOR PLANTING.CONTAINER GROWN MATERIAL SHALLHAVE ROOTS HAND LOOSENED.MIN.4" DEEPER THAN ROOT BALL.SCARIFY SIDES AND BOTTOM OF ENTIREBED WITH SPADE BY HAND TO BIND WITHPLANTING SOIL.UNDISTURBED SUBGRADE.PLANTING DETAIL, TYP.02L2.01/2" = 1'-0"5' DIAMETER MULCH RING, TYP.12"12"12"12"12"PLANSECTION AFILTRATION BASIN SUBGRADE, SEE CIVILPLANTING SOIL MIX, SEE CIVIL FOR DEPTH,3" HARDWOOD MULCHPLUG, SEE MIX FOR SPECIESA'A1/2" SCALESTORM FEATURE PLUG LAYOUT03L2.01/2" = 1'-0"SEE PLAN SEE PLAN SEEPLANSE E PL A N PLANSECTION A'-AA'A530 N THIRD ST, SUITE 120,MINNEAPOLIS, MN 55102PH: 612.333.3702 FAX: 515.288.8359www.thinkconfluence.comSignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FORC O N S T R U C T IO N I hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/10/2021 11:30:10 AM 220535JC TM70th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/2021No.Description DateL2.0LANDSCAPE DETAILS Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 7:31:15 PMA0.1 EXISTING SITE IMAGES 220535 Author Checker 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 VIEW FROM SOUTHWEST CORNER OF SITE VIEW FROM EAST SIDE OF SITE LOOKING WEST VIEW FROM SOUTHWEST SIDE OF SITE LOOKING EAST VIEW FROM NORTHEAST CORNER OF SITE LOOKING NORTH VIEW FROM NORTHEAST CORNER OF SITE LOOKING EAST VIEW FROM SOUTH SIDE OF SITE LOOKING SOUTHEAST No. Description Date SITE B OFFICE / COMMERCIAL SITE A RESIDENTIAL TOWER SITE D BANK 70TH STREET W 71ST STREET W FRANCE AVE S EWING AVE SDREW AVE S51'-9" 68'-6"1 A0.61 2 A0.61 SITE C PARKING 13'-9"42'-5"290'-2"182'-0" 42'-0"159'-2"291'-6"138'-8"120'-7"180'-8" 198'-0"121'-4"36'-5"16'-0"6'-1" 7'-0"16'-0"16'-0"24'-0"24'-0" 6'-2"6'-0"20'-7"19'-5"10'-11"10'-5"12'-4"6'-2"8'-4"8'-6"20'-0"8'-6"8'-4"8'-0" 52'-1"12'-3"8'-6"9'-3"13'-0"14'-4"5'-9"12'-6"6'-3"8'-0"STREET ROOM TYPOLOGY 3: NEW LOCAL STREETSTREET ROOM TYPOLOGY 2: CORNELIA OVERLAY AT FRANCE AVESTREET ROOM TYPOLOGY 3: NEW LOCAL STREET STREET ROOM TYPOLOGY 4: Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 7:59:22 PMA0.2 SITE PLAN 220535 Author Checker 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 No. Description Date 2 WAY TRAFFIC PLUS PARKING +/- 68'-0" EWING AVE S FRANCE AVE SDREW AVE SPROPERTY LINEPROPERTY LINESTREET ROOM TYPOLOGY 2: CORNELIA OVERLAY AT FRANCE AVE STREET ROOM TYPOLOGY 3: NEW LOCAL STREET SETBACK TO CURB 50'-0" MIN. Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 7:59:24 PMA0.3 EXTERIOR ELEVATIONS - SITE 220535 JCG Checker 09/14/20 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 1/16" = 1'-0"A0.3 1 NORTH SITE ELEVATION No. Description Date Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 7:31:17 PMA0.4 EXTERIOR RENDERINGS 220535 ESG ESG 09/13/21 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 No. Description Date Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:39 PMA0.19-A PRELIMINARY SITE A METRICS 220535 Author Checker 09/02/21 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 PRELIMINARY METRICS No. Description Date D 5 T5 A B.2 B.6A.1 A.6 C.2 C.7 T1 7 6 4 3 2 T2 T3 T4 RESIDENTIAL LOBBY & AMENITY LOADING TRASH/ RECYCLING MOVE IN UTILITY PARKINGENTRY/EXIT8 1 B C 4.96%UPDN34,977 SF PARKING 7,452 SF AMENITY 886 SF COMMON / CIRCULATION 2,373 SF BOH 444 SF COMMON / CIRCULATION 15' - 0"29' - 0"15' - 0"15' - 0"30' - 0"15' - 0"15' - 0"29' - 0"15' - 0" 178' - 0"2' - 0"26' - 4"18' - 10"27' - 6"27' - 6"27' - 6"27' - 6"27' - 6"2' - 1"30' - 0"28' - 6"30' - 0"13' - 1"1' - 10"286' - 4"HATCHED AREAS ILLUSTRATE SLOPED PT CONCRETE PARKING ENTRY/EXITOVERHEADDOORFLEXPARKINGFLEXPARKINGFLEXPARKINGROLLING OVERHEAD SCREEN OVERHEADDOOROVERHEADDOOROVERHEADGATEOVERHEADGATEOVERHEADGATEROLLING OVERHEAD SCREEN ROLLING OVERHEAD SCREEN 501 SF RETAIL 349 SF RETAIL 522 SF RETAIL OVERHEAD DOOR REFER TO LEVEL P0.5 FOR PARKING LAYOUT OVERHEADDOOR100'-0" 870.75' 100'-0" 100'-0" 870.75' 99'-3"100'-0"99'-3"100'-0"99'-3" 99'-3" 97'-9" 96'-3" 96'-3" 96'-3" 99'-3"1.80%2.50%2.50%4.06%DNDN DN 97'-9" 97'-9" 97'-0" 96'-6" 96'-3" 99'-0" 98'-6" 98'-0" T T 99'-6" 870.25' 99'-6" 870.25' D 5 T5 A B.2 B.6A.1 A.6 C.2 C.7 T1 7 6 4 3 T2 T3 T4 8 1 B C 41,034 SF PARKING 114'-0" 114'-0"112'-10 1/8" 107'-9"109'-10"109'-10"4.86%5%4.96%5.01%UPUPUP 6.94% UP 6.94%UPUP15' - 0"29' - 0"15' - 0"15' - 0"30' - 0"15' - 0"15' - 0"29' - 0"15' - 0" 178' - 0"2' - 0"26' - 4"18' - 10"27' - 6"27' - 6"27' - 6"27' - 6"27' - 6"2' - 1"30' - 0"28' - 6"30' - 0"13' - 1"1' - 10"286' - 4"2,575 SF COMMON / CIRCULATION 1,161 SF 2BR 819 SF 1BR 938 SF 1BR+D 1,459 SF 2BR 1,149 SF 2BR 938 SF 1BR+D 880 SF ALC DATA/ELEC ELEV LOBBY TRASH MECH 938 SF 1BR+D 5 B.2 B.6 T1 7 6 4 3 2 T2 8 1 B C 91'-3" 11,265 SF PARKING PARKING ENTRY/EXIT (LEVEL 1)3.2%UPSignature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:42 PMA0.20-A SITE A FLOOR PLANS 220535 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 1/16" = 1'-0"A0.20-A 2 SITE 'A' LEVEL 1 FLOOR PLAN No. Description Date 1/16" = 1'-0"A0.20-A 3 SITE 'A' LEVEL 2 FLOOR PLAN 1/16" = 1'-0"A0.20-A 1 SITE 'A' LEVEL 0.5 FLOOR PLAN Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 7:31:15 PMA0.1 EXISTING SITE IMAGES 220535 Author Checker 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 VIEW FROM SOUTHWEST CORNER OF SITE VIEW FROM EAST SIDE OF SITE LOOKING WEST VIEW FROM SOUTHWEST SIDE OF SITE LOOKING EAST VIEW FROM NORTHEAST CORNER OF SITE LOOKING NORTH VIEW FROM NORTHEAST CORNER OF SITE LOOKING EAST VIEW FROM SOUTH SIDE OF SITE LOOKING SOUTHEAST No. Description Date SITE B OFFICE / COMMERCIAL SITE A RESIDENTIAL TOWER SITE D BANK 70TH STREET W 71ST STREET W FRANCE AVE S EWING AVE SDREW AVE S51'-9" 68'-6"1 A0.61 2 A0.61 SITE C PARKING 13'-9"42'-5"290'-2"182'-0" 42'-0"159'-2"291'-6"138'-8"120'-7"180'-8" 198'-0"121'-4"36'-5"16'-0"6'-1" 7'-0"16'-0"16'-0"24'-0"24'-0" 6'-2"6'-0"20'-7"19'-5"10'-11"10'-5"12'-4"6'-2"8'-4"8'-6"20'-0"8'-6"8'-4"8'-0" 52'-1"12'-3"8'-6"9'-3"13'-0"14'-4"5'-9"12'-6"6'-3"8'-0"STREET ROOM TYPOLOGY 3: NEW LOCAL STREETSTREET ROOM TYPOLOGY 2: CORNELIA OVERLAY AT FRANCE AVESTREET ROOM TYPOLOGY 3: NEW LOCAL STREET STREET ROOM TYPOLOGY 4: Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 7:59:22 PMA0.2 SITE PLAN 220535 Author Checker 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 No. Description Date 2 WAY TRAFFIC PLUS PARKING +/- 68'-0" EWING AVE S FRANCE AVE SDREW AVE SPROPERTY LINEPROPERTY LINESTREET ROOM TYPOLOGY 2: CORNELIA OVERLAY AT FRANCE AVE STREET ROOM TYPOLOGY 3: NEW LOCAL STREET SETBACK TO CURB 50'-0" MIN. Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 7:59:24 PMA0.3 EXTERIOR ELEVATIONS - SITE 220535 JCG Checker 09/14/20 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 1/16" = 1'-0"A0.3 1 NORTH SITE ELEVATION No. Description Date Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 7:31:17 PMA0.4 EXTERIOR RENDERINGS 220535 ESG ESG 09/13/21 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 No. Description Date Signature Typed or Printed Name License #Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:39 PMA0.19-A PRELIMINARY SITE A METRICS 220535 Author Checker 09/02/21 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 PRELIMINARY METRICS No. Description Date D 5 T5 A B.2 B.6A.1 A.6 C.2 C.7 T1 7 6 4 3 2 T2 T3 T4 RESIDENTIAL LOBBY & AMENITY LOADING TRASH/ RECYCLING MOVE IN UTILITY PARKINGENTRY/EXIT8 1 B C 4.96%UPDN34,977 SF PARKING 7,452 SF AMENITY 886 SF COMMON / CIRCULATION 2,373 SF BOH 444 SF COMMON / CIRCULATION 15' - 0"29' - 0"15' - 0"15' - 0"30' - 0"15' - 0"15' - 0"29' - 0"15' - 0" 178' - 0"2' - 0"26' - 4"18' - 10"27' - 6"27' - 6"27' - 6"27' - 6"27' - 6"2' - 1"30' - 0"28' - 6"30' - 0"13' - 1"1' - 10"286' - 4"HATCHED AREAS ILLUSTRATE SLOPED PT CONCRETE PARKING ENTRY/EXITOVERHEADDOORFLEXPARKINGFLEXPARKINGFLEXPARKINGROLLING OVERHEAD SCREEN OVERHEADDOOROVERHEADDOOROVERHEADGATEOVERHEADGATEOVERHEADGATEROLLING OVERHEAD SCREEN ROLLING OVERHEAD SCREEN 501 SF RETAIL 349 SF RETAIL 522 SF RETAIL OVERHEAD DOOR REFER TO LEVEL P0.5 FOR PARKING LAYOUT OVERHEADDOOR100'-0" 870.75' 100'-0" 100'-0" 870.75' 99'-3"100'-0"99'-3"100'-0"99'-3" 99'-3" 97'-9" 96'-3" 96'-3" 96'-3" 99'-3"1.80%2.50%2.50%4.06%DNDN DN 97'-9" 97'-9" 97'-0" 96'-6" 96'-3" 99'-0" 98'-6" 98'-0" T T 99'-6" 870.25' 99'-6" 870.25' D 5 T5 A B.2 B.6A.1 A.6 C.2 C.7 T1 7 6 4 3 T2 T3 T4 8 1 B C 41,034 SF PARKING 114'-0" 114'-0"112'-10 1/8" 107'-9"109'-10"109'-10"4.86%5%4.96%5.01%UPUPUP 6.94% UP 6.94%UPUP15' - 0"29' - 0"15' - 0"15' - 0"30' - 0"15' - 0"15' - 0"29' - 0"15' - 0" 178' - 0"2' - 0"26' - 4"18' - 10"27' - 6"27' - 6"27' - 6"27' - 6"27' - 6"2' - 1"30' - 0"28' - 6"30' - 0"13' - 1"1' - 10"286' - 4"2,575 SF COMMON / CIRCULATION 1,161 SF 2BR 819 SF 1BR 938 SF 1BR+D 1,459 SF 2BR 1,149 SF 2BR 938 SF 1BR+D 880 SF ALC DATA/ELEC ELEV LOBBY TRASH MECH 938 SF 1BR+D 5 B.2 B.6 T1 7 6 4 3 2 T2 8 1 B C 91'-3" 11,265 SF PARKING PARKING ENTRY/EXIT (LEVEL 1)3.2%UPSignature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:42 PMA0.20-A SITE A FLOOR PLANS 220535 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 1/16" = 1'-0"A0.20-A 2 SITE 'A' LEVEL 1 FLOOR PLAN No. Description Date 1/16" = 1'-0"A0.20-A 3 SITE 'A' LEVEL 2 FLOOR PLAN 1/16" = 1'-0"A0.20-A 1 SITE 'A' LEVEL 0.5 FLOOR PLAN D 5 T5 A B.2 B.6A.1 A.6 C.2 C.7 T1 7 6 4 3 2 T2 T3 T4 8 1 B C 41,034 SF PARKING 2,575 SF COMMON / CIRCULATION 7.22%7.22%5.01%5.01%UP UPUPUP124'-0" 124'-0"124'-0" 121'-10"124'-0"124'-0" 15' - 0"29' - 0"15' - 0"15' - 0"30' - 0"15' - 0"15' - 0"29' - 0"15' - 0" 178' - 0"2' - 0"26' - 4"18' - 10"27' - 6"27' - 6"27' - 6"27' - 6"27' - 6"2' - 1"30' - 0"28' - 6"30' - 0"13' - 1"286' - 4"2' - 0"880 SF ALC 819 SF 1BR 938 SF 1BR+D 938 SF 1BR+D 1,459 SF 2BR 1,149 SF 2BR HATCHED AREAS ILLUSTRATE SLOPED PT CONCRETE 1,161 SF 2BR DATA/ELEC ELEV LOBBY TRASH MECH 938 SF 1BR+D D 5 T5 A B.2 B.6A.1 A.6 C.2 C.7 T1 7 6 4 3 2 T2 T3 T4 8 1 B C 2,575 SF COMMON / CIRCULATION 37,015 SF PARKING (OPEN TO BELOW) 7.22%7.22%5.01%UP UPUP134'-0" 134'-0"134'-0" 131'-10"134'-0"134'-0" 15' - 0"29' - 0"15' - 0"15' - 0"30' - 0"15' - 0"15' - 0"29' - 0"15' - 0" 178' - 0"2' - 0"26' - 4"18' - 10"27' - 6"27' - 6"27' - 6"27' - 6"27' - 6"2' - 1"30' - 0"28' - 6"30' - 0"13' - 1"880 SF ALC 1,161 SF 2BR 1,327 SF 2BR 1,387 SF 2BR 1,148 SF 2BR HATCHED AREAS ILLUSTRATE SLOPED PT CONCRETE 1' - 10"286' - 4"DATA/ELEC ELEV LOBBY TRASH MECH UNIT TERRACEUNIT TERRACE 1,014 SF 1BR UNIT TERRACE Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:43 PMA0.21-A SITE A FLOOR PLANS 220535 08/24/21 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 No. Description Date 1/16" = 1'-0"A0.21-A 1 SITE 'A' LEVEL 3 FLOOR PLAN 1/16" = 1'-0"A0.21-A 2 SITE 'A' LEVEL 4 FLOOR PLAN 6 RESIDENTIAL AMENITY DECK RESIDENTIAL AMENITY UNOCCUPIABLE ROOF AREA 1,567 SF 2BR 1,014 SF 1BR+D 867 SF 1BR 783 SF 1BR 993 SF 1BR 1,383 SF 2BR 4,887 SF AMENITY 2,313 SF COMMON / CIRCULATION 1,227 SF 2BR DATA/ELEC ELEV LOBBY TRASH PATHWAY TO EGRESS STAIR 573 SF ALC 783 SF 1BR 993 SF 1BR867 SF 1BR 1,014 SF 1BR+D 1,102 SF 2BR 573 SF ALC 977 SF 2BR 786 SF 1BR 846 SF 1BR 1,227 SF 2BR 513 SF ST 513 SF ST 2,275 SF COMMON / CIRCULATION 573 SF ALC 1,383 SF 2BR DATA/ELEC ELEV LOBBY TRASH 1,958 SF PENTHOUSE 1,287 SF PENTHOUSE 1,823 SF PENTHOUSE 1,675 SF PENTHOUSE 2,118 SF COMMON / CIRCULATION DATA/ELEC ELEV LOBBY TRASH 783 SF 1BR 993 SF 1BR867 SF 1BR 1,014 SF 1BR+D 1,567 SF 2BR 573 SF ALC 977 SF 2BR 786 SF 1BR 847 SF 1BR 1,227 SF 2BR 513 SF ST 513 SF ST 2,275 SF COMMON / CIRCULATION 573 SF ALC 1,383 SF 2BR DATA/ELEC ELEV LOBBY TRASH 573 SF ALC Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:45 PMA0.22-A SITE A FLOOR PLANS 220535 Author Checker 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 1/16" = 1'-0"A0.22-A 1 LEVEL 5 FLOOR PLAN 1/16" = 1'-0"A0.22-A 2 LEVEL 6-21 FLOOR PLAN 1/16" = 1'-0"A0.22-A 3 LEVEL 22-24 FLOOR PLAN No. Description Date 1/16" = 1'-0"A0.22-A 4 'A' LEVEL L6 PRECAST PANEL GLAZED WALL SYSTEM METAL PERFORATED SCREEN AT PARKING (50% OPEN) 'A' LEVEL L1 870' - 9" 'A' LEVEL L2 114' - 0" 'A' LEVEL L3 124' - 0" 'A' LEVEL L4 134' - 0" 'A' LEVEL L5 144' - 0" 'A' LEVEL L6 156' - 0" TOWER 7 168' - 0" TOWER 8 177' - 8" TOWER 9 187' - 4" TOWER 11 206' - 8" TOWER 12 216' - 4" TOWER 13 226' - 0" TOWER 14 235' - 8" TOWER 15 245' - 4" TOWER 16 255' - 0" TOWER 17 264' - 8" TOWER 18 274' - 4" TOWER 19 284' - 0" TOWER 20 293' - 8" TOWER 21 303' - 4" TOWER 22 314' - 0" TOWER 24 335' - 4" TOWER ROOF UPPER 346' - 0" LEVEL 10 197' - 0"14' - 0"10' - 0"10' - 0"10' - 0"12' - 0"12' - 0"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"10' - 8"10' - 8"10' - 8"10' - 8"19' - 0".TOWER 23 324' - 8"BUILDING HEIGHT 265' - 0"TOWER SCREEN WALL 360' - 0" METAL PANEL GLAZED WALL SYSTEM WOOD-LOOK METAL PANEL PRECAST PANEL PRECAST PANEL BALCONY RAILING SYSTEM METAL PANEL MECHANICAL SCREENING GLAZED WINDOW SYSTEM MECHANICAL SCREENING Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:45 PMA0.30-A SITE A ELEVATIONS 220535 ESG ESG 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 1/16" = 1'-0"A0.30-A 1 EAST ELEVATION 1/16" = 1'-0"A0.30-A 2 NORTH ELEVATION No. Description Date 'A' LEVEL L1 870' - 9" 'A' LEVEL L2 114' - 0" 'A' LEVEL L3 124' - 0" 'A' LEVEL L4 134' - 0" 'A' LEVEL L5 144' - 0" 'A' LEVEL L6 156' - 0" TOWER 7 168' - 0" TOWER 8 177' - 8" TOWER 9 187' - 4" TOWER 11 206' - 8" TOWER 12 216' - 4" TOWER 13 226' - 0" TOWER 14 235' - 8" TOWER 15 245' - 4" TOWER 16 255' - 0" TOWER 17 264' - 8" TOWER 18 274' - 4" TOWER 19 284' - 0" TOWER 20 293' - 8" TOWER 21 303' - 4" TOWER 22 314' - 0" TOWER 24 335' - 4" TOWER ROOF UPPER 346' - 0" 'A' LEVEL L0.5 96' - 3" LEVEL 10 197' - 0" TOWER 23 324' - 8"BUILDING HEIGHT 265' - 0"TOWER SCREEN WALL 360' - 0" METAL PERFORATED SCREEN AT PARKING (50% OPEN)19' - 0".10' - 8"10' - 8"10' - 8"10' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"9' - 8"12' - 0"12' - 0"10' - 0"10' - 0"10' - 0"14' - 0"PRECAST PANEL GLAZED WALL SYSTEM METAL PANEL GLAZED WINDOW SYSTEM METAL PANEL METAL PERFORATED SCREEN AT PARKING (50% OPEN) BALCONY RAILING SYSTEM PRECAST PANEL GLAZING WINDOW SYSTEM METAL PANEL MECHANICAL SCREENING GLAZING WINDOW SYSTEM GLAZING GARAGE DOORS AT RETAIL SPACES PRECAST PANEL PRECAST PANEL BALCONY RAILING SYSTEM MECHANICAL SCREENING Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:46 PMA0.31-A SITE A ELEVATIONS 220535 Author Checker 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 1/16" = 1'-0"A0.31-A 1 SOUTH ELEVATION 1/16" = 1'-0"A0.31-A 2 WEST ELEVATION No. Description Date Signature Typed or Printed Name License # Date PROJECT NUMBER DRAWN BY CHECKED BY ORIGINAL ISSUE: REVISIONS: KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, or report was prepared by me or under my direct supervision and that I am a duly licensed architect under the laws of the State of Minnesota 9/13/2021 8:05:46 PMA0.40-A SITE A EXTERIOR MATERIALS 220535 Author Checker 70th & France 70th & France Edina, MN PRELIMINARY DEVELOPMENT PLAN / PUD 09/13/2021 No. Description Date CONCRETE PANEL COLOR #1 CAST STONE PANEL - BASE METAL PANEL #1 PERFORATED METAL PANELS #1 -PARKING WOOD LOOK COLORED PANEL #1 MULLION CAPS PERFORATED METAL PANEL #2 -PARKING EXTERIOR GLASS ENCLOSURE HYBRID WINDOW WALL - SSG SYSTEM B6B4B3B2.1B.CB.EB.FB.JB.KB.BB.AB.D1A0.31-BB.GB1B.HB5B.IB2B3.112' - 0"42' - 8"19' - 9"6' - 0"40' - 0"12' - 0"44' - 1"176' - 6"SERVICESERVICESERVICESERVICERAMP UP TO L1PARKING12' - 6"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"24' - 0"12' - 0"21' - 0"285' - 6"B6B4B3B2.1B.CB.EB.FB.JB.KB.BB.AB.DB.GB1B.HB5B.IB2B3.112' - 0"42' - 8"19' - 9"6' - 0"40' - 0"12' - 0"44' - 1"176' - 6"12' - 6"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"24' - 0"12' - 0"21' - 0"285' - 6"RETAIL40,808 SFRAMP DOWN TO P1SERVICE / DOCK1,561 SF41' - 11 7/8"120' - 5"COURTYARD ENTRYSignatureTyped or Printed NameLicense #DatePROJECT NUMBERDRAWN BYCHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/13/2021 7:29:29 PMA0.20-BSITE B FLOOR PLANS220535AuthorChecker09/08/2170th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/2021No. DescriptionDate1/16" = 1'-0"A0.20-B1LEVEL P1 PLAN1/16" = 1'-0"A0.20-B2LEVEL 1 PLAN B6B4B3B2.1B.CB.EB.FB.JB.KB.BB.AB.DB.GB.HB5B.IB2B3.13' - 0"12' - 0"42' - 8"19' - 9"6' - 0"40' - 0"12' - 0"132' - 5"12' - 6"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"24' - 0"12' - 0"21' - 0"285' - 6"UTILITY PITPOTENTIAL ELEVATOR LOBBY126' - 4 3/16"ROOFOFFICE32,594 SFB6B4B3B2.1B.CB.EB.FB.JB.KB.BB.AB.DB.GB1B.HB5B.IB2B3.112' - 0"42' - 8"19' - 9"6' - 0"40' - 0"12' - 0"44' - 1"176' - 6"12' - 6"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"24' - 0"12' - 0"21' - 0"285' - 6"POTENTIAL ELEVATOR LOBBY126' - 5"258' - 6"OFFICE32,657 SFGREEN ROOFSignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/13/2021 7:29:33 PMA0.21-BSITE B FLOOR PLANS220535Author Checker09/08/2170th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/2021No. DescriptionDate1/16" = 1'-0"A0.21-B1LEVELS 2-3 PLAN1/16" = 1'-0"A0.21-B2LEVELS 4-6 PLAN B6B4B3B2.1B.CB.EB.FB.JB.BB.AB.D1A0.30-BB.G1A0.40-IB.HB5B.IB2B3.1ENCLOSED MECHANICAL AREAGREEN ROOF AREAGREEN ROOF AREAGREEN ROOF AREAAMENITY LEVEL10,370 SFOUTDOOR AMENITY DECK1,418 SF8' - 11"3' - 1"42' - 8"19' - 9"6' - 0"40' - 0"12' - 0"3' - 2"3' - 1"12' - 6"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"24' - 0"3' - 2"8' - 10"HOSPITALITY BAR1,674 SFROOFTOP FITNESS CENTER3,626 SFSMALL CONF. ROOM -217 SFEXECUTIVE CONFERENCE CENTER1,830 SF132' - 5"264' - 6"B6B4B3B2.1B.CB.EB.FB.JB.KB.BB.AB.DB.GB1B.HB5B.IB2B3.1LEVEL 4 GREEN ROOFLEVEL 1 ROOFENCLOSED MECHANICAL AREALEVEL 7 ROOFOUTDOOR AMENITY DECKLEVEL 2 ROOFLEVEL 8 ROOFL7 GREEN ROOFL7 GREEN ROOFL7 GREEN ROOF3' - 3"12' - 0"42' - 8"19' - 9"6' - 0"26' - 3"13' - 9"12' - 0"3' - 0"41' - 1"2' - 10"21' - 0"12' - 0"24' - 0"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"36' - 0"12' - 6"285' - 6"176' - 6"SignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/13/2021 7:29:38 PMA0.22-BSITE B FLOOR PLANS220535Author Checker09/10/2170th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/2021No. DescriptionDate1/16" = 1'-0"A0.22-B1LEVEL 7 AMENITY1/16" = 1'-0"A0.22-B2ROOF PLAN LEVEL L1100' - 0"LEVEL L2124' - 0"LEVEL L3137' - 0"LEVEL L4150' - 0"LEVEL L5163' - 0"LEVEL L6176' - 0"LEVEL L096' - 0"LEVEL L7 (OFFICEROOF)189' - 0"LEVEL L8(PH ROOF)205' - 0"LEVEL 0.598' - 0"PODIUM HEIGHT26' - 0"METAL PANEL CLADDINGEXTERIOR GLASS ENCLOSURE107' - 0"16' - 0"13' - 0"13' - 0"13' - 0"13' - 0"13' - 0"2' - 0"2' - 0"METAL PANEL MECHANICAL SCREENMECHANICAL LOUVERSEXTERIOR GLASS ENCLOSUREMETAL PANEL ACCENTSRETAIL SIGNAGERETAIL SIGNAGESignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/13/2021 7:29:38 PMA0.30-BSITE B ELEVATIONS220535ESG ESG70th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/20211" = 10'-0"A0.30-B1WEST ELEVATIONNo. DescriptionDate LEVEL L1100' - 0"LEVEL L2124' - 0"LEVEL L3137' - 0"LEVEL L4150' - 0"LEVEL L5163' - 0"LEVEL L6176' - 0"LEVEL L096' - 0"LEVEL L7 (OFFICEROOF)189' - 0"LEVEL L8(PH ROOF)205' - 0"LEVEL 0.598' - 0"2' - 0"2' - 0"13' - 0"13' - 0"13' - 0"13' - 0"13' - 0"16' - 0"107' - 0"PODIUM HEIGHT26' - 0"METAL PANEL CLADDINGEXTERIOR GLASS ENCLOSUREMETAL PANEL MECHANICAL SCREENMETAL PANEL ACCENTEXTERIOR GLASS ENCLOSURERETAIL SIGNAGERETAIL SIGNAGESignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/13/2021 7:29:38 PMA0.31-BSITE B ELEVATIONS220535JCG ESG70th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/20211" = 10'-0"A0.31-B1NORTH ELEVATIONNo. DescriptionDate LEVEL L1100' - 0"LEVEL L2124' - 0"LEVEL L3137' - 0"LEVEL L4150' - 0"LEVEL L5163' - 0"LEVEL L6176' - 0"LEVEL L096' - 0"LEVEL L7 (OFFICEROOF)189' - 0"LEVEL L8(PH ROOF)205' - 0"LEVEL 0.598' - 0"16' - 0"13' - 0"13' - 0"13' - 0"13' - 0"13' - 0"2' - 0"2' - 0"107' - 0"PODIUM HEIGHT26' - 0"METAL PANEL CLADDINGEXTERIOR GLASS ENCLOSUREEXTERIOR GLASS ENCLOSUREFEATURE ENTRY CANOPYMETAL PANEL CLADDINGMETAL PANEL ACCENTSEXTERIOR GLASS ENCLOSURECANOPYRETAILRETAIL SIGNAGESignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/13/2021 7:29:38 PMA0.32-BSITE B ELEVATIONS220535JCG ESG70th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/20211" = 10'-0"A0.32-B1EAST ELEVATIONNo. DescriptionDate LEVEL L1100' - 0"LEVEL L2124' - 0"LEVEL L3137' - 0"LEVEL L4150' - 0"LEVEL L5163' - 0"LEVEL L6176' - 0"LEVEL L096' - 0"LEVEL L7 (OFFICEROOF)189' - 0"LEVEL L8(PH ROOF)205' - 0"LEVEL 0.598' - 0"PODIUM HEIGHT26' - 0"107' - 0"16' - 0"13' - 0"13' - 0"13' - 0"13' - 0"13' - 0"2' - 0"METAL PANEL CLADDINGGLASS EXTERIOR ENCLOSUREMETAL PANEL MECHANICAL SCREENFEATURE ENTRY CANOPYGLASS EXTERIOR ENCLOSUREMETAL PANEL ACCENTSRETAIL SIGNAGESignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/13/2021 7:29:38 PMA0.33-BSITE B ELEVATIONS220535JCG ESG70th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/20211" = 10'-0"A0.33-B1SOUTH ELEVATIONNo. DescriptionDate SignatureTyped or Printed NameLicense # DatePROJECT NUMBERDRAWN BY CHECKED BYORIGINAL ISSUE:REVISIONS:KEY PLANNOT FOR CONSTRUCTIONI hereby certify that this plan, specification, orreport was prepared by me or under my directsupervision and that I am a duly licensed architectunder the laws of the State of Minnesota9/13/2021 7:29:38 PMA0.40-BSITE B EXTERIOR MATERIALS220535JCG ESG70th & France70th & FranceEdina, MNPRELIMINARYDEVELOPMENTPLAN / PUD09/13/2021EXTERIOR GLASS ENCLOSUREHYBRID WINDOW WALL - SSG SYSTEMWOOD LOOK - OFFICE SOFFITNo. DescriptionDateMETAL PANEL @ GRADEMETAL PANEL CLADDINGMETAL PANEL ACCENT Date: November 16, 2021 Agenda Item #: VIII.G. To:Mayor and City Council Item Type: Report / Recommendation From:Cary Teague, Community Development Director Item Activity: Subject:Sketch Plan Review for 6016 Vernon Avenue Discussion CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: No action requested. Provide the applicant non-binding feedback on a potential land use application. INTRODUCTION: The City Council is asked to consider a sketch plan proposal to remodel and expand the existing Kee’s auto repair shop at 6016 Vernon Avenue into a 68-seat restaurant and 1,060 square foot office building. T he existing site is zoned PCD-4, P lanned Commercial District, which allows only automobile service centers, gas stations and car washes. Restaurants and offices are allowed uses in the PCD-1, Planned Commercial Zoning District. To accommodate the request the following would be required: A Rezoning from PCD-4, P lanned Commercial District 4 to PCD-1, Planned Commercial District 1; Building Addition Setback Variances: 1) Front Setback Variance to Eden P rairie Road from 35 to 13 feet; and 2) Side Yard setback variance from 25 to 5 feet; A Front Setback Variance for the patio built toward Eden P rairie Road from 35 feet to 1-foot; A Parking Stall Variance from 33 stalls to 26; and A Comprehensive Plan Amendment from Medium Density Residential to Neighborhood Node. ATTACHMENTS: Description Planning Commission Staff Memo- Oct. 27, 2021 Site Location, Zoning, & Comp. Plan Applicant Narrative and Plans Staff Presentation Staff Presentation 1 Staff Presentation 2 City of Edina • 4801 W. 50th St. • Edina, MN 55424 City Hall • Phone 952-927-8861 Fax 952-826-0389 • www.CityofEdina.com Date: October 27, 2021 To: Planning Commission From: Cary Teague, Community Development Director Re: Sketch Plan Review – 6016 Vernon Avenue The Planning Commission is asked to consider a sketch plan proposal to remodel and expand the existing Kee’s auto repair shop at 6016 Vernon Avenue into a 68-seat restaurant and 1,060 square foot office building. The existing site is zoned PCD-4, Planned Commercial District, which allows only automobile service centers, gas stations and car washes. Restaurants and offices are allowed uses in the PCD-1, Planned Commercial Zoning District. To accommodate the request the following would be required: A Rezoning from PCD-4, Planned Commercial District 4 to PCD-1, Planned Commercial District 1; Building Addition Setback Variances: 1) Front Setback Variance to Eden Prairie Road from 35 to 13 feet; and 2) Side Yard setback variance from 25 to 5 feet. A Front Setback Variance for the patio built toward Eden Prairie Road from 35 feet to 1-foot; A Parking Stall Variance from 33 stalls to 26; and A Comprehensive Plan Amendment from Medium Density Residential to Neighborhood Node. As with all sketch plan reviews; the Planning Commission is asked to provide non-binding comments and direction on a potential future development request. Areas of focus should be on the proposed land use and Comprehensive Plan Amendment; the proposed setbacks and how this proposal fits in to the surrounding area, such as the location of the outdoor dining area across the street from single-family homes. Staff has concern regarding the impact the proposal would have to the adjacent residential uses and the large variances requested. City of Edina • 4801 W. 50th St. • Edina, MN 55424 The following table demonstrates compliance with PCD-1 Zoning: COMPLIANCE TABLE City Standard (PCD-1) Proposed Structure Setbacks Front – Vernon Front – Eden Prairie Road Side – West Parking & Drive-aisle Setbacks Front – Vernon Front – Eden Prairie Road Side – West 35 feet 35 feet (structure) 35 feet (patio) 25 feet 20 feet 20 feet 10 feet 40 feet (30 feet existing) ** 13 feet* (20 feet existing) ** 1 foot* 5 feet* 0-1 Foot** 3 feet** 12 feet Height 2-1/2 stories and 30 feet 2 stories Parking Stalls Office = 5 stalls per 1,000 s.f. Restaurant = 1 stall per 3 seats + number of employees on max shift (33 total stalls required) 26 stalls* FAR 1.0 .13% *Variance Required **Existing Condition Issues/considerations: Parking. The proposed uses do not meet the city’s requirement for restaurant and office parking. A parking study would be done to determine if what is proposed is adequate. Staff has concerns regarding the possibility of parking extending into the residential area as proposed. City of Edina • 4801 W. 50th St. • Edina, MN 55424 Setbacks. Staff has significant concerns regarding the proposed setbacks for the building expansion and the patio for outdoor dining. The outdoor dining would be located across the street from single-family homes with a one-foot setback. The building addition is just 5 feet from the west lot line adjacent to residential uses (condominiums) to the west. The parking area is an existing condition. There is very little room to provide adequate screening on the subject property. Green Space. There is very little green space or landscaping on the subject property. While this is an existing condition, the proposed plans do not make the situation any better; rather, the proposed addition takes away more green space. As demonstrated below there are screening requirements for uses near R-1 Zoning Districts. Screening of parking and use. Per Section 36-1457 (4) of the Zoning Ordinance: “Off-street parking facilities containing six or more spaces and all loading facilities shall be screened from streets located within 50 feet, and from lots which are used for any residential purpose which are located within 50 feet. Said distance shall be the shortest distance between the parking facility or loading facility and the nearest part of the street or the nearest lot line of the residential lot.” This site is located within 50 feet of residential uses to the west and north. Screening of the principal building. Per Section 36-1457 (1) of the Zoning Ordinance: “Nonresidential principal buildings or structures, and any building or structure accessory thereto, shall be screened from lots in the R-1 district which are used for single dwelling unit buildings and which are located within 200 feet of the nonresidential use. The distance shall be the shortest distance between the nonresidential building or structure to be screened and the nearest lot line of the R-1 district lot but shall not extend across a street.” Trash Enclosure. Detailed information would have to be provided for the trash enclosure. Trash storage facilities, including recycling storage facilities, shall be screened from all lot lines and public road rights-of-way. As proposed the trash enclosure would be located right on the lot line. Per Section. 36-1460 all required screening shall be located on the lot occupied by the use, building, facility or structure to be screened. No screening shall be located upon any public road right-of-way, or within 20 feet of the traveled portion of a street. Sidewalks. A sidewalk would be required to be installed along Vernon Avenue per the Bike and Pedestrian Master Plan. Sustainability Questionnaire. The applicant would be required to fill out the Sustainability Questionnaire. EdinaMN.gov 1 Site EdinaMN.gov 2 Site EdinaMN.gov 3 8 Site EdinaMN.gov 4 Site EdinaMN.gov 5 Site Zoning EdinaMN.gov 6 Site Comprehensive Plan planning submission date October 13, 2021 property 6016 VERNON AVE S EDINA, MN applicant Special X Properties, LLC. Co-owners: Martin Collins & Christopher Davis architect christian dean architecture CHRISTIAN DEAN ARCHITECTUREpg.2 6016 vernon ave PROJECT NARRATIVE We are proposing the redevelopment of the property at 6016 Vernon Ave, which is currently the home of Kevin Key’s auto shop. Our intention is to transform the property into the new Westside Café - A place where the community can gather for breakfast, lunch or dinner. There will be a sit-down restaurant, deli, and take-out services on the site as well at offices for management staff. The seating capacity will be 68 inside and 32 on the seasonal patio. On-site parking for staff (4) and patrons (22) can be provide, but faces challenges with this uniquely shaped site. PROPOSED HOURS OF OPERATION Monday - Thursday 6am - 10pm Friday & Saturday 6am - 12am Sunday 8am - 9pm REQUESTED VARIANCES -Rezoning from PRD-1 to PCD-3 -Reduce parking setback on North property line to 3’-8”and setback at South property line to 0’ (to reflect existing pavement/ parking conditions) -Reduce building setback on West property line From 25’ to 5’ -Reduce building setback on North property line from 25’ to 13’ (existing building is 21’ from the North property line) CHRISTIAN DEAN ARCHITECTUREpg.3 6016 vernon ave existing site CHRISTIAN DEAN ARCHITECTUREpg.4 6016 vernon ave proposed site plan CATCH BASIN M.H. EXISTING BUILDING PROPOSED EXPANSION 1,270 SF1,061 SFFOOTPRINT PROPOSED PATIO PROPOSED PARKING (16) P R O P O S E D P A R K IN G (6 )PROPOSED PARKING (4)TRASH ENCLOSURE212 SF WALKWAY2 0 ' P A R K IN G S E T B A C K PEDESTRIAN WALKWAY EXISTING WOOD FENCE5' - 3"20' - 0 1/2"10' PARKING SETBACK 3 5 ' B U IL D IN G S E T B A C K 25' BUILDING SETBACK 25' BUILDING SETBACK10' PARKING SETBACKPROPERTY LINE P R O P E R T Y L IN E PROPERTY LINEE X IS T IN G C U R B C U T E X IS T IN G C U R B C U T 18' - 0"30' - 0"24' - 0"18' - 0"2 4 ' - 6" 1 8 ' - 0" O V E R H E A D P O W E R L IN E S OVERHEAD POWER LINES2 9 ' - 9 "3 0 ' - 0 "6016 VERNON AVE ZONING SUMMARY Zoning:PRD-3 (Planned Residence District) Desired rezoning: PCD-1 (Planned Commercial District) Lot Size:16,584SF FAR:1 Setbacks Front - 35ftSide St- 25ftSide yard - 25ftRear yard - 25ft Parking setbacks: 20ft from public street r.o.w. 10ft from interior and rear lot lines 10ft from principle structure Park reqmt: 1/3 the maximum seating capacity, plus one space for each employee on the major shift.Compact spaces do not count toward total. VERNO N A V E N U E EDEN PRARIE RD. EXISTING WOOD FENCE 13' - 0"53' - 3"3' - 8"CHRISTIAN DEAN ARCHITECTUREproject: 6016 VERNON AVE 1" = 20'-0" SCHEMATIC SITE PLAN CHRISTIAN DEAN ARCHITECTUREpg.5 6016 vernon ave UP DN DN UP ELEV JANITOR / STORAGE 36" FLAT TOP36" RANGE36" GRILLPIZZAOVEN PREP TABLEBAR HOST HOTDELI DELIDELI WINDOWDRY STOR SODA FOOD BEER DISHES EXISTING FENCE SERVICEWALKWAYPREP TABLESERVICE STATION PATIO SEATING (32) DINING SEATING (46) STOOP ENTRY DELI SEATING (22) ELEV FRZROPTION TO ADD BASEMENT SERVICE STATIONTAKE-OUT WINDOW OFFICE CONFERENCE ROOM ELEV.STOR.7' - 11 11/16"5' - 10 7/8"6' - 0"6' - 0"11' - 0"16' - 4 7/16"53' - 3"20' - 7 1/4" MECH. STAFF STAFF BATH OFFICE DRY STORAGE / PREP ELEV. UTILITIES8' - 0 7/8"5' - 10 5/16"8' - 0"13' - 1 7/16"6' - 0"12' - 3 5/8"CHRISTIAN DEAN ARCHITECTUREproject: 6016 VERNON AVE date: 10/11/21LEVEL 1 -SCHEMATIC FIT PLAN EXTENDEDLEVEL 2 BASEMENT LEVELPROPOSED BUILDING PLAN CHRISTIAN DEAN ARCHITECTUREpg.6 6016 vernon ave existing site CHRISTIAN DEAN ARCHITECTUREpg.7 6016 vernon ave existing building CHRISTIAN DEAN ARCHITECTUREpg.8 6016 vernon ave example - colita BEFORE AFTER DESIGNED BY CHRISTIAN DEAN ARCHITECTURE COMPLETED 2018 CHRISTIAN DEAN ARCHITECTUREpg.9 6016 vernon ave example - colita DESIGNED BY CHRISTIAN DEAN ARCHITECTURE COMPLETED 2018 9 2 7' - 0 " 927' - 0" 927' - 0" 927' - 0" 927' - 0" 9 2 7 ' - 0 " 927' - 0" 927' - 0" 927' - 0" 926' - 0" 926' - 0" 927' - 0" 10' PARKING SETBACK 2 0 ' P A R K IN G S E T B A C K 25' BLDG SETBACKCATCH BASIN M.H. EXISTING BUILDING ELEV = 927.4' VERN O N A V E N U E EDEN PRARIE RD.OVERHEAD POWER LINESEXISTING BITUMINOUS & CONCRETE PARKING LOT ELEV = 927.9' LINE OF OVERHANG LINE OF OVERHANG CONCRETE STOOP T A L L A R B O R V IT A E H E D G E O V E R H E A D P O W E R L IN E S BITUMINOUS PATH EXISTING CONCRETE PAD EXISTING CONCRETE PADCHRISTIAN DEAN ARCHITECTUREproject: 6016 VERNON AVE 1" = 20'-0" EXISTING SITE PLAN CATCH BASINM.H.EXISTING BUILDINGPROPOSED EXPANSION1,270 SF1,061 SFFOOTPRINTPROPOSED PATIOPROPOSED PARKING (16)PROPOSED PARKING (6)PROPOSED PARKING (6)TRASH 140 SFENTRY WALKWAY20' PARKING SETBACKPEDESTRIAN WALKWAYEXISTING WOOD FENCE5' - 3"20' - 0 1/2"10' PARKING SETBACK35' BUILDING SETBACK25' BUILDING SETBACK25' BUILDING SETBACK 10' PARKING SETBACKPROPERTY LINEPROPERTY LINEPROPERTY LINEEXISTING CURB CUTEXISTING CURB CUT24' - 0"18' - 0"2 4 ' - 6 " 1 8 ' - 0 "OVERHEAD POWER LINES29' - 9"30' - 0"6016 VERNON AVEZONING SUMMARYZoning: PCD-4 (Planned Commercial District)Desired rezoning: PCD-1 (Planned Commercial District)Lot Size: 16,584SFFAR: 1Setbacks Front - 35ftSide St- 25ftSide yard - 25ftRear yard - 25ftParking setbacks: 20ft from public street r.o.w. 10ft from interior and rear lot lines 10ft from principle structurePark reqmt: 1/3 the maximum seating capacity, plus one space for each employee on the major shift.Compact spaces do not count toward total.VERNON AVENUEEDEN PRARIE RD.EXISTING WOOD FENCE13' - 0"53' - 3"3' - 8"COMPACTSPACE2 0 ' - 0 " 8 ' - 0 "23' - 6"4 4 ' - 9 "(10) PARALLEL PARKING SPACES(10) PARALLEL PARKING SPACES7 ' - 0 " 1 2 ' - 0 "5' BIKE LANE7 ' - 0 1 /2 "CHRISTIAN DEAN ARCHITECTUREproject: 6016 VERNON AVE1" = 20'-0"SCHEMATIC SITE PLAN UP DN DN UP ELEV JANITOR / STORAGE 36" FLAT TOP36" RANGE36" GRILLPIZZAOVEN PREP TABLEBAR HOST HOTDELI DELIDELI WINDOWDRY STOR SODA FOOD BEER DISHES SERVICEWALKWAYPREP TABLESERVICE STATION PATIO SEATING (32) DINING SEATING (46) STOOP ENTRY DELI SEATING (22) ELEV FRZROPTION TO ADD BASEMENT SERVICE STATIONTAKE-OUT WINDOW ENTRY WALKWAY TRASH ENCLOSURE OFFICE CONFERENCE ROOM ELEV.STOR.7' - 11 11/16"5' - 10 7/8"6' - 0"6' - 0"11' - 0"16' - 4 7/16"53' - 3"20' - 7 1/4" MECH. STAFF STAFF BATH OFFICE DRY STORAGE / PREP ELEV. UTILITIES8' - 0 7/8"5' - 10 5/16"8' - 0"13' - 1 7/16"6' - 0"12' - 3 5/8"CHRISTIAN DEAN ARCHITECTUREproject: 6016 VERNON AVE date: 10/11/21 LEVEL 1 -SCHEMATIC PLAN SCALE: 1" -10'-0" LEVEL 2 BASEMENT LEVEL Sketch Plan Review –6016 Vernon Avenue EdinaMN.gov 2 EdinaMN.gov 3 EdinaMN.gov 4 EdinaMN.gov 5 EdinaMN.gov 6 EdinaMN.gov 7 EdinaMN.gov 8 EdinaMN.gov 9 EdinaMN.gov 10 EdinaMN.gov 11 Request Would Require: To accommodate the request the following would be required: ➢ A Rezoning from PCD-4, Planned Commercial District 4 to PCD-1, Planned Commercial District 1; ➢ Building Addition Setback Variances: 1) Front Setback Variance to Eden Prairie Road from 35 to 13 feet; and 2) Side Yard setback variance from 25 to 5 feet. ➢ A Front Setback Variance for the patio built toward Eden Prairie Road from 35 feet to 1-foot; ➢ A Parking Stall Variance from 33 stalls to 26; and ➢ A Comprehensive Plan Amendment from Medium Density Residential to Neighborhood Node. EdinaMN.gov 12 Discussion/Issues: EdinaMN.gov 13 ➢Parking. The project would be short parked by 7 stalls. The upstairs “conference room” could not be used as a party room for the restaurant, as that would drive the need for even more parking stalls. ➢Traffic and parking. A traffic and parking study would be required. ➢Setbacks. The location of the patio and the addition a setback only feet and one-foot to the adjacent lot lines. The adjacent uses are residential. ➢Lack of green space and screening from adjacent residential uses. (building patio and trash enclosure.) ➢Sustainability. The applicant will be asked to submit the sustainability questionnaire as part of a formal application. ➢Comprehensive Plan. The site is guided for medium density residential uses. EdinaMN.gov 14 EdinaMN.gov 15 EdinaMN.gov 16 planning submission date October 13, 2021 property 6016 VERNON AVE S EDINA, MN applicant Special X Properties, LLC. Co-owners: Martin Collins & Christopher Davis architect christian dean architecture CHRISTIAN DEAN ARCHITECTUREpg.2 6016 vernon ave PROJECT NARRATIVE We are proposing the redevelopment of the property at 6016 Vernon Ave, which is currently the home of Kevin Key’s auto shop. Our intention is to transform the property into the new Westside Café - A place where the community can gather for breakfast, lunch or dinner. There will be a sit-down restaurant, deli, and take-out services on the site as well at offices for management staff. The seating capacity will be 68 inside and 32 on the seasonal patio. On-site parking for staff (4) and patrons (22) can be provide, but faces challenges with this uniquely shaped site. PROPOSED HOURS OF OPERATION Monday - Thursday 6am - 10pm Friday & Saturday 6am - 12am Sunday 8am - 9pm REQUESTED VARIANCES -Rezoning from PRD-1 to PCD-3 -Reduce parking setback on North property line to 3’-8”and setback at South property line to 0’ (to reflect existing pavement/ parking conditions) -Reduce building setback on West property line From 25’ to 5’ -Reduce building setback on North property line from 25’ to 13’ (existing building is 21’ from the North property line) CHRISTIAN DEAN ARCHITECTUREpg.3 6016 vernon ave existing site CHRISTIAN DEAN ARCHITECTUREpg.4 6016 vernon ave proposed site plan CATCH BASIN M.H. EXISTING BUILDING PROPOSED EXPANSION 1,270 SF1,061 SFFOOTPRINT PROPOSED PATIO PROPOSED PARKING (16) P R O P O S E D P A R K IN G (6 )PROPOSED PARKING (4)TRASH ENCLOSURE212 SF WALKWAY2 0 ' P A R K IN G S E T B A C K PEDESTRIAN WALKWAY EXISTING WOOD FENCE5' - 3"20' - 0 1/2"10' PARKING SETBACK 3 5 ' B U IL D IN G S E T B A C K 25' BUILDING SETBACK 25' BUILDING SETBACK10' PARKING SETBACKPROPERTY LINE P R O P E R T Y L IN E PROPERTY LINEE X IS T IN G C U R B C U T E X IS T IN G C U R B C U T 18' - 0"30' - 0"24' - 0"18' - 0"2 4 ' - 6" 1 8 ' - 0" O V E R H E A D P O W E R L IN E S OVERHEAD POWER LINES2 9 ' - 9 "3 0 ' - 0 "6016 VERNON AVE ZONING SUMMARY Zoning:PRD-3 (Planned Residence District) Desired rezoning: PCD-1 (Planned Commercial District) Lot Size:16,584SF FAR:1 Setbacks Front - 35ftSide St- 25ftSide yard - 25ftRear yard - 25ft Parking setbacks: 20ft from public street r.o.w. 10ft from interior and rear lot lines 10ft from principle structure Park reqmt: 1/3 the maximum seating capacity, plus one space for each employee on the major shift.Compact spaces do not count toward total. VERNO N A V E N U E EDEN PRARIE RD. EXISTING WOOD FENCE 13' - 0"53' - 3"3' - 8"CHRISTIAN DEAN ARCHITECTUREproject: 6016 VERNON AVE 1" = 20'-0" SCHEMATIC SITE PLAN CHRISTIAN DEAN ARCHITECTUREpg.5 6016 vernon ave UP DN DN UP ELEV JANITOR / STORAGE 36" FLAT TOP36" RANGE36" GRILLPIZZAOVEN PREP TABLEBAR HOST HOTDELI DELIDELI WINDOWDRY STOR SODA FOOD BEER DISHES EXISTING FENCE SERVICEWALKWAYPREP TABLESERVICE STATION PATIO SEATING (32) DINING SEATING (46) STOOP ENTRY DELI SEATING (22) ELEV FRZROPTION TO ADD BASEMENT SERVICE STATIONTAKE-OUT WINDOW OFFICE CONFERENCE ROOM ELEV.STOR.7' - 11 11/16"5' - 10 7/8"6' - 0"6' - 0"11' - 0"16' - 4 7/16"53' - 3"20' - 7 1/4" MECH. STAFF STAFF BATH OFFICE DRY STORAGE / PREP ELEV. UTILITIES8' - 0 7/8"5' - 10 5/16"8' - 0"13' - 1 7/16"6' - 0"12' - 3 5/8"CHRISTIAN DEAN ARCHITECTUREproject: 6016 VERNON AVE date: 10/11/21LEVEL 1 -SCHEMATIC FIT PLAN EXTENDEDLEVEL 2 BASEMENT LEVELPROPOSED BUILDING PLAN CHRISTIAN DEAN ARCHITECTUREpg.6 6016 vernon ave existing site CHRISTIAN DEAN ARCHITECTUREpg.7 6016 vernon ave existing building CHRISTIAN DEAN ARCHITECTUREpg.8 6016 vernon ave example - colita BEFORE AFTER DESIGNED BY CHRISTIAN DEAN ARCHITECTURE COMPLETED 2018 CHRISTIAN DEAN ARCHITECTUREpg.9 6016 vernon ave example - colita DESIGNED BY CHRISTIAN DEAN ARCHITECTURE COMPLETED 2018 Date: November 16, 2021 Agenda Item #: IX.A. To:Mayor and City Council Item Type: Minutes From:Andrew Scipioni, Transportation Planner Item Activity: Subject:Minutes: Transportation Commission, September 23, 2021 Information CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: None; information only. INTRODUCTION: Receive the minutes of the Transportation Commission from September 23, 2021 (see attached). ATTACHMENTS: Description Minutes: Transportation Commission, September 23, 2021 Draft Minutes☐ Approved Minutes☒ Approved Date: October 28, 2021 Minutes City Of Edina, Minnesota Transportation Commission Public Works Multi-Purpose Room September 23, 2021 I. Call To Order Chair Johnson called the meeting to order at 6:08 p.m. II. Roll Call Answering roll call: Commissioners Ahler, Brown, Kitui, Lewis, Richman, Johnson, Kanti Mahanty Late: Commissioner Kane Absent: Commissioners McCarthy, Plumb-Smith, Clark Staff present: Transportation Planner Andrew Scipioni A. Welcome Commissioner Stephen Kanti Mahanty Staff welcomed Commissioner Kanti Mahanty, who was appointed to serve as a student commissioner through August 21, 2022. III. Approval Of Meeting Agenda Motion was made by Commissioner Lewis and seconded by Commissioner Ahler to approve the agenda. All voted aye. Motion carried. IV. Approval Of Meeting Minutes Motion was made by Commissioner Richman and seconded by Commissioner Kitui to approve the August 19, 2021 meeting minutes. All voted aye. Motion carried. V. Community Comment Paul Rosland with Suburban Waste Services spoke against organized trash collection and suggested that the Commission’s report consider alternative perspectives on the issue. VI. Reports/Recommendations A. Valley View Road Bicycle Facilities Review The Commission reviewed and commented on proposed bicycle facilities along Valley View Road and staff recommendations for implementation. Comments from Commissioners included; • Option 1 o The lack of protection for the bike lane means that fewer riders will use it. o There could be room for bollards or other further protection for bikers. o Recommend further reducing the drive lanes and maximizing a bike lane buffer. o Removing the center turn lane could result in a situation like France Avenue where drivers pass turning vehicles on the right. o Recommend considering turn lanes at certain locations along the corridor. Draft Minutes☐ Approved Minutes☒ Approved Date: October 28, 2021 • Options 2a/2b o How would a cyclist make a left turn? Seems like this would encourage unsafe behavior in cyclists. o Sections are inconsistent with that further east of Brookview Avenue. o The drive lanes could be further reduced and extra space given to adjacent properties. o It may make sense to add parking on Valley View if there is already parking elsewhere in the corridor. • Option 3: o The additional boulevard space and potential room for boulevard trees is a benefit. • Options 4/5: o Shared-use path would be inconsistent with the bicycle facilities east of Brookview Avenue. • This section doesn’t need to be consistent with the rest of the block. It is an important section because of the amount of turning traffic. Would advocate for protected bike lanes and boulevard trees. • The bicycle facility doesn’t need to be off-street to be protected. • Wouldn’t be in favor of maintaining the existing configuration. • Recommend consideration of bollards in addition to horizontal buffer to further protect bikers and prevent passing traffic. • Recommend narrowing drive lanes to 11’. • Recommend further consideration to implement Options 2a/2b if the center turn lane is necessary. • More residents have been added to this area with recent developments; the need for improvement is greater. Commissioner Kane arrived at 6:30. B. 2022 Roadway Reconstruction Projects Staff introduced the proposed 2022 roadway reconstruction projects. C. 2021 Work Plan Updates • #1 Organized Trash Collection – Incorporating revisions and additional information to draft report. EEC reviewed and provided comments at their Sept 9 meeting. • #2 Street Funding Task Force – No update. • #3 CloverRide – DARTS proposed changes to the route to allow more time for deferred stops. Staff is working with Communications to update the route map and associated promotional materials. • #4 Traffic Safety Reports – No update. • #5 Capital Improvement Projects – Sidewalk construction hasn’t started yet on the reconstruction projects. The Highlands Park shared-use path is completed except for turf restoration. • #6 Traffic Impact Studies & TDM – Staff is expecting studies for projects at 7300 Bush Lake Rd and 4660 W 77th St. Draft Minutes☐ Approved Minutes☒ Approved Date: October 28, 2021 • #7 Metro Transit Connectivity – Subcommittee met last week, ran some ideas by staff, will meet again to put together final recommendations. D. 2022 Work Plan Proposal The Commission continued to discuss their work plan proposal and ranked their initiatives as follows: 1. Boulevard Tree Policy 2. Public Transit Partnership & Promotion 3. Pedestrian and Cyclist Safety Fund 4. SRTS Demonstration Projects 5. Micromobility Education 6. Traffic Impact Study Process Review Parking Lot: Organized Trash Collection Commissioner Lewis left at 8:23. Motion was made by Commissioner Kitui and seconded by Commissioner Brown to approve the 2022 Work Plan Proposal. All voted aye. Motion carried. Commissioner Kanti Mahanty left at 8:41. VII. Chair and Member Comments – Received VIII. Staff Comments – Received IX. Adjournment Motion was made by Commissioner Johnson and seconded by Commissioner Kane to adjourn the September 23, 2021 meeting at 8:50 p.m. All voted aye. Motion carried. Draft Minutes☐ Approved Minutes☒ Approved Date: October 28, 2021 TRANSPORTATION COMMISSION ATTENDANCE J F M A M J J A S O N D # of Mtgs Attendance % Meetings 1 1 1 1 1 1 1 1 1 9 NAME Ahler, Mindy 1 1 1 1 1 1 1 1 1 9 100% Brown, Chris 1 1 1 1 1 1 1 7 100% Johnson, Kirk 1 1 1 1 1 1 1 1 1 9 100% Kane, Bocar 1 1 1 1 1 1 1 1 1 9 100% Kitui, Janet 1 1 1 1 4 100% Lewis, Andy 1 1 1 1 1 1 1 7 100% McCarthy, Bruce 1 1 1 1 1 1 6 67% Plumb-Smith, Jill 1 1 1 1 1 1 1 1 8 89% Richman, Lori 1 1 1 1 1 1 1 1 8 89% Clark, Anna (s) 1 1 1 1 1 1 6 67% Kanti Mahanty, Stephen (s) 1 1 100% Lafferty, Peter 1 1 Resigned 2 N/A Scherer, Matthew Resigned 0 N/A Atri, Nihar (s) 1 1 1 1 1 1 Term Expired 6 67% Khariwala, Anand (s) 1 1 1 1 1 1 1 Term Expired 7 78% Date: November 16, 2021 Agenda Item #: IX.B. To:Mayor and City Council Item Type: Minutes From:Laura Fulton, Recreation Supervisor-Arts & Culture Item Activity: Subject:Minutes: Arts and Culture Commission September 23, 2021 Information CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: None; information only. INTRODUCTION: Receive the minutes of the Arts and Culture Commission for September 23, 2021. ATTACHMENTS: Description Minutes: Arts and Culture Minutes September 23, 2021 Draft Minutes ☐ Approved Minutes ☒ Approved Date:10/28/2021 Minutes City of Edina, Minnesota Edina Arts & Culture Commission September 23, 2021 4:30 p.m. I. Call to Order Chair Sorenson called the meeting to order at 4:37 p.m. II. Roll Call Answering roll call were Commissioners Amlaw, Chandler, Fram, Johnson, Rubin, Sorenson, Stemmler, Suckow, Westlund; Student Commissioners Anand, and Shen Staff present: Parks and Recreation Director Perry Vetter, Assistant Recreation and Facilities Director Tracy Petersen, Art Center General Manager, Susan Tarnowski, and Assistant Manager Central Lakes Park, Laura Fulton III. Approval of Meeting Agenda Motion made by Chandler to approve the agenda. Motion seconded by Westlund. Motion carried. IV. Approval of Meeting Minutes Motion made by Rubin to approve the August 26, 2021 corrected minutes. Motion seconded by Amlaw. Motion carried. V. Special Recognitions And Presentations Commissioners welcomed new Student Commission Reeya Anand. Continuing Student Commissioner Tiffany Shen was also welcomed. VI. Community Comment Dick Crockett, Edina Foundation, donated copies of the newly published book Nick Legeros: sculpting a life by Karin Winegar. He also: Explained his role City’s earlier Public Art Committee Described the role of the Edina Foundation in the acquisition of public art pieces Gave a brief history of the Foundation and the projects it has supported Commissioners expressed thanks for his continuing interest in the arts in Edina VI. Reports/Recommendations A. 2021 Work Plan Updates Initiative #1 – Commissioners Fram and Stemmler reported There has been one new submission to the virtual gallery Some performances recorded at the Nolan Mains events still need to be uploaded Booth at the Fall Into the Arts Festival began to bring virtual art into the physical space Good feedback reported on the virtual gallery video developed by Stemmler Draft Minutes ☐ Approved Minutes ☒ Approved Date:10/28/2021 Initiative #2 - Commissioners Fram and Stemmler reported Next step in marketing is to review analytics around various strategies Request to take marketing poster for the virtual gallery to high traffic businesses Initiative #3 - Commissioner Rubin Reported Overview of initiative given The draft report should be submitted as a memo for next meeting for vote or consensus Staff Report will be written to accompany a submission to Council Initiative #4 – Director Vetter reported Consultant has completed interviews with: Northern Clay, Artistry, Minnetonka Center for the Arts, White Bear Lake Center for the Arts, and the Fired Up Studio Consultant has all info that staff had been asked to provide in a digital format Consultant visited available sites in Edina and the Art Center Process: determine programmatic elements and then look for a site Next steps: dates to meet with Commissioners for this initiative B. 2022 Work Plan Development Director Vetter commented on the information in the packet: a narrative and the formatted workplan that will be submitted to Council Vice Chair Rubin described the importance of the development/approval process of commission workplans: What should happen in the City? What do we want to dedicate time towards? Do we have the bandwidth – resources, staff, commissioner time and desire to pursue? Big picture: ACC chapter in the City 10-year plan It is an iterative process among commissions, staff, and Council Review and comment on draft workplan Initiative #1 Discussion Mandela project: digital art, parks, EHS student involvement Spiritual aspect to creation of a Mandela – appropriate consultant? Artist? Write as “Implement Year 2 of the Public Art Plan: the Mandela Digital Art Project Could be two projects: digital mapping as a one-time event, and other project Initiative #2 Discussion Revision to: conceptualize and evaluate a micro-grant process to encourage ideas to come from community rather than top-down from the Commission Initiative #3 Discussion Continuation of 2021 Initiative #3 – Commission as advisory to City Council for enhancing planning for art in City development Initiative #4 Discussion Bring the 2021 initiative forward to 2022 workplan Initiative #5 Could the language reflect an overall collaborative charge rather than specific events? Does that infer a Commission responsibility or a workplan initiative? Draft Minutes ☐ Approved Minutes ☒ Approved Date:10/28/2021 Conceptualized as a one-time climate-change art event in the City parks Initiative #6 Accept as written The Commission voted to approve the workplan at its last meeting; discussion concluded. VII. Chair and Member Comments Chair Sorenson thanked members for their time at the Fall Into the Arts Festival Noted an upcoming invitation to tour the public works site VIII. Staff Comments A. Upcoming Meetings and Events Reminder that Chair Sorenson will present the 2022 Workplan to City Council on October 5, 2021 The Yancey Park dedication will be held on Monday October 4, 2021, 4:30 p.m. Manager Tarnowski updated Commissioners on the upcoming release of Speaking of Authors … with author Anne M. Dunn, Anishinaabe Elder and writer B. Recognition Art Center General Manager Tarnowski was recognized for her service IX. Adjournment Motion made by Rubin to adjourn the September 23, 2021 meeting of the Arts & Culture Council at 6:03. Motion seconded by Chandler. Motion carried. Date: November 16, 2021 Agenda Item #: IX.C. To:Mayor and City Council Item Type: Minutes From:Risi Karim, City Management Fellow Item Activity: Subject:Minutes: Human Rights & Relations Commission September 28, 2021 Information CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: None; information only. INTRODUCTION: Receive minutes of the October 26, 2021 Human Rights & Relations Commission. ATTACHMENTS: Description 9.28.21 HRRC Minutes Draft Minutes☐ Approved Minutes☒ Approved Date: 10/26/2021 Minutes City of Edina, Minnesota Human Rights & Relations Commission Public Works Building, Multipurpose Room September 28, 2021, 7 p.m. I. Call To Order Chair Epstein called the meeting to order at 7:02 p.m. II. Roll Call Answering Roll Call: Chair Epstein, Commissioners Bennett, Edwards, Stringer Moore, Segall, and Guadarrama; Student Commissioner Lichtenberger and Mirza Staff Present: Heidi Lee, Race & Equity Coordinator and Risi Karim, City Management Fellow Absent: Commissioner Ismail Late: Commissioner Felton III. Approval of Meeting Agenda Motion by Commissioner Bennett to approve the Sept. 28, 2021 meeting agenda, seconded by Commissioner Segall. Roll call vote. Motion carried. IV. Approval of Meeting Minutes Commissioners indicated the following changes to the draft minutes: None Motion by Commissioner Edwards to approve the Aug 24, 2021 meeting minutes, seconded by Commissioner Stringer Moore. Roll call vote. Motion carried. V. Reports/Recommendations A. Commission Member Update Commissioner Richard Ross has resigned from the Commission effective immediately. There will be no immediate replacement due to the timing of the resignation. Seat will be filled in March of 2022 B. Human Rights & Relations Commission 2021 Work Plan The Commission discussed the Work Plan with the following updates: Initiative #2 – Tom Oye Award - Staff Liaison Lee shares the following dates for the initiative: o Sept 22nd application opens o Fliers have been printed and are ready for distribution around the city. o Award will be presented at the Dec 7th City Council Meeting Initiative #4 – Race, Justice, and Policing Community Awareness Plan & Implementation Draft Minutes☐ Approved Minutes☒ Approved Date: 10/26/2021 - The Community Conversations: Race, Justice and Policing event will be held Sunday, October 17,2021, from 3:00pm-5:00pm in the City Council Chambers at City Hall. - Logistics are still being sorted out to accommodate speakers who wish to present virtually. - Staff Liaison Lee has been working closely with the city’s Communication Department to assure tech assistance is ready and available for the event. Motion by Commissioner Felton to change the hybrid event to a virtual event, if needed; seconded by Commissioner Stringer Moore. All in favor. Motion carried. • Initiative #5 – Bias Offense Review - Chair Epstein will take over as lead for the initiative due to Commissioner Ross’s departure from the Commission. C. 2022 Work Plan Development The Commission discussed the 2022 Work Plan: - Commissioners engaged in dialogues expressing their preference for initiatives that the Commission should move forward with, as well as assigned Commissioner to each initiative. The prioritization of initiatives for the 2022 Work Plan is as followed: 1. Sharing Values Sharing Community Event: Bennett, Guadarrama, Segall, Mirza 2. Days of Remembrance: Epstein, Stringer-Moore, Mirza, Lichtenberger 3. Bias Offense: Epstein, Guadarrama 4. Tom Oye: Felton, Mirza 5. City Renaming Policy: Stringer Moore, Segall, Bennett, Mirza Motion by Chair Epstein to approve the 2022 annual Work Plan, seconded by Commissioner Stringer Moore. All in favor. Motion carried. VI. Chair and Member Comments Received VII. Staff Comments Received VIII. Adjournment Motion by Commissioner Felton to adjourn the meeting, seconded by Commissioner Stringer Moore. Roll call vote. Motion carried. Meeting adjourned at 8:36 p.m. Date: November 16, 2021 Agenda Item #: IX.D. To:Mayor and City Council Item Type: Advisory Communication From:Jeff Brown, Community Health Commission Liaison Item Activity: Subject:Advisory Communication from Community Health Commission: Study and Report on Possible Multi- Unit Housing Smoke-Free Initiatives Action CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Receive report from Community Health Commission INTRODUCTION: 2021 Community Health Commission work plan contains the following work plan item: Study and report possible City actions, policies, or code changes regarding smoking activity in multi-unit properties. Include local and national examples. This report completes this 'study and report' initiative. The Community Health Commission has proposed a 2022 work plan item to move to the 'review and recommend' phase regarding this work plan item to recommend specific actions to be considered by Council. ATTACHMENTS: Description Advisory Communication: CHC: Smoke-Free Multi-Unit Housing Report Date: November 8th, 2021 From: Edina Community Health Commission Subject: Smoke-Free Multi-Unit Property Polices Action Requested: Study and report possible smoke-free multi-unit property policies, possible ordinance language, and programs. Gather examples from other cities. Background: In early 2018, Bloomington Public Health (BPH) and the Association for Non-Smokers (ANSR) Minnesota’s Live Smoke Free program administered a survey to residents in to two types of multi-unit housing properties in the City of Edina: those with a smoke-free policy (i.e. smoking of tobacco is not allowed anywhere indoors) and those with a smoking-allowed policy. View PDF of CHC Agenda and Survey Presentation Key Survey Takeaways • Majority of all respondents (97%) don’t allow smoking in their units even with a smoking-allowed policy present. • Majority of respondents surveyed (94%) support a smoke-free building-wide policy. • Despite 97% of all respondents not allowing the smoking of tobacco products in their units, (99% in smoke-free vs 93% in smoking-allowed properties), 46% of these respondents are still exposed to secondhand smoke from all buildings. This includes 39% in smoke-free vs. 64% in smoking-allowed buildings. • Negative health impact of secondhand smoke exposure was reported by 8% of respondents. • Majority of respondents (91% in smoke-free properties and 90% in smoking-allowed properties) indicated they would support a multi-unit housing smoking related citywide ordinance. • As a result of this survey, the Edina Community Health Commission was tasked with providing a study & report on the potential polices, programs, and ordinance language related to this subject. Review of National, State, & Local Policy Efforts: • A 2017 rule from the Department of Housing and Urban Development instructed public housing agencies to develop and implement smoke-free polices by August 1, 2018. However, this rule contained exemptions for mixed funding properties and voucher-based programs. o https://www.federalregister.gov/documents/2016/12/05/2016-28986/instituting-smoke- free-public-housing Page 2 • In January 2019, The Public Health Law Center at Mitchell-Hamline School of Law released a report to reinforce the legality of smoke-free policies. o https://www.publichealthlawcenter.org/sites/default/files/resources/No-Constitutional- Right-Smoke-Toke-2019.pdf • A 2019 survey of multi-unit property residents in Ramsey County conducted by Saint Paul – Ramsey County Public Health and Live Smoke Free showed high level of support for smoke-free policies in both subsidized and market-rate housing. o Fact Sheet: https://mnsmokefreehousing.org/wp-content/uploads/Summary-2-Page- infographic.pdf o Full Report: https://mnsmokefreehousing.org/wp-content/uploads/Ramsey-County-Multi- Unit-Housing-Resident-Survey-Aggregate-Report.pdf • Dakota County received the 2020 Achievement in Health Award from the National Association of Counties for its work implementing smoke-free affordable housing. o https://explorer.naco.org/cf_naco/cffiles_web/awards/Award_program.cfm?SEARCHID=A4 9981 o Dakota County, MN – Stories of Progress: https://mnsmokefreehousing.org/dakotacounty/ • In January 2021, the City of St. Paul amended the City’s Truth in Sale of Housing reports to include disclosure of smoking rules. Additionally, a smoking policy disclosure form now must be filed with the Department of Safety and Inspections for multi-unit dwellings. o https://library.municode.com/mn/st._paul/codes/code_of_ordinances?nodeId=PTIILECO_T ITXIXCOPR_CH194SMPODI • As of July 1, 2021, the American Nonsmokers’ Rights Foundation listed 40 Minnesota communities with some form of smoke-free policy in place for publicly owned multi-unit housing. o https://no-smoke.org/wp-content/uploads/pdf/public-housing-authorities.pdf Review of Existing Policies: • Austin Housing Authority - Austin, TX o https://www.hacanet.org/wp-content/uploads/2018/03/ACOP-12-21-17.pdf#page=236 • Raleigh Housing Authority - Raleigh, NC o https://www.rhaonline.com/wp- content/uploads/2017/07/RHA_Smoke_Free_Housing_and_Building_Policy_approved_082 417.pdf Page 3 Examples of Model Policies: • Mitchell Hamline Public Health Law Center – Model Ordinance o https://www.publichealthlawcenter.org/sites/default/files/resources/CA-Smoke-free- MUH-Model-Ordinance.pdf • Americans for Nonsmokers Rights – Model Ordinance (Written broadly but can be parsed down to apply to multi-unit housing) o https://nonsmokersrights.org/sites/default/files/2019-09/modelordinance.pdf Example Education & Outreach Efforts: • Live Smoke Free, a non-profit program of the Association for Nonsmokers-Minnesota provides a database of smoke-free properties and resources for property owners/managers considering implementation of smoke-free policies. Their database is linked by a variety of state, county, and municipal websites. o https://mnsmokefreehousing.org/smoke-free-housing-directory/ • Minnesota Department of Health – Clean Indoor Air Act, Rental Apartment Building Guidelines o https://www.health.state.mn.us/communities/environment/air/mciaa/rental.html • City of Minneapolis – Smoke-Free Rental Housing Campaign o https://www2.minneapolismn.gov/government/programs-initiatives/healthy- living/tobacco-free-minneapolis/smoke-free-housing/ • MN Department of Public Safety: Fire Risk – In 2019, smoking accounted for only 2% of structure fires, but 21% of known fire related fatalities. o https://dps.mn.gov/divisions/sfm/mfirs/Documents/Fire%20in%20Minnesota/Fire-in- Minnesota-2019.pdf As more states and localities explore and implement policies restricting smoking in multi-unit properties, additional research and resources have become more widely available. • Minnesota Smoke-Free Housing o https://mnsmokefreehousing.org/resources/research/ • Mitchell Hamline Public Health Law Center smoke-free housing resources o Smoke-Free Housing Resource Library https://www.publichealthlawcenter.org/topics/commercial-tobacco- control/smoke-free-tobacco-free-places/housing Page 4 o 2019 Report on marijuana use in Multi-Unit Settings https://www.publichealthlawcenter.org/sites/default/files/resources/Marijuana- in-Multi-Unit-Residential-Setting-2019-1.pdf o Model Lease Addendum https://www.publichealthlawcenter.org/sites/default/files/resources/PHLC-Model- Smoke-Free-Lease-Addendum.pdf o Model Condo Policy https://www.publichealthlawcenter.org/sites/default/files/resources/PHLC-Model- Smoke-Free-Condo-Policy.pdf • American Lung Association – Smoke-Free Communities Success Stories o https://www.lung.org/policy-advocacy/tobacco/smokefree-environments/expanding- smokefree-communities • National Housing Law Project – A Guide to Equitable Smoke-Free Public Housing o https://www.nhlp.org/wp-content/uploads/FINAL_-A-Guide-to-Equitable-Smoke-Free- Public-Housing-2020.01.14.pdf Date: November 16, 2021 Agenda Item #: XII.A. To:Mayor and City Council Item Type: Other From:Grace Hancock, Sustainability Coordinator Item Activity: Subject:Annual Efficient Buildings Sustainability Report & Program Evaluation Information CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: None; information only. INTRODUCTION: City Council passed the Efficient Buildings Ordinance in 2019, taking effect in 2020. This staff report outlines building compliance and energy use results from the 2020 data year, and outlines 2022 actions related to ordinance implementation. ATTACHMENTS: Description Staff Report: Efficient Buildings Ordinance Summary Report & Evaluation 1 November 16, 2021 Mayor and City Council Grace Hancock, Sustainability Manager Annual Efficient Buildings Sustainability Report & Program Evaluation Executive Summary: Edina City Council passed an Efficient Building Benchmarking Ordinance in 2019, taking effect in 2020 and phasing in over three years. Since then, ordinance implementation has begun to advance the twin goals of better understanding building energy use in Edina, and achieving GHG reductions in this sector. Compliance has improved from years 1 to 2; of particular importance is compliance with large buildings (100,000 sq. ft. +), which moved from 74% in year 1 to 94% this year. Buildings 50,000-99,999 sq. ft. increased their compliance rate from 60% in 2020 to 81% in 2021. The City can reasonably expect a similar increase for buildings 25,000-49,999 sq. ft. after this first year. The building sector makes up 56% of Edina’s GHG emissions, as of 2019. 53% of these building energy emissions are emitted from commercial and industrial buildings. Across residential, commercial and industrial buildings, 53% of the GHG emissions, measured in metric tonnes CO2e, come from methane (natural) gas consumption versus electricity use. With all building classes now required to comply annually, beginning in 2022 the City can begin track GHG reduction trends across years and implement program improvements. 2021 Results: In 2021, buildings 25,000 square feet or larger were required to enter calendar year 2020 electricity and natural gas use into the Environmental Protection Agency’s Energy Star Portfolio Manager website to report annual energy use. Compliance Metric 2021 2020 Difference # Buildings to comply 264 154 110 new buildings In full compliance 67% (201 buildings) 65% (100 buildings) +2% in compliance Exempt 9% (23 buildings) 6% (10 buildings) +3% sought exemptions Pending re-submission 2% (4 buildings) 7% (11 buildings) -5% did not re-submit Not submitted 22% (59 buildings) 21% (33 buildings) +1% did not submit While the table above provides high-level compliance data, building energy efficiency is dependent on building size (square footage), and energy use. The combination of these results in a metric called Energy Use Intensity (EUI). 2 EUI is defined as the annual amount of all energy a property consumes on-site, regardless of the source, divided by a building’s square footage. Minnesota building site EUIs are weather normalized to account for weather fluctuations from year to year. A lower site EUI indicates a more efficient building. This table breaks down compliance rates to assess not only how many buildings are complying, but how much square footage and GHG emissions is being reported. Metric 2021 2020 Difference Total square footage required to comply 25,000,000 18,000,000 +7,000,000 sq. ft. Sq. Footage compliance rate 84% 79% +10% GHGs reported (metric tonnes CO2e) 188,000 152,000 +~36,000 Average Energy Use Intensity (EUI) 82 90 -8 points Another way to test efficacy is to look at compliance rate by building class and type, and who has not complied at all since the passage of the ordinance. According to Edina’s 2016 Electricity Action Plan, large buildings use a disproportionate amount of non-residential building energy use, so it’s imperative that the City achieve a high compliance rate with its largest buildings. 2021 Building Class 100,000 sq. ft. + 50,000-99,999 25,000-49,999 # buildings 79 75 102 Square footage 16,000,000 5,000,000 4,000,000 Compliance rate 94% 81% 65% GHGs reported (metric tonnes CO2e) 135,000 40,000 13,000 Average Energy Use Intensity (EUI) 72 91 84 Finally, when it comes to municipal operations, we have two years of benchmarking data to compare: City Building 2020 EUI 2019 EUI National Median Difference (Nat’l Median vs. 2019) Arneson Acres Greenhouse 55 66 61 10% Arneson Acres Museum 52 59 81 -27% Art Center 114 178 74 140% Braemar Arena 104 109 65 69% Braemar Golf Course Clubhouse 109 121 50 145% Braemar Golf Dome 99 131 92 43% Centennial Lakes Hughes Pavilion 156 178 72 146% Centennial Lakes Maintenance 13 16 61 -73% City Hall 171 174 64 170% Edinborough Park 181 226 55 313% Fire Station No. 1 Tracy Ave 89 150 74 104% Fire Station No. 2 York Ave 93 156 60 158% Liquor Store 50th St 39 43 125 -65% Liquor Store Vernon Ave 65 80 143 -44% Liquor Store York Ave 84 99 150 -34% Public Works 40 43 58 -24% Senior Center 42 78 65 19% South Metro Public Training Site 96 126 73 73% Aquatics Center (adding 2022) 3 Hennepin County hosts a map of participating buildings with their energy use. Full 2021 results and map can be viewed here: http://efficientbuildingsmap.hennepin.us/. 2022 and beyond: Some challenges encountered in 2021 can be improved through the proposed ordinance amendment, primarily clarifying who must comply, and the exemption process. Some challenges persist, and will be addressed beginning in 2022. First, ~3,000,000 square feet of eligible buildings did not comply with the ordinance in 2021. 13 buildings representing ~1,000,000 sq. ft. did not comply in either 2020 or 2021. Second, 23 buildings – representing ~1,200,000 square feet - did not receive at least one notification from the City regarding compliance requirements; the City-issued letters were returned to sender. Building sales and other changes of ownership affect the mailing list received from the Assessing Department. Targeted outreach in 2022 to these buildings should help reduce the number of repeat ordinance avoidance and improve compliance rate. Further, incorporating the enforcement aspect of this ordinance into annual licensure notifications should underscore compliance importance and drive greater ordinance participation. In 2022, Edina will phase in the final stage of this ordinance, requiring energy assessments for buildings with energy saving potential. Class 1 buildings (100,000 square feet +) must comply in 2022, Class 2 (50,000 sq. ft. +) in 2023, and Class 3 buildings (25,000+) in 2023. Buildings will undergo an energy assessment every five years, and be incentivized to adopt assessment findings. Finally, City buildings will continue to undergo energy assessments and building re-commissioning to address their relatively high energy use intensity. Each of these program improvements and implementation aspects are funded by the Conservation and Sustainability Fund. Date: November 16, 2021 Agenda Item #: XII.B. To:Mayor and City Council Item Type: Other From:Lisa A. Schaefer, Assistant City Manager Item Activity: Subject:Quarterly Financial Report Information CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: None; information only. INTRODUCTION: The Quarterly Financial Report will be added prior to the Council Meeting. ATTACHMENTS: Description Q3 2021 Financial Report City of Edina – Q3 2021 General Fund Fines and Forfeitures – Court fines are down due to decreased traffic stops. Investment Income – Investment income is recorded in this account throughout the year and allocated out to other funds at year end. Negative unrealized loss of $1M is offsetting interest/coupons of $900k. Unrealized gain/loss is part of assigned fund balance. Property Taxes – Property taxes are the primary revenue source and are received in June and December. Franchise Fees – Payments are recorded quarterly but lag the quarter close. Licenses & Permits - Building permit revenue fluctuates based on the number of permits and valuation year- over-year. YTD 2021 has 3,376 building permits issued with valuation of $218M vs YTD 2020 of 2,513 permits with valuation of $293M. 2020 valuation was driven by Millenium and The Bower developments. Intergovernmental – Increase in 2020 was due to $3.9M of CARES Act funding. 2021 has $2.5M of ARPA. Building Rental – Driven by payment timing of cell tower contracts. Expenses – Expenses generally fall 25% each quarter. Departments have continued to manage their budgets minimizing expenses during the pandemic. Salaries & Benefits - The worker’s comp allocation is not yet operating in the new system. Of the full year budget of $800k in the general fund, $169k has been recognized in YTD below. Contributions & Transfers – In 2020, a $3M budget stabilization transfer was made from the Construction fund. Budget stabilization is $4.3M total in General Fund assigned fund balance. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Fines and Forfeit 335,186 950,000 485,472 35% Invmnt Inc - Non Op (127,957) 150,000 597,073 -85% Other Revenue 63,295 17,900 121,242 354% Property Taxes 17,538,793 33,986,471 31,901,483 52% Franchise Fee 412,183 850,000 811,004 48% Lodging Tax 8,022 27,000 8,313 30% Licenses & Permits 4,409,027 5,179,514 6,381,890 85% Intergovernmental 3,043,390 1,753,218 5,976,629 174% Charges for Services 4,018,286 5,434,930 4,812,578 74% Building Rental 504,563 458,800 479,149 110% Other Fees 363 - (88) - Total Revenues 30,205,151 48,807,833 51,574,745 62% Expenses Salaries (16,923,317) (24,741,834) (23,450,784) 68% Benefits (6,458,828) (9,521,863) (9,258,625) 68% Contractual Services (4,682,796) (7,183,342) (6,471,324) 65% Commodities (1,343,385) (2,588,433) (2,351,412) 52% Capital Outlay - - (75,047) - Internal Services (3,638,201) (4,850,496) (4,442,939) 75% Total Expenses (33,046,527) (48,885,968) (46,050,132) 68% Net Operating Inc/Loss (2,841,376) (78,135) 5,524,612 Non-Operating Rev/Exp Sale of Property 13,944 - 75 - Misc - Non Op 6,292 - 11,503 - Contrib & Transfers 123,010 50,000 3,115,260 246% Total Non-Operating Rev/Exp 143,246 50,000 3,126,839 286% Net Inc/(Loss)(2,698,130) (28,135) 8,651,451 Parks & Recreation Enterprises Parks & Recreation Enterprises results include the cost recovery calculation. Cost recovery percentages indicate a facility’s ability to cover operating expenses. Currently, those facilities with less than 100% cost recovery are subsidized by transfers from the liquor fund and/or existing cash balances at the facilities. The City calculates cost recovery two ways: Total Cost Recovery – Operating revenue divided by operating expenses. Non-operating revenue/expense items (e.g., donations, investment income, etc.) are excluded from both calculations. Management Cost Recovery – This calculation starts with the Total Cost Recovery calculation but excludes internal services, depreciation and water/sewer/storm charges from operating expense. Art Center - The Art Center is open in a limited capacity offering classes on the first floor as well as at the Senior Center and Arneson Acres. The Art Center will continue to operate in its current capacity for the remainder of 2021. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Charges for Services - 26,725 3,312 0% Sales 28 18,706 5,297 0% Memberships - 15,664 3,369 0% Admissions 54,177 422,070 29,637 13% Other Fees - 19,769 - 0% Sales - Utilities - - 956 - Total Revenues 54,205 502,934 42,570 11% Expenses Cost of Sales & Srvc - (500) (1,063) 0% Salaries (109,796) (468,749) (186,265) 23% Benefits (16,448) (110,640) (23,904) 15% Contractual Services (26,640) (109,545) (38,573) 24% Commodities (9,162) (76,500) (10,969) 12% Internal Services (56,878) (75,838) (68,862) 75% Depreciation (4,500) (6,000) (5,891) 75% Total Expenses (223,424) (847,772) (335,526) 26% Net Operating Inc/Loss (169,220) (344,838) (292,956) Non-Operating Rev/Exp Invmnt Inc - Non Op - - (36) - Donations - Non Op 11,402 10,000 13,714 114% Contrib & Transfers - 250,000 125,000 0% Total Non-Operating Rev/Exp 11,402 260,000 138,678 4% Net Inc/(Loss)(157,818) (84,838) (154,277) Total Cost Recovery 24%59%13% Management Cost Recovery 34%66%16% Braemar Golf Course & Dome Golf Course opened March 30th and closed October 31 this year with normal operations. 18H rounds are 26,586 in 2021 vs 23,050 in 2020 or an increase of 3,536. Admissions - Golf Dome closed April 30th and will reopen November 1st. Golf Dome switched to timed golf during COVID-19 with no buckets sold. Timed golf transactions, representing a mix of 1/2 hour times, increased from 18,130 for the whole year 2020 to 34,370 YTD 2021. Building Rental – Driven by Red River Kitchen. Rental is paid to the City on a month lag. Total Golf revenue was $3.5M Sept YTD 2020 vs $4.6M YTD 2021. Expenses – in line with 2020. 20202/21 budget was built prior to full year of actuals with reopened golf course. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Charges for Services 271 - 179 - Sales 262,020 252,364 181,334 104% Memberships 184,841 128,459 128,506 144% Admissions 835,198 500,000 641,443 167% Building Rental 114,968 190,000 40,147 61% Equipment Rental 337,397 397,940 284,148 85% Greens Fees 2,865,742 2,572,909 2,663,755 111% Other Fees 22,596 2,584 8,170 874% Total Revenues 4,623,033 4,044,256 3,947,682 114% Expenses Cost of Sales & Srvc (187,480) (129,706) (143,578) 145% Salaries (1,271,506) (1,296,201) (1,462,597) 98% Benefits (279,050) (375,251) (305,201) 74% Contractual Services (560,617) (465,450) (648,895) 120% Commodities (310,977) (274,000) (354,575) 113% Internal Services (181,747) (242,329) (220,690) 75% Depreciation (663,300) (965,000) (893,541) 69% Total Expenses (3,454,677) (3,747,937) (4,029,078) 92% Net Operating Inc/Loss 1,168,356 296,319 (81,396) 394% Non-Operating Rev/Exp Invmnt Inc - Non Op - 15,000 27,988 0% Misc - Non Op - - 20,848 - Intergovernmental - - 3,108 - Int & Fiscal Charges (277,734) (227,152) (241,242) 122% Contrib & Transfers 38,865 - 48,954 - Total Non-Operating Rev/Exp (238,869) (212,152) (140,344) 113% Net Inc/(Loss)929,487 84,167 (221,739) 1104% Total Cost Recovery 134%108%98% Management Cost Recovery 180%160%138% - 20,000 40,000 60,000 80,000 YTD 2019 YTD 2020 YTD 2021 18H Rounds 9H Rounds A9 Rounds (5,000) 15,000 35,000 55,000 75,000 YTD 2019 YTD 2020 YTD 2021 # of Range Buckets # of Dome Timed Golf # of Dome Buckets Aquatic Center Season Passes – 1,934 sold compared to 2,080 in 2019. COVID restrictions fluctuated during the time of early season pass sales. Daily Admissions – Increased to 44,215 in 2021 vs 39,046 in 2019 due to exceptional pool weather. The pool closed the first week due to electrical issues, which resulted in the City refunding $18k of season passes and lost revenue from daily admissions. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Charges for Services 6,736 6,050 78 111% Sales 155,701 121,000 - 129% Memberships 371,891 440,000 (3,687) 85% Admissions 460,580 411,125 - 112% Building Rental 64,091 62,700 83 102% Other Fees (94) - (110) - Total Revenues 1,058,906 1,040,875 (3,637) 102% Expenses Cost of Sales & Srvc (59,640) (49,474) - 121% Salaries (305,838) (389,230) (8,751) 79% Benefits (31,946) (75,248) (2,750) 42% Contractual Services (207,315) (217,768) (35,202) 95% Commodities (71,406) (77,100) (5,092) 93% Internal Services (33,211) (44,281) (39,236) 75% Depreciation (213,372) (284,500) (280,519) 75% Total Expenses (922,728) (1,137,601) (371,550) 81% Net Operating Inc/Loss 136,177 (96,726) (375,186) Non-Operating Rev/Exp Invmnt Inc - Non Op - 26,000 61,480 0% Int & Fiscal Charges (23,000) (11,209) (13,822) 205% Misc - Non Op 15,000 Contrib & Transfers 12,896 - 143,999 - Total Non-Operating Rev/Exp 4,896 14,791 191,656 33% Net Inc/(Loss)141,073 (81,935) (183,530) Total Cost Recovery 115%91%-1% Management Cost Recovery 160%131%-8% - 10,000 20,000 30,000 40,000 50,000 2018 2019 2020 2021 Daily Admissions Q1 Q2 Q3 Q4 0 1,000 2,000 3,000 2018 2019 2020 2021 Season Passes Q1 Q2 Q3 Q4 Edinborough Park - Adventure Peak and the Great Hall are back to pre-pandemic services, including birthday parties, as of early June impacting YTD revenue and operating inc/loss. Revenues – Sept YTD 2019 $1M Expenses – Sept YTD 2019 $1.1M Net Operating Loss – Sept YTD 2019 $140k. Additional $450k loss in 2021. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Lodging Tax 1,723 - 1,751 - Charges for Services 5,211 10,000 831 52% Sales 5,545 144,342 33,397 4% Memberships 41,900 131,738 35,687 32% Admissions 129,434 678,636 173,183 19% Building Rental 55,056 228,603 81,317 24% Greens Fees - 1,500 (60) 0% Other Fees 151,858 208,000 180,888 73% Total Revenues 390,727 1,402,819 506,994 28% Expenses Cost of Sales & Srvc (175) (81,618) (18,649) 0% Salaries (386,212) (648,905) (502,637) 60% Benefits (127,678) (226,076) (156,387) 56% Contractual Services (195,925) (384,380) (266,326) 51% Commodities (73,026) (144,700) (102,160) 50% Internal Services (108,625) (144,833) (131,851) 75% Depreciation (90,423) (145,500) (102,580) 62% Total Expenses (982,065) (1,776,012) (1,280,589) 55% Net Operating Inc/Loss (591,338) (373,193) (773,594) Non-Operating Rev/Exp Gain/Loss on Asset - - 1,311 - Invmnt Inc - Non Op - 27,000 48,202 0% Misc - Non Op 15,000 - 447 - Contrib & Transfers 5,126 - 10,329 - Total Non-Operating Rev/Exp 20,126 27,000 60,289 75% Net Inc/(Loss)(571,212) (346,193) (713,306) Total Cost Recovery 40%79%40% Management Cost Recovery 50%95%49% - 50,000 100,000 150,000 2018 2019 2020 2021 Daily Admissions Q1 Q2 Q3 Q4 Braemar Arena and Field * Utilization – represents hours scheduled out of total hours available. Prime vs nonprime is dependent upon the time of day and time of year, which is charged at differing rates. Braemar Arena – Is currently providing all services with COVID-19 protocols in place. January through June 1st, the arena was open for practices, games, tournaments and the Learn to Skate program with COVID-19 protocols for capacity and distancing. Drop-in programs were conducted with a reservation sign-up system. Concessions (Sales line item) were closed until June 1st. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Charges for Services 37,856 55,464 62,666 68% Sales 98,491 317,672 86,070 31% Admissions 124,617 250,787 38,111 50% Building Rental 1,408,119 1,926,810 1,445,576 73% Equipment Rental 688 6,209 3,567 11% Other Fees (42) - 147 - Total Revenues 1,669,729 2,556,942 1,636,136 65% Expenses Cost of Sales & Srvc (35,173) (114,591) (29,546) 31% Salaries (531,951) (850,695) (676,536) 63% Benefits (135,854) (235,536) (182,288) 58% Contractual Services (482,858) (983,521) (963,406) 49% Commodities (54,904) (106,112) (99,182) 52% Internal Services (159,539) (212,718) (192,950) 75% Depreciation (498,753) (665,000) (665,072) 75% Total Expenses (1,899,031) (3,168,173) (2,808,979) 60% Net Operating Inc/Loss (229,302) (611,231) (1,172,843) Non-Operating Rev/Exp Invmnt Inc - Non Op - 7,000 8,858 0% Misc - Non Op - - 1,873 - Int & Fiscal Charges (75,989) (73,242) (77,421) 104% Contrib & Transfers 25,552 300,000 338,772 9% Total Non-Operating Rev/Exp (50,437) 233,758 272,083 -22% Net Inc/(Loss)(279,739) (377,473) (900,760) Total Cost Recovery 88%81%58% Management Cost Recovery 138%113%86% 78% 60% 76% 68% 50% 42% 71%68% 0% 20% 40% 60% 80% 100% Utilization % - prime Utilization % - nonprime Braemar Arena Ice Hours Utilization* 2018 2019 2020 YTD 2021 73% 26% 76% 21%27% 14% 55% 31% 0% 20% 40% 60% 80% Utilization % - prime Utilization % - nonprime Braemar Field Hours Utilization* 2018 2019 2020 YTD 2021 Braemar Field – Operated normally with COVID-19 protocols and capacity limits in place for users of the facility. Drop-in programs use an online reservation system. The dome came down April 30th. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Charges for Services 116 1,000 54 12% Admissions (593) 23,646 51,282 -3% Building Rental 284,067 447,523 297,862 63% Total Revenues 283,591 472,169 349,198 60% Expenses Salaries (67,716) (133,960) (76,912) 51% Benefits (12,801) (39,868) (14,510) 32% Contractual Services (77,382) (190,900) (73,680) 41% Commodities (7,028) (22,000) (15,936) 32% Internal Services (26,789) (35,719) (32,622) 75% Depreciation (387,000) (516,000) (513,080) 75% Total Expenses (578,717) (938,447) (726,741) 62% Net Operating Inc/Loss (295,125) (466,278) (377,542) Non-Operating Rev/Exp Invmnt Inc - Non Op - 14,000 32,738 0% Contrib & Transfers 525 - 951 - Total Non-Operating Rev/Exp 525 14,000 33,689 4% Net Inc/(Loss)(294,600) (452,278) (343,853) Total Cost Recovery 49%50%48% Management Cost Recovery 172%122%194% Centennial Lakes Park Sales - Concessions were closed for the winter season due to COVID. Equipment Rental - No skate rental was available for the winter season, but open skating was offered mid- January through end of February. Paddleboats opened for the season May 1st. Greens Fees – Mini-golf opened for the season May 1st and sold 26,985 rounds vs 15,527 in 2020 and 22,687 in 2019. Other Fees - Mostly comprised of park maintenance fees from surrounding properties. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Charges for Services 90 - 62 - Sales 13,915 24,598 11,102 57% Admissions 600 - 1,633 - Building Rental 57,270 85,814 (3,278) 67% Equipment Rental 98,984 129,196 67,747 77% Greens Fees 269,667 235,423 163,129 115% Other Fees 305,070 354,000 359,900 86% Total Revenues 745,596 829,031 600,294 90% Expenses Cost of Sales & Srvc (6,705) (9,795) (5,455) 68% Salaries (377,680) (556,697) (516,938) 68% Benefits (94,733) (182,821) (146,389) 52% Contractual Services (223,724) (200,888) (190,415) 111% Commodities (75,790) (126,200) (88,340) 60% Internal Services (84,793) (113,057) (102,769) 75% Depreciation (27,378) (92,000) (39,064) 30% Total Expenses (890,803) (1,281,458) (1,089,370) 70% Net Operating Inc/Loss (145,208) (452,427) (489,076) Non-Operating Rev/Exp Invmnt Inc - Non Op - - 17,240 - Donations - Non Op 2,200 - 13,000 - Misc - Non Op - - 757 - Intergovernmental - - 16,754 - Contrib & Transfers 24,664 100,000 68,936 25% Total Non-Operating Rev/Exp 26,864 100,000 116,687 27% Net Inc/(Loss)(118,344) (352,427) (372,389) Total Cost Recovery 84%65%55% Management Cost Recovery 99%77%68% Liquor Fund Revenue is up $1.9M vs 2020 and $858k vs 2019. Online sales were $1.8M for Sept YTD last year during the pandemic vs $664k this year. Average split is 45% of sales in first half and 55% of sales in second half of the year for total sales. Customer count for the second quarter is 106k for 2021, 85k in 2020 and 120k in 2019. The average transaction value remains at $37/transaction compared to the pandemic high of $68/transaction. YTD margin 2021 is 27% vs pre-pandemic 30% due to price increases with limited product availability and supply chain. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Sales 10,238,535 14,076,681 12,123,739 73% Other Fees 1,985 - (6,326) - Total Revenues 10,240,520 14,076,681 12,117,413 73% Expenses Cost of Sales & Srvc (7,434,150) (9,833,185) (8,744,416) 76% Salaries (1,087,088) (1,422,203) (1,436,136) 76% Benefits (277,843) (433,649) (341,075) 64% Contractual Services (492,789) (650,603) (553,440) 76% Commodities (43,431) (55,050) (43,548) 79% Internal Services (234,544) (312,725) (289,551) 75% Depreciation (81,243) (96,500) (113,853) 84% Total Expenses (9,651,089) (12,803,915) (11,522,019) 75% Net Operating Inc/Loss 589,431 1,272,766 595,394 Non-Operating Rev/Exp Invmnt Inc - Non Op - 31,000 59,180 0% Contrib & Transfers 3,075 (850,000) (596,774) 0% Total Non-Operating Rev/Exp 3,075 (819,000) (537,594) 0% Net Inc/(Loss)592,505 453,766 57,801 20% 25% 30% 35% 40% Q1 19 Q2 19 Q3 19 Q4 19 Q1 20 Q2 20 Q3 20 Q4 20 Q1 21 Q2 21 Q3 21 Liquor Store Margin MN Muni off-sale Spirits Beer Wine Total $- $10 $20 $30 $40 $50 $60 $70 $80 - 20 40 60 80 100 120 140 Average Transaction Value (ATV)Customer Count (in 000's)Customer Count by Store & Total ATV 50th Southdale Grandview ATV Utility Fund Water, sewer and storm 2021 revenue is above Sept YTD 2020 due to rate increases and water usage during the drought. Water pumped Sept YTD is $2B gallons vs 2020 of $1.7B. WAC/SAC Fees are dependent upon permits and is budgeted conservatively. WAC/SAC fees are trailing Sept YTD 2020 actuals by $733k but have already exceeded 2021 budget. Intergovernmental – 2020 included $396k for the SCORE grant ($70k recycling/$326 organics). The recycling portion has been extended to 2021. YTD 2021 Budget 2021 FY 2020 % of Budget Revenue Other Revenue 3,845 - 7,590 - Charges for Services (1,840) - 3,585 - Water Charges 6,405,698 8,528,921 7,768,135 75% Water Meters 35,533 53,247 45,351 67% Water Penalty 62,558 72,147 16,607 87% Sewer Penalty 36,255 47,740 28,176 76% State Health Charges 101,704 96,638 132,814 105% Regular Recycling Charges 835,184 1,508,626 1,147,479 55% Sewer Charges 7,486,743 10,751,618 9,842,105 70% Storm Sewer Charges 3,645,215 5,345,238 4,742,003 68% Organics Recycling Charges 282,942 - - 41% Water Rec Fee 755,015 694,737 1,233,698 178% Sewer Rec Fee 461,856 425,283 752,130 3553% Certification Fee - 13,000 12,215 - Total Revenues 20,110,708 27,537,195 25,731,887 73% Expenses Salaries (1,236,556) (2,210,004) (1,797,502) 56% Benefits (410,345) (833,654) (646,159) 49% Contractual Services (8,679,535) (9,647,622) (10,935,137) 90% Commodities (899,819) (1,177,100) (961,379) 76% Internal Services (1,040,456) (1,387,235) (1,335,322) 75% Depreciation (4,473,783) (5,696,000) (5,725,848) - Total Expenses (16,740,493) (20,951,615) (21,401,348) 80% Net Operating Inc/Loss 3,370,215 6,585,580 4,330,538 Non-Operating Rev/Exp Gain/Loss on Asset - - 6,048 - Invmnt Inc - Non Op (10,466) 324,120 689,931 -3% Sale of Property 17,437 - - - Misc - Non Op 930 25,000 24,873 4% Intergovernmental 69,550 60,000 420,189 116% Int & Fiscal Charges (1,143,996) (788,736) (712,997) 145% Contrib & Transfers (490,913) (100,000) (424,002) 491% Total Non-Operating Rev/Exp (1,557,458) (479,616) 4,042 325% Net Inc/(Loss)1,812,758 6,105,964 4,334,580 Investments The City of Edina (CoE) investments are held in various accounts: Muni Bonds – The City owns the 2021 through 2028 maturities of the $1.13M Public Project Revenue Bonds, Series 2009A. Other Tradition - one year $245,000 FDIC insured Certificate of Deposit held at Tradition Capital Bank. 4M - Minnesota Municipal Money Market Fund sponsored by the League of Minnesota Cities. The City uses this fund to manage bond proceeds to ensure compliance with IRS regulations. Funds from the 2019A are included in this account. These bonds were issued to fund road reconstruction projects. As construction continues, the balance in this account will decrease. Crown – one year $245,000 FDIC insured Certificate of Deposit held at Crown Bank. Investment Sweep – Funds not required to clear checks in the City’s checking account are automatically “swept” into this account and invested in commercial paper. The balance in this account changes daily based on the amount of checks outstanding. Securian – Securian is the City’s outside investment manager, replacing Nuveen in January 2018. They oversee a $40M portfolio for the City. These securities are held in a custodian account at U.S. Bank. Funds in this account are not needed for cash flow and can be invested in longer maturities. The benchmark for this portfolio is a combination of the Bloomberg Barclays U.S. Intermediate Government Bond Index and the Bloomberg Barclays U.S. Mortgage-Backed Securities Index. Allowable investments include U.S. Treasuries and Agencies up to, but not including, 10 years and agency mortgage-backed pass-through securities guaranteed by Ginnie Mae (GNMA), Fannie Mae (FNMA) and Freddie Mac (FHLMC). City of Edina – This account is managed internally. The balance in this account at the end of Q3 was $60M. The City uses a network of three institutional brokers who recommend securities in compliance with our investment policy. Funds in this account are managed primarily for cash flow purposes and annual debt service payments. 2023B – This account was created to house investment of bond proceeds at U.S. Bank. Q3 balance is $14.4M. 2021A bond proceeds of $14.4M deposited here in June. The following is a breakdown of total investments by custodian as of 9/30/21: The following represents the total investment pool by security type: Following represents the same data but only for the internally managed piece under custodianship of U.S. Bank (2023A): The following are yields for current investments against a similar benchmark. The internal and external portfolios have different investment strategies. Internal - The internal portfolio is intended to remain sufficiently liquid to enable the City to manage daily City cash flow as well as make debt payments. The average days to maturity for the internal portfolio is approximately one year (including the money market account). Maturities range from one day (money market) to three years. The internal return has outpaced the internal benchmark due to holding investments purchased when rates were higher, to the extent the investments were not callable. External - The external portfolio has longer term investment options to optimize return within our investment policy. The external portfolio benchmark of Bloomberg Barclays Intermediate U.S. Government/Mortgage Index represents an investment pool including U.S. Treasuries and Agencies up to, but not including, 10 years and agency mortgage-backed pass-through securities guaranteed by Ginnie Mae (GNMA), Fannie Mae (FNMA) and Freddie Mac (FHLMC). The average days to maturity for the external portfolio is ten years with maturities ranging from one month to 30 years. The later maturities represent mortgage-backed securities. Account/Index Trailing Month Total Return, Net of Fees Trailing 3 Months Total Return, Net of Fees Trailing 6 Months Total Return, Net of Fees Trailing 12 Months Total Return, Net of Fees Prior Year Total Return, Net of Fees City of Edina -0.007%0.051%0.162%0.393%1.966% ICE BofA 0-1 Year US Treasury Notes & Bonds 0.009%0.025%0.039%0.121%1.122% CoE - Securian AM -0.502%0.071%0.654%-0.598%5.389% Bloomberg Barclays Intermediate U.S. Government/Mortgage Index -0.483%0.048%0.523%-0.882%4.807% **Detail reports by investment are available upon request** Date: November 16, 2021 Agenda Item #: XII.C. To:Mayor and City Council Item Type: Other From:Scott H. Neal, City Manager Item Activity: Subject:Juneteenth Holiday Discussion CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: Discussion. INTRODUCTION: Manager Neal will provide information regarding the federal Juneteenth Holiday. Date: November 16, 2021 Agenda Item #: XII.D. To:Mayor and City Council Item Type: Other From:Scott H. Neal, City Manager Item Activity: Subject:Update on US Internet Expansion into Edina Information CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: None. INTRODUCTION: City Manager Neal will give an update on the US Internet expansion into Edina. Date: November 16, 2021 Agenda Item #: XIII. To:Mayor and City Council Item Type: Other From:Sharon Allison, City Clerk Item Activity: Subject:Calendar of City Council Meetings and Events Information CITY OF EDINA 4801 West 50th Street Edina, MN 55424 www.edinamn.gov ACTION REQUESTED: None; information only. INTRODUCTION: Date Time Meeting/Event Location Tues, Nov 16 5:30 p.m.Budget Work Plan Draft / Finalize Boards & Commission Interview Plan / Human Services Task Force Community Room 7:00 p.m.City Council Regular Meeting Council Chambers Thurs, Nov 18 7:30 a.m.Housing and Redevelopment Authority Council Chambers Thur-Fri, Nov 25-26 Thanksgiving Holiday – City Hall closed Tues, Dec 7 5:30 p.m.2022-2023 Budget / OPEN Community Room 7:00 p.m.City Council Regular Meeting Council Chambers Thurs, Dec 9 7:30 a.m.Housing and Redevelopment Authority Council Chambers Mon, Dec 13 6:00 p.m.City Council Regular Meeting Council Chambers Tues, Dec 21 5:30 p.m.Parking Ordinance – Planning Commission Community Room 7:00 p.m.City Council Regular Meeting Council Chambers Fri, Dec 24 Christmas observed – City Hall closed Fri, Dec 31 New Year’s observed – City Hall closed