Luana Council

By: KCTN News
Jun 8th, 2018

Luana City Council Minutes of June 7, 2018

Meeting at the Luana City Hall

The Luana City Council held their regular monthly meeting Thursday, June 7, 2018 at 7:00 pm. with Council Members Lonnie Baade, Brenda Boddicker, Paul Miller, Todd Olson and Jackie Radloff-Schneider present. Absent: none.

Mayor Jerry Schroeder called meeting to order at 7:00 pm.

Minutes of May meeting were reviewed and approved upon a motion by Miller, second by Radloff-Schneider, carried unanimously.

Boddicker motioned to pay all monthly claims totaling $80,498.95, Olson second, carried unanimously. Receipts for the month totaled $97,621.85. Baade motioned to pass Res. 6-18 T.O.F, Miller second, carried unanimously. Council reviewed reconciled reports.

The City Council investigated and found that notice of the intention of the Council to conduct a public hearing on a Development Agreement between the City and Dave Schultz had been published according to law and as directed by the City Council and that this is the time and place at which the Council shall receive oral or written objections from any resident or property owner of the City. Administrator Humble informed the council that no oral or written objections had been received. There being no further objections or comments, the Mayor announced that the hearing was closed.

Council Member Boddicker introduced the resolution next hereinafter set out and moved its adoption, seconded by Council Member Olson; and after due consideration thereof by the City Council, the Mayor put the question upon the adoption of said resolution, and the roll being called, the following named Council Members voted: Ayes 5; Nays 0.

Whereupon, the Mayor declared Resolution 6-2018 “Approving Development Agreement with Dave Schultz, Authorizing Annual Appropriation Tax Increment Payments and Pledging Certain Tax Increment Revenues to the Payment of the Agreement “,duly adopted.

Radloff-Schneider motioned to approve the renewal of the Cigarette/Tobacco and Liquor license for Luana Tavern, Baade second, carried unanimously. Olson abstained from voting.

Radloff-Schneider motioned to approve renewal of Proprietary CD for nine months at 2.1%, Boddicker second, carried unanimously.

Council discussed trees/bushes on Old Hwy 18 & 52 causing a road viewing hazard. PWS will address the issue.

Council discussed oil spills on road from business located at 404 Old Hwy 18 & 52.

Next regular Council meeting will be held July 5, 2018 at 7:00pm.

Mayor Schroeder adjourned the meeting at 7:35 pm.

Tammy Humble, City Administrator

Monthly Expenditures $80,498.95: Alliant Energy $1,309.45; Bert Wolters Plumbing/Heating $3,993.34(New Firehouse); Billie Jones $160.00(Fireman training); Blackhills Energy $163.64; Builders First Source $1,091.28

(New Firehouse); City of Monona $385.00(Street cleaning); C.J. Moyna & Sons $7,941.68(Rock for new firehouse);

Croell $6,693.75(Cement new firehouse); Dan Van Way $259.44(Fireman meal/equipment); Deposit Return $128.89;

Donlon Custom Hire $1,470.00(New Firehouse); Federal Taxes $890.64; Gary's Tractor $93.50(Mower repair);

Hangartner Tree Service $1,550.00(Tree removal); IPERS $861.33; John Deere Financial $248.08(City and Fireman supplies); KC Supply $5,353.27(Fireman equipment); Keystone Lab $378.20(Water Testing); Luana Savings Bank $500.00(Housing Tax Credit); Luana Savings Bank $11,509.01(TIF Loan); Luana Savings Bank $10,531.34(Well Loan) ;

MFL Ambulance Service $107.99(Fireman supplies); Mid-America Publishing $206.06; NAPA $4.98(Mower part);

NEIT $179.77; Postage $18.03; Sandry Fire $736.45(Fire Equipment); Smitty's Oil & Tire $798.00(New Firehouse);

Superior Welding Supply $139.25(Fireman equipment); Szabo Construction Co. $1,275.00(Dirt hauling new firehouse);

Tammy Humble $16.00(County recording reimbursement); Tilson Concrete $15,000.00(Materials and labor new firehouse); Wages $4,818.28;Waste Management $1,687.30.

Fire Department Expenditures $45,234.25; General Fund Expenditures $12,114.66; Propriety Expenditures $11,054.83; Road Use Tax Expenditures $586.20; TIF Expenditures $11,509.01.

Monthly Revenue $97,621.85: Fire Dept. Donations $858.50; Fire Dept. Loan $58,710.00; Franklin Township $1,684.50;Franchise Tax (Black Hills) $113.99; Interest $109.82; Local Option $2,188.57; Property Taxes $25,237.50;

RUT $1,437.65; Utilities $7,281.32.