HomeMy WebLinkAbout03/15/2016 Council Meeting Minutes City of Canton
Council Meeting
The Donald Edwards Way (Historic Depot) Canton 11 61520
03-15-2016
6:30pm
A regular meeting of the Canton City Council was held on March 15, 2016 (6:30pm) in the
Council Chambers, The Donald E. Edwards Way-50 North 4th Avenue, Canton, Illinois 61520.
STAFF IN ATTENDANCE
City Clerk Diana Pavley-Rock, Treasurer Crystal Wilkinson, Mayor Jeffrey Fritz, Fire Chief Tom
Shubert, Police Lieutenant Brad Richards, Public Works Director Bill Terry, City Engineer Keith
Plavec
Lou Ann Armstrong- Clifton Larson
MEDIA IN ATTENDANCE:
Daily Ledger, Fulton Democrat
VIDEO SERVICES BY JOE GINGER
PLEDGE OF ALLEGIANCE OPENED THE MEETING
INVOCATION- Pastor Nina Nestlerode- First Christian Church
PUBLIC PARTICIPATION-
Lee Puleo addressed the Council regarding the Illinois River Correctional Facility's delinquent
water bill that is over $600,000.00 past due. The State of Illinois has not paid this water bill for
the prison since the state's budget was not passed in June 2015.
Lee stated that he was not surprised that the State did not pay their water bill because they did
not pay the school, social workers and other vendors. Lee said he was however surprised that
the administration and council members were not aware of the loss of the revenue in the
amount of over $600,000.00. Lee said he was only trying to imagine how this could happen
when the superintendent of the water department gets a report monthly for shut off notices
for water bills that are not paid. Lee further explained that he understands that you can't shut
off the water to 2000 plus people at the prison. Lee said he wants to know if the water
department supervisor did his job. He should have notified Alderman Ellis since he is the
chairman for the public works water and sewer committee. Lee said the water department has
a history of mis-management and failures. The restaurant on the east side of the square did
not pay$5,000.00 for their water which was for 8-10 months of service. The fire church did not
pay for$10,000.00. This shows there is a history of failures in this department in management.
Lee said he wants to know why Alderman Ellis (if informed about the prison's water bill) did not
inform the rest of the aldermen or the Mayor. Lee said he has a hard time believing that the
City did not miss 3/4 of a million dollars in revenue. Lee said this is not acceptable to the
citizens of Canton.
Lee said the worst part of this is the fact that the comptroller that the City hired told the
newspaper that they did not miss the money because it was not in the budget. Lee said at this
point he really gets scared. Lee asked why the money would not be in the budget. Lee further
stated that it sounds like this guy they hired does not know how to do his job. The citizens need
some answers. The Mayor should have a town hall meeting where he and Aldermen Ellis
explain how this happened and why it would not have been budgeted. Lee said this is simply
not acceptable.
ROLL CALL Yes No Absent
Alderwoman Hale X
Alderman Lovell X
Alderman Ellis X
Alderman Justin X
Nelson
Alderman Mayhew X
Alderman Jim Nelson X
Alderman Putrich X
Alderman West X
ADDITIONS OR CORRECTIONS TO THE AGENDA
Alderman Justin Nelson said he would like to have some discussion about no parking on Elm
Street near the CEFCU construction site. This could be placed under the streets and garbage
committee.
CONSENT AGENDA
APPROVAL OF THE COUNCIL MEETING MINUTES HELD MARCH 1, 2016
BILL LIST
TREASURER'S REPORT
Treasurer Wilkinson explained that the general fund had a balance of$593,000.00 at the end of
February. The water sewer fund had a balance of$335,994.70 at the end of February.
The Cemetery fund is down to $36,000.00. Last year at the end of April the cemetery fund had
a balance of $76,000.00. The cemetery fund has been decreasing over the last year. The
cemetery sexton has expressed some concerns to the treasurer about the decrease in the fund.
When the City receives tax money there is approximately $20,000.00 that is levied. The City
needs to keep an eye on this fund.
Alderman Putrich asked if the investments from the CD's and the trust is currently being
deposited into the cemetery fund to help offset the expenditures.
Treasurer Wilkinson said the investments from the CD's and the trust is currently not being
deposited into the fund. The City is going to try to get the money invested properly. There is a
total of$554,232.00 in the various accounts. Of this amount $159,000.00 is designated as part
of the trust. There are some stocks that were purchased by the board in the amount of
$25,000.00 that is at Wells Fargo. This fund receives $375.00 interest each quarter. We
currently have two CD's for$50,000.00 each. We have a $51,000.00 CD at State Farm. The City
may want to look at moving some of this money into their checking to make sure bills are
getting paid.
Alderman Putrich said that when the City took over from the cemetery board all of the
investments along with what the City levies was suppose to be offsetting some of the expenses.
Alderman Putrich asked if the City is levying properly. The City levies $20,000.00 and the City
puts an additional $20,000.00 into the fund. The City may want to levy more this year in order
to help offset some of the costs. The City could also look at an increase in costs at the cemetery
to help offset the expenditures.
Alderman Putrich said he had another question on the water and sewer revenue. The budget
report vs the actual year to date--- on the revenue side the water and sewer sales are running
dead even with what was budgeted. Alderman Putrich asked if this included the $600,000.00
from the prison. LouAnn Armstrong of Clifton Larson said this does not include the amount.
The revenue is on a cash basis, so the revenue is recorded when it is paid. If the City had the
money from the prison the revenue would be that much higher. LouAnn said she is not certain
how they budgeted last year. The total amount is about $300,000.00 behind what was
budgeted. The water and sewer sales are right on target. If the City collected the money they
would be over the amount that was budgeted.
Alderman Lovell asked if any of the investments are bringing in more interest than 1% return.
We have over $500,000.00 that is being invested with only a 1% return so these need to be re-
invested to get us a higher return.
GREENWOOD CEMETERY REPORT
MOTION and second were made by Aldermen Hale/Lovell to approve the consent agenda as
presented.
ROLL CALL Yes No Absent
Alderwoman Hale X
Alderman Lovell X
Alderman Ellis X
Alderman Justin X
Nelson
Alderman Mayhew X
Alderman Jim Nelson X
Alderman Putrich X
Alderman West X
The motion carried.
FINANCE
ALDERMAN JIM NELSON (Absent)
Alderman Craig West--- acting chair
DISCUSSION AND APPROVAL OF THE 2014/2015 FISCAL YEAR FINANCIAL AUDIT FROM
PHILLIPS AND SALMI &ASSOCIATES
MOTION and second were made by Aldermen Justin Nelson/Hale to accept the 2014/2015
fiscal year financial audit from Phillips and Salmi &Associates.
ROLL CALL Yes No Absent
Alderwoman Hale X
Alderman Lovell X
Alderman Ellis X
Alderman Justin X
Nelson
Alderman Mayhew X
Alderman Jim Nelson X
Alderman Putrich X
Alderman West X
The motion carried.
DISCUSS CONSIDER AND VOTE ON ACCEPTING ONE OF THE BIDS FOR A LINE OF CREDIT IN
THE AMOUNT OF $500,000.00 FOR WATER/SEWER RELATED EXPENSES AND AUTHORIZING
THE CITY TREASURER TO SECURE THE LOAN WITH THE SELECTED FINANCIAL INSTITUTION
SELECTED BY COUNCIL.
Treasurer Wilkinson reported that the City received the following bids:
Ipava State Bank--- 3.95% with an original fee of $1500.00. The approximate cost for 1 year
would be approximately$12,000.00
Bank of Farmington--- 2.8%. The approximate cost is $7,615.00
Morton Bank--- 2.1% with an original fee of $250.00. The approximate cost would be
$5,955.00.
MOTION and second were made by Aldermen West /Hale to accept the low bid from Morton
Community Bank.
Alderman Putrich said he would have to abstain from the vote since he is a stock owner with
one of the banks.
The Mayor announced that this vote could not take place tonight since we do not have 6
aldermen present to vote.
Aldermen West/Hale withdrew the motion.
This item will be tabled until the next meeting.
LEGAL AND ORDINANCE
ALDERMAN CRAIG WEST
A RESOLUTION APPROVING AN ISDN-PRE RENEWAL CUSTOMER SERVICE AGREEMENT WITH
CALL ONE, AND DIRECTING THE MAYOR TO EXECUTE AND DELIVER AGREEMENT ON BEHALF
OF THE CITY OF CANTON, ILLINOIS. RESOLUTION#5045
This agreement had a slight increase and did not have a bidding process in place this year.
MOTION and second were made by Aldermen Justin Nelson/West to approve the resolution
and place it on file.
ROLL CALL Yes No Absent
Alderwoman Hale X
Alderman Lovell X
Alderman Ellis X
Alderman Justin X
Nelson
Alderman Mayhew X
Alderman Jim Nelson X
Alderman Putrich X
Alderman West X
The motion carried.
DISCUSS. CONSIDER AND VOTE ON APPROVING THE EXPENDITURE OF $169.50 PER MONTH
FOR A ONE YEAR SUBSCRIPTION TO WESTLAW LAW SUBSCRIPTION.
Mayor Fritz explained that this subscription would be for Attorney Rabel so she could use it for
resources in researching items and have the ability for case law. This item will be placed in the
next budget, but we do have money available to pay for the expense this year.
MOTION and second were made by Aldermen Putrich/Lovell to approve the expenditure of
$169.50 per month for a one year subscription to Westlaw law subscription.
ROLL CALL Yes No Absent
Alderwoman Hale X
Alderman Lovell X
Alderman Ellis X
Alderman Justin X
Nelson
Alderman Mayhew X X
Alderman Jim Nelson
Alderman Putrich X
Alderman West X
The motion carried.
DISCUSS. CONSIDER AND VOTE ON A RESOLUTION APPROVING AN INCREASE IN THE
HISTORIC DEPOT RENTAL FEE. RESOLUTION#5046
Currently the fee to rent the depot is $50.00. The recommended increase is to raise this
amount to $75.00. This decision was based upon the rates other organizations in town charge
to rent their facilities.
MOTION and second were made by Aldermen Justin Nelson/Putrich to raise the rental fee.
ROLL CALL Yes No Absent
Alderwoman Hale X
Alderman Lovell X
Alderman Ellis X
Alderman Justin X
Nelson
Alderman Mayhew X
Alderman Jim Nelson X
Alderman Putrich X
Alderman West X
The motion carried.
NEGOTIATIONS, GRIEVANCE & PERSONNEL
ALDERMAN JUSTIN NELSON, CHAIRMAN
COMMUNITY AND INDUSTRIAL DEVELOPMENT
ALDERMAN TAD PUTRICH
DISCUSS, CONSIDER AND VOTE ON A SPECIAL EVENT REQUEST FOR THE FRAGILE X 5K
WALK/RUN.
This repeat event will be held on April 16, 2016 and does not include any road closures. The
certificate of insurance will be submitted prior to the event.
MOTION and second were made by Aldermen Putrich/Justin Nelson to approve the special
event request for the fragile X 5K walk/run.
ROLL CALL Yes No Absent
Alderwoman Hale X
Alderman Lovell X
Alderman Ellis X
Alderman Justin X
Nelson
Alderman Mayhew X
Alderman Jim Nelson X
Alderman Putrich X
Alderman West X
The motion carried.
PRESENTATION BY DACOTT FOR RESIDENTIAL ELECTRICAL SERVICES
Scott Childs from DaCott Energy addressed the council regarding the residential electrical
services. Currently the City of Canton is taking part in the municipal electrical aggregation
program that will expire in June 2016 with Homefield Energy. The current price is .0458 per
kilowatt hour. The City secured some alternative bids for the period beginning in June 2016.
Various suppliers in the State of Illinois were contacted to see if they were interested in
participating in the RFP. There were 5 that expressed an interest in participating, but only two
provided bids. Homefield Energy and Constellation Power provided bids. The next few days
will be a very critical time period to approve the contract price. A list of all of the potential
citizens was created so they could receive letters giving them the opportunity to opt out of the
program. If they do not opt out of the program, they will automatically be in the aggregation
program. Citizens will have 21 days to return the opt out notice and then the program would
start in June 2016.
Various requirements including regulatory, technical and financial qualifications were required
from the supplier.
Prices are currently up from our current contract. Right now we have a rate of.0458. The
recommended price is .05621. The primary reason for the price increase has to do with how
capacity prices have been determined in the state of Illinois. Capacity prices for downstate
Illinois went up nine times. Downstate Illinois is currently 40 times higher on average for
capacity than any other region in the Midwest. This is being litigated which creates a potential
for a retroactive credit-- but will be unlikely. The litigation will hopefully change the rules on
how they calculate and run the capacity auction over the next 18-24 months. The capacity
costs make up 30-40% of the energy price.
The 0% renewable (incremental) rate is:
Homefield
12 month .05452
24 month .05621
36 month .05765
DaCott recommends that the City of Canton enter a 24 month agreement with Homefield
Energy. They do not recommend a 36 month price because of the capacity issue. If we lock
into the 36 month rate we would be locked in. Once the capacity issue is resolved a potential
extension could be requested. It is anticipated that the Ameren price to compare between 6.5
and 7.2 thru the next cycle. Using the recommended price of.05621 the savings are estimated
to be between $535,000-1 million dollars across all of the residence. If the Ameren price goes
below the contract price the citizens have the right to go back to the utility with no penalty or
fee.
Mayor Fritz explained that a resolution was approved last month that gives the Mayor the
authority to sign a contract.
PUBLIC WORKS, WATER&SEWER
ALDERMAN GERALD ELLIS, CHAIRMAN (Absent)
Alderman Mayhew asked if there is anything that the City can do regarding the past due water
bill and the Illinois River Correctional Facility. The $90.000.00 that they recently said they
would be paying is just about what they actually incur monthly. This really does not make up
any of the past due amount they owe.
Alderman Mayhew said the City is taking out the $500,000.00 line of credit that is going to cost
the citizens money, but we have this outstanding bill that doesn't seem to have money being
paid on what is past due.
Treasurer Wilkinson explained that she spoke to someone at the State and was told they are
receiving appropriations. As the appropriations are being received they are "sharing the wealth
wherever they can." At this point they are not in a position to send us any of the previous
months due. Treasurer Wilkinson said she will stay in contact with him, but unfortunately she
doesn't think the City will receive the money until the state budget is passed.
Mayor Fritz explained that the City Attorney is looking into various courses of action that the
City can take regarding the past due balance that the prison owes for their water bill. Mayor
Fritz said he also is planning on reaching out to other municipalities that have state prisons and
have a meeting with their Mayors to see how they can work together.
Alderman Mayhew said that he recently found out that the prison was this far behind with their
water bill and wanted to know if Mayor Fritz was notified.
Mayor Fritz said he is not sure how it was budgeted last year and learned of the delinquency
the same time the aldermen did. The State is historically 2-3 months behind on their payment--
even before the state budget problem. Since the State does not have a budget the number of
months they are past due has doubled.
PUBLIC SAFETY&TRAFFIC
ALDERWOMAN ANGELA HALE, CHAIRMAN
Alderman Hale wanted to remind the citizens to be watching for children riding bikes and
playing outside now that the weather is getting warmer.
STREETS AND GARBAGE
ALDERMAN RYAN MAYHEW, CHAIRMAN
DISCUSS, CONSIDER AND VOTE ON INCREASING OUR GARBAGE RATES.
Alderman Mayhew explained that when the City began the budget process discussion took
place about the garbage department not being self sufficient. It was determined at that time
that if the City is going to offer a service the fees should be able to cover the costs. It was also
determined that the City should be around $1.75 per month to go into a depreciation account
to cover the costs for garbage trucks. The City is currently only contributing$1.00 per month to
the depreciation fund. The City will need to come up with a way to catch up the shortfall for
the amount that is being depreciated for the garbage trucks/street sweeper when they need to
be replaced. The cost for just one street sweeper is approximately$250,000.00.
City Engineer Keith Plavec explained that prior to 2014 the City was paying$9.00 per month for
garbage. In 2014 the garbage rates went to $12.00 per month. The ordinance stated at that
time that rates were to be revisited in 2015; however they were not addressed at that time.
Keith further explained that previously in the budget process items such as social security,
unemployment, life insurance, healthcare was not included. Some of these items are levied--
but are also at a shortfall.
Currently the City budgets 25% of Nancy Mackey's time, 15% of Bill Terry's time and 25% of
Danny Dare's time toward garbage. The healthcare costs are not coming out of the garbage
fund, but rather they are coming out of the general fund. It was determined during the budget
discussion that these should be reflected in the garbage fund.
Other costs included fuel, maintenance on the vehicles and the City's cleanup week. Fees also
include the landfill costs (which the city is locked into a contract with PDC for 2 years)
Figures have been calculated to see what the amount to replace a garbage truck would cost. It
was determined that the City would need $175,000.00 for each truck. The City did not
previously increase the rate from $1.00 per month to $1.56 per month. It appears that this
amount has been an administrative decision. The first two years at $1.00 per month would give
a balance of$112,000.00. This is the amount that should be in the depreciation account at the
end of this fiscal year. We currently only have a balance of$90,000.00 in the account with two
months remaining in this fiscal year. The City has purchased the totes out of this fund, but
there should also be $11,000.00-$12,000.00 in income going into the fund with the totes. To
make up the difference to the $238,000.00 to purchase the two trucks we need $2.12 per
month instead of$1.00 per month.
The group met today to discuss the other costs involved and the council will need to decide
where they pay for this. The costs will either come from sales tax, property tax, garbage fees,
franchise agreements etc.
There are also administrative costs in the amount of $1,187,000.00. Taking into consideration
the administrative costs a proposed amount of$14.00 per month was considered. Without the
administrative costs it would be approximately$12.50 per month.
Alderman Putrich said he would like to see this talked more in a budget meeting rather than
talked about tonight. He stated that he is not in favor of another 2% increase all at once.
Alderwoman Hale also said she thinks we have done enough with raising rates and would
rather talk about it in a budget meeting.
Motion and second were made by Aldermen Mayhew/Putrich to table this until the next
meeting.
The motion carried by voice vote and was unanimous.
TEMPORARY NO PARKNG ON ELM NEAR CEFCU CONSTRUCTION
Alderman Justin Nelson explained that the safety fence is out in the street on Elm Street near
the CEFCU construction so people are now forced to be out in the street when they park on the
side of the road.
Mayor Fritz suggested using barricades for a temporary solution to the problem during the
construction phase.
LAKE, BUILDINGS& GROUNDS
ALDERMAN JOHN LOVELL, CHAIRMAN
COMMUNICATIONS FROM MAYOR JEFFREY A FRITZ
OLD BUSINESS
NEW BUSINESS
ADJOURNMENT
Motion and second were made by Aldermen Justin Nelson/Mayhew to adjourn without the
need of executive session.
The meeting adjourned at 7:44pm.
The motion carried by voice vote and was unanimous.
Diana Pavley-Rock, City Clerk
Jeffrey Fritz, Mayor