Ordinance 4392ORDINANCE NO. 4392
AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON,
AMENDING ORDINANCE NO. 4377 AS A RESULT OF UNANTICIPATED
TRANSFERS AND EXPENDITURES OF VARIOUS FUNDS, AND FIXING A
TIME WHEN THE SAME SHALL BECOME EFFECTIVE.
WHEREAS, previous actions taken by the City Council require Interfund Transfers
and increases in appropriations; and
WHEREAS, state law requires an ordinance be adopted whenever money is
transferred from one fund to another; and
WHEREAS, the City Council has reviewed the amended budget appropriations and
information which was made available; and approves the appropriation of local, state, and federal
funds and the increase or decrease from previously approved programs within the 2025 Budget;
and
WHEREAS, the applications of funds have been identified;
THEREFORE,
THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHING TON, DO
ORDAIN AS FOLLOWS:
Section 1. Section 1. of Ordinance No. 4377 adopting the final budget for the fiscal
year 2025 is hereby amended to reflect the changes shown in Exhibits A, B, C, and D adopted
herein by reference.
1
Section 2. Effective Date. This ordinance, being an exercise ofa power specifically
delegated to the City legislative body, is not subject to referendum, and shall take effect five (5)
days after passage and publication of an approved summary thereof consisting of the title .
ATTEST/AUTHENTICATE:
APPROVED AS TO FORM:
OFFICE OF THE CITY ATTORNEY :
JEFF T ARADA Y
FILED WITH THE CITY CLERK:
PASSED BY THE CITY COUNCIL:
PUBLISHED:
EFFECTIVE DA TE:
ORDINANCE NO.:
APPR~
MAYOR,MlEROSEN
May 1, 2025
May 6, 2025
May 9, 2025
May 14, 2025
4392
2
SUMMARY OF ORDINANCE NO. 4392
of the City of Edmonds, Washington
On the 6th day of May, 2025, the City Council of the City of Edmonds, passed Ordinance
No. 4392. A summary of the content of said ordinance, consisting of the title, provides as
follows:
AN ORDINANCE OF THE CITY OF EDMONDS, WASHING TON,
AMENDING ORDINANCE NO. 4377 AS A RESULT OF UNANTICIPATED
TRANSFERS AND EXPENDITURES OF VARIOUS FUNDS, AND FIXING A
TIME WHEN THE SAME SHALL BECOME EFFECTIVE.
The full text of this Ordinance will be mailed upon request.
DA TED this 6th day of May, 2025.
3
EXHIBIT "A": Budget Amendment Summary (May 2025)
---2025 2025
UNAUD ITED II ADJUSTED BUDGET
FUND FUND PRELIMINARY BEGINNING ENDING
NO. DESCRIPTION FUND BALANCE REVENUE EXPENDITURES FUND BALANCE
001 GENERAL FUND 1,215,818 59,483,807 58,273,815 2,425,810
009 LEOFF-MEDICAL INS. RESERVE 19,441 275,000 317,500 (23,059)
011 RISK MANAGEMENT RESERVE FUND . . . .
012 CONTINGENCY RESERVE FUND 2,228,672 . . 2,228,672
014 HISTORIC PRESERVATION GIFTFUND 4,559 . 5,700 (1,141)
016 BUILDING MAINTENANCE 2,380,534 100,340 864,068 1,616,806
017 MARSH RESTORATION & PRESERVATION FUND 861,616 . 85,720 775,896
018 EDMONDS HOMELESSNESS RESPONSE FUND 200,000 -188,100 11,900
019 EDMONDS OPIOID RESPONSE FUND 456,556 50,000 400,000 106,556
104 DRUG ENFORCEMENT FUND 47,981 4,790 20,000 32,771
111 STREET FUND 185,096 2,440,000 2,640,460 (15,364)
112 COMBINED STREET CONST/IMPROVE 3,217,043 4,951,682 4,443,502 3,725,223
117 MUNICIPAL ARTS ACQUIS. FUND 671,730 426,821 415,915 682,636
118 MEMORIAL STREET TREE . -
120 HOTEL/MOTEL TAX REVENUE FUND 165,422 129,500 194,000 100,922
121 EMPLOYEE PARKING PERMIT FUND 12,691 55,340 31,770 36,261
122 YOUTH SCHOLARSHIP FUND 20,769 2,410 3,000 20,179
123 TOURISM PROMOTIONAL FUND/ARTS 151,599 49,230 37,500 163,329
125 PARK ACQ/IMPROVEMENT 2,432,519 1,648,620 2,422,739 1,658,400
126 SPECIAL CAPITAL FUND 4,631,092 1,780,420 2,768,964 3,642,548
127 GIFTS CATALOG FUND 3,027,911 345,580 638,936 2,734,555
130 CEMETERY MAI NTENANCE/1 MPROV 130,453 473,157 329,009 274,601
136 PARKS TRUST FUND . . -
137 CEMETERY MAINTENANCE TRUST FD 1,269,638 86,837 286,124 1,070,351
138 SISTER CITY COMMISSION 17,896 11,310 7,400 21,806
140 BUSINESS IMPROVEMENT DISTRICTFUND 34,037 79,209 87,445 25,801
141 AFFORDABLE & SUPPORTIVE HOUSING FUND 380,831 65,000 -445,831
142 EDMONDS RESCUE PLAN FUND 833 -833
143 TREE FUND 135,348 83,502 75,000 143,850
211 LID FUND CONTROL . . . .
231 2012 LTGODEBTSERVICEFUND . 305,870 305,870 .
332 PARKS CONSTRUCTION 299,964 475,622 237,035 538,551
421 WATER' "II 19,611,386 11,863,672 22,797,646 8,677,412
422 STORM' 10,987,172 9,855,668 13,862,257 6,980,583
423 SEWER/ TREATMENT PLANT' 15,149,200 19,329,568 20,132,541 14,346,227
424 BOND RESERVE FUND . 1,174,920 1,149,400 25,520
511 EQUIPMENT RENTAL FUND 1 5,493,201 2,376,270 2,139,606 5,729,865
512 Technology Rental Fund' 941,751 2,403,582 2,418,072 927,261
617 FIREMEN'S PENSION FUND . --
Totals 76,382,759 120,327,727 137,579,094 59,131,392
1 Fund balance from Preliminary December 2024 Quarterly Report
4
EXHIBIT "B": Budget Amendments by Revenue (May 2025)
Adopted Proposed 2025
Budget Amendment Amended
FUND FUND Ord .#4377 Ord.# Revenue
NO. DESCRIPTION 1/1/2025 Budget
001 General Fund $ 59 ,044,690 $ 439,117 $ 59,483,807
009 Leoff-Medical Ins . Reserve 275,000 -275,000
011 Risk Management Reserve Fund ---
012 Conti ngency Rese r ve Fund ---
014 H i storic Preservat i on Gift Fund ---
016 Building Maintenance Fund 100,340 -100,340
017 Marsh Restoration & Preservation Fund ---
018 Edmonds Homelessness Response Fund -. -
019 Edmonds Opioid Response Fund 50,000 -50,000
104 Drug Enforcement Fund 4 ,790 -4,790
111 Street Fund 2,440,000 -2,440,000
112 Combined Street Const/Improve 4,619,540 332,142 4,951,682
117 Municipal Arts Acquis . Fund 297,560 129,261 426,821
120 Hotel/Motel Tax Revenue Fund 129,500 -129,500
121 Employee Parking Permit Fund 55,340 -55,340
122 Youth Scholarship Fund 2,410 -2,410
123 Tourism Promotional Fund/Arts 49,230 -49,230
125 Park Acq/lmprovement 1 ,648,620 -1,648,620
126 Speci al Capital Fund 1 ,780,420 -1 ,780,420
127 Gifts Catalog Fund 345,580 -345,580
130 Cemetery Maintenance/lmprov 197,780 275,377 473,157
137 Cemetery Maintenance Trust Fd 101,090 {14,253) 86,837
138 Sister City Commiss i on 11,310 -11,310
140 Bus i ness Improvement District Fund 79,209 -79,209
141 Affordable and Supportive Housing Fund 65,000 -65,000
142 Edmonds Rescue Pian Fund ---
143 Tree Fund 83,502 -83,502
211 Lid Fund Control ---
231 2012 LTGO Debt Service fund 305,870 -305,870
332 Parks Construction 209,450 266,172 475,622
421 Water 11,863,672 -11,863,672
422 Storm 9,494,779 360,889 9,855,668
423 Sewer /Treatment Pia nt 19,329,568 -19,329,568
424 Bond Reserve Fund 1 ,174,920 -1,174,920
511 Equ i pment Rental Fund 2,421,990 (45,720) 2,376,270
512 Technology Renta I Fund 2,505 ,723 (102,141) 2,403,582
617 Firemen's Pension Fund -. .
Totals $118,686,883 $ 1 ,640,844 $ 120,327 ,727
5
EXHIBIT "C": Budget Amendment by Expenditure (May 2025)
---Adopted Proposed 2025
Budget Amendment Amended
FUND FUND Ord. #4377 Ord.# Expenditure
NO . DESCRIPTION 1/1/2025 Budget
001 General Fund $ 58,387,767 $ (113,952) $ 58,273,815
009 Leoff-Medica I Ins. Reserve 317,500 -317,500
011 Risk Management Reserve Fund ---
012 Contingency Reserve Fund ---
014 Historic Preservation Gift Fund 5,700 -5,700
016 Building Maintenance Fund 550,000 314,068 864,068
017 Marsh Restoration & Preservation Fund 29,000 56,720 85,720
018 Edmonds Homelessness Response Fund 188,100 -188,100
019 Edmonds Opioid Response Fund 400,000 -400,000
104 Drug Enforcement Fund 20,000 -20,000
111 Street Fund 2,639,871 589 2,640,460
112 Combined Street Const/Improve 4,094,740 348,762 4,443,502
117 Municipal Arts Acquis . Fund 245,400 170,515 415,915
120 Hotel/Motel Tax Revenue Fund 194,000 -194,000
121 Employee Parking Permit Fund 31,770 -31,770
122 Youth Scholarship Fund 3,000 -3,000
123 Tourism Promotional Fund/Arts 37,500 -37,500
125 Park Acq/lmprovement 1,946,465 476,274 2,422,739
126 5pecia I Ca pita I Fund 2,552,330 216,634 2,768,964
127 Gifts Cata log Fund 638,936 -638,936
130 Cemetery Maintenance/lmprov 329,009 -329,009
137 Cemetery Ma intena nee Trust Fd 375,000 (88,876) 286,124
138 Sister City Commission 7,400 -7,400
140 Business Improvement District Fund 84,445 3,000 87,445
141 Affordable and Supportive Housing Fund ---
142 Edmonds Rescue Plan Fund ---
143 Tree Fund -75,000 75,000
211 Lid Fund Control ---
231 2012LTGO Debt Service Fund 305,870 -305 ,870
332 Parks Construction -237,035 237,035
421 Water 22,315,347 482,299 22,797,646
422 Storm 12,323,172 1,539,085 13,862,257
423 Sewer /Treatment Pia nt 19,597,163 535,378 20,132,541
424 Bond Reserve Fund 1,149,400 -1,149,400
511 Equipment Rental Fund 1,907,356 232,250 2,139,606
512 Technology Renta I Fund 2,530,572 (112,500) 2,418,072
617 Firemen's Pension Fund --.
--Totals ~ $133,206,813 $ 4,372,281 $137,579,094
6
EXHIBIT "D": Budget Amendment Summary (May 2025)
Proposed Proposed
Amendment Proposed Amendment
Changein Amendment Change in Endi ng
Fund Number Revenue Change in Expense Fund Bal ance
001 439,117 {113 ,952) 553,069
016 -314,068 (314 ,068)
017 56,720 (56,720)
111 . 589 (589)
112 332,14 2 348,762 (16,620)
117 129,261 170,515 (41,254)
125 -476,274 (476,274)
126 -216,634 (216,634)
130 275,377 -2 75,377
137 (14,253) (88 ,876) 74,623
1 40 3,000 {3,000)
143 75,000 (75,000)
332 266,172 237,035 29,137
4 21 482,299 (482,299)
422 360,889 1 ,539,085 (1 ,1 78,196)
4 23 535,378 (535,378)
511 (45 ,720) 232,250 (277,970)
512 (102,141) (112,500) 10,359
Total Change 1,640,844 4,372,281 (2,731,437)
7
EXHIBIT "A": Budget Amendment Summary (May 2025)
--
2025 2025
UNAUDITED ADJUSTED BUDGET
FUND FUND PRELIMINARY BEGINNING ENDING
NO. DESCRIPTION FUND BALANCE REVENUE EXPENDITURES FUND BALANCE
001 GENERAL FUND 1,215,818 59,483,807 58,273,815 2,425,810
009 LEOFF-MEDICAL INS. RESERVE 19,441 275,000 317,500 (23,059)
011 RISK MANAGEMENT RESERVE FUND ----
012 CONTINGENCY RESERVE FUND 2,228,672 . -2,228,672
014 HISTORIC PRESERVATION GIFT FUND 4,559 . 5,700 (1,141)
016 BUILDING MAINTENANCE 2,380,534 100,340 864,068 1,616,806
017 MARSH RESTORATION & PRESERVATION FUND 861,616 -85,720 775,896
018 EDMONDS HOMELESSNESS RESPONSE FUND 200,000 188,100 11,900
019 EDMONDS OPIOID RESPONSE FUND 456,556 50,000 400,000 106,556
104 DRUG ENFORCEMENTFUND 47,981 4,790 20,000 32,771
111 STREET FUND 185,096 2,440,000 2,640,460 (15,364)
112 COMBINED STREET CONST/I MP ROVE 3,217,043 4,951,682 4,443,502 3,725,223
117 MUNICIPALARTSACQUIS. FUND 671,730 426,821 415,915 682,636
118 MEMORIAL STREET TREE . --.
120 HOTEL/MOTEL TAX REVENUE FUND 165,422 129,500 194,000 100,922
121 EMPLOYEE PARKING PERMIT FUND 12,691 55,340 31,770 36,261
122 YOUTH SCHOLARSHIP FUND 20,769 2,410 3,000 20,179
123 TOURISM PROMOTIONAL FUND/ARTS 151,599 49,230 37,500 163,329
125 PARK ACQ/IMPROVEMENT 2,432,519 1,648,620 2,422,739 1,658,400
126 SPECIAL CAPITAL FUND 4,631,092 1,780,420 2,768,964 3 ,642,548
127 GIFTS CATALOG FUND 3,027,911 345,580 638,936 2,734,555
130 CEMITTRY MAINTENANCE/I MPROV 130,453 473,157 329,009 274,601
136 PARKS TRUST FUND -. -
137 CEMETERY MAINTENANCE TRUST FD 1,269,638 86,837 286,124 1,070,351
138 SISTER CITY COMMISSION 17,896 11,310 7,400 21,806
140 BUSINESS IMPROVEMENT DISTRICTFUND 34,037 79,209 87,445 25,801
141 AFFORDABLE & SUPPORTIVE HOUSING FUND 380,831 65,000 -445,831
142 EDMONDS RESCUE PLAN FUND 833 833
143 TREE FUND 135,348 83,502 75,000 143,850
211 LID FUND CONTROL ----
231 2012 LTGO DEBT SERVICE FUND -305,870 305,870 -
332 PARKS CONSTRUCTION 299,964 475,622 237,035 538,551
421 WATER 1 "I 19,611,386 11,863,672 22,797,646 8,677,412
422 STORM 1 10,987,172 9,855,668 13,862,257 6,980,583
423 SEWER /TREATMENT PLANT1 15,149,200 19,329,568 20,132,541 14,346,227
424 BOND RESERVE FUND -1,174,920 1,149,400 25,520
Sll EQUIPMENT RENTAL FUND 1 5,493,201 2,376,270 2,139,606 5,729,865
512 Techno l ogy Rental Fund 1 941,751 2,403,582 2,418,072 927,261
617 FIREMEN'S PENSION FUND ---
Totals 76,382,759 120~327,727 137,579,094 59,131,392
1 Fund balance from Preliminary December 2024 Quarterly Report
4
EXHIBIT "B": Budget Amendments by Revenue (May 2025)
Adopted Proposed 2025
Budget Amendment Amended
FUND FUND Ord . #4377 Ord.# Revenue
NO. DESCRIPTION 1/1/2025 Budget
001 Genera I Fund $ 59,044,690 $ 439,117 $ 59,483,807
009 leoff-Medical Ins. Reserve 27S,0OO -275,000
011 Risk Management Reserve Fund ---
012 Contingency Reserve Fund . --
014 Historic Preservation Gift Fund --.
016 Building Ma intena nee Fund 100,340 . 100,340
017 Marsh Restoration & Preservation Fund . --
018 Edmonds Homelessness Response Fund ---
019 Edmonds Opioid Response Fund 50,000 -50,000
104 Drug Enforcement Fund 4,790 -4,790
111 Street Fund 2,440,000 . 2,440,000
112 Combined Street Const/Improve 4,619,540 332,142 4,951,682
117 Municipal Arts Acquis. Fund 297,560 129,261 426,821
120 Hotel/Motel Tax Revenue Fund 129,500 -129,SO0
121 Employee Parking Permit Fund SS,340 . 5S,340
122 Youth Scholarship Fund 2,410 -2,410
123 Tourism Promotional Fund/Arts 49,230 -49,230
125 Park Acq/lmprovement 1,648,620 -1,648,620
126 Special Capital Fund 1,780,420 . 1,780,420
127 Gifts Cata log Fund 34S,580 -345,S80
130 Cemetery Maintenance/lmprov 197,780 27S,377 473,1S7
137 Cemetery Maintenance Trust Fd 101,090 (14,2S3) 86,837
138 Sister City Commission 11,310 -11,310
140 Business Improvement District Fund 79,209 . 79,209
141 Affordable and Supportive Housing Fund 65,000 . 65,000
142 Edmonds Rescue Plan Fund ---
143 Tree Fund 83,S02 -83,502
211 Lid Fund Control -. -
231 2012 L TGO Debt Service fund 305,870 . 305,870
332 Parks Construction 209,450 266,172 475,622
421 Water 11,863,672 . 11,863,672
422 Storm 9,494,779 360,889 9,855,668
423 Sewer /Treatment Plant 19,329,568 -19,329,S68
424 Bond Reserve Fund 1,174,920 -1,174,920
511 Equipment Rental Fund 2,421,990 (45,720) 2,376,270
512 Technology Ren ta I Fund 2,50S,723 (102,141) 2,403,582
617 Firemen's Pension Fund . ---
Totals $118,686,883 $ 1,640,844 $ 120,327,727
5
EXHIBIT "C": Budget Amendment by Expenditure (May 2025)
Adopted Proposed 2025
Budget Amendment Amended
FUND FUND Ord. #4377 Ord.# Expenditure
NO. DESCRIPTION 1/1/2025 Bude:et
001 General Fund $ 58,387,767 $ (113,952) $ 58,273,815
009 Leoff-Medical Ins. Reserve 317,500 -317,500
011 Risk Management Reserve Fund ---
012 Contingency Reserve Fund . --
014 Historic Preservation Gift Fund 5,700 -5,700
016 Building Maintenance Fund 550,000 314,068 864,068
017 Marsh Restoration & Preservation Fund 29,000 56,720 85,720
018 Edmonds Homelessness Response Fund 188,100 . 188,100
019 Edmonds Opioid Response Fund 400,000 -400,000
104 Drug Enforcement Fund 20,000 -20,000
111 Street Fund 2,639,871 589 2,640,460
112 Combined Street Const/Improve 4,094,740 348,762 4,443,502
117 Municipal Arts Acquis. Fund 245,400 170,515 415,915
120 Hotel/Motel Tax Revenue Fund 194,000 -194,000
121 Employee Parking Permit Fund 31,770 -31,770
122 Youth Schol a rs hip Fund 3,000 -3,000
123 Tourism Promotional Fund/Arts 37,500 -37,500
125 Park Acq/lmprovement 1,946,465 476,274 2,422,739
126 Specia I Capital Fund 2,552,330 216,634 2,768,964
127 Gifts Cata log Fund 638,936 -638,936
130 Cemetery Maintenance/lmprov 329,009 -329,009
137 Cemetery Maintenance Trust Fd 375,000 (88,876) 286,124
138 Sister City Commission 7,400 -7,400
140 Business Improvement District Fund 84,445 3,000 87,445
141 Affordable and Supportive Housing Fund ---
142 Edmonds Rescue Pian Fund ---
143 Tree Fund -75,000 75,000
211 Lid Fund Control --.
231 2012LTGO Debt Service Fund 305,870 -305,870
332 Parks Construction -237,035 237,035
421 Water 22,315,347 482,299 22,797,646
422 Storm 12,323,172 1,539,085 13,862,257
423 Sewer /Treatment Plant 19,597,163 535,378 20,132,541
424 Bond Reserve Fund 1,149,400 -1,149,400
511 Equipment Rental Fund 1,907,356 232,250 2,139,606
512 Technology Renta I Fund 2,530,572 (112,500) 2,418,072
617 Firemen's Pension Fund . --
Totals $133,206,813 $ 4 ,372,281 $137,579,094
6
EXHIBIT "D": Budget Amendment Summary (May 2025)
Proposed Proposed
Amendment Proposed Amendment
Chongein Amendment Change In Ending
Fund Number Revenue Cha nae in Expense Fund Balance
001 439,117 (113 ,952) 553,069
016 -314,068 (314 ,068)
0.17 56,720 (56,720)
Ul -589 (589)
112 332,142 348,762 (16,620)
117 129,261 170,515 (41,254)
125 -476,274 (476,274)
126 216,634 {216 ,634)
130 275,377 275,377
137 (14,253) (88,876) 74,623
14 0 3,000 (3,000)
143 75,000 (75,000)
332 266,172 237,035 29,137
421 -482,299 (482,299)
422 360,889 1,539,085 {1,178,196)
423 -535,378 (535 ,378)
511 (45,720) 232,250 (277 ,970)
512 (102,141) (112 ,500) 10,359
Total Change 1,640,844 4,372,281 (2,731,437)
7
Everett Daily Herald
Affidavit of Publication
State of Washington }
County of Snohomish } ss
Michael Gates being first duly sworn, upon
oath deposes and says: that he/she is the legal
representative of the Everett Daily Herald a
daily newspaper. The said newspaper is a legal
newspaper by order of the superior court in the
county in which it is published and is now and
has been for more than six months prior to the
date of the first publication of the Notice
hereinafter referred to, published in the English
language continually as a daily newspaper in
Snohomish County, Washington and is and
always has been printed in whole or part in the
Everett Daily Herald and is of general
circulation in said Cowity, and is a legal
newspaper, in accordance with the Chapter 99
of the Laws of 1921, as amended by Chapter
213, Laws of 1941, and approved as a legal
newspaper by order of the Superior Court of
Snohomish County, State of Washington, by
order dated June 16, 1941, and that the annexed
is a true copy of EDHI013310 ORD 4391, 4392,
4393 as it was published in the regular and
entire issue of said paper and not as a
supplement form thereof for a period of 1
issue(s), such publication commencing on
05/09/2025 and ending on 05/09/2025 and that
said newspaper was regularly distributed to its
subscribers during all of said period.
The amount
$48.16.
publication is
Subscribed and sworn before me on this
q.y\r) dayof ~
7&1/6
Notary Public in and for the State of
Washington.
City of Edmonds-LEGAL ADS I 14101416
SCOTT PASSEY
◄
Classified Proof
%ROINA~ S~MMARY ottho 11y or E n . Washington
On lhe 6lh Ony of May, 202S-, lhe City Co~ntlt of the City of
E<1rnonds , p;,s,e d tho f0Q owl<19 0tdlnanc:OJ1 , the summary of said
ordinances conslsllngJh~l\"N°A':iic~~~~1;f follows:
AN ORDINANCE OF THE CITY OF EDMONDS,
WASHINGTON , AMENDING THE crrv·s AUTHORIZED
EMPLOYEE POSITION S ANO PAY
RANGES ANO REP EALING ORDINANCE 4386 AND
ESTABLISH ING A SUNSET CLAUSE FOR THIS
ORD INANCE ANO DECLARING AN EMERG:NCY
ORglNANCE' NO. •392
AN ORDINANCEF THE CITY OF EDMONDS,
WASHINGTOt-1, AMENOJNG ORDINANCE NO. 4377 AS A
RESULT OF UNANTICIPATED
TRANSFERS ANO EJ!PENOITURES OF VARIOUS· FUNDS ,
ANO FIXING A_ TIME WFIEN THE SAME SHALL BECOME
EFF EC TIVE •
OROINANC~NO 4393 .
AN OROIN.ANCE OF Tl1 CITY OF EDMONDS .
WASHINGTON, AMENDING THE CITY 'S DEVELOPM ENT
STAND ARDS FOR EMERGENCY SHELTERS,
TRANSITIONAL HOUSING. EMERGEl'lCY HOUSING, ANO
PERMANENT SUPPORTIVE HOUSING tSTEP" HOUSING),
DATED lh!s 6UI D•l> ol May, 2026
CITY CLERK . SCO'TT PASSEY
Pubi ,;hed: May 9, 2025 . EOH1013310
Proofed by Pospical, Randie, 05/09/2025 09:09:48 am
I '!1!11 i I
1111 "
'jill I
Page: 2