Ordinance 4129ORDINANCE NO.4129
AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON,
AMENDING ORDINANCE NO. 4118 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 2018 Budget;
and
THEREFORE,
WHEREAS, the applications of funds have been identified;
THE CITY COUNCIL OF THE CITY OF EDMONDS, WASHINGTON, DO
ORDAIN AS FOLLOWS:
Section 1. Section 1. of Ordinance No. 4118 adopting the final budget for the fiscal
year 2018 is hereby amended to reflect the changes shown in Exhibits A, B, C, D, and E adopted
herein by reference.
1
Section 2. Effective Date. This ordinance, being an exercise of a 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.
APP ED:
-.
MAYOR, DAVE EARLING
ATTEST/AUTHENTICATE:
CITY CLERK, SC PASSEY
APPROVED AS TO FORM:
OFFICE OF THE CITY ATTORNEY:
BY
JEFF TARADAY
FILED WITH THE CITY CLERK: October 12, 2018
PASSED BY THE CITY COUNCIL: October 16, 2018
PUBLISHED: October 21, 2018
EFFECTIVE DATE: October 26, 2018
ORDINANCE NO. 4129
2
SUMMARY OF ORDINANCE NO.4129
of the City of Edmonds, Washington
On the 161h day of October, 2018, the City Council of the City of Edmonds, passed
Ordinance No. 4129. A summary of the content of said ordinance, consisting of the title, provides
as follows:
AN ORDINANCE OF THE CITY OF EDMONDS, WASHINGTON,
AMENDING ORDINANCE NO. 4118 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.
DATED this 17th day of October, 2018.
S74",
C 6YAERK, S0-fXAKASSEY
EXHIBIT "A": Budget Amendment Summary (October 2018)
FUND
NO.
FUND
DESCRIPTION
2018
BEGINNING
FUND BALANCE
REVENUE
EXPENDITURES
2018
ENDING
FUND BALANCE
001
GENERAL FUND
10,273,340
39,501,682
44,602,053
5,172,969
009
LEOFF-MEDICAL INS. RESERVE
417,150
285,650
363,438
339,362
011
RISK MANAGEMENT RESERVE FUND
902,700
19,180
-
921,880
012
CONTINGENCY RESERVE FUND
5,447,140
64,750
49,584
5,462,306
014
HISTORIC PRESERVATION GIFT FUND
7,360
5,170
5,400
7,130
016
BUILDING MAINTENANCE FUND
210,220
210,220
017
MARSH RESTORATION & PRESERVATION FUND
300,000
300,000
018
EDMONDS HOMELESSNESS RESPONSE FUND
250,000
250,000
019
EDMONDS OPIOID RESPONSE FUND
250,000
250,000
104
DRUG ENFORCEMENT FUND
690
130,560
103,252
27,998
111
STREET FUND
1,102,080
1,784,270
1,856,507
1,029,843
112
COMBINED STREETCONST/IMPROVE
728,770
3,731,003
3,844,638
615,135
117
MUNICIPAL ARTS ACQUIS. FUND
533,200
149,385
183,892
498,693
118
MEMORIAL STREETTREE
18,350
400
18,750
120
HOTEL/MOTEL TAX REVENUE FUND
82,360
87,960
90,550
79,770
121
EMPLOYEE PARKING PERMIT FUND
69,290
25,640
26,880
68,050
122
YOUTH SCHOLARSHIP FUND
15,350
850
1,000
15,200
123
TOURISM PROMOTIONAL FUND/ARTS
59,890
30,520
29,700
60,710
125
PARK ACO/IMPROVEMENT
1,901,000
1,446,880
2,733,000
614,880
126
SPECIAL CAPITAL FUND
2,165,210
1,448,300
2,651,867
961,643
127
GIFTSCATALOG FUND
265,670
53,810
70,900
248,580
130
CEMETERY MAINTENANCE/IMPROV
188,880
180,170
213,509
155,541
136
PARKSTRUST FUND
155,910
3,150
159,060
137
CEMETERY MAINTENANCE TRUSTFD
938,110
33,360
971,470
138
SISTER CITY COMMISSION
7,600
10,170
10,500
7,270
211
LID FUND CONTROL
3,810
14,400
16,450
1,760
231
2012 LTGO DEBT SERVICE FUND
-
708,700
708,700
-
332
PARKS CONSTRUCTION
1,544,080
1,621,977
2,346,881
819,176
421
WATER
19,153,890
9,660,690
13,465,028
15,349,552
422
STORM
10,990,760
5,317,996
6,986,013
9,322,743
423
SEWER/TREATMENT PLANT
44,666,810
11,917,843
14,654,540
41,930,113
424
BOND RESERVE FUND
843,960
1,991,530
1,991,520
843,970
511
EQUIPMENT RENTAL FUND
8,996,080
1,624,640
1,670,082
8,950,638
512
Technology Renta I Fund
254,110
1,268,390
1,335,413
187,087
617
FIREMEN'S PENSION FUND
226,480
69.690
75.218
220.952
Totals
112,170,250
83,988,716
100,086,515
96,072,451
EXHIBIT "B": Budget Amendments by Revenue (October 2018)
FUND
NO.
FUND
DESCRIPTION
ORD. NO.
4089
1/1/2018
ORD. NO.
4094
1/1/2018
ORD. NO.
4096
3/2/2018
ORD. NO.
4109
4/27/2018
ORD. NO.
4118
8/3/2018
ORD. NO.
10/2018
2018
Amended
Budget
001
General Fund
$ 38,783,555
$ -
$ 18,000
$ 682,500
$ -
$ 17,627
$ 39,501,682
009
Leoff-Medical Ins. Reserve
285,650
-
-
285,650
011
Risk Management Reserve Fund
19,180
19,180
012
Contingency Reserve Fund
64,750
64,750
014
Historic Preservation Gift Fund
5,170
5,170
017
Marsh Restoration & Preservation Fund
-
300,000
300,000
018
Edmonds Homelessness Response Fund
250,000
250,000
019
Edmonds Opioid Response Fund
-
250,000
250,000
104
Drug Enforcement Fund
130,560
-
130,560
111
Street Fund
1,784,270
-
1,784,270
112
Combined StreetConst/Improve
2,942,656
659,547
32,000
96,800
3,731,003
117
Municipal Arts Acquis. Fund
146,200
-
3,185
149,385
118
Memorial Street Tree
400
400
120
Hotel/Motel Tax Revenue Fund
87,960
-
87,960
121
Employee Parking Permit Fund
25,640
-
25,640
122
Youth Scholarship Fund
850
850
123
Tourism Promotional Fund/Arts
30,520
-
30,520
125
ParkAcq/Improvement
1,446,880
-
-
1,446,880
126
Special Capital Fund
1,448,300
-
1,448,300
127
Gifts Catalog Fund
53,810
-
-
53,810
130
Cemetery Maintenance/Improv
180,170
180,170
136
Parks Trust Fund
3,150
-
3,150
137
Cemetery Maintenance Trust I'd
33,360
33,360
138
Sister City Commission
10,170
-
10,170
211
Lid Fund Control
14,400
14,400
231
2012 LTGO Debt Service fund
708,700
708,700
332
Parks Construction
1,494,534
127,443
1,621,977
421
Water
9,660,690
-
9,660,690
422
Storm
5,317,996
-
-
5,317,996
423
Sewer/Treatment Plant
11,566,980
350,863
-
11,917,843
424
Bond Reserve Fund
1,991,530
1,991,530
511
Equipment Rental Fund
1,624,640
-
1,624,640
512
Technology Rental Fund
1,268,390
1,268,390
617
Firemen's Pension Fund
69,690
69,690
Totals
$ 81,200,751
$
$ 1,155,853
S 1,514,500
$
S 117,612
S 83,988 716
EXHIBIT "C": Budget Amendments by Expenditure (October 2018)
FUND
NO.
FUND
DESCRIPTION
ORD. NO.
4089
1/1/2018
ORD. NO.
4094
1/1/2018
ORD. NO.
4096
3/2/2018
ORD. NO.
4109
4/27/2018
ORD. NO.
4118
8/3/2018
ORD. NO.
0
10/2018
2018
Amended
Budget
001
General Fund
$ 43,086,131
$ 272,000
$ 186,030
$ 709,577
$ 80,922
$ 267,393
$ 44,602,053
009
Leoff-Medical Ins. Reserve
294,270
69,168
363,438
012
Contingency Reserve Fund
49,584
-
-
49,584
014
Historic Preservation Gift Fund
5,400
5,400
104
Drug Enforcement Fund
103,252
103,252
111
Street Fund
1,856,507
-
-
1,856,507
112
Combined Street Const/Improve
2,823,041
670,547
254,250
96,800
3,844,638
117
Municipal Arts Acquis. Fund
182,480
1,412
-
183,892
120
Hotel/Motel Tax Revenue Fund
90,550
90,550
121
Employee Parking Permit Fund
26,880
26,880
122
Youth Scholarship Fund
1,000
1,000
123
Tourism Promotional Fund/Arts
29,700
29,700
125
ParkAcq/Improvement
2,432,040
300,960
2,733,000
126
Special Capital Fund
1,734,535
782,862
(82,250)
216,720
2,651,867
127
Gifts Catalog Fund
45,900
25,000
70,900
130
Cemetery Maintenance/Improv
197,514
15,995
-
213,509
138
Sister City Commission
10,500
-
10,500
211
Lid Fund Control
16,450
16,450
231
2012LTGO Debt Service Fund
708,700
-
708,700
332
Parks Construction
1,982,160
164,721
200,000
2,346,881
421
Water
12,270,201
1,025,274
139,200
30,353
13,465,028
422
Storm
6,562,877
273,583
117,200
32,353
6,986,013
423
Sewer/Treatment Plant
13,066,764
1,092,038
7,200
488,538
14,654,540
424
Bond Reserve Fund
1,991,520
-
-
1,991,520
511
Equipment Rental Fund
1,662,265
-
7,817
1,670,082
512
Technology Rental Fund
1,191,113
144,300
1,335,413
617
Firemen's Pension Fund
75,218
-
-
75,218
Totals
$ 92,496,552
$ 272,000
$ 4,657,722
$ 1,370,177
1 $ 374,627
$ 915,437
$ 100,086,515
EXHIBIT "D": Budget Amendment Summary (October 2018)
Fund Number
Changein
Beginning Fund
Balance
Revenue
Expense
Change in Ending
Fund Balance
001
17,627
267,393
(249,766)
112
96,800
96,800
117
3,185
-
3,185
421
30,353
(30,353)
422
32,353
(32,3531
423
488,538
(488,538)
Total Change
117,612
915,437
797,825)
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Thit-d 4uaftcr
Item Description: Snohomish County Human Services made available funding for first responders
and social workers to assist individuals or households with whom they come in
contact who are 1) identified as high risk for chemical dependency or mental
health issues, and 2) who need assistance to abate an emergency situation. The
City's shared social worker is utilizing these funds to provide travel to treatment,
temporary housing, clothing and supplies.
Department: Nondepartmental 9r
Division: Homeless Services Fund GENMAL
Title: First Responder Flex Fund Project Name:
Preparer: Caroline Thompson
Department Account Number: 001.000.39.565.40.41.00
Budget Amendment Type? �icrvlfent For Cotjnei1 To Cons 1tk r
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I One-Tim
Is the Expenditure Operating or Capital? Operating
Fill In Item Des cri 'on1s]
Baseline
Budget
2018
2019
2020
2021
2022
Homeless Services 001.000.39.565.40.41.00
50,000
7,114
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
01
0
0
0
0
0
0
1 0
0
0
0
0
Sub -Total
1 $50,000
1 $7,114
$0
$0
$o
$0
Total Expenses 1 $57,114 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
0
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
01
0
0
New Revenue
001. 000.33 7.40. 000. 00
7,114_
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Ending Cash
$7,114
$0
$0
$0
$0
8
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third Quarter
Item Description:
Each year the Police Department estimates the amount of reimbursable overtime
that will be earned for security provided for community events like the Edmonds
Arts Festival and Taste of Edmonds. This budget amendment increases the
reimbursable overtime budget for Patrol for hours already worked for events,
matched by higher than budgeted revenues paid by the sponsors of the events.
Department:
Police
Fund
GENERAL
Division:
Field Services -Patrol
Title:
Police Reimbursable Overtime - Special Events
Name:
Preparer:
Caroline Thompson
Department Account Number:
001.000.41.521.22.12.10; 001.000.41.521.22.23.10
Budget Amendment Type? Iien Item For Council To Cons irk r
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I One -'lime
Is the Expenditure Operating or Capital?
Fill InItem DescrI ionfs]
Baseline
Budget
2018
2019
2020
2021
2022
Patrol OT-Reimbursable 001. 000.41.521.22.12. 10
28,500
2,812
0
0
0
0
Patrol Benefits-Reimb. 001.000.41.521.22.23.10
0
423
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
1 0
0
0
0
0
0
0
0
0
0
Sub -Total
$28,500
$3,235
$0
$0
$0
$0
Total Expenses 1 $31,735 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
0
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
001.000.342.10.000.00
3,235
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Ending Cash
$3,235
$0
$0
$0
$0
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third Quarter
Item Description:
Members of the Police Department participate in periodic Marine Vessel
RAD/NUC Detection exercises coordinated by Seattle Fire Department. Grant
funding available through Seattle Fire reimburses for staff overtime spent
participating in the drills. Neither the expenditures nor the offsetting revenue
were budgeted in the 2018 budget due to the sporadic nature of the drills.
Department:
Police
Fund
GENERAL
Division:
Field Services -Patrol
Title:
Police Reimbursable Overtime - DNDO Drill
Name:
Preparer:
Caroline Thompson
Department Account Number:
001.000.41.521.22.12.10, 001.000.41.521.22.23.10
Budget Amendment Type? I New Item For Council To Consider
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I One -Time
Is the Expenditure Operating or Capital? Operating
Fill In Item Descri Description[s]
Baseline
Budget
2018
2019
2020
2021
2022
Patrol OT-Reimbursable 001.000.41.521.22.12.10
28,500
1,266
0
0
0
0
Patrol Bene ts-Reimb. 001.000.41.521.22.23.10
0
189
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
01
0
0
0
Sub -Total
$28,500
$1,455
$0
I $0
$0
$0
Total Ekpenses 1 $29,955 1 $0 1 $0 I $0 1 $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
0
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
001.000.333.97.056.00
1,455
0
0
0
0
General Fund Subsidy
1 0
01
0
0
0
New Revenue
0
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Ending Cash
$1,455
$0
$0
$0
$0
10
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third Quarte r
Item Description:
In January 2018 the Police Department received new funding from the
Washington State Traffic Safety Commission, via the Snohomish County Sheriff's
Office, for pedestrian safety activities. The funding covered education and
enforcement in three areas of Edmonds where clusters of car versus pedestrian
accidents occurred in 2017.
Department:
Police
Fund
GENERAL
Division:
Field Services - Traffic
Title:
Police Reimbursable Overtime - Pedestrian Safety
Name:
Preparer:
Caroline Thompson
Department Account Number:
001.000.41.521.71.12.10, 001.000.41.521.71.23.10
Budget Amendment Type? Nev item FbrCouncil To Consider
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? One-11111
Is the Expenditure Operating or Capital? I Upe�tiug
F➢ll In Item Descri 'on s
Baseline
Budget
2018
2019
2020
2021
2022
Trafl'ic OT-Reimbursable 001.000.41.521.71.12.10
8,200
3,155
0
0
0
0
Tra#1c Benefits-Reimb. 001.000.41.521.71.23.10
0
468
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
01
0
0
0
Sub -Total
$8,200
$3,623
$0
1 $0
$0
$0
Total &penses 1 $11,823 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
0
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
001.000.334.03.500.00
3,623
0
0
0
0
General Fund Subsidy
1
0
0
0
0
0
New Revenue
01
0
0
0
0
Other
0
0
0
0
0
Total Revenue andFbdin Cash
$3,623
$0
$0
$0
$0
11
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for, Third Quarter
Item Description: Holiday Market revenue and expenditures. Every year we receive revenue in the
form of vendor fees, which we use to off -set costs associated with producing the
Holiday Market. Revenue from fees is approximately $6000. Costs usually run
approximately $6000 as well. This amendment would allow the Dept. to expend
revenues received to cover costs.
Department: Economic Development/Community Services
Division: Economic Development Fund GENERAL
Title: Holiday Market revenue and expenditures Name:
Preparer: Patrick Doherty
Department Account Number: 001.000.61.558.70.41.00
Budget Amendment Type? New item For Council To Consider
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? One -Time
Is the Expenditure Operating or Capital? Operating
Fill In Item Des cri ionjsI
Baseline
Budget
2018
2019
2020
2021
2022
Professional Services
38,000
6,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$38,000
$6,000
$0
$0
$0
$0
Total Fkpenses 1 $44,000 1 $0 I $0 I $0 I$0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
001.000.39.508.00.00.00
5,000
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
1 0
0
0
New Revenue
001. 000. 34 7.93. 000. 00
1,000
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Ending Cash
$6,000
$0
$0
$0
$0
12
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third Quad -et -
Item Description:
Diversity Film Series. The first season of the Diversity Commission film series (running
Oct 2017 to Apr 2018) yielded $500 in sponsorship fees from Rick Steves' Europe and $480
in attendee donations. Two screenings of the Film Series' second season will occur this year,
likely yielding another $200+in donations. The total revenue expected this year is
approximately $1200. This amendment is to allow expenditure of this revenue to cover film
series production costs, which exceed $1000.
Department:
Economic Development/Community Services
Fund
GENERAL
Division:
Community Services
Title:
Diversity Film Series
Name:
Preparer:
Patrick Doherty
Department Account Number:
001.000.61.557.20.41.00
Budget Amendment Type? I Now Item For Ceandl To Consf*r
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I One -Time
Is the Expenditure Operating or Capital? I 011evati n
Fill In Item Descriptionjsj
Baseline
Budget
2018
2019
2020
2021
2022
Diversity Film Series expenditures
0
1,200
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$0
$1,200
$0
$0
$0
$0
Total Expenses 1 $1,200 1 $0 I $0 I $0 1 $0
Revenue and Endi nm Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
0
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
001.000.367.00.000.00
1,200
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
01
01
0
0
0
Other
01
01
0
0
0
Total Revenue and Ending Cash
$1.200
1 $0
I $0
$0
$0
13
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third Quarter
Item Description:
Custodial Staffing, Temporary/Seasonal Labor - Two long-term medical leaves of
absence from senior members of the custodial staff has left the Facilities division
in need of immediate support. We are asking for two temporary Custodian
positions to be funded to bridge the gap in labor hours due to the long term
medical leaves. Unpaid status for one of the two employee frees salary costs to
afford a portion of the expense for temporary labor.
Department:
Public Works
Fund
GIN 1'RAL
Division:
Facilities
Title:
Custodial Staffing, Temporary Labor
Name:
Preparer:
Thom Sullivan
Department Account Number:
001.000.66.518.30.11.00
Budget Amendment Type? New Item For .
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? one-une
Is the Expenditure Operating or Capital? I Operating
Fill In Item Descri 'on[s]
Baseline
Budget
2018
2019
2020
2021
2022
Salaries - Unpaid time, 3 months
0
(13,000)
0
0
0
0
Salaries- 2 (112 time) positions for 3 months
0
23,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$0
$10,000
$0
$0
$0
$0
Total Expenses 1 $10,000 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
001.000.39.508.00.00.00
10,000
0
0
0
0
Endin Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
0
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Ending Cash
$10,000
$0
$0
$0
$0
14
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third Quarter -
Item Description:
Custodial Staffing, Overtime - The current service level for Facilities demands
240 hours per week when just 160 hours is available with current staffing (less in
the event of illness or vacation). Additional overtime is requested to temporarily
bridge the gap in labor hours.
Department:
Public Works
Fund
GENERAL
Division:
Facilities
Title:
Custodial Staffing, Overtime
Name:
Preparer:
Thom Sullivan
Department Account Number:
001.000.66.518.30.12.00
Budget Amendment Type? l ew ]Penn Far Council To Consider
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I One -Time
Is the Expenditure Operating or Capital? I Operating
Fill In Item Descri 'on s]
Baseline
Budget
2018
2019
2020
2021
2022
Overtime
7,500
3,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$7,500
$3,000
$0
I $0
$0
$0
Total Expenses 1 $10,500 1 $0 I $0 I $0 1 $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
001.000.39.508.00.00.00
3,000
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
0
0
1 0
0
0
Other
0
0
0
0
0
Total Revenue and Ending Cash
$3,000
$0
$0
$0
$0
15
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third Quarter
Item Description:
Facilities Condition Assessment - McVinstry Corporation is conducting a three-
year study to assess and grade the condition of the City -owned properties. The
Finance Department asked for this study to be concluded one year earlier. Our
request funds the remainder of the assessment (anticipated in 2019) to complete
the study in 2018.
Department:
Public Works
Fund
GENERAL
Division:
Facilities
Title:
Facilities Assessment
Name:
Preparer:
Thom Sullivan
Department Account Number:
001.000.66.518.30.41.00
Budget Amendment Type? New Itrni I nr Cou il T4ns i-:
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? One lime
Is the Expenditure Operating or Capital? I Operating
Fill In hem Des cri 'onjs I
Baseline
Budget
2018
2019
2020
2021
2022
Professional Services - McKinstry Corp200
10,200
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$200
1 $10,200
$0
$0
$0
$0
Total Expenses 1 $10,400 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
001.000.39.508.00.000.00
10,200
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
0
01
01
0
11 0
Other
0
0
01
0
0
Total Revenue andFndin Cash
$10,200
$0
$0
I $0
$0
16
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for, Third Quarter
Item Description:
Mre Panels - Fire panels in multiple location suffering from compatability and
compliance issues discovered during routine inspection. Monitored life safety
systems are a function of the City's facilities and the use of devices to accomplish
this requires replacement or upgrade of panes, the installation of new systems and
the improvement of existing systems to comply. See Attached.
Department:
Public Works
Fund
C1IVFRAL
Division:
Facilities
Title:
Fire Panels
Name:
Preparer:
Thom Sullivan
Department Account Number:
001.000.66.518.30.48.00
Budget Amendment Type? yen• --it"), For C ouncil To Consiar
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I Otte -Time
Is the Expenditure Operating or Capital? Operating
Fill In Item Descri 'onts]
Baseline
Budget
2018
2019
2020
2021
2022
City Hall
0
35,000
0
0
0
0
Public Safety & Fire
0
60,000
0
0
0
0
Museum
0
13,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$0
$108,000
$0
$0
$0
$0
Total Expenses 1 $108,000 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Endin Cash: Decrease (Increase)
001.000.39.508.00.00.00
108,000
0
0
0
0
Endin Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsid
0
0
0
0
0
New Revenue
0
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Ending Cash
$108,000
$0
$0
$0
$0
17
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for, Third Quarter
Item Description:
Security Measures - Camera monitoring deters and documents (potentially
reducing liability associated with) criminal or malicious activity. Monitored panic
buttons and security panels installed as uniform and monitored 24/7 by third -
party. Lock down rooms as active intruder locations per Tacoma risk management
training and recommendation.
Department:
Public Works
Fund
GQVIQtAL
Division:
Facilities
Title:
S ec u rity Meas ures
Name:
Preparer:
Thom Sullivan
Department Account Number:
001.000.66
Budget Amendment Type? + ckr
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? One -Time
Is the Expenditure Operating or Capital? I Operating
Fill In Item Descri ions]
Baseline
Budget
2018
2019
2020
2021
2022
Equipment 594.18.64.00
0
23,000
0
0
0
0
Building 594.18.62.00
0
23,000
0
0
0
0
Re air and Maintenance 518.30.48.00
0
28,000
0
0
0
0
0
0
0
0
0
0
01
0
0
0
0
0
1 0
0
0
0
0
Sub -Total
$0
1 $74,000
$0
$0
$0
$0
Total Expenses 1 $74,000 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
001. 000.39.508. 00. 00. 00
74,000
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
1 0
0
0
New Revenue
0
0
0
0
0
Other
0
0
0
0
0
Total Revenue andFndin Cash
$74,000
$0
$0
$0
$0
18
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third (quarter
Item Description:
This amendment will provide additional budget in 2018 for staff overtime. The
initial 2018 overtime budget has been used to maintain progress on the
implementation of the Trakit permit software and miscellaneous inspection effort
on construction projects. The additional amount will be off -set in salary savings
related to positions that were not immediately filled, because of difficulties in
recruiting qualified candidates.
Department:
Public Works
Fund
GENE- 1tAL
Division:
Engineering
Title:
Overtime
Name:
Preparer:
Rob English
Department Account Number:
Budget Amendment Type? e-111 I[en► Fur CouneiI TO C+uiaitk,r
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? 1 ow -UM
Is the Expenditure Operating or Capital? Operating
Fill In Item Description [s I
Baseline
Budget
2018
2019
2020
2021
2022
001.000.67.518.21.12.00 Overtime
5,000
3,800
0
0
0
0
001.000.67.518.21.11.00 Salaries/Wages
1,661,359
(3,800)
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
01
01
0
0
Sub -Total
$1,666,359
$0
$0
I $0
I $0
1 $0
Total Expenses 1 $1,666,359 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
0
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
01
01
01
0
0
Other
01
01
0
1 01
0
Total Revenue and Ending Cash
$0
I $0
I $0
I $0
1 $0
19
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for, Third Quarter
Item Description: This amendment will transfer $55,000 in traffic impact fees to pay for the pre -
design study for the 76th Ave/220th St. Intersection Improvements. The costs can
be reimbursed by traffic impact fees since it is a concurrency project and was
included in the traffic impact fee calculation.
Division:
Title:
Department Account Number:
Public Works
Engineering
76th Avae/220th St. Intersection
Rob E nOis h
Budget Amendment Type? I Neve item F'or'Counc,1J. #Cony
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I One -Time
Is the Expenditure Operating or Capital? I Capital
Fund I STREET
Name: CONSTRLrC'TION
Fill In Item Des cri •on s
Baseline
Budget
2018
2019
2020
2021
2022
112.502.68.597.95.55.12 Interfund Transfer
0
55,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$0
$55.000
$0
$0
$0
$0
Total Expenses 1 $55,000 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
112.000.68.508.30.00.00
(55,000)
0
0
0
0
Ending Cash: Decrease (Increase)
112.502.68.508.30.00.00
55,000
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
0
0
0
0
0
Other
112.000.397.95.001.00
55,000
0
0
0
0
Total Revenue and Ending Cash
$55,000
$0
$0
$0
$0
20
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Thitxl Quatter
Item Description: This amendment provides an adjustment for the final close-out cost on the 228th
St. Corridor Improvements Project. The contractor submitted invoices that
previously had not been provided for construction work paid on a time and
material payment method. The cost will be paid by grant funds.
Department: Public Works
Division: Engineering Fund STREET
Title: 228th St. Corridor Improvements Name: CONSTRUCTION
Preparer: Rob Fnglis h
Department Account Number:
Budget Amendment Type? N*w-Item I'ur Couue.il To consider
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? 1 0
Is the Expenditure Operating or Capital? I Cat -tal
Fill In Item Descriptions I
Baseline
Budget
2018
2019
2020
2021
2022
112.000.68.542.33.41.67-InterFund Services
10,000
12,800
0
0
0
0
112.000.68.595.33.65.41-ProfSery Roadway
10,000
(3,000)
0
0
0
0
112.000.68.595.33.65.00-Const Roadway
12,000
32,000
0
0
0
0
0
0
0
0
0
0
0
1 0
1 01
0
0
0
0
1 0
1 0
01
0
0
Sub -Total
$32,000
1 $41,800
1 $0
I $0
1 $0
$0
Total Expenses 1 $73,800 1 $0 I $0 I $0 I $0
Revenue and Endi ng Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
1 0
0
0
New Revenue
112.000.334.03.800.00 TIB
32,130
0
0
0
0
Other
112.000.333.20.205.08 FED
9,670
0
0
0
0
Total Revenue and Fnding Cash
$41,800
$0
$0
$0
$0
21
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for: Third Quarter•
Item Description: Study to review current utility and General Facility Charge (GFC) Rates and
determine future GFC and utility rates so that funding is available for our future
Capital Projects. In addition, our utility funding reserves and policies will be
reviewed and updated.
Department: Public Works
Di -vision: Engineering Fund
WATER
Title: Utility Rate and GFC Study Name:
Preparer: Mchele (Nike) De Lilla
Department Account Number:
Budget Amendment Type? Newlin ftrC.._ _ T-q
If previously discussed, date(s) of discussion.
What is the nature of the expenditure? I Dnem,
Is the Expenditure Operating or Capital? I Operating
Fill In Item Descri 'on s
Baseline
Budge
2018
2019
2020
2021
2022
Interfund Services 423.000.75.535.80.41.67
0
3,333
0
0
0
0
ProfServices Engr 423.000.75.535.80.41.30
0
27,020
0
0
0
0
Interfund Services 422.000.72.531.70.41.67
0
3,333
0
0
0
0
Pro Services En r 422.000.72.531.90.41.20
0
27,020
0
0
0
0
Interfund Services 421.000.74.534.80.41.67
0
3,333
0
0
0
0
ProfServices En r 421.000.74.53 4.80.4 1.10
0
27,020
0
0
0
0
Sub -Total
$0
$91,059
$0
$0
$0
$0
Total Expenses 1 $91,059 1 $0 I $0 I $0 1 $0
Revenue andEndin Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
423.000.75.508.00.00.00
30,353
0
0
0
0
Ending Cash: Decrease (Increase)
422.000.72.508.00.00.00
30,353
0
0
0
0
Ending Cash: Decrease (Increase)
421.000.74.508.00.00.00
30,353
0
0
0
0
General Fund Subsidy
L 0
0
0
0
0
New Revenue
0
0
0
0
0
Other
0
0
0
0
0
Total Rewnue and Fading Cash
$91,059
$0
$0
$0
$0
22
EXHIBIT "E": New Items for Council to Consider (October 2018)
2018 Decision Package Third Quarter
Item Description:
A newopportunity to particpiate in a stormwater commerical series arose and staff acted
quickly to partipcate in the fast-moving project. As one of 36 jurisdictions that participated,
we were able to get storm water messaging to a signaifcantly larger audience than we have
beena ble to reach in the past. The three 30-second commericald aired through -out western
Washignton and the City will own a copy of each to use on City TV broadcast, City events, on
social media, etc.
Department:
Public Works
Fund
STORM
Division:
Engineering
Title:
NPDES Phase UPermit Compliance
Name:
Preparer:
Zachary Richardson
Department Account Number:
Strategic Plan Task Action Item:
Budget Amendment Type? JNewJIM IftrOmed ' aCon,i&r
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I One -Time
Is the Expenditure Operating or Capital? I Operating:
Fill In Item Description [s]
Baseline
Budget
2018
2019
2020
2021
2022
422.000.72.531.90.41.00 Professional Services
6,000
2,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$6,000
$2,000
$0
$0
$0
$0
Total Expenses 1 $8,000 1 $0 I $0 I $0 I$0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Endin Cash: Decrease (Increase)
422.000.72.508.00.00.00
2,000
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidv
0
0
0
0
0
New Revenue
0
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Endi ng Cash
$2,000
$0
$0
$0
$0
23
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. 'Ward QuaAer
Item Description:
1% for the Arts transfer to account for new sewer pipe and appurtenances that
were constructed as part of the 2018 Sanitary Sewer Replacement Project.
Department:
Public Works
Fund
Name:
SEWER I'I'REATMFNT
PLANT
Division:
Engineering
Title:
1% for the Arts (2018 Sewer Repl, Phase 6)
Preparer:
Michele (Mke) De Lilla
Department Account Number:
Budget Amendment Type? I N'eiv Item-for'0nmtg TOConsidrr
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I One -Time
Is the Expenditure Operating or Capital? I Csepittd
Fill In Item Description[s]
Baseline
Budget
2018
2019
2020
2021
2022
423.000.75.597.73.55.17Interfund Transfer
0
3,185
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
01
0
0
0
0
01
0
0
Sub -Total
$0
$3,185
$0
$0
1 $0
$0
Total Ekpenses $3,185 1 $0 I $0 1 $0 1 $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
423.000.75.508.00.00.00
3,185
0
0
0
0
Ending Cash: Decrease (Increase)
117.200.64.508.40.00.00
(3,185)
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
0
0
0
0
0
Other
117.200.39 7.73.411. 00
3,185
0
0
0
0
Total Revenue andFbdin Cash
$3,185
$0
$0
$0
$0
24
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Thhxl Quarter
Item Description:
Additional funds to cover work done as part of the 2018 Sanitary Sewer
Replacement project that took place on Edmonds Street east of 7th Ave. Area of
work was within an area of peat soil that complicated construction even more than
what was expected.
Department:
Public Works
Fund
Name:
SEWERI TREATMENT
PLANT
Division:
Engineering
Title:
2018 Sanitary Server Replacement Project (Phase 6)
Preparer:
Mchele (Mke) De Lilla
Department Account Number:
Budget Amendment Type? N+!wftm Fbr C.wuwU To Cons itkr
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? I ❑nr--Time:
Is the Expenditure Operating or Capital? I Capital
Fill In Item Description[s]
Baseline
Budget
2018
2019
2020
2021
2022
Interfund Services 423.000.75.535.80.41.67
40,462
30,000
0
0
0
0
Professional Services 423.000.75.594.35.65.41
120,000
50,000
0
0
0
0
Construction 423.000.75.594.35.65.30
1,473,000
375,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$1,633,462
$455,000
$0
$0
$0
$0
Total Expenses I $2,088,462 1 $0 I $0 I $0 I $0
Revenue and Endins Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
423.000.75.508.00.00.00
455,000
0
0
0
0
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
0
0
0
0
0
New Revenue
0
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Fnding Cash
$455,000
$0
$0
$0
$0
25
EXHIBIT "E": New Items for Council to Consider (October 2018)
Budget Amendment for. Third Quarter
Item Description:
Participate in the MyBuildingPermit portal. This service is a regional permitting
consortium providing comprehensive and coordinated access to permitting to
share best practices, align on building standards, and develop materials to help
customers navigate the permitting process. This will provide a seamless online
portal to internal Edmonds permit review and issuance, integrating with the new
Trakit system. Ongoing system costs are expected to be $23,000 per year.
Department:
Development Services
Flund
G[NERAL
Division:
Building
Title:
MyBuildingPermit
Name:
Preparer:
Leif Bjorback
Department Account Number:
001.000.62.524.20.41.00
Budget Amendment Type? Nei-.- Item For Council To Cons itk- r
If previously discussed, date(s) of discussion:
What is the nature of the expenditure? One Time
Is the Expenditure Operating or Capital? Operating
Fill In ItemDescription[s)
Baseline
Budget
2018
2019
2020
2021
2022
MyBuildingPermit
0
39,566
0
23,000
23,000
23,000
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
0
01
0
0
0
0
0
0
0
0
0
0
0
Sub -Total
$0
r $39,566
$0
$23,000
$23,000
$23.000
Total &penses j $39,566 1 $0 I $0 I $0 I $0
Revenue and Ending Cash
Comments
2018
2019
2020
2021
2022
Ending Cash: Decrease (Increase)
001.000.39.508.00.00.00
39,566
0
23,000
23,000
23,000
Ending Cash: Decrease (Increase)
0
0
0
0
0
Grants/Contributions
0
0
0
0
0
General Fund Subsidy
1 0
0
0
0
0
New Revenue
0
0
0
0
0
Other
0
0
0
0
0
Total Revenue and Ending Cash
$39,566
$0
$23,000
$23,000
$23,000
26
Everett Daily Herald
Affidavit of Publication
State of Washington }
County of Snohomish } ss
Dicy Sheppard 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 County, 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 EDH830752 ORD 4127-4129 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 10/21/2018 and
ending on 10/21/2018 and that said newspaper
was regularly distributed to its subscribers
during all of said period.
The amount of the fee f such publication is
$53.32.
Subscribed and sworn before m_e` on this
day of OrJoh e—,
AUBREY KNAPP
Notary Public
State of Washington
My Commission Expires
July 30, 2022
Notary Public in and for the State of
Washington.
City ar Edmonds - LEGAL ADS 1 14101416
SCOTT PASSEY
Classified Proof
ORDINANCE SUMMARY
of the Clry of Epmohds, Was Nnoon
On the 16111 day of Oetooer, 2016 the Cily Council of the City of
Emnonds, pss8nd the folp�wrg Dr�lniuue6, the Summaries or said
urwnancus consi7Ung OS mlev'are ded as folbws:
tl9i DINANC • N0. 4127
AN ORDINANCE 9 ll OF EDMONDS,
WASHINGTON AMENDING THE CRITICAL AREAS
REGULATl0N, CONTAINED IN EDMONDS COMMUNITY
DEVELOPMENT :'ODE CHAPTER 23.50, ENTITLED
"WETLANDS."
ORUt ANOENO Al2�
Al ORDINANCE H -L - 4F EDMONDS.
WASHINGTON. ADOPTING FI ND1 NOS AND CONC LUSION S
AND APPROVING A CHANGE IN ZONING FOR CERTAIN
PROPERTY LOCATED AT 0107 AND 8111-736TH ST, SW
FROM SINGLE-FAMILY RESIDENTIAL [[RS-B TO
MULTIPLE RESIDENTIAL lRM-1,Sr. AUTHORIZING
AMENDMENT TO THE CITY'S OFFICIAL ZONING MAP;
AND FIXING A TIME WHEN THE SAME SHALL BECOME
EFFECTIVE.
ORDINANCE NO. 4124
AN ORDINANCE TV- OF EDMONDS.
WASHINGTON, AMENDING ORDINANCE NO. 4110 AS A
RESULT OF UNANTICIPATED TRANSFERS AND
EXPENDITURES OF VARIOUS FUNDS, AND FIXING A
TIME WHEN THE SAME SHALL BECOME EFFECTIVE.
The roo lw of Ihaso Of7inamo wf0 to molipd upon reque81
DATED tare 170 day at OmIw, 2010.
CITY CLERK, SCOTT PASSEY
Published: October 21, 2018, EOH830752
U
Proofed by Sheppard, Dicy, 10/22/2018 12:04:17 pm Page: 2