Legislation Details

File #: 15-8429    Version: 1 Name:
Type: Resolution Status: Passed
File created: 5/5/2026 In control: City Council
On agenda: 5/6/2026 Final action: 5/6/2026
Enactment date: Enactment #: 31263
Title: R 63 Streets for Stormwater – $83,806.91 for final payment for the sewer cleaning truck was not budgeted in the 2025 budget due to an oversight during the budgeting process. (Remove) Parks & Rec – Special Events – $31,803.85 from SE account #46 (Contract Services) into SE Account #68 (Materials & Supplies) is not a for new expenditures, but rather a reallocation of existing budget funds to ensure that payments for materials & supplies for all city run events for the entire year of 2026 are processed from the appropriate and designated account . Compliance - $13,0000 to cover the cost of water/sewer rebates to citizens per Revenue and Audit. Fleet – $8,026.48 required for the prevailing wages for the installation of the EV chargers at Bridgeworks.(Remove)
Sponsors: Administration
Attachments: 1. R 63 Transfers, 2. Stormwater Final Payment for Sewer Cleaning Truck $83806.91, 3. PW Compliance Water and Sewer Rebates $13000, 4. PW Equip Fund Prevailing Wage for new EV Chargers $8026.48, 5. Parks Special Events 46 to 68 to Run Events Using City Staff and Supplies $31803.85 (Revised), 6. Resolution #31263