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HomeMy WebLinkAbout6836 ORDINANCE NO. 6836 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF AUBURN, WASHINGTON, AMENDING ORDINANCE NO. 6794, THE 2021-2022 BIENNIAL OPERATING BUDGET ORDINANCE, AND ORDINANCE NO. 6796, THE 2021-2022 BIENNIAL CAPITAL BUDGET, AS AMENDED BY ORDINANCE NO. 6815, AS AMENDED BY ORDINANCE NO. 6827, AUTHORIZING AMENDMENT TO THE CITY OF AUBURN 2021-2022 BUDGET AS SET FORTH IN SCHEDULE "A" AND SCHEDULE "B" WHEREAS, the Auburn City Council at its regular meeting of November 16, 2020, adopted.Ordinances No. 6794 and 6796 which adopted the City of Auburn 2021-2022 Biennial budget; and WHEREAS,.theAuburn City Council at its regular meeting of April 5, 2021, adopted Ordinance No. 6815 (BA#1)which amended Ordinances No. 6794 and 6796 which adopted the City of Auburn 2021-2022 Biennial budget; and WHEREAS, the Auburn City Council at its regular meeting of July 26, 2021, adopted Ordinance No. 6827 (BA#2) which amended Ordinance No. 6815 which amended the City of Auburn 2021-2022 Biennial budget; and WHEREAS, the City of Auburn deems it necessary to appropriate additional funds to the various funds of the 2021 budget as outlined in this Ordinance (BA#3); and WHEREAS, this Ordinance has been approved by one more than the majority of all councilpersons in accordance with RCW 35A.34.200. NOW THEREFORE, THE CITY COUNCIL OF THE CITY OF AUBURN, WASHINGTON DO ORDAIN AS FOLLOWS: Ordinance No. 6836 October 20, 2021 Page 1 of 3 Section 1. Amendment of the 2021-2022 Biennial Budget. The 2021- 2022 Biennial Budget of the City of Auburn is amended pursuant to Chapter 35A.34 RCW, to reflect the revenues and expenditures as shown on Schedule "A" attached hereto and incorporated herein by reference. The Mayor of the City of Auburn, Washington is hereby authorized to utilize revenue and expenditure amounts shown on said Schedule "A" and Schedule "B". A copy of said Schedule "A" and Schedule "B" is on file with the City Clerk and available for public inspection. Section 2. Implementation. The Mayor is authorized to implement those administrativeprocedures necessary to carry out the directives of this legislation. Section 3. Severability. The provisions of this ordinance are declared to be separate and severable. The invalidity of any clause, sentence, paragraph, subdivision, section, or portion of this ordinance, or the invalidity of the application of it to any person or circumstance, will not affect the validity of the remainder of this ordinance, or the validity of its application to other persons or circumstances. Section 4. Effective date. This Ordinance will take effect and be in force five days from and after its passage, approval, and publication as provided by law. INTRODUCED: NOV0 1 2021 PASSED: NOV 012021 APPROVED: NOV012021 N NCY B US, MAYOR Ordinance No. 6836 October 20, 2021 Page 2 of 3 ATTEST: APPROVED AS TO FORM: Shawn Campbell, MMC, City Clerk Kendra Comeau, City Attorney Published:/000(14045 `1)11 1%71 Ordinance No. 6836 October 20, 2021 Page 3 of 3 • Schedule A Summary of 2021 Budget Adjustments by Fund ' Budget Amendment#3(Ordinance#6836) . • • • Beg.Fund 2021 2021 Ending Fund Balance Revenues Expenditures Balance General Fund(#001) „_ 2021 Adopted Budget 19,948,152 72,870,710 82,294,077 10,524,785 Previous Budget Amendments 11,280,248 1,377,800 6,047,000 . 6,611,048 2021 Amended Budget' - ' 31,228,400 74,248,510 88,341,077 17,135,833 BA#3(Ordinance#6836,Proposed); - 2,118,600 1,838,200 280,400 General Fund Revenues: ' One-time state assistance for unfunded local government police reform mandates _ 331,500 - 331,500 Move lease revenues from Facilities to General Fund - 107,500 - 107,500 Budget for ACRC lease revenues from the Auburn Food Bank' - 32,600 - 32,600 Human Resources Department:__..—_.._. Vaccination incentive program(ARPA funded) • . • - 47,500 47,500 - • Security and safety buildout of HumanResources lobby • - - 25,000 (25,000) ' New Limited Term Employee(LTE): Recruitment Coordinator (NO COSTS IN 20211 - - - Finance Department: • New Limited Term Employee(LTE): Grants Coordinator (NO COSTS IN 2021)„_,•_„_„_,,, - - - - New Limited Term Employee(LTE): Accounting Specialist (NO COSTS IN 2021) - - - - Police Department: CIF unspent 2020 Coronavirus Emergency_Supplemental Funding_Program..grant - 22500 22,500 - Community Community Development Department: Increase budget for repairs to City-owned parking lots - - - - 001.17.558.800.49 l MISCELLANEOUS (15,000) 001.88.597.100.55 OPERATING TRANSFERS OUT - 15,000 SCORE: .Increase budget for SCORE operating costs(partially ARPA funded) - 800,000 800,000 830,000 (30,000) Public Works Department: Increase signal systems repair and maintenance budget due to crashes - -. 30,000 , (30,000), Update theCity's Local Road Safety PIanILRSP1 - 50000 (50,000) Parks Department: AWC Summer Experiences&Enrichment for Kids(SEEK).grant •. - 90,600 90,600 - Increase Golf Pro Shop inventory and repair and operating supply budgets - 100,000 100,000 - Streets Department: ' Move funds to F102 for Roadway Channelization Refreshment project - - - - 001.42.542.300.41 PROFESSIONAL SERVICES (100,000) 001.88.587.100.55 OPERATING TRANSFERS OUT(to F102) 100,000 Page 1 of 8 10/1412021 12:50 PM Schedule A Summary of 2021 Budget Adjustments by Fund , Budget Amendment#3(Ordinance#6836) Beg.Fund 2021 2021 Ending Fund - Balance Revenues Expenditures Balance City Attorney's Office: 4................costs for PD body camera implementation(ARPA and SB1592 funding) _ - ..._586x400 _,,,.,,, -.642s600w-_ ,.(56x2001 Revised 2021 Budget-Fund 001 31,228,400 76,367,110 90,179,277 17,416,233 Arterial Street Fund(#102) 2021 Adopted Budget 1,015,159 4,948,080 5,535,930 427,309 _ Previous Budget Amendments and CIP Carry-Forwards 1,268,916 3,708,523 4,847,618 129,821 2021 Amended Budget 21284,075 8,6561603 10.3837548 557,130 BA#3(Ordinance#6836,Proposed): - 100,000 100,000 - Move funds to F102 for Roadway Channelization.Refreshment project ______ - 100,000 100,000 - Revised 2021 Budget-.Fund 102 2,284,075 8,756,603 10,483,548 557,130 American Rescue PIar Act Fund Fund(#106) .' 2021 Adopted Budget - - - - Previous Budget Amendments - - - - --7621 Amended Budget - - - - BA#3(Ordinance#6836,Proposed), - 7,375,600 1,958,900 5,416,700 Receive American Rescue Plan Act(ARPA)money into new ARPA Fund - •' 7,375,600 - 7,375,600 4 New FTEs and costs for PD body camera implementation(ARPA and SB1592 fund - 586,400 (586,400) Increase budget for SCORE operating costs(partially ARPA funded) --- - 800,000 (800,000) Vaccination incentive program(ARPA funded) - „47,500 (47,500), '............................................................................................. ...._ ............,........... r .)_. - - 525,000 (525 0001 Revised 2021 Budget-Fund 106 - 7,375,600 1,958,900 5,416,700 Housing&Comm Develop Fund(#119) ' _,. 2021 Adopted Budget 42,904 600,000 600,000 42,904 Previous Budget Amendments (579) 952,100 952,100 (579) 2021 Amended Budget 42,325 1,552,100 1,552,100 42,325 m..BA#3(Ordinance#6836,Proposed): - 180,400 180,400 - Ali n revenue 8 expenditure budgets wl most recent CDBG and CDBG-CV awards - 180,400 180,400 ' Revised 2021 Budget-Fund 119 42,325 1,732,500 1,732,500 42,325 Page 2 of 8 10/142021 12:50 PM Schedule A Summary of 2021 Budget Adjustments by Fund Budget Amendment#3(Ordinance#6836) Beg.Fund 2021 2021 Ending Fund Balance Revenues Expenditures Balance Mitigation Fees Fund(#124) 2021 Adopted Budget. 12,420,562 1,217,560 4,265,480 9,372,642 Previous Budget Amendments and CIP Carry-Forwards 1,996,460 - 2,746,457 (749,997) 2021 Amended Budget 14,417,022 1,217,560 7,011,937 8,622,645 BA#3(Ordinance#6836,Proposed): - - 726,600 (726,600) Add'1 funding for Arts&Culture Center renovations(funded by ark impact fees) - - 726,600 726,600 Revised 2021 Budget-Fund 124 14,417,022 1,217,560 7,738,537 7,896,045 Parks Construction Fund(#321) _ 2021 Adopted Budget: 819,996 3,095,800 2,883,800 1,031,996 Previous Budget Amendments and CIP Carry-Forwards 9,470 163,869 414,509 (241,170) 2021 Amended Budget ' 829,466 3,2597669 3,298,309 790,826 - BA#3(Ordinance#6836,Proposed): . 63,869 32,000 32,000 63,869 • True-up 2021 beginning fund balance 63,869 63,869 Construct bike park at Cedar Lanes Park(grant funded) - 32,000 32,000 - Revised 2021 Budget-Fund 321 893,335 3,291,669 3,330,309 854,695 Capital Improvements.Fund(#328) _ 2021 Adopted Budget 7,705,844 4,264,180 7,932,720 4,037,304 Previous Budget Amendments and CIP Carry-Forwards 2,578,483 4,702,995 4,008,767 3,272,711 2021 Amended Budget 107.284,327 8,967,175 11,941,487 7,310.015 • _ .BA#3(Ordinance#6836,Proposed): - 4817600 7267600_• (245,000) Addi funding for Arts&Culture Center renovations(funded by park impact fees) - 481,600 726,600 (245,000) Revised 2021 Budget-Fund 328 10,284,327 9,448,775 12,668,087 7,065,015 Local Revitalization Fund(#330) 2021 Adopted Budget 244,000 1,000 245,000 - Previous Budget Amendments and CIP Carry-Forwards 111,086 34,000 145,086 - 2021 Amended Budget 355,086 35,000._.._.._._.._3901086 - BA#3(Ordinance#6836,Proposed): - 15,000 •-151000 _• .,_•_-•_,•.•• Increase budget for repairs to City-owned pparking lots - 15,000 . _ 15,000 - Revised 2021 Budget-Fund 330 355,086 50,000 405,086 - Page 3 of 8 10/14/2021 12:50 PM Schedule A Summary of 2021 Budget Adjustments by Fund Budget Amendment#3(Ordinance#6836) Beg.Fund 2021 2021 Ending Fund Balance Revenues Expenditures Balance Water Fund(#430) 2021 Adopted Budget 17,088,517 19,149,300 25,067,833 11,169,984 __Previous Budget Amendments and CIP Carry-Forwards 6,540,539 - 4,698,220 1,842,319 2021"Amended Budget "- 23,629,056 19,149,300 29,766,053 13 012,303 BA#3(Ordinance#6836,Proposed): 2,663 525,000 ..._.._ 2,580,900 (2,053,237) - Increase utiles tax expense to reflect higher City tax rate(in Ord.#6822)_ - 518,000 (518,.0002 True-up 2021 beginning working capital balance 2,663 - 2,663 Purchase brush mower for utility property and access roads - . - 10,000. (10,000) - Increase budget to replace dump truck,salt spreader,and plow - - 27,900 (27,900) Utility Assistance Program(ARPAfunded) - 525 000 525 000 _ Replenish working capital balance in Water capital subfund(transfer from F432)._ - _.._ - 1,5500,000-_ —(1,500,000)_ Revised 2021 Budget-Fund 430 23,631,719 19,674,300 32,346,953 10,959,066 . __ . Sewer Fund(#431) e 2021 Adopted Budget 7,837,981 9,670,730 8,507,355 9,001,356 Previous Budget Amendments and CIP Carry-Forwards 878,126 - 29,200 848,926 - . 2021 Amended Budget .. - 8,716,107 9,670,730 8,536,555 9,850,282 BA#3(Ordinance#6836,Proposed), ___.._-_.__..._.._..__..._.._._. 1,190 - 1,137,100 (1,135,910) Increase utility tax expense to reflect higher City tax rate(in Ord #6822)_ 918,200�� (918,200) Purchase brush mower for utility property and access roads - - 10,000 (10,000) Flow monitoring to identify areas of high sewer system inflow and infiltration - 181,000 (181,000) Increase budget to replace dump truck,salt spreader,and plow • - - 27,900 (27,900) True-up2021.beginning working capital balance 1,190 . . - , 1,190... Revised 2021 Budget-Fund 431 8,717,297 9,670,730 9,673,655 8,714,372 Page 4 of 8 10/14/2021 12:50 PM Schedule A Summary of 2021 Budget Adjustments by Fund Budget Amendment#3(Ordinance#6836) Beg.Fund 2021 2021 Ending Fund - Balance Revenues Expenditures Balance Storm Drainage Fund(#432) 2021 Adopted Budget 8,943,194 10,686,150 9,366,223 10,263,121 Previous Budget Amendments and CIP Carry-Forwards 1,163,165 - 29,200 1,133,965 2021 Amended Budget " . 10,106,359 10,686,150 9,395,423 11,397,086 BA#3(Ordinance#6836,Proposed); 996 - 521,500 (520,504) Increase utility tax expense to reflect higher City tax rate(in Ord.#6822) - - 333,600 (333,600)' Purchase brush mower for utilitywproperty,and.access roads - - 10,000 (10,000) Stormwater Management Action Plan(SMAP)and supporting documentation - - 150L000 , (150,000) Increase budget to replace dump truck,salt spreader,and plow - - 27,900 (27,900) 'True-up 2021 beginning working capital balance 996 - - . 996 Revised 2021 Budget-Fund 432 - 10,107,355 10,686,150 9,916,923 10,876,582 Solid Waste Fund(#434) __ 2021 Adopted Budget 5,753,618 16,775,500 16,950,830 5,578,288 ' Previous Budget Amendments 174,299 - 81,000 93,299 —2021 Amended Budget '" 5,927,917 16,775,500 17,031,830 5,671,587 _.BA#3(Ordinance#6836,Proposed): ..._..-_._...-..__._.. .__......._ ._._..._._....-.._._..__._...__..___..._.._.___._.__......_..__._...500:000 _--874.600.._._._..._._.(374,600) Increase utility tax expense to reflect higher City tax rate(in Ord.#6822) - - : • 374,600 (374,600) Incr budget and revenue for WM costs due to higher-than-expected service levels - 500,000 500,000 - Revised 2021 Budget-Fund 434 5,927,917 17,275,500 17,906,430 5,296,987 Airport Fund(#435) 2021 Adopted Budget 810,777 5,285,700 4,487,696 1,608,781 Previous Budget Amendments 193,185 - 44,210 148,975 2021 Amended Budget 1,003,962 5,285,700 4,531,906 1,757,756 BA#3(Ordinance#6836,Proposed): -___._.. _._(.3,630,900) (3,008,100) (622,800) Increase revenue and expenditure budget for aviation fuel - 180,000 120,000 60,000 Reduce budget for hangar projects that had been planned to be bond-funded - (3,810,900) (3,128,100). (682,800) Revised 2021 Budget-Fund 435 1,003,962 1,654,800 1,523,806 1,134,956 Page 5 of 8 10/142021 12:50 PM Schedule A Summary of 2021 Budget Adjustments by Fund Budget Amendment#3(Ordinance#6836) Beg.Fund 2021 2021 Ending Fund Balance Revenues Expenditures Balance Cemetery Fund(#436) .......20.21 Adopted Budget.._... 505,802 1,203,600 1,344,820 364,582 Previous Budget Amendments 566,587 - 100,070 466,517 2021 Amended Budget _ - 1,072,389 1,203,600 1,444,890 831,099 _..._BA#3••(Ordinance#6836,Proposed): :• ___• ••• - - •••••___ 297400•_—_••__•••129,400)• Purchase riding mower for Cemetery turf care - - 29,400 (29,400) Revised 2021 Budget-Fund 436 1,072,389 1,203,600 1,474,290 801,699 Water Capital Fund`(#460) _ 2021 Adopted Budget . . .. 888,139 11,614,710 10,670,410 1,832,439 Previous Budget Amendments and CIP Carry-Forwards (483,857) 4,590,020 5,863,319 (1,757,156) ' 2021 Amended Budget _ 404,282 16,204,730 16,533,729 75,283 - BA#3(Ordinance#6836,Proposed,), ., - 1,5007000 - 17500 000 Replenish working capital balance in Water capital subfund(transfer from F430) - 1,500,000 - 1,500,000 Revised 2021 Budget-Fund 460 404,282 17,704,730 16,533,729 1,575,283 Storm Drainage Capital Fund(#462) _ 2021 Adopted Budget • • 10,569,965 838,870 4,695,700 6,713,135 Previous Budget Amendments 1,336,596 - 829,311 507,285 2021 Amended Budget 11,906,561 838,870 5,525,011 7,220,420 BA#3(Ordinance#6836,Proposed): 12,096 - 12,096 12,096 True-up 2021 beginning working capital balance 12,096 - - 12,096' Revised 2021 Budget-Fund 462 11,918,657 838,870 5,525,011 7,232,516 Airport Capital Fund(#465) - . . „ 2021 Adopted Budget 20,557 3,000,200 2,891,600 129,157 _ Previous Budget Amendments and CIP Carry-Forwards 140,783 (42,290) (42,290) 140,783 2021 Amended Budget 161,340 2,957,910_ 2,849,310_ .269,940• BA#3(Ordinance#6836,Proposed),:• - (2,750,000) ' (2,750,000) - Reduce budget for hangar projects that had been planned to be bond-funded - (2.750,000) • (2,750.000)••••••_••_•••_••_w•__- Revised 2021 Budget-Fund 465 161,340 207,910 99,310 269,940 Page 6 of 8 10/14/2021 12:50 PM Schedule A Summary of 2021 Budget Adjustments by Fund Budget Amendment#3(Ordinance#6836) Beg.Fund 2021 2021 Ending Fund Balance Revenues Expenditures Balance Cemetery Capital Fund(#466) _ ... 2021 Adopted Budget 48,983 800 40,100 9,683 Previous Budget Amendments and CIP Carry-Forwards (40,798) 100,070 15,673 43,599 2021 Amended Budge........_. ___..._. 8,185 100,870 55,773 53,282 BA#3(Ordinance#6836,Proposed): (2) (2)_ True-up 2021beginning_workingcapital balance (2)_ _..._.____..- - _(21 Revised 2021 Budget-Fund 466 8,183 100,870 55,773 53,280 . Facilities Fund(#505) - 2021 Adopted Budget.. 986,936 3,713,100 4,076,191 623,845 Previous Budget Amendments 147,089 235,600 235,600 147,089 2021 Amended Budget 1,134,025 3,948,700 4,311,791 770,934 BA#3(Ordinance#6836,Proposed): _- 581750) _ 104,600 (193,350) Move lease revenues from Facilities to General Fund 107,500) - 107,500 _Increase budget for Auburn Central Parking Garage - _ 74,300 (74,300) Add lease revenue for Game Farm Park - 18,750.• - 18,750` New LTE: Security Officer for City Hall,Annex,and Les Gove campus - 30,300__ (30,300) Revised 2021 Budget-Fund 505 1,134,025 3,859,950 4,416,391 577,584 Innovation&Technology Fund(#518) ' 2021 Adopted Budget 2,597,407 6,724,750 7,372,520 1,949,637 Previous Budget Amendments 267,252 - 141,000 126,252 2021 Amended Budget_...___..___..._. 2,864,659 _ 6,724,750 7,513,520 2,075 889_ BA#3(Ordinance#6836,Proposed): - 14,200 14,200 - New LTE: Security Officer for City Hall,Annex,and Les Gove campus - 3,000 3,000 - 4 New FTEs and costs for PD body camera implementation(ARPA and SB1592 fund 11,200 11,200 - Revised 2021 Budget-Fund 518 2,864,659 6,738,950 7,527,720 2,075,889 Page 7 of 8 10/142021 12:50 PM Schedule A Summary of 2021 Budget Adjustments by Fund Budget Amendment#3(Ordinance#6836) ' Beg.Fund 2021 2021 Ending Fund Balance Revenues Expenditures Balance Equiprnent Rental Capital Fund(#560) 2021 Adopted Budget . 4,104,409 3,046,920 3,248,600 3,902,729 Previous Budget Amendments and CIP Carry-Forwards 376,202 329,400 1,898,790 (1,193,188) 2021 Amended Budget' 4,480,611 3,376,320 5,147,390 2,709,541 BA#3(Ordinance#6836,Proposed): W,,,_..._.._.__.._.._.._..____:._.._..__.._. 133,728 143,100 143,100 133,728 True-upw 2021 be innin orkin ca ital balance 133,728 - - 133,728' Purchase riding mower for Cemetery turf care 29:400 29,400 - Increase budget to replace dump truck,salt spreader,and plow - 83,700 83,700 - Purchase brush mower for utility proPerty and access roads _ - 30,000 30,000 - Revised 2021 Budget-Fund 560 4,614,339 3,519,420 5,290,490 2,843,269 Grand Total-AII Funds • 2021 Adopted Budget," 137,202,931 213,828,120 241,379,280 109,651,771 Previous Budget Amendments 38,437,106 22,865,405 44,043,189 17,259,322 2021 Amended Budget 175,640,037 236,693,525 285,422,469 126,911,093 TOTAL BA#3(Ordinance#6836,Proposed): 214,540 6,515,850 5,225,000 1,505,390 Revised 2021 Budget 175,854,577 243,209,375 290,647,469 128,416,483 • - 419,063,952 419,063,952 Page 8 of 8 10/14/2021 12:50 PM Schedule B 2021 Ending Fund Balance/Working Capital by Fund 2021 Amended Budget BA#3 " Revised .Fund _ (before BA#3) (Ord#6836) Budget General Fund (#001) 17,135,833" 280,400 17,416,233 Arterial Street Fund (#102) 557,130 - 557,130 Local Street Fund (#103) 2,027,953 . - 2,027,953 Hotel/Motel Tax Fund (#104) 277,797 - 277,797 Arterial Street Preservation Fund (#105) 1,442,653 - .1,442,653 American Rescue Plan Act Fund (#106) - 5,416,700 5,416,700 Drug Forfeiture Fund (#117) 559,307 . - 559,307 Housing &Comm Develop Fund (#119) 42,325 - 42,325 Recreation Trails Fund (#120) 89,412 - 89,412 BIA Fund (#121) 135,095 - 135,095 Cumulative Reserve Fund (#122) 10,681,144 - 10,681,144 Mitigation Fees Fund (#124) 8,622,645 (726,600) 7,896,045 City Hall Annex 2010 A&B Bond Fund (#230) - - - Local Revitalization 2010 C&D Bond Fund (#231) - - - 2020 LTGO A&B Refunding Bonds Fund (#232) 102,828 - . " "102,828. SCORE Debt Service Fund (#238) - - - LID Guarantee Fund (#249) -1,686 . " - 1,686 LID 350 Fund (#275) 2,157 - 2,157 Golf/Cemetery 2016 Refunding Fund (#276) - - - Parks Construction Fund (#321) 790,826 63,869 - 854,695 Capital Improvements Fund (#328) 7,310,015 (245,000) 7,065,015 Local Revitalization Fund (#330) - - . - Water Fund (#430) 13,012,303 (2,053,237) 10,959,066 Sewer Fund (#431) 9,850,282 (1,135,910) 8,714,372 Storm Drainage Fund (#432) - 11,397,086 (520,504) 10,876,582 _ Sewer Metro Sub Fund (#433) 2,842,422 - 2,842,422 Solid Waste Fund (#434) 5,671,587 (374,600) . 5,296,987 Airport Fund (#435) 1,757,756 (622,800) 1,134,956 Cemetery Fund (#436) ' 831,099 (29,400) 801,699 Water Capital Fund (#460) 75,283 " - 1,500,000 1,575,283 Sewer Capital Fund (#461) 7,729,407 7,729,407 Storm Drainage Capital Fund (#462) 7,220,420 12,096 7,232,516 Airport Capital Fund (#465) 269,940 - 269,940 Cemetery Capital Fund (#466) 53,282 . (2) 53,280 Insurance Fund (#501) 1,589,515 .- 1,589,515 Workers' Comp Fund (#503) 2,702,725 - 2,702,725 Facilities Fund (#505) 770,934 (193,350) . 577,584 Innovation &Technology Fund (#518) 2,075,889 2,075,889 Equipment Rental Fund (#550) 1,779,893 1,779,893 Equipment Rental Capital Fund (#560) 2,709,541 133,728 2,843,269 IT Capital Fund (#568) . 500,353 - 500,353 Fire Pension Fund (#611) 1,981,776 - 1,981,776 SKHHP Fund (#654) 224,913 - 224,913 Cemetery Endowment Fund (#701) 2,085,882 2,085,882 1 Total 126,911,093 1,505,390 128,416,483