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SUMMARY ORDINANCE NO. 1042
The annual budget for the City of Palouse, Washington, for 2026, is hereby adopted at the fund level in its final form and content.
Estimated
Fund Resources Appropriations
001 Current Expense 1,265,185.00 800,167.97
002 Pool 198,705.00 198,705.00
003 RV Park 93,350.00 23,650.00
004 Parks 55,750.00 55,750.00
005 Police Department 154,337.00 154,337.00
101 Street 130,300.00 130,300.00
102 Arterial Streets 1,378,499.00 1,311,199.00
103 Cemetery 48,500.00 38,500.00
120 Emergency Medical Services 98,385.00 42,996.00
122 Joint Board - Fire & EMS 199,055.92 156,360.01
308 Fire Equipment Reserve 108,123.50 0.00
311 Police Car & Equipment 17,750.00 1,500.00
313 EMS Vehicle Reserve 50,000.00 0.00
320 Special Capital Projects Fund 156,000.00 0.00
401 Water Fund 481,600.00 303,800.00
404 Sewer Fund 382,000.00 379,300.00
410 Water Capital Improvement 114,300.00 50,550.00
411 Pump Maintenance Reserve 66,500.00 30,000.00
412 Water System Reserve 172,520.00 74,500.00
440 Sewer Capital Improvement 74,837.86 27,900.00
441 Sewer Facility Reserve 587,690.00 160,000.00
630 Sales Tax Remittance 9,141.17 6,000.00
730 Cemetery Endowment 119,390.00 0.00
Total All Funds 5,961,919.45 3,945,514.98
This ordinance was passed on 12/23/2025 and shall take full force and effect five days after publication of this summary. The full text of this ordinance will be mailed upon request to the City Administrator at 509-878-1811 or cityadmin@palousewa.gov.