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SUMMARY OF ORDINANCE NO. 1041
An ordinance of the City Council of the City of Palouse, Washington, amending Ordinance 1035, updating certain funds within the 2025 Annual Budget.
Estimated
Fund Resources Appropriations
Current Expense 1,132,581.85 1,441,678.05
Pool 179,114.82 212,951.00
RV Park 89,480.83 14,525.00
Parks 148,954.69 63,065.00
Police Department 117,152.45 125,987.00
Street 126,279.99 122,425.00
Arterial Streets 170,423.82 47,480.00
Cemetery 56,562.71 26,800.00
Emergency Medical Services 114,475.36 40,465.00
Joint Board - Fire & EMS 471,045.00 520,572.50
Fire Equipment Reserve 108,045.94 0.00
Police Car & Equipment 20,365.27 6,000.00
EMS Vehicle Reserve 49,283.40 0.00
Special Capital Projects Fund 158,616.68 0.00
Water Fund 486,073.88 319,550.00
Sewer Fund 384,989.17 319,050.00
Water Capital Improvement 169,573.46 50,550.00
Pump Maintenance Reserve 84,032.68 30,000.00
Water System Reserve 218,579.84 110,700.00
Sewer Capital Improvement -2,315.08 24,500.00
Sewer Facility Reserve 582,786.80 157,000.00
Sales Tax Remittance 7,739.00 5,700.00
Cemetery Endowment 116,576.06 0.00
Total All Funds 4,990,418.62 3,638,998.55
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.