Title
Public Hearing on the 2026 Preliminary Operating Budget, Utility Rates, General Facility Charges, Parking Rates and Impact Fees
Recommended Action
Committee Recommendation:
Not referred to a committee.
City Manager Recommendation:
Hold a public hearing and receive testimony on the 2026 Preliminary Operating Budget, Utility Rates, General Facility Charges, Parking Rates and Impact Fees.
Report
Issue:
Whether to hold a public hearing and receive testimony on the 2026 Preliminary Operating Budget, Utility Rates, General Facility Charges, Parking Rates and Impact Fees.
Staff Contact:
Joan Lutz, Senior Budget and Finance Manager, 360.753.8760
Presenter(s):
Michael Githens, Finance Director
Background and Analysis:
Budget Sustainability and the impacts on the 2026 Operating Budget have been presented with continued discussions held from the prior year starting with the Council Retreat January 25,2025. Subsequent discussions were held on April 22, 2025, May 13, 2025, and June 13, 2025, with Study Sessions held on May 13, 2025 and June 24,2025.
The City Manager has discussed the 2026 Preliminary Operating Budget with the City Council on August 19, 2025, and September 30, 2025. The preliminary budget incorporates feedback from those discussions. The budget maintains basic service levels and programs and includes limited enhancements in priority areas. Council also held a Public Hearing on November 3rd to hear public testimony.
A Study Session was held on October 14, 2025 with discussion around Business and Occupation Tax increase scenarios as well as proposed reductions.
The 2026 Preliminary Operating Budget includes appropriations to fund:
1. General Fund - basic core municipal services such as Administration, Engineering, Finance, Fire, Human Resources, Information Services, Legal, Parks, Planning, Police, and Transportation.
2. Debt Service Funds - debt service to support outstanding debt obligations.
3. Enterprise Funds - Drinking Water, Wastewa...
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