File #: 21-1125    Version: 1
Type: public hearing Status: Filed
File created: 11/15/2021 In control: City Council
Agenda date: 11/23/2021 Final action: 11/23/2021
Title: Public Hearing on the 2022 Preliminary Operating Budget
Attachments: 1. Link to 2022 Preliminary Operating Budget
Title
Public Hearing on the 2022 Preliminary Operating Budget

Recommended Action
Committee Recommendation:
Not referred to a committee.

City Manager Recommendation:
Hold a second public hearing and receive testimony on the 2022 Preliminary Operating Budget.

Report
Issue:
Whether to hold a public hearing and receive testimony on the 2022 Preliminary Operating Budget.

Staff Contact:
Aaron BeMiller, Finance Director, 360.753.8465

Presenter(s):
Jay Burney, City Manager
Aaron BeMiller, Finance Director

Background and Analysis:
2022 Preliminary Operating Budget
The 2022 Preliminary Operating Budget was presented to Council on November 1, 2021, and the 1st public hearing took place November 16, 2021. The preliminary budget maintains basic service levels and programs as well as reductions and enhancements in various areas. This hearing provides additional opportunity for the Council to hear from the public. The operating budget maintains service levels and programs with some enhancements in priority areas.

The 2022 Preliminary Operating Budget appropriates $177.7 million for expenditures, a 6% increase from the 2021 Operating Budget. The Preliminary General Fund, which is part of the Operating Budget, covers basic core municipal services (i.e. Fire, Police and Parks) with appropriations of $94.3 million, a 7% increase over the 2021 budget.

The 2021 Preliminary Operating Budget includes appropriations to fund:
1) General Fund - basic core municipal services such as Administration, Engineering, Finance, Facilities, Fire, Human Resources, Information Services, Municipal Court, Legal, Parks, Planning, Police, Transportation, etc.;
2) Debt Service Funds - debt service to support outstanding debt obligations;
3) Enterprise Funds - utility operations: Drinking Water, Wastewater, Storm Surface Water, Waste ReSources;
4) Specials Funds - appropriations for lodging tax recipients and Parking Business Improvement Area; etc.; and
5) Operating transfers between funds, ...

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