HomeMy WebLinkAboutORD 3381CITY OF RENTON, WASHINGTON
ORDINANCE NO. 3-1R1
AN ORDINANCE OF THE CITY OF RENTON, WASHINGTON,
ADOPTING AN ANNUAL BUDGET FOR THE YEAR, 1980
THE CITY COUNCIL OF THE CITY OF RENTON, WASHINGTON, DO ORDAIN AS FOLLOWS:
SECTION I: That the Annual Budget for the City of Renton for the year 1980
heretofore prepared and filed with the City Clerk, as modified and approved by vote
of the City Council of the City of Renton on December 3, 1979, after due notice and
hearing thereof as provided by law, be and the same is hereby in all respects
ratified, adopted and confirmed as such Annual Budget for the year 1980, and same
by this reference is incorporated herein as if fully set forth, and a complete and
accurate copy of said Budget being attached hereto, labeled Exhibit "A". Ordinance
No. 3371 adopted under date of November 5, 1979, fixed the estimated amount of tax
levier necessary for the year 1980.
SECTION II: The following total sums for expenditures are hereby allowed
and established in each of the following funds in said 1980 Budget, to wit:
(A) 000 CURRENT FUND . . . . . . . . . . . . . . . . . . . $ 8,881,820
101 PARK FUND . . . . . . . . . . . . . . . . . . . . . 1,603,701
102 ARTERIAL STREET FUND . . . . . . . . . . . . . . . . 769,000
103 STREET FUND . . . . . . . . . . . . . . . . . . . . 1,434,584
1 o6 LIBRARY FUND . . . . . . . . . . . . . . . . . . . . 385,969
107
CONTINGENCY FUND . . . . . . .
. . . . . . . . . . .
395,921
108
CUMULATIVE RESERVE FUND #1894
(Municipal Buildings)
2,187
109
CUMULATIVE RESERVE FUND #1698
(Fire Equipment) . . .
61,000
110
CUMULATIVE RESERVE FUND #1689
(Park Property) . . .
89,491
111
CUMULATIVE RESERVE FUND #3278
(Unemployment Compensa.)
50,000
112
CUMULATIVE RESERVE FUND #2104
(Park Equipment) . . .
83,100
113
CUMULATIVE RESERVE FUND #2283
(Beautification)
1,670
115
CUMULATIVE RESERVE FUND #3362
(Storm Sewers) . . . .
-0-
118
CUMULATIVE RESERVE FUND #2755
(Special Purpose Paths)
91550
119
CUMULATIVE RESERVE FUND #
(Library Improvements)
10,000
122
COMPREHENSIVE EMPLOYMENT TRAINING FUND (CETA) . . .
106,268
124
CUMULATIVE RESERVE FUND #2518
(Municipal Arts) . . .
378
126
GREEN RIVER WILDLIFE FUND . .
. . . . . . . . . . .
1,700
199 FEDERAL REVENUE SHARING FUND . . . . . . . . . . . . 648,796
-1-
202 1967 LIMITED G.O. BOND INTEREST & REDEMPTION FUND $ 172,323
205 1974 ADVANCE REFUNDING LIMITED G.O. BOND
INTEREST & REDEMPTION FUND . . . . . . . . . . . 150,156
207 1978 LIMITED G.O. BOND INTEREST & REDEMPTION FUND . . 132,167
301 STREET FORWARD THRUST FUND . . . . . . . . . . . . . 3,097,900
302 URBAN ARTERIAL FUND . . . . . . . . . . . . . . . . .
305 LAKE WASHINGTON BEACH FORWARD THRUST FUND . . . . . .
308 LIBRARY CONSTRUCTION FUND . . . . . . . . . . . . . .
311 MAIN FIRE STATION CONSTRUCTION FUND . . . . . . .
312 CEDAR RIVER TRAIL CONSTRUCTION FUND . . . . . . . . .
313 SENIOR CITIZENS' CENTER CONSTRUCTION FUND . . . . . .
314 SOUTH END FIRE STATION CONSTRUCTION FUND . . . . . .
401 WATERWORKS UTILITY FUND . . . . . . . . . . . . . . .
—0-
234,932
—0-
-0-
-0-
-0-
250,000
2,871,100
402 AIRPORT FUND . . . . . . . . . . . . . . .:. . . . . 435,084
415 1975 WATER AND SEWER CONSTRUCTION FUND . . . . . . 1,689,881
417 TALBOT PUMP STATION CONSTRUCTION FUND . . . . . . . —0-
501 EQUIPMENT RENTAL FUND . . . . . . . . . . . . . . 531,640
bol FIREEENIS PENSION FUND . . . . . . . . . . . . . 708,530
602 LOCAL IMPROVEMENT GUARANTY FUND . . . . . . . . . . . 91,000
608 UNEMPLOYMENT COMPENSATION FUND . . . . . . . . . . —0—
TOTAL ORDINARY EXPENDITURES (A) . . . . . $24,899,848
(B) Receipts from sources other than taxation . . . . . . . . $14,691,393
Add surpluses carried over from previous year . . . . . 6,739,741
TOTAL TO BE RAISED BY TAXATION . . . . . . 3,468,714
TOTAL BUDGET FOR EXPENDITURES (A)
AND RECEIPTS (B) . . . . . . . . . . . . . $24,899,848
SECTION III: A copy of the Budget as herein adopted shall be transmitted to
the Office of the State Auditor in Washington, Division of Municipal Corporations,
and such other governmental agencies as provided by law.
SECTION IV: This Ordinance shall be effective on and after its passage,
approval and five days after its publication.
PASSED BY THE CITY COUNCIL this 3rd day of December 1979•
Q. -
Delores A. Mead, City `erk
APPROVED BY THE MAYOR this 3rd day of December 1979.
6��
Charles J Delaurenti, Mayor
Approved as to i
Lawrence J. Warren, City Attorney
Date of Publication: December 7, 1979
—2—
AMENDMENTS TO THE 1980 CITY OF RENTON BUDGET
EXPENDITURE REVENUE
CHANGES CHANGES
1. Pg. 69-71 - EXECUTIVE ADMINISTRATION
Consolidate all travel funds in one account (33.16 -
Travel/City Departments, pg. 69, $16,150). Eliminate
separate accounts (33.17 - 33.35) ------------------------ No change.
2. Pa. 126-129 - LEGAL DEPARTMENT
Leave Legal Department Budget as is for 1980 ------------- No change.
REFER MAYOR'' -S REPORT ON MATTER OF FULL TIME/PART-TIME
CITY ATTORNEY AND FULL TIME/PART TIME DATA PROCESSING
DIRECTOR TO WAYS & MEANS COMMITTEE FOR REPORT BACK LATER.
3. Pg. 17 - POLICE INVESTIGATION
Increase a/c 64.00 Machinery & Equipment $413, for camera
zoom lens (Sigma.70-230 F4.5 zoom lens) ------------------ 413 +
4. Pg. 173 - POLICE INVESTIGATION
Increase a/c 64.00 Machinery & Equipment $132, for camera
automatic winder ----------------------------------------- 132 +
5. Pg. 180 - POLICE PATROL
Increase a/c 64.00 Machinery & Equipment $2,500, for K-9
Unit; total appropriation of $10,000 --------------------- 2,500 +
6. Pg. 194-195 - POLICE RECORDS
Increase a/c 10.00 Personal Services $1,369, to reclassify
Clerk to Chief Clerk ----------- -------------------------- 1,369 +
a/c 11.00 Salaries ------ $1,200
a/c 13.01 Retirement ---- 89
a/c 13..02 FICA ---------- 74
a/c 13.06 Life Ins. ----- 6
Total ----- $1,369
Pg. 439 - CONTINGENCY FUND
Decrease Contingency Fund by $1,369 and transfer to
Current Fund, Police Records for reclassification as
shown above ---------------------------------------------- 1,369 -
7. Pg. 164/A - 207 - POLICE DEPARTMENT BUDGET,
Adopt Police Department Budget as amended .above. --
8. Pg. 216 - FIRE ADMINISTRATION
Cut Record Chronicle subscription. Reduce a/c 42.16
Publications by $34 -------------------------------------- 34 -
9. FIRE UNIFORM MEDICAL AND DENTAL -PREMIUMS (See Amd. #10)
Transfer medical and dental premiums from Current
Fund, Fire Department Budget to Firemen's Pension Fund
(Fire Uniform employee premiums only) -------------------- 42,500 - 42,500 -
Increase Firemen's Pension Fund medical and dental
accounts by a total of ----------------------------------- 42,500 + 42,500 +
10. FIRE UNIFORM MEDICAL AND DENTAL PREMIUMS
Rescind action of Amendment #9. Leave Fire Uniform
employees' medical and dental premiums as budgeted
in Current Fund/Fire Department Budget -------------------
11. Pg. 248 - NEW SOUTH END FIRE STATION CONSTRUCTION FUND
Council Budget Committee concurrs in Mayor's recommenda-
tion of $250,000 for land acquisition, construction of
building and manning for part of 1980. Fund with
Federal Revenue Sharing -----------------------------
12. Pg. P . 4' - LIBRARY SERVICES
Increase a/c 66.00 Books and Other Library Material,
$7,000 bringing back to requested amount of $75,000 ---
Use Federal Revenue Sharing to fund additional $7,000
for Library Books; reduce Federal Revenue Sharing
allocation for Library Salaries by $7,000:
Federal Revenue Sharing Funding as adjusted:
Library Books & Materials --------$ 53,500
Library Salaries ----------------- 144.630 $198,130
Reverse aboveaction
of Amendment #9.
No change.
7,000 +
-1=
AMENDMENTS TO THE 1980 CITY OF RENTON BUDGET
EXPENDITURE REVENUE
CHANGES CHANGES
13. Pg. 40 — 404 PARK FACILITIES
Increase a/c 63.09 for Talbot Hill Reservoir Tennis Courts
and Fencing, to $50,000 as follows:
a. Transfer $40,000 from a/c 63.01 pg. 403, Earlington
Park Improvements (Tennis Courts) to a/c 63.09.
b. Transfer $8,000 from a/c 63.28 pg. 404, Coulon Beach
Play Equipment to a/c 63.09.
c. Increase a/c 63.09 Talbot Hill Reservoir Tennis Courts
$2,000, for a total allocation of $50,000 ------------ 2,000 +
(Total a, b, & c)
14. Pg. 404 — PARK FACILITIES
Add new a/c 63.36 Curbing/Cedar River Trail/Stadium and
add amount of $2,500 ------------------------------------- 2,500 +
(Renton School District asked City to share cost of
providing curbing on the Cedar River Trail adjacent
to the High School Stadium.)
15. Pg. 267 — CIVIL SERVICE COMMISSION
Change wording of a/c 31.19 title from Psychiatric/
Polygraph/New Police to Psychiatric Exams/New Hires ------ ---
16. Pg. 83 — FINANCE/RECORDS SERVICES
Purchase 3m, 419 BG 3401 Microfilm Camera, Feeder
equipment as follows:
a. Transfer $1,938 from a/c 39.01 pg. 83 (Other Rentals)
to a/c 64.00 Machinery and Equipment for portion of
cost to purchase camera.
b. Increase a/c 64.00 $3,901 for a total allocation
of $5,839 to purchase camera ------------------------- 3,901 +
17. Pg. 282 — PUBLIC WORKS ADMINISTRATION
Increase a/c 42.12 Memberships & Registrations $50, for
ARBA Membership ------------------------------------------ 50 +
18. pg. 365& 369 — PUBLIC WORKS AIRPORT FUND
Transfer $10,000 from a/c 63.04, pg. 369 (Extension/High
Pressure Water Main East Side of Airport ---------------- 10,000 —
Transfer $10,000 to a/c 11.00, pg. 365 (Salaries) for
part time maintenance help ------------------------------- 10,000 +
19. Pg. 302 — PUBLIC WORKS ARTERIAL STREET FUND
Defer following Arterial Street Fund 2¢ Gas Tax projects:
Program #008 Monterey Drive (Overlay) -------------------
Program #009 Capri Drive (Overlay) ------------- -------
Establish new programs and apply Arterial Street !,* Gas
Tax funds to the following street overlays:
Program #025 Burnett Avenue S (S 5th — S 4th) -----------
Program #026 S 5th (Burnett — Main) --------------------
Program #027 Wells Avenue S (S 4th —.Grady ---- ---
20. Pg. 343— PUBLIC WORKS TRAFFIC ENGINEERING
Add $117 to a/c -42.12 Memberships & Registrations) to
allow 1 membership for each association listed on pg. 343
21. Pg. 341 — PUBLIC WORKS TRAFFIC ENGINEERING
Add $1,000 to a/c 12.00 Overtime ---- ----------
22. P & 360 — PUBLIC WORKS WATER MAINTENANCE
Transfer $72,006 from a/c 64.00, pg. 360 pipes and
Fittings/Reserve)----------------------------------------
Transfer $72,006 to a/c 10.00, pg. 355 (salaries and
benefits) for 4 additional positions -------------
(2 Maintenance Worker I's and 2 Maintenance Worker II's)
Positions not to be filled without approval of the
Ways and Means Committee.
17,000 —
5,800 —
10,500 +
4,800 +
7,500 +
117 +
1,000 +
72,006 -
72,006 +
—2—
AMENDMENTS TO THE 1980 CITY OF RENTON BUDGET
23. Pg. 180 - POLICE PATROL
Fund replacement of 4 Police Patrol cars. Add $25,000
to a/c 64.00 (Machinery & Equipment); Trade-in deducted
24. Pg. 328 - PUBLIC WORKS/STREET CONSTRUCTION/STREET FUND
Cut $63,000 from Program #047, Burnett Avenue S.
Parking Lot. Add Program #048, Burnett Avenue S.
(S. 7th - S. 5th) Street Improvements; add $53,543 to
Program #048. Decrease of $9,457 ---------------------
25. PUBLIC WORKS/STREET CONSTRUCTION/STREET FUND
Add Program #049, Burnett Avenue S. Undergrounding
including Storm Drainage (S. 7th - S. 4th). Add $18,915
to Program #049
26. Pg. 228 - FIRE SUPPRESSION
Cut $4,650 from a/c 64.09 (EMS Grant); City Match ------
Cut $4,650 from a/c 64.09 (EMS Grant); Grant Funds -----
Pg. 6 - CURRENT FUND REVENUE
Cut $4,650 from Revenue a/c -334.22.02 (EMS Grant) ------
NOTE: 50% Grant funding and 50% City match; notified
Grant reduced by $4,650 therefore City match
reduced by $4,650 (savings) and total Budget
is reduced by $4,650. Total adjusted Grant
is $18,291; City Match $18,291; for aid equipmt.
27. Pg. 213 - FIRE ADMINISTRATION
Cut $6,500 from a/c 31.74 Master Plan Update) ---------
28. Pg. 71 - EXECUTIVE ADMINISTRATION
Cut $1,084 from a/c 64.00 Machinery & Equipment) for
replacement of Mayor's car ----------------------------
(Amount needed over what Equipment Rental would provide.)
29. Pg. 439 - CONTINGENCY FUND
Cut $20,000 allocated for Full Time Attorney -----------
Cut $19,271 uncommitted funds --------------------------
30.
31.
Pg. 292 - 294 - PUBLIC WORKS/GARBAGE/SOLID WASTE
Cut $20,046 from a/c 10.00 Salaries and Benefits)
Right -of -Way Inspector position --------------- --
Cut all items for Right -of -Way Inspector:
Cut $200 from a/c 20.00 (Supplies) --------------
Cut $100 from a/c 38.00 (Repairs & Maintenance) -
Cut $2,700 from a/c 39.02 (Equipment Rental) ----
Cut $1,000 from a/c 64.00 (Machinery & Equipment)
Total decrease of $24,046.
ll1V161UN
Add $21,514 to a/c
replace 4 yard Dump
for
4.00 Machinery & Equipment) to
Truck------------------------------
Pg. 382 - PUBLIC WORKS/EQUIPMENT RENTAL FUND
Transfer $11,328 from a/c 501 (Ending Fund Balance) ----
Transfer $11,328 to a/c 64.00 (Machinery & Equipment) ---
(To provide balance of cost to replace 4 yard Dump Truck;
amount accumulated toward replacement.)
32. NEW CUMULATIVE RESERVE FUND - LIBRARY PLANNING,
IMPROVEMENTS AND CONSTRUCTION
Establish Cumulative Reserve Fund (by Ordinance) for the
specific purpose of Library planning, improvements and
construction. Add amount of $10,000 -------------------
Revenue source to be Property Taxes.
33• Pg. 8 - CURRENT FUND REVENUE
Add $10,000 to Current Fund Revenue a/c 364.00 (Sale of
Fixed Assets) ------------------------------------------
(Transfer $10,000 Property Taxes to Cumulative Reserve
Fund, Libraryplanning, improvements and construction.)
EXPENDITURE REVENUE
CHANGES CHANGES
25,000 +
9,457 -
18,915 +
4,650 -
4,65o -
6,500 -
1,084 -
20,000 -
19,271 -
20,046 -
200 -
100 -
2,700 -
1,000 -
21,514 +
11,328 -
11,328 +
10,000 +
4,65o -
10,000 +
-3-
AMENDMENTS TO THE 1980 CITY OF RENTON BUDGET
34. Pg. 58 — LEGISLATIVE SERVICES COUNCIL)
Add a/c 35.00 Printing & Binding and add $5,000 for
quarterly City Report ----------------------------------
35. Pg. 256 — 257_- RENTON HISTORICAL SOCIETY
Add $200 to a/c 21.00 Office Supplies ----------------
Add $150 to a/c 32.01 (Postage) ------------------------
Add $75 to a/c 42.54 (Miscellaneous) -------------------
Add $575 to a/c 64.00 (Machinery & Equipment) ----------
Total increase — $1,000.
36. Pg. 8 — CURRENT FUND REVENUE
Add $6,000 to Revenue a/c 364.00 (Sale of Fixed Assets);
Revenue from sale of public use areas ------------------
37. Pa. 22 — CUMULATIVE RESERVE FUND #1689 REVENUE
PARK PROPERTY
Add a/c 364.00 Sale of Fixed Assets and add $50,000;
Revenue from sale of public use property ---------------
. 420 — CUMULATIVE RESERVE FUND #1689 EXPENDITURES
Add $50,000 to a/c 61.00 (Land) ------------------------
38. Pg. 180 — POLICE PATROL
Transfer $10,000 for K-9 Unit from a/c 64.00
(Machinery & Equipment) --------------------------------
Pg. 439 — CONTINGENCY FUND
Transfer $10,000 for K-9 Unit to Contingency Fund ------
NOTE: Matter of K-9 Unit to be reviewed by Council
Committee of the Whole; Police Department to
provide additional information and a K-9
demonstration.
TOTAL AMENDMENTS #1 THROUGH #38 ------------------------
TOTAL 1980 MAYOR'S RECOMMENDED BUDGET ------------------
EXPENDITURE
CHANGES CHANGES
5,000 +
200 +
150 +
75 +
575 +
50,000 +
10,000 —
10,000 +
61,350 +
24,838,498
50,000 +
61,350 +
24,838,498
TOTAL 1980 CITY OF RENTON BUDGET AS AMENDED ------------ 124,899,848 124,899,848
SUMMARY OF BURNETT AVENUE S. PROJECT — INFORMATION ONLY:
a. Burnett Avenue S. (S. 7th — S. 5th) Street Improvements
(Amendment #24) Street Fund, Program #048 ------------------------
$53,543
b. Proposed Housing & Community Development (H & CD) funding
to be appropriated with 1980 H & CD Block Grant program.
Will provide for curb, gutter and sidewalk improvements ----------
39,966 $ 93,509
c. Undergrounding including storm drainage, Burnett Avenue S.
(S. 7th — S. 4th) (Amendment #25) Street Fund, Program #049 ----------------
18,915
d. Overlay project Burnett Avenue S. (S. 5th - S. 4th, Arterial
Street Fund, Program #025, (Amendment #19) ---------------------------------
10,500
1980 Funding/Burnett Avenue
S. Project --- $122,924
Not Funded: Burnett Avenue S. Parking Lot ---- $24,445
Street Lighting ------------------ 49,005
Note: Burnett Avenue S. Linear Park construction funded by H
& CD
Grant in the amount of $90,000.
—4—
PUBLIC HEARING
CITY OF RENTON, WASHINGTON
REGULAR CITY COUNCIL MEETING
Monday, December 3, 1979, 8:00 p.m.
Council Chambers, Renton Municipal Building
200 Mill Avenue South, Renton, Washington
PURPOSE: Public Hearing on proposed use of Federal Revenue Sharing funds for the year 1980.
Citizens of Renton will have an opportunity to make written or oral comments
regarding uses of Revenue Sharing funds.
In compliance with the Revenue Sharing Act of 1972, as amended in 1976, the following is
submitted as estimated funding to be received from Federal Revenue Sharing and expenditures
of same as amended from Mayor's proposed use of Revenue Sharing funds for 1980.
ESTIMATED FEDERAL REVENUE SHARING AVAILABLE FOR 1980: See pg. 31, 1980 Budget Document
Estimated Beginning Fund Balance ---------------------------- $ 7,500
Federal Entitlements ---------------------------------------- 634,296
Estimated Interest on Investment of Funds ----------- ------ 7,000
TOTAL ESTIMATED FEDERAL REVENUE SHARING FUNDS AVAILABLE IN 1980 ------------------ $648,796
PROPOSED AMENDED
1980 FEDERAL REVENUE SHARING (FRS) EXPENDITURES PROPOSED & AMENDED: FRS USE FRS USE
REFERENCE/1980
BUDGET DOCUMENT
1) PUBLIC SAFETY
Pg. 248 ------ New South End Fire Station Land acquisition, construc-
tion and manning) Fire Department --------------------- $250,000 $250,000
Pg. 334 ------ Spectrum Analyzer Test equipment to maintain emergency
communications network Traffic Engineering, a/c 64.00 8,500 8,500
Pg. 334 ------ Tektronics 457 Scope and Cart (Replacement equipment to
service communication and signal equipment) Traffic
Engineering, a/c 64.00 -------------------------------- 3,700 3,700
TOTAL PUBLIC SAFETY -------------------------------------- $262,200 $262,200
2) PARKS & RECREATION
Pg. 405 ------ Mother's Park Storage Shed, Park Facilities a/c 62.01 -- $ 4,950 $ 4,950
Pg.
405 ------
Tiffany Park Tennis Courts, Park Facilities a/c 63.06 --
35,000
35,000
Pg.
405 ------
Earlington Park Tennis Courts, Park Facilities a/c 63.01
35,000
---
(Amendment #13 transferred funds to Talbot Hill
Reservoir project
Pg.
405 -----
Talbot Hill Reservoir, portion of cost for Tennis Courts
and Fencing, Park Facilities a/c 63.09 ----------------
---
35,000
Pg.
405 ------
Philip Arnold Park Redevelopment portion of cost),
Park Facilities a/c 63.07 -----------------------------
28,516
28,516
Pg.
405 ------
Gang Mower Replacement, Park Facilities a/c 64.00 ------
10,000
10,000
Pg.
405 ------
15 Stage Lights - Carco Theater, Park Facilities a/c 64.00 1,500
1,500
Pg.
411 ------
Compact Pickup Truck for Cedar River Trail Facilities
a/c 64.00 ---------------------------------------------
5,000
5,000
TOTAL PARKS & RECREATION --------------------------------- $119,966 $119,966
Continued next page.
-5-
PUBLIC HEARING: 1980 FEDERAL REVENUE SHARING (FRS) EXPENDITURES
PROPOSED & AMENDED — Continued
REFERENCE/1980
BUDGET DOCUMENT
3) TRANSPORTATION
Pg. 328 ------ Burnett Avenue S. Parking Lot Construction, Street
Fund Program #047 -----------------------------------
(Amendment #24 transferred funds to Burnett Avenue S.
Street Improvements)
New Program -- Burnett Avenue S. (S. 7th — S. 5th) Street Improvements,
Street Fund Program #048 (portion -of cost) - -------
New Program -- Burnett Avenue S. (S. 7th — S. 4th) Undergrounding
including Storm Drainage,Street Fund Program #049
(majority of cost) (Amendment #25 added program) ---
Pg. 343 ------ Traffic Engineering Vehicle, a/c 64.00 --------------
TnTAT, TR.A1qgP(1R.TATT0N-----------------------------------
4) LIBRARIES
Pg. 433 ------ Library Books and Materials, Library Services
a/c 66.00 portion of cost ---------------------
(Amendment #12 increased allocation by $7,000, to
be funded by Federal Revenue Sharing)
Pg. 431 ------ Library Services Salaries & Benefits, a/c 10.00 ------
(Amendment #12 decreased Revenue Sharing funding for
salaries &-benefits by $7,000; Note: This is not a
cut in salaries & benefits, transfer of funding
source only
TOTAL LIBRARIES --------------------------------------
TOTAL 1980 FEDERAL REVENUE SHARING EXPENDITURES PROPOSED & AMENDED
CITY OF RENTON
COUNCIL MEETING
December -3,J979
PROPOSED
AMENDED
FRS USE
FRS USE
$ 63,000
$ ---
---
45,000
---
18,000
5,500
5,500
$ 68,500
$ 68,500
$ 46,500
$ 53,500
151,630
144,630
$198,130
$198,130
$648,796 $648,796
IKE