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HomeMy WebLinkAboutCommittee of the Whole - 07 Oct 2019 - Agenda - Pdf CITY OF RENTON AGENDA Committee of the Whole Meeting 5:30 PM - Monday, October 7, 2019 Council Chambers, 7th Floor, City Hall – 1055 S. Grady Way 1. Budget Adjustments a) AB - 2473 Administrative Services Department submits the 2019/2020 Budget Amendment Calendar, and requests public hearings be set on October 21, 2019 and November 4, 2019 to consider the proposed 2020 Property Tax Levy, 2019/2020 Mid- Biennium Budget adjustment, and proposed Fee Schedule changes; and requests adoption of all related budget legislation. b) Presentation c) Updated Long-range Financial Projection d) Amendment Detail 2. Proposed Property Tax Levy 3. Fee Schedule Adjustments a) Red-lined Fee Schedule 4. Emerging Issues AB - 2473 City Council Regular Meeting - 07 Oct 2019 SUBJECT/TITLE: 2019/2020 Mid-Biennium Budget Amendment Calendar RECOMMENDED ACTION: Refer to Committee of the Whole DEPARTMENT: Administrative Services Department STAFF CONTACT: Jan Hawn, Administrative Services Administrator EXT.: 6858 FISCAL IMPACT SUMMARY: This agenda bill sets the required public hearings and presents the Budget calendar to Council. No fiscal impact. SUMMARY OF ACTION: Incompliancewith RCW35A.34,thisagendabillsetsthefollowingdatesandtimesforallordinances/resolutionsrelatedtothepropose d2019/2020mid-bienniumadjustment: 1. Submissionoftheproposedbudgetto the CityClerk and presentedto the CityCouncil at theOctober 7, 2019 CommitteeoftheWhole. 2. Establishpublichearings for October 21, 2019 and November 4, 2019which includes a discussionofrevenuesources and theproposedmid-bienniumbudgetadjustment. Thefollowingordinances/resolutions will bepresented as part of the publichearingprocess: a. 2020 Property Tax Levy(revenuesources) b. ProposedMid-BienniumBudgetAdjustment c. ProposedFeeScheduleAdjustments EXHIBITS: A. 2019/2020 Mid-Biennium Budget Amendment Agenda B. 2019/2020 Mid-Biennium Budget Amendment Calendar STAFF RECOMMENDATION: SetpublichearingdatesofOctober21,2019 and November 4, 2019toconsidertheproposed2020PropertyTaxLevy(revenue sources),theproposed2019/2020Mid- BienniumBudgetAdjustment,proposedfeescheduleadjustments,andaproposedadoptionofallrelated ordinances/resolutionsbyNovember18,2019. AGENDA ITEM #1. a) AB - 1991 City Council Regular Meeting - 23 Sep 2019 SUBJECT/TITLE:2019/2020 Mid-Biennium Budget Amendment RECOMMENDED ACTION:Refer to Committee of the Whole DEPARTMENT:Administrative Services Department STAFF CONTACT:Jan Hawn, Administrative Services Administrator EXT.:6858 FISCAL IMPACT SUMMARY: SUMMARY OF ACTION: In compliance with RCW 35A.34, this agenda bill sets the following dates and times for all ordinances/resolutions related to the proposed 2019/2020 mid-biennium adjustment: 1. Submission of the proposed budget to the City Clerk and presented to the City Council at the October 7, 2019 Committee of the Whole. 2. Establish public hearings for October 21, 2019 and November 4, 2019 which includes a discussion of revenue sources and the proposed mid-biennium budget adjustment. The following ordinances/resolutions will be presented as part of the public hearing process: a. 2020 Property Tax Levy (revenue sources) b. Proposed Mid-Biennium Budget Adjustment c. Proposed Fee Schedule Adjustments EXHIBITS: A. Mid-Biennium Budget Amendment Calendar STAFF RECOMMENDATION: Set public hearing dates of October 21, 2019 and November 4, 2019 to consider the proposed 2020 Property Tax Levy (revenue sources), the proposed 2019/2020 Mid-Biennium Budget Adjustment, proposed fee schedule adjustments, and a proposed adoption of all related ordinances/resolutions by November 18, 2019. AGENDA ITEM #1. a) CITY OF RENTON PRELIMINARY 2019-2020 MID-BIENNIUM BUDGET AMENDMENT CALENDAR Unless otherwise specified, all meetings will be held at City Hall, 1055 S. Grady Way, Renton, Washington 98057. October 7, 2019 – Committee of the Whole – 6:00 p.m. Council budget workshop: Proposed Mid-Biennium Adjustments (ordinance) Proposed Property Tax Levy (ordinance) Proposed Fee Schedule Adjustments (resolution) October 21, 2019 – Regular Council Meeting – 7:00 p.m. Public hearing as required by RCW 35A.34: Proposed 2020 Property Tax Levy (revenue sources) Proposed Mid-Biennium Budget Adjustment Proposed Fee Schedule Adjustments November 4, 2019 – Committee of the Whole (if needed) – 6:00 p.m. Council budget workshop: Follow up to Council questions Deliberation Finalize Committee Report November 4, 2019 – Regular Council Meeting – 7:00 p.m. Public hearing as required by RCW 35A.34: Proposed 2020 Property Tax Levy (revenue sources) Proposed Mid-Biennium Budget Adjustment Proposed Fee Schedule Adjustments Adopt Committee Report 1st reading of 2019/2020 Mid-Biennium Budget Amendment ordinance 1st reading of the 2020 Property Tax Levy ordinances November 18, 2019 – Regular Council Meeting – 7:00 p.m. 2nd reading and adoption of all ordinances Adoption of the Fee Schedule Resolution AGENDA ITEM #1. a) MID-BIENNIAL BUDGET ADJUSTMENT OVERVIEW OCTOBER 7, 2019 AGENDA ITEM #1. b) MID-BIENNIUM BUDGET AMENDMENT Update General Fund revenue projections with changed conditions Make housekeeping adjustments to incorporate prior Council actions Make adjustments for unexpected costs and proposed department changes Actions required: •Set property tax levy for 2020 •Adopt budget amendments •Update fee schedule 2 AGENDA ITEM #1. b) MID-BIENNIUM REVIEW PROCESS 3 October 7 (Committee of the Whole)Revenue Update and Proposed 2019-2020 Adjustments October 21 (Regular Council Meeting)Public Hearing: 2019 Revenue and Property Tax Levy Mid-biennium Budget Adjustments November 4 (Committee of the Whole)Follow up to Council questions,as needed Council Deliberation Finalize Committee Report November 4 (Regular Council Meeting)Public Hearing: 2019 Revenue and Property Tax Levy Mid-biennium Budget Adjustments Committee Report Adoption Ordinances -First Reading November 18 (Regular Council Meeting) Ordinances/Resolution -Final Reading/Adoption AGENDA ITEM #1. b) PROPERTY TAX 4 State law allows cities to increase base property tax levy by lower of inflation (September IPD) or 1% State law also allows cities to increase the base property tax levy for new construction $0 $5 $10 $15 $20 $25 $30 $35 $40 10 Actual 11 Actual 12 Actual 13 Actual 14 Actual 15 Actual 16 Actual 17 Actual 18 Actual 19 Bdgt 20 Bdgt 21 Proj. 22 Proj. 23 Proj. 24 Proj.MillionsPast and Projected Property Tax AGENDA ITEM #1. b) PRELIMINARY 2020 PROPERTY TAX LEVY 5 Property Tax Worksheet Amount 2019 Base Levy 38,092,431$ Limit Factor (the lesser of 1% or CPI)380,924 2020 Property Tax Base Levy 38,473,355 2020 Maximum Statutory Levy 52,653,110 2020 Preliminary Allowable Tax Rate per $1000 AV 2.67917$ 2019 Actual Levy 21,300,000$ Prior Year Refunds - Limit Factor (the lesser of 1% or CPI)380,924 New Construction 132,425 Annexation - 2020 Levy 21,813,349 2020 Estimated Levy Rate 1.10994$ AGENDA ITEM #1. b) SALES TAX 6 2019 collections year to date are on track with budget Last annexation sales tax credit was in mid-2018 Local Revitalization Funding sales tax credit started in 2019 -10% -5% 0% 5% 10% 15% $- $5 $10 $15 $20 $25 $30 $35 2010 Actual 2011 Actual 2012 Actual 2013 Actual 2014 Actual 2015 Actual 2016 Actual 2017 Actual 2018 Actual 2019 Budget 2020 BudgetMillionsBase Sales Tax Annexation Credit/LRF % change AGENDA ITEM #1. b) COMPOSITION OF SALES TAX Retail –28% Services –24% Auto/Fuel Sales –18% Construction –15% Manufacturing –7% Wholesaling –6% Miscellaneous –2% 7 $- $0.5 $1.0 $1.5 $2.0 $2.5 $3.0 $3.5 $4.0 $4.5 $5.0 $5.5 $6.0 $6.5 $7.0 $7.5 $8.0 $8.5 Retail Services Auto Construction Manufacturing Wholesale MiscellaneousMillionsSales Tax by Category 2017 Actual 2018 Actual 2019 Estimate AGENDA ITEM #1. b) UTILITY TAXES 8 Utility taxes underperforming original budget Most significant reduction is cell phone utility taxes ($900,000 per year) due to exemption for data services Decreases in electric and natural gas utility taxes of approximately $400,000 per year due to a colder winter compared to recent years Recommendation $650,000 (4%) in both 2019 2020 -6% -4% -2% 0% 2% 4% 6% 8% $13 $14 $14 $15 $15 $16 $16 $17 $17 $18 2010 Actual 2011 Actual 2012 Actual 2013 Actual 2014 Actual 2015 Actual 2016 Actual 2017 Actual 2018 Actual 2019 Budget 2020 BudgetMillionsUtility Tax Collections Actual/Projected % Change AGENDA ITEM #1. b) $- $2 $4 $6 $8 $10 $12 $14 2013 Actual 2014 Actual 2015 Actual 2016 Actual 2017 Actual 2018 Actual 2019 Budget 2020 BudgetMillionsBusiness License and B&O Tax Collections Business License B&O BUSINESS AND OCCUPATION TAX AND LICENSES Business and Occupation (B&O) Tax implemented in 2016 2017 and 2018 included one- time collections 2019 B&O taxes expected to outperform original budget by $1.5 million (19%) in 2019 and $1.2 million (15%) in 2020 2019 Business License revenue outperforming original budget by approximately $250,000 – adjustment also proposed for 2019 9 AGENDA ITEM #1. b) DEVELOPMENT FEES 10 Development fees expected to underperform original budget by approximately $800,000 per year in 2019 and 2020 (15%) -20% -10% 0% 10% 20% 30% 40% $- $0.5 $1.0 $1.5 $2.0 $2.5 $3.0 $3.5 $4.0 $4.5 $5.0 $5.5 $6.0 2010 Actual 2011 Actual 2012 Actual 2013 Actual 2014 Actual 2015 Actual 2016 Actual 2017 Actual 2018 Actual 2019 Budget 2020 BudgetMillionsBuilding Permits Plan Review % Change AGENDA ITEM #1. b) REAL ESTATE EXCISE TAX (REET) 11 2019 collections expected to outperform original 2019 budget by $800,000 No additional budget adjustment proposed for 2020. -60% -40% -20% 0% 20% 40% 60% $- $0.5 $1.0 $1.5 $2.0 $2.5 $3.0 $3.5 $4.0 $4.5 $5.0 $5.5 $6.0 2010 Actual 2011 Actual 2012 Actual 2013 Actual 2014 Actual 2015 Actual 2016 Actual 2017 Actual 2018 Actual 2019 Budget 2020 BudgetMillionsActual/Projected % Change AGENDA ITEM #1. b) STATE SHARED REVENUES 12 Includes State shares liquor profits, liquor excise tax, fuel tax, criminal justice sales tax, and other miscellaneous revenues Overall, projected revenue for 2019 on track with original budget; no proposed adjustments -4% -2% 0% 2% 4% 6% 8% 10% $- $0.5 $1.0 $1.5 $2.0 $2.5 $3.0 $3.5 $4.0 $4.5 $5.0 $5.5 $6.0 $6.5 $7.0 $7.5 2010 Actual 2011 Actual 2012 Actual 2013 Actual 2014 Actual 2015 Actual 2016 Actual 2017 Actual 2018 Actual 2019 Budget 2020 BudgetMillionsOther Programs Liquor Excise Tax Liquor Profits Fuel Tax Criminal Justice ST % Change AGENDA ITEM #1. b) OTHER REVENUE ADJUSTMENTS 13 Increases Increase in Gambling Tax of approximately $800,000 more per year (40%) Fines & Forfeits outperforming original budget by approximately $500,000 per year (12%) Public Safety revenue approximately $200,000 higher (15%) Interest earnings projected at approximately $300,000 more in 2019 Decreases Reduction for Admissions Tax running approximately $100,000 less per year Parks and Recreation Fees underperforming by approximately $200,000 per year (6%)AGENDA ITEM #1. b) SUMMARY OF GENERAL FUND ADJUSTMENT – REVENUE 14 General Fund 2019 Adjustment 2020 Adjustment Revenue Fund Closings/Shiftings 1,113,671$ 1,210,000$ Utility Tax (650,000) (650,000) Business and Occupation Tax 1,500,000 1,220,000 Business License 200,000 - REET 400,000 - Admissions Tax (100,000) (100,000) Gambling Tax 500,000 500,000 Building Permits/Development Service Fees (800,000) (800,000) Public Safety Fees 200,000 200,000 Recreation Fees (200,000) (200,000) Fines/Forfeit 500,000 500,000 Interest 300,000 - Miscellaneous Grants 120,990 58,013 Miscellaneous Community Services Sponsorships 73,213 - Total Revenue Adjustment 3,157,875$ 1,938,013$ AGENDA ITEM #1. b) SUMMARY OF GENERAL FUND ADJUSTMENT – EXPENDITURES 15 General Fund 2019 Adjustment 2020 Adjustment Expenditures Summary of Position Adjustments 21,962$ 397,482$ Internal Service Fund Costs for New FTEs 31,791 9,030 COLA Adjustment for AFSCME/Non Rep 148,436 328,092 Public Defense Services 50,000 73,000 Fund Closings/Shiftings 1,113,671 1,210,000 Correct Parks/Facilities CIP Funding (2,698,000) (450,000) Williams & Wells CIP Contribution 2,449,738 - Grant Funded Expense 137,786 58,013 General Debt Service Reserve Requirement 889,148 - Police Overtime 600,000 600,000 Updated City Arts Program - 15,000 Sponsorship Funded Programs 79,379 - Transit Oriented Development Subarea Plan 150,000 - REACH Center Match/Adendum 74,000 - Total Expenditure Adjustment 3,047,912$ 2,240,617$ AGENDA ITEM #1. b) SUMMARY OF POSITION CHANGES 16 2019-20 Mid Year Budget Adjustment Position Changes Dept Division FTE Proposed Previous 2019 2020 Funding source Status GF Impact EXE Communications 1.00 Census Program Manager LT NEW $ 24,980 $ 80,270 Internal Service Approved $ - EXE Communications - Print & Mail Assistant (a03)Print & Mail Assistant (a01) 3,400 3,518 Internal Service Approved - MC Admin 1.00 Judge NEW 19,376 251,010 General Fund New Request 270,386 ASD Finance - Tax & Licensing Manager Tax & Licensing Program Manager 1,455 2,940 General Fund Approved 4,395 ASD Finance - Tax & License Auditor 3 Finance Analyst 3 - - General Fund Approved - CED Building - Permit Services Manager Permit Center Supervisor - 10,938 General Fund Approved 10,938 CED Planning - Assistant Development Engineering Manager Construction Inspector Supervisor - 14,438 General Fund Approved 14,438 CED Planning - Housing Programs Manager Assistant Planner - 29,460 General Fund Approved 29,460 CED Econ Dev. - Sr. Economic Development Manager Economic Development Manager - 6,134 General Fund Approved 6,134 CS Parks Planning - Parks Planning Manager Capital Project Coordinator 1,131 11,055 General Fund Approved 12,186 CS Golf Course - Head Golf Professional Golf Professional 2,287 7,083 User Fees Approved - PW Transportation 0.50 Secretary 2 NEW - 71,507 General Fund New Request 71,507 AGENDA ITEM #1. b) SUMMARY OF POSITION CHANGES (CONT.) 17 2019-20 Mid Year Budget Adjustment Position Changes Dept Division FTE Proposed Previous 2019 2020 Funding source Status GF Impact ASD Finance - Financial Services Manager (m33)Financial Services Manager (m30) $ 9,754 $ 10,047 General Fund Previously Adjusted $ 19,801 ASD Finance - Tax & Licensing Program Manager (m27) Tax & Licensing Program Manager (m25) 4,834 4,979 General Fund Previously Adjusted 9,813 CED Planning - Property Techinical Services Manager (m33) Property Techinical Services Manager (m29) 6,237 6,424 General Fund Previously Adjusted 12,661 PD Admin - Deputy Chiefs (m46)Deputy Chiefs (m45) 9,234 9,511 General Fund Previously Adjusted 18,745 PD Various - Commanders (m38)Commanders (m37) 25,230 25,988 General Fund Previously Adjusted 51,218 HR Admin - Sr HR Analysts (m25)Sr HR Analysts (m22) 23,922 24,640 General Fund/Internal Service Previously Adjusted 40,306 HR Admin - HR Analysts (m23)HR Analysts (m20) 21,245 21,882 General Fund/Internal Service Previously Adjusted 14,232 AGENDA ITEM #1. b) SUMMARY OF POSITION CHANGES (CONT.) 18 2019-20 Mid Year Budget Adjustment Position Changes Dept Division FTE Proposed Previous 2019 2020 Funding source Status GF Impact CS Rec/Neigh 0.25 Program Assistant NEW - - General Fund Previously Adjusted - CS Rec/Neigh 0.25 Recreation Specialist NEW 13,033 - General Fund Previously Adjusted 13,033 CS Parks Planning 2.00 Capital Project Coordinators NEW 296,805 314,312 CIP Previously Adjusted - CS Parks Planning 1.00 Capital Project Manager NEW 174,446 182,467 CIP Previously Adjusted - CS Human Services 0.50 Admin Secretary Admin Secretary 62,523 67,817 General Fund Previously Adjusted 130,340 CS Facilities (0.50)Admin Secretary Admin Secretary (62,523) (67,817) Internal Service Previously Adjusted - Total adjustments in 2019 6.00 637,369$ 1,088,603$ 729,593$ Total this adjustment 2.50 52,629$ 488,353$ 419,444$ AGENDA ITEM #1. b) GENERAL FUND BALANCE 19 General Fund Summary 2019 2020 Biennial Total General Fund Revenue before Adjustment 122.4$ 123.5$ 245.9$ 2019-2020 Mid Biennial Budget Adjustment 3.2$ 1.9$ 5.1$ Adjusted GF Revenue Sources 125.6$ 125.4$ 250.9$ General Fund Expenditure and Uses 130.7$ 128.6$ 259.4$ 2019-2020 Mid Biennial Budget Adjustment 3.0$ 2.2$ 5.3$ Adjusted GF Expenditure & Uses 133.8$ 130.9$ 264.7$ Net Budgeted Income(Loss)(8.2)$ (5.5)$ (13.7)$ Beginning Fund Balance 44.5$ 36.3$ 44.5$ Ending Fund Balance 36.3$ 30.8$ 30.8$ AGENDA ITEM #1. b) GENERAL FUND BALANCE 20 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 Summary ($ in Million)Actual Actual Actual Actual Projected Projected Projected Projected Projected Projected Beginning Fund Balance 12.3$ 14.8$ 24.4$ 31.5$ 44.5$ 36.3$ 30.8$ 26.3$ 19.9$ 11.7$ Operating Revenue 104.3$ 114.8$ 104.1$ 105.7$ 123.0$ 123.9$ 125.7$ 127.8$ 129.9$ 132.0$ Base Operating Expenditure 1 (107.9) (104.8) (86.3) (89.7) (123.6) (128.5) (131.1) (135.0) (138.9) (143.0) Operating Surplus (Deficit)(3.7)$ 10.0$ 17.8$ 16.1$ (0.6)$ (4.6)$ (5.4)$ (7.2)$ (9.0)$ (11.0)$ 1X Sources2 10.3$ 5.3$ 0.6$ 0.0$ 2.5$ 1.5$ 1.3$ 1.2$ 1.2$ 1.1$ 1X Uses3 (4.1) (9.7) (11.3) (3.1) (10.2) (2.4) (0.4) (0.4) (0.4) (0.4) Net Resources - Uses 2.5$ 5.7$ 7.1$ 13.0$ (8.2)$ (5.5)$ (4.5)$ (6.4)$ (8.2)$ (10.3)$ Ending Fund Balance 14.8$ 20.5$ 31.5$ 44.5$ 36.3$ 30.8$ 26.3$ 19.9$ 11.7$ 1.5$ $- $20.0 $40.0 $60.0 $80.0 $100.0 $120.0 $140.0 $160.0 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 Operating Revenue Base Operating Expenditure Ending Fund Balance AGENDA ITEM #1. b) NON-GENERAL FUND ADJUSTMENT -HIGHLIGHTS Adjustment for debt service and projects related to Local Revitalization Funding bonds and Parks Bonds issued in 2019 Transfer to provide full funding for Williams & Wells Adjustment to provide funding for Duvall Avenue NE Proposes to consolidate City Arts Program into a newly named Municipal Arts Fund 21 AGENDA ITEM #1. b) TOTAL ADJUSTED APPROPRIATION 22 All Other Funds Summary 2019 2020 Biennial Total All Other Funds Revenue before Adjustment 205.2$ 157.1$ 362.3$ 2019-2020 Mid Biennial Budget Adjustment 0.2$ 0.4$ 0.5$ Adjusted Revenue Sources 205.4$ 157.4$ 362.8$ All Other Funds Expenditure and Uses 283.5$ 156.9$ 440.4$ 2019-2020 Mid Biennial Budget Adjustment 0.9$ 0.4$ 1.2$ Adjusted Expenditure & Uses 284.4$ 157.3$ 441.6$ Net Budgeted Income(Loss)(79.0)$ 0.2$ (78.8)$ Beginning Fund Balance 187.4$ 108.4$ 187.4$ Ending Fund Balance 108.4$ 108.6$ 108.6$ AGENDA ITEM #1. b) UPDATED FEE SCHEDULE 23 Correct “Street Naming (Honorary)” installation cost ($250) Update 2020 School Impact Fees as per current legislation AGENDA ITEM #1. b) MID-BIENNIAL BUDGET ADJUSTMENT 24 Actions required: •Set property tax levy for 2020 •Adopt budget amendments •Update fee schedule Questions?AGENDA ITEM #1. b) Long Range Financial Projection, Adopted 2019-2024 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 Summary ($ in Million)Actual Actual Actual Actual Projected Projected Projected Projected Projected Projected Beginning Fund Balance 12.3$ 14.8$ 24.4$ 31.5$ 44.5$ 36.3$ 30.8$ 26.3$ 19.9$ 11.7$ Operating Revenue 104.3$ 114.8$ 104.1$ 105.7$ 123.0$ 123.9$ 125.7$ 127.8$ 129.9$ 132.0$ Base Operating Expenditure1 (107.9) (104.8) (86.3) (89.7) (123.6) (128.5) (131.1) (135.0) (138.9) (143.0) Operating Surplus (Deficit)(3.7)$ 10.0$ 17.8$ 16.1$ (0.6)$ (4.6)$ (5.4)$ (7.2)$ (9.0)$ (11.0)$ 1X Sources2 10.3$ 5.3$ 0.6$ 0.0$ 2.5$ 1.5$ 1.3$ 1.2$ 1.2$ 1.1$ 1X Uses3 (4.1) (9.7) (11.3) (3.1) (10.2) (2.4) (0.4) (0.4) (0.4) (0.4) Net Resources - Uses 2.5$ 5.7$ 7.1$ 13.0$ (8.2)$ (5.5)$ (4.5)$ (6.4)$ (8.2)$ (10.3)$ Ending Fund Balance 14.8$ 20.5$ 31.5$ 44.5$ 36.3$ 30.8$ 26.3$ 19.9$ 11.7$ 1.5$ Ending Bal as % of Opr Budget (Target=12%)13.74%19.55%36.52%49.68%29.37%23.99%20.07%14.76%8.44%1.02% Key Revenue Assumptions:2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 Sales Tax Growth4 9.0%12.1%0.3%2.7%-2.4%5.2%3.0%3.0%3.0%3.0% Property Tax1 13.0%2.5%-41.6%-9.5%45.3%22.4%2.0%2.0%2.0%2.0% B&O/Business License 2.0%0.0%2.0%2.0%2.0%2.0%2.0%2.0%2.0%2.0% Overall Operating Revenue Growth 4.1%10.1%-9.3%1.5%16.4%0.7%1.5%1.7%1.7%1.6% Wage Increase 2.5%2.0%2.5%2.5%3.5%-3.75%3.25%-3.5%3.0%3.0%3.0%3.0% Medical Cost Growth Rate 10.0%5.5%0.0%5.0%8.0%8.0%8.0%8.0%8.0%8.0% PERS (Pension) Contribution Rate 12.5%12.5%12.9%12.9%13.9%13.9%14.9%14.9%14.9%14.9% Overall Operating Expense Growth 7.5%-2.9%-17.6%3.8%37.9%3.9%2.0%3.0%2.9%2.9% $- $20.0 $40.0 $60.0 $80.0 $100.0 $120.0 $140.0 $160.0 2015 2016 2017 2018 2019 2020 2021 2022 2023 2024 Operating Revenue Base Operating Expenditure Ending Fund Balance \\rv12rfps01\Depts\FIS\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\1CY LRP_2019-2020 Mid-Bi scenario1/1 10/4/2019 AGENDA ITEM #1. c) 2019/2020 Mid‐Biennium Budget Amendment Detail 1/8 FUND Adopted  2019 Adjustment  2020 Adjustment Amended CF or NEW Prior Council Approval? GENERAL FUND (Fund 0XX) Beginning Fund Balance 44,542,987            ‐   ‐   44,542,987          REVENUES 245,853,573           CW Shift LRF funding to GF w/trsf 250,000 500,000 New N CW Updated Utility Tax Projections (650,000)(650,000)New N CW Updated B&O Tax Projections 1,500,000 1,220,000 New N CW Updated Business License Projections 200,000 ‐   New N CW Updated REET Projections 400,000 ‐   New N CW Updated Admissions Tax Projections (100,000)(100,000)New N CW Updated Gambling Tax Projections 500,000 500,000 New N CW Updated Development Svcs Fees Projections (800,000)(800,000)New N CW Updated Public Safety Fees Projections 200,000 200,000 New N CW Updated Recreation Fees Projections (200,000)(200,000)New N CW Updated Fines & Forfeits Projections 500,000 500,000 New N CW Updated Interest Projections 300,000 ‐   New N EXE 2019 EMPG grant ‐   58,013 New N CS HRAP Renton Gives Contribution 325 ‐   New N CS Temporary Construction Easement ‐ Park Property 1,000 ‐   New N CS Hyatt Regency Sponsorship ‐ 4th of July 15,000 ‐   New N CS Senior Center Donations 6,335 ‐   New N CS Arbor & Earth Day Event ‐ Donation 1,000 ‐   New N CS REI Donation for Volunteer Project 1,000 ‐   New N CS Wizards of the Coast Sponsorship ‐ DnD 7,500 ‐   New N CS Land o Frost Sponsorship ‐ Youth Sports 12,075 ‐   New N CS The Landing Sponsorship ‐ Best Star Properties 2,500 ‐   New N CS 2170 AFSCME Sponsorship 400 ‐   New N CS LTAC Cruz the Loop 5,000 ‐   New N CS LTAC Multicultural Festival 10,000 ‐   New N CS LTAC Sponsorships 5,000 ‐   New N CS LTAC Holiday Lights 2,500 ‐   New N CS Best Start for Kids Grant Budget Realignment 0 ‐   CF Y CS King Count Senior Hub Grant 90,000 ‐   New N CS Farmer's Market KCD Grant 16,896 ‐   New Y CS Farmer's Market FINI Grant ‐ Reimbursement 10,068 ‐   New Y CS Farmer's Market FINI Grant ‐ Market Support 4,026 ‐   New Y CS United Way Grant ‐ Awarded Supplies 3,578 ‐   New Y PW Close Fund 102 to Fund 003 863,671 710,000 New N Total Revenue Adjustment 245,853,573          3,157,875 1,938,013 250,949,461       EXPENDITURES 259,382,579           41,490 156,904 New Y 106,946 171,188 New Y 19,376 251,010 New N 5,950 ‐   New N 11,660 ‐   New N 50,000 73,000 New N 1,455 2,940 New Y ‐          ‐   New Y (2,202,000)‐   New N 946,000 ‐   New N (496,000)(450,000)New N 250,000 500,000 New N 889,148 ‐   New N 243,163 ‐   New N ‐   10,938 New Y ‐   14,438 New Y ‐   29,460 New Y 150,000 ‐   New Y ‐   6,134 New Y ‐   15,000 New Y 600,000 600,000 New N 9,300 6,150 New N 4,881 2,880 New N CW Non Represented COLA Adjustment CW AFSCME 2170 COLA Adjustment MC Add 1.0 FTE Judge (e11) MC IT Equip For 1.0 FTE Judge MC Facility Equip For 1.0 FTE Judge EXE Public Defense Services AS Reclass Tax & Licensing Prog Mgr (m27) to Tax & Licensing Mgr (m28) AS Reclass Finance Analyst 3 (n16) to Tax & License Auditor 2 (n16) CW Remove transfer to 316 from General Fund CW Williams Ave S & Wells Ave S ‐ Excess REET CW Reduce REET 1&2 Transfer to 316 CW Shift LRF funding to GF w/trsf CW Fully fund debt service reserve requirement CW Williams Ave S & Wells Ave S ‐ Fund Balance CED Reclass Permit Center Supervisor (m22) to Permit Services Manager (m28) CED Reclass Construction Inspector Supervisor (a26) to Assistant Development Engineering CED Reclass Assistant Planner (n16) to Housing Programs Manager (m27) CED MAKERS contract for TOD plan CED Reclass Economic Development Manager (m32) to Sr. Economic Development Manage CED Updated City Arts Program PD Projected Overtime Increase PD IT Equip For 3.0 FTE PD PD Facility Equip For 3.0 FTE PD EXE 2019 EMPG grant ‐   58,013 New N CS CAG‐19‐045 REACH MATCH 24,000 ‐   New N CS LAG‐13‐002 REACH FUNDS ADENDUM#4 50,000 ‐   New N CS HRAP Renton Gives Contribution 325 ‐   New N CS Senior Center Donations ‐ Small Tools for New Tables 6,335 ‐   New N CS Senior Center ‐ Fitness Room Donation Carryforward 7,166 ‐   CF N CS Capital Project Coordinator Conversion to Parks Planning Manager (a28 to m32) ‐ Salar 1,131 11,055 New Y CS Land o Frost Sponsorship ‐ Youth Sports 12,075 ‐   New N GENERAL FUND (Fund 0XX) continued H:\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\2019-2020 Mid-Bi Budget Amendment.xlsx 9/13/2019 AGENDA ITEM #1. d) 2019/2020 Mid‐Biennium Budget Amendment Detail 2/8 FUND Adopted  2019 Adjustment  2020 Adjustment Amended CF or NEW Prior Council Approval? CS Wizards of the Coast Sponsorship ‐ DnD                           7,500                                   ‐   New N CS Best Start for Kids Grant Budget Realignment                         16,796                                   ‐   CF Y CS Hyatt Regency Sponsorship ‐ 4th of July                         15,000                                   ‐   New N CS The Landing Sponsorship ‐ Best Star Properties                           2,500                                   ‐   New N CS 2170 AFSCME Sponsorship                               400                                   ‐   New N CS LTAC Cruz the Loop                           5,000                                   ‐   New N CS LTAC Multicultural Festival                         10,000                                   ‐   New N CS LTAC Sponsorships                           5,000                                   ‐   New N CS LTAC Holiday Lights                            2,500                                   ‐   New N CS Arbor & Earth Day Event ‐ Donation                           1,000                                   ‐   New N CS REI Donation for Volunteer Project                           1,000                                   ‐   New N CS King Count Senior Hub Grant                         90,000                                   ‐   New N CS Farmer's Market KCD Grant                         16,896                                   ‐   New Y CS Farmer's Market FINI Grant ‐ Reimbursement                         10,068                                   ‐   New Y CS Farmer's Market FINI Grant ‐ Market Support                           4,026                                   ‐   New Y CS United Way Grant ‐ Awarded Supplies                           3,578                                   ‐   New Y PW Convert 0.5 FTE Sec 2 to 1.0 FTE                                  ‐                           71,507 New N PW Williams Ave S & Wells Ave S ‐ Fund Balance                    1,260,575                                   ‐   New N PW Close Fund 102 to Fund 003                       863,671                        710,000 New N Total Expenditure Adjustment 259,382,579                              3,047,912                     2,240,617 264,671,107       Ending Fund Balance 31,013,981                                   109,963                      (302,604) 30,821,340          ARTERIAL STREET FUND (Fund 102) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 163,671                                                    ‐                                     ‐   163,671               REVENUES 1,410,000                PW Close Fund 102 to Fund 003                     (596,635)                    (710,000) New N Total Revenue Adjustment 1,410,000                                   (596,635)                    (710,000) 103,365               EXPENDITURES 1,410,000                PW Close Fund 102 to Fund 003                     (432,964)                    (710,000) New N Total Expenditure Adjustment 1,410,000                                   (432,964)                    (710,000) 267,036               Ending Fund Balance 163,671                                       (163,671)                                 ‐    ‐                        HOTEL/MOTEL TAX (Fund 110) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 722,387                                                    ‐                                     ‐   722,387               REVENUES 425,000                   Total Revenue Adjustment 425,000                                                    ‐                                     ‐   425,000               EXPENDITURES 406,547                   EXE Additional LTAC Allocations                         38,100                                   ‐   New Y Total Expenditure Adjustment 406,547                                           38,100                                   ‐   444,647               Ending Fund Balance 740,840                                         (38,100)                                 ‐   702,740               ONE PERCENT FOR MUNICIPAL ARTS (Fund 125) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 119,446                                                    ‐                                     ‐   119,446               REVENUES 113,000                   CED Updated City Arts Program                                  ‐                         102,900 New Y CED Main Ave S Artwork                           4,000                                   ‐   New N Total Revenue Adjustment 113,000                                             4,000                        102,900 219,900               EXPENDITURES 215,683                   CED Main Ave S Artwork                           4,000                                   ‐   New N CED Updated City Arts Program                                  ‐                         102,900 New Y Total Expenditure Adjustment 215,683                                             4,000                        102,900 322,583               Ending Fund Balance 16,764                                                      ‐                                     ‐   16,764                 H:\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\2019-2020 Mid-Bi Budget Amendment.xlsx 9/13/2019 AGENDA ITEM #1. d) 2019/2020 Mid‐Biennium Budget Amendment Detail 3/8 FUND Adopted  2019 Adjustment  2020 Adjustment Amended CF or NEW Prior Council Approval? GENERAL GOVERNMENT MISC DEBT SVC FUND (Fund 201) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 2,307,173                                                ‐                                     ‐   2,307,173            REVENUES 15,948,576             CW Shift LRF funding to GF w/trsf                     (250,000)                                 ‐   New N CW Fully fund debt service reserve requirement                       889,148                                   ‐   New N Total Revenue Adjustment 15,948,576                                   639,148                                   ‐   16,587,724          EXPENDITURES 16,177,322             Total Expenditure Adjustment 16,177,322                                              ‐                                     ‐   16,177,322          Ending Fund Balance 2,078,427                                     639,148                                   ‐   2,717,575            IMPACT MITIGATION FUNDS (Fund 303, 304, 305) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 7,366,449                                                ‐                                     ‐   7,366,449            REVENUES 2,826,875                Total Revenue Adjustment 2,826,875                                                ‐                                     ‐   2,826,875            EXPENDITURES 6,811,746                CS Keep Mitigation Money in Fund 303                     (429,000)                                 ‐   New N PW Duvall Ave NE, NE 7th St to Sunset Blvd NE                    1,074,200                                   ‐   New N PW Williams Ave S & Wells Ave S Conversion                  (1,450,000)                    (300,000) New N Total Expenditure Adjustment 6,811,746                                   (804,800)                    (300,000) 5,706,946            Ending Fund Balance 3,381,578                                     804,800                        300,000 4,486,378            MUNICIPAL CIP FUND (Fund 316) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 20,675,238                                              ‐                                     ‐   20,675,238          REVENUES 27,700,625             CS Remove transfer to 316 from General Fund                  (2,202,000)                                 ‐   New N CS Reduce REET Transfer to 316                     (496,000)                    (450,000) New N CS Keep Mitigation Money in Fund 303                     (429,000)                                 ‐   New N CS 2020 Direct Appropriation Grant for Gene Coulon Memorial Beach Park Play Equipmen                                  ‐                         605,640 New N CS KC County Levy Prop 1 2019 Funds                       242,655                                   ‐   New N Total Revenue Adjustment 27,700,625                              (2,884,345)                      155,640 24,971,920          EXPENDITURES 46,328,768             CED Sunset Park Art                       250,000                                   ‐   New Y CS KC Fees on Sale of Park Property                         10,000                                   ‐   New N CS Shift Bonds Funds out to Various Projects                (12,444,011)                                 ‐   New N CS Sign Shop Improvements                         25,000                                   ‐   New N CS City Hall Major HVAC                       106,109                                   ‐   New N CS 4th Floor Remodel Budget ‐ Bid + Owner Costs                    1,500,000                                   ‐   New N CS Police Simulator Equipment                       250,000                                   ‐   New N CS Boathouse                       159,000                                   ‐   New N CS Transfer from PPNR Pathway, Sidewalk, Patio, and Boardwalk Replacement to Boathou                       100,000                                   ‐   New N CS Increase to Parks, Recreation and Open Space Plan                         10,000                                   ‐   New N CS Transfer to Boathouse from PPNR Pathway, Sidewalk, Patio, and Boardwalk Replaceme                     (100,000)                                 ‐   New N CS Transfer to Phillip Arnold Park Improvements from Parks MM ‐ Playgrounds, Kiosks and                         (9,607)                                 ‐   New N CS 2020 Direct Appropriation Grant for Gene Coulon Memorial Beach Park Play Equipmen                                  ‐                         205,640 New N CS Shifting Bond Project Priority ‐ Coulon Parking Lot Repairs                     (300,000)                    (200,000) New N CS Coulon Park Lighting Repairs                         26,465                                   ‐   New N CS Shifting Bond Project Priority ‐ Coulon Swim Beach                       170,000                      (250,000) New N CS KC County Levy Prop 1 2019 Funds                       242,655                                   ‐   New N CS Transfer Out to Surface Water Rain Garden ‐ Irrigation Design at NE 16th and Jefferson                          (6,378)                                 ‐   New N CS Transfer Out to Surface Water Rain Garden ‐ Irrigation Design at NE 16th and Jefferson                           6,378                                   ‐   New N CS Transfer to Phillip Arnold Park Improvements from Parks MM ‐ Playgrounds, Kiosks and                           9,607                                   ‐   New N CS Phillip Arnold Park Improvements                       275,000                                   ‐   New N CS COULON ‐ ROSEWALL                       110,000                                   ‐   New N CS COULON ‐ SHORELINE EROISION                       100,000                                   ‐   New N CS KIWANIS PARK                    2,000,000                                   ‐   New N CS COULON ‐ WATERWALK                    4,100,000                                   ‐   New N CS COULON ‐ TRESTLE BRIDGE                    1,705,000                                   ‐   New N Total Expenditure Adjustment 46,328,768                              (1,704,782)                    (244,360) 44,379,626          Ending Fund Balance 2,047,094                                (1,179,563)                      400,000 1,267,531            H:\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\2019-2020 Mid-Bi Budget Amendment.xlsx 9/13/2019 AGENDA ITEM #1. d) 2019/2020 Mid‐Biennium Budget Amendment Detail 4/8 FUND Adopted  2019 Adjustment  2020 Adjustment Amended CF or NEW Prior Council Approval? TRANSPORTATION CIP FUND (Fund 317) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 5,492,313                                                ‐   5,492,313            REVENUES 54,088,892             PW Recognize Multimodal Transportation SSR                       140,000                        140,000 New N PW Close Fund 102 to Fund 003 ‐                               ‐                              New N PW Park Ave Extension ‐ Bond Proceeds (300,000)                                                      ‐   New N PW Duvall Ave NE, NE 7th St to Sunset Blvd NE                    1,074,200                                   ‐   New N PW Highlands to Landing ‐ Bond Proceeds                       300,000                                   ‐   New N PW Williams & Wells ‐ 000 Fund Balance                       243,163                                   ‐   New N PW Transfer in frm 305 ‐ Williams & Wells                  (1,450,000)                    (300,000) New N PW Williams & Wells ‐ 102 Fund Balance                       163,671                                   ‐   New N PW Williams & Wells ‐ 003 Fund Balance                    1,260,575                                   ‐   New N PW Williams & Wells ‐ 336 Fund Balance                       445,591                                   ‐   New N PW Williams & Wells ‐ REET (316/000)                      946,000                                   ‐   New N Total Revenue Adjustment 54,088,892                                2,823,200                      (160,000) 56,752,092          EXPENDITURES 58,665,746             PW Catch Basin Repair ‐ Design                       100,000                                   ‐   New N PW 1% For Arts Program ‐ Transfer Out to 125                           4,000                                   ‐   New N PW Updated City Arts Program                                  ‐                          (15,000) New N PW Arterial Rehab ‐ SW Grady Way Preservation ‐ Construction                       150,000                                   ‐   New N PW Park Ave Extension ‐ Construction                     (300,000)                                 ‐   New N PW Duvall Ave NE, NE 7th St to Sunset Blvd NE ‐ ROW                         74,200                                   ‐   New N PW Highlands to Landing Ped Connection ‐ Design                       300,000                                   ‐   New N PW Main Ave S Conversion ‐ Construction                          (4,000)                                 ‐   New N PW Williams Ave S & Wells Ave S Conversion ‐ Construction                    2,299,000                                   ‐   New N PW Renton Elementary and Middle School Crossings ‐ Design                         53,000                                   ‐   New N Total Expenditure Adjustment 58,665,746                                2,676,200                        (15,000) 61,326,946          Ending Fund Balance 915,459                                         147,000                      (145,000) 917,459               HOUSING OPPORTUNITY FUND (Fund 326) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 2,582,203                                                ‐                                     ‐   2,582,203            REVENUES ‐                            CED 2019 Interest Income                         21,500                                   ‐   New N Total Revenue Adjustment ‐                                                   21,500                                   ‐   21,500                 EXPENDITURES 47,400                     CED Surveys ‐ 200 Mill Building Sale                         21,500                                   ‐   New N Total Expenditure Adjustment 47,400                                             21,500                                   ‐   68,900                 Ending Fund Balance 2,534,803                                                ‐                                     ‐   2,534,803            NEW LIBRARY DEVELOPMENT FUND (Fund 336) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 456,591                                                    ‐                                     ‐   456,591               REVENUES ‐                            Total Revenue Adjustment ‐                                                            ‐                                    ‐    ‐                        EXPENDITURES ‐                            CS Williams Ave S & Wells Ave S ‐ Fund Balance                       445,591                                   ‐   New N Total Expenditure Adjustment ‐                                                 445,591                                   ‐   445,591               Ending Fund Balance 456,591                                       (445,591)                                 ‐   11,000                 AIRPORT FUND (Fund 402/422) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 4,985,377                                                ‐                                     ‐   4,985,377            REVENUES 6,350,452                Total Revenue Adjustment 6,350,452                                                ‐                                     ‐   6,350,452            EXPENDITURES 10,337,269             CW Non Represented COLA Adjustment                               468                            1,765 New Y CW AFSCME 2170 COLA Adjustment                           4,950                            7,904 New Y Total Expenditure Adjustment 10,337,269                                       5,418                            9,669 10,352,356          Ending Fund Balance 998,560                                            (5,418)                         (9,669) 983,473               H:\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\2019-2020 Mid-Bi Budget Amendment.xlsx 9/13/2019 AGENDA ITEM #1. d) 2019/2020 Mid‐Biennium Budget Amendment Detail 5/8 FUND Adopted  2019 Adjustment  2020 Adjustment Amended CF or NEW Prior Council Approval? SOLID WASTE UTILITY FUND (Fund 403) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 2,276,333                                                ‐                                     ‐   2,276,333            REVENUES 39,017,739             Total Revenue Adjustment 39,017,739                                              ‐                                     ‐   39,017,739          EXPENDITURES 38,796,215             CW AFSCME 2170 COLA Adjustment                           2,366                            3,783 New Y CW Non Represented COLA Adjustment                               610                            2,314 New Y Total Expenditure Adjustment 38,796,215                                       2,976                            6,097 38,805,288          Ending Fund Balance 2,497,857                                        (2,976)                         (6,097) 2,488,784            GOLF COURSE FUND (Fund 404/424) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 110,812                                                    ‐                                     ‐   110,812               REVENUES 4,978,343                CS Golf Course Lessons                           2,287                            7,083 New Y Total Revenue Adjustment 4,978,343                                         2,287                            7,083 4,987,713            EXPENDITURES 4,761,803                CW Non Represented COLA Adjustment                           1,568                            5,933 New Y CW AFSCME 2170 COLA Adjustment                           3,651                            5,836 New Y CS Regrade Golf Course Head Professional                           2,287                            7,083 New Y Total Expenditure Adjustment 4,761,803                                         7,506                          18,852 4,788,161            Ending Fund Balance 327,352                                            (5,219)                      (11,769) 310,364               WATER UTILITY FUND (Fund 405/425 & etc) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 38,002,973                                              ‐                                     ‐   38,002,973          REVENUES 38,357,843             Total Revenue Adjustment 38,357,843                                              ‐                                     ‐   38,357,843          EXPENDITURES 69,708,553             CW AFSCME 2170 COLA Adjustment                         22,550                          36,092 New Y CW Non Represented COLA Adjustment                           1,713                            6,465 New Y PW Laserfiche Scanning Program                                  ‐                           15,000 New N PW Water Conservation Supply Block Cost                                  ‐                           25,515 New N Total Expenditure Adjustment 69,708,553                                     24,263                          83,072 69,815,888          Ending Fund Balance 6,652,263                                     (24,263)                      (83,072) 6,544,928            WASTEWATER UTILITY FUND (Fund 406/416/426) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 24,391,619                                              ‐                                     ‐   24,391,619          REVENUES 57,143,238             Total Revenue Adjustment 57,143,238                                              ‐                                     ‐   57,143,238          EXPENDITURES 70,563,676             CW AFSCME 2170 COLA Adjustment                         12,225                          19,559 New Y CW Non Represented COLA Adjustment                               263                                998 New Y PW Laserfiche Scanning Program                                  ‐                           15,000 New N Total Expenditure Adjustment 70,563,676                                     12,488                          35,557 70,611,721          Ending Fund Balance 10,971,181                                   (12,488)                      (35,557) 10,923,136          H:\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\2019-2020 Mid-Bi Budget Amendment.xlsx 9/13/2019 AGENDA ITEM #1. d) 2019/2020 Mid‐Biennium Budget Amendment Detail 6/8 FUND Adopted  2019 Adjustment  2020 Adjustment Amended CF or NEW Prior Council Approval? SURFACEWATER UTILITY FUND (Fund 407/427) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 16,356,030                                              ‐                                     ‐   16,356,030          REVENUES 36,653,167             PW Surface Water Pipe Inspection Software ‐ NPDES                         50,000                                   ‐   New N PW Transfer Out to Surface Water Rain Garden ‐ Irrigation Design at NE 16th and Jefferson                           6,378                                   ‐   New N PW Cedar River Flood Risk Reduction Feasibility Study                                  ‐                         499,658 New N PW Stormwater Facility Retrofit Study                                  ‐                         187,500 New N PW Burnett Ave S/Williams Ave S Water Quality Retrofit                                  ‐                         277,500 New N Total Revenue Adjustment 36,653,167                                     56,378                        964,658 37,674,203          EXPENDITURES 40,081,948             CW AFSCME 2170 COLA Adjustment                         18,048                          28,895 New Y CW Non Represented COLA Adjustment                               239                                908 New Y PW Laserfiche Scanning Program                                  ‐                           15,000 New N PW WRIA ‐ Contract Services                                  ‐                             3,200 New N PW Segale Bill Credit Drainage Easement                         25,616                          26,128 New Y PW Surface Water Pipe Inspection Software ‐ NPDES                         50,000                                   ‐   New N PW Small Drainage Program                     (155,000)                                 ‐   New N PW Cedar River Flood Risk Reduction Feasibility Study                                  ‐                         499,658 New N PW Stormwater Facility Retrofit Study                         62,500                        187,500 New N PW Burnett Ave S/Williams Ave S Water Quality Retrofit                         92,500                        277,500 New N Total Expenditure Adjustment 40,081,948                                     93,903                     1,038,789 41,214,640          Ending Fund Balance 12,927,249                                   (37,525)                      (74,131) 12,815,593          EQUIPMENT RENTAL FUND (Fund 501) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 6,493,018                                                ‐                                     ‐   6,493,018            REVENUES 13,357,714             PW Util Veh Comp B199 (POOL27)                        10,000                                   ‐   New N Total Revenue Adjustment 13,357,714                                     10,000                                   ‐   13,367,714          EXPENDITURES 13,692,656             CW Non Represented COLA Adjustment                               497                            1,904 New Y CW AFSCME 2170 COLA Adjustment                           5,676                            9,092 New Y PW ProGator P130 (POOL31)                          7,000                                   ‐   New N PW Police pursuit  B182 (POOL08)                        70,000                                   ‐   New N PW Police pursuit  B235 (POOL08)                        70,000                                   ‐   New N PW Police pursuit B113 (POOL04)                        30,000                                   ‐   New N PW Util Veh Comp B199 (POOL27)                        36,000                                   ‐   New N Total Expenditure Adjustment 13,692,656                                   219,173                          10,996 13,922,825          Ending Fund Balance 6,158,076                                   (209,173)                      (10,996) 5,937,907            INSURANCE FUND (Fund 502) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 18,522,154                                              ‐                                     ‐   18,522,154          REVENUES 6,734,105                Total Revenue Adjustment 6,734,105                                                ‐                                     ‐   6,734,105            EXPENDITURES 8,459,040                CW Non Represented COLA Adjustment                           1,367                            5,161 New Y Total Expenditure Adjustment 8,459,040                                         1,367                            5,161 8,465,568            Ending Fund Balance 16,797,219                                      (1,367)                         (5,161) 16,790,691          H:\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\2019-2020 Mid-Bi Budget Amendment.xlsx 9/13/2019 AGENDA ITEM #1. d) 2019/2020 Mid‐Biennium Budget Amendment Detail 7/8 FUND Adopted  2019 Adjustment  2020 Adjustment Amended CF or NEW Prior Council Approval? INFORMATION SERVICES FUND (Fund 503) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 3,934,408              ‐   ‐   3,934,408            REVENUES 11,973,311             AS IT Equip For 3.0 FTE PD 9,300 6,150 New N AS Surface Water Pipe Inspection Software ‐ NPDES 50,000 ‐   New N AS Best Start for Kids Grant Budget Realignment 3,000 ‐   CF Y AS IT Equip For 1.0 FTE Judge 5,950 ‐   New N Total Revenue Adjustment 11,973,311            68,250 6,150 12,047,711          13,758,166             1,898 7,171 New Y 12,120 19,366 New Y 23,000 23,000 New N 8,500 8,500 New N 6,500 6,500 New N 4,100 4,100 New N 5,500 5,500 New N 15,000 15,000 New N 990 990 New N 11,000 11,000 New N 2,800 2,800 New N 15,000 33,500 New N ‐   2,600 New N 9,350 9,350 New Y 7,008 7,008 New N 9,300 ‐   New N 3,900 ‐   New N 3,000 ‐   CF Y 11,500 11,500 New N ‐   27,000 New N EXPENDITURES CW Non Represented COLA Adjustment CW AFSCME 2170 COLA Adjustment AS Dude Solutions: Asset Management AS LexisNexis: LEAPS Annual SW/Maint AS Accela: Springbrook Utility Billing System  AS EnPointe:  Adobe Cloud Lic Renewal AS NetMotion:  NetMotion Mobility AS Storage Systems, Security, and Other System Maint.  AS Astral:  AirVantage Mgmt Sierra Wireless AS CDW‐ G:  Mobile Iron Management AS AV Capture All:  Court Recording System AS Laserfiche AS GraniteNet AS Law Enforcement Automated Personnel System (LEAPS) AS PageFreezer AS IT Equip For 3.0 FTE PD AS IT Equip For 1.0 FTE Judge AS Best Start for Kids Grant Budget Realignment AS SeeClickFix CRM AS NeoGov AS Surface Water Pipe Inspection Software ‐ NPDES 50,000 ‐   New N Total Expenditure Adjustment 13,758,166            200,466 194,885 14,153,517          Ending Fund Balance 2,149,553              (132,216)(188,735) 1,828,602            FACILITIES SERVICES FUND (Fund 504) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 1,376,859              ‐   ‐   1,376,859            REVENUES 10,627,688             CS Facility Equip For 3.0 FTE PD 4,881 2,880 New N CS Facility Equip For 1.0 FTE Judge 11,660 ‐   New N Total Revenue Adjustment 10,627,688            16,541 2,880 10,647,109          EXPENDITURES 11,019,223             CW Non Represented COLA Adjustment 816 3,084 New Y CW AFSCME 2170 COLA Adjustment 13,766 22,055 New Y CS Facility Equip For 3.0 FTE PD 4,881 ‐   New N CS Facility Equip For 1.0 FTE Judge 10,700 ‐   New N CS Updated City Arts Program ‐   10,000 New N Total Expenditure Adjustment 11,019,223            30,163 35,139 11,084,525          Ending Fund Balance 985,324 (13,622)(32,259) 939,443               COMMUNICATIONS FUND (Fund 505) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 685,593 ‐   ‐   685,593               REVENUES 2,240,257                Total Revenue Adjustment 2,240,257              ‐   ‐   2,240,257            EXPENDITURES 2,229,872                CW Non Represented COLA Adjustment 1,102 4,164 New Y CW AFSCME 2170 COLA Adjustment 2,311 3,695 New Y EXE Reclass Print & Mail Assistant (a01 to a03)3,400 3,518 New Y EXE 1.0 Census Program Manager LT 24,980 80,270 NEW Y Total Expenditure Adjustment 2,229,872              31,793 91,647 2,353,312            Ending Fund Balance 695,978 (31,793)(91,647) 572,538               H:\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\2019-2020 Mid-Bi Budget Amendment.xlsx 9/13/2019 AGENDA ITEM #1. d) 2019/2020 Mid‐Biennium Budget Amendment Detail 8/8 FUND Adopted  2019 Adjustment  2020 Adjustment Amended CF or NEW Prior Council Approval? EMPLOYEE HEALTHCARE INSURANCE FUND (Fund 512) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 4,259,511                                                ‐                                     ‐   4,259,511            REVENUES 23,677,456             Total Revenue Adjustment 23,677,456                                              ‐                                     ‐   23,677,456          EXPENDITURES 24,179,016             CW Non Represented COLA Adjustment                               755                            2,851 New Y Total Expenditure Adjustment 24,179,016                                           755                            2,851 24,182,622          Ending Fund Balance 3,757,951                                           (755)                         (2,851) 3,754,345            RETIREE HEALTHCARE INSURANCE FUND (Fund 522) Adopted  2019 Adjustment  2020 Adjustment Amended Beginning Fund Balance 13,876,628                                              ‐                                     ‐   13,876,628          REVENUES 2,485,735                Total Revenue Adjustment 2,485,735                                                ‐                                     ‐   2,485,735            EXPENDITURES 2,010,117                CW Non Represented COLA Adjustment                                 81                                307 New Y Total Expenditure Adjustment 2,010,117                                               81                                307 2,010,505            Ending Fund Balance 14,352,246                                           (81)                            (307) 14,351,858          H:\Finance\Budget\1CY\2.Budget Adjustments\2019-2020 Mid Biennium\2019-2020 Mid-Bi Budget Amendment.xlsx 9/13/2019 AGENDA ITEM #1. d) Rev. November 2019 AGENDA ITEM #3. a) Table of Contents Page SECTION I. MISCELLANEOUS FEES 1 SECTION II. MAPLEWOOD GOLF COURSE 2 SECTION III. City CENTER PARKING FEES 3 SECTION IV. AQUATIC FEES 3 SECTION V. CARCO THEATER (REPEALED) 3 SECTION VI. PARKS AND FACILITIES USE AND RENTAL 3 SECTION VII. COMMUNITY CENTER PASS CARD & FEES 5 SECTION VIII. AIRPORT CHARGES 5 SECTION IX. ANIMAL LICENSES FEES* ‐ RMC 5‐4‐25 SECTION X. BUSINESS LICENSES 5 SECTION XI. ADULT ENTERTAINMENT LICENSES 5 SECTION XII. DEVELOPMENT FEES 5 Building Fees:5 Land Use Review Fees:7 Public Works Fees: 9 Technology Surcharge Fee 13 Impact Fees: 13 SECTION XIII. FIRE DEPARMENT FIRE MARSHALL FEES (RFA) 14 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION I. MISCELLANEOUS FEES 2019 2020 1. Maps: a. Zoning maps ‐ standard 11 x 17 $4 $4 b.  Zoning maps ‐ large 24 x 36 $12 $12 c.  Comprehensive Plan map ‐ standard 11 x 17 $4 $4 d.  Comprehensive Plan map ‐ large 24 x 36 $12 $12 e.  Precinct maps $5 $5 2. Plat: a.  First page $2 $2 b.  Each additional page $1 $1 3. Photocopies:  a.  Each 8.5" x 11" or 8.5" x 14"$0.15 $0.15 b.  Each 11" x 17"$0.20 $0.20 c.  Each 8.5" x 11" or 8.5" x 14" color $0.25 $0.25 4. Budget: a.  City's Budget $10 $10 b.  N/C N/C 5. Audio or Video Recording Copies: a.Audio recording, each copy $2 $2 b.Video recording, each copy $2 $2 6. Regulations and Plans: a.Comprehensive Plan and Map $30 $30 b.Title IV, Development Regulations: (i) Text and Zoning Map $110 $110 (ii) Text only $100 $100 c.Individual Chapters of Development Regulations $10 $10 d. Renton Municipal Code (two volumes)$400 $400 e.Code Supplements, per year: (i) Titles I ‐ III and VI ‐ X $70 $70 (ii) Title IV $70 $70 7. Miscellaneous Services: a.Certification and Notary Fees ‐ Clerk's Certification $10 $10 b.Notary Public Attestation or Acknowledgement or as $10 $10 otherwise provided for in RCW 42.28.090, per signature c.Hold Harmless Agreements and other similar documents $20 $20 not otherwise provided for d.Lamination of licenses, pictures $6 $6 e.Community Development Block Grants (CDBG) Loan Program: (i) Application Fee $200 $200 (ii) Loan Origination Fee $150 or 0.25% of  loan amount,  whichever is  greater $150 or 0.25% of  loan amount,  whichever is  greater (iii) Closing Costs (including any legal fees)50% of total actual  costs 50% of total actual  costs 8.Miscellaneous Charges for Police Services: a.Police Reports per page $0.15 $0.15 b.Record Checks (Written Response) $5 $5 c.Photographs ‐ Digital on CD $2 $2 d.Photographs ‐ black & white or color ‐ Cost of developing film Cost Cost e.Fingerprint Cards $5 $5 (i) Each additional card $1 $1 9. Charges for Fire Documents: a.Fire reports per page $0.15 $0.15 b.Fire investigative report on CD $2 $2 c.First copy ‐ black & white or color ‐ Cost of developing film Cost Cost d.Additional copy ‐ black & white or color ‐ Cost of developing film Cost Cost 10. Computer Listings: a.City of Renton new business list $10 $10 b.List of all business licenses $20 $20 c.Copies requested to be faxed, local number $3 $3 d.Copies requested to be faxed, long distance number (i)One (1) ‐ five (5) pages $10 $10 (ii) Six (6) or more pages (ten (10) page limit)$20 $20 11. Utility Fee: a.Special Request Water Meter Reading $30 $30 b.Utility New Account Setup $25 $25 c.Utility Billing Account Transfer (tenant billing form)$5 $5 d.Water utility outstanding balance search requested by $25 $25 fax, messenger, or letter 12. Schedule of Fines for False Alarms ‐ Security/Burglar: (effective February 1, 2019) a.One‐time Registration Fee $25 $25 b.Annual Registration Renewal N/C N/C c.First False Alarm in a registration year*N/C N/C City's Budget to other municipality or quasi‐municipal corporation or other nonprofit charitable or education organization 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)1 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION I. MISCELLANEOUS FEES (CONTINUED)2019 2020 d.Second False Alarm in a registration year*$100 $100 e.Third or more False Alarm in a registration year*$250 $250 f.Late Payment Fee $25 $25 g.Unregistered Alarm System Fee $50 $50 *A registration year shall mean January 1 thru December 31 each year. 13. NSF Check Fees $25 $25 14. Veteran Park Tile: Three lines $75 $75 15. Electronic Records: a.Photocopies or printed copies of electronic records, per page $0.15 $0.15 b.Scanning paper records, per page $0.10 $0.10 c.Electronic files or attachments uploaded for electronic delivery (email, cloud‐based data storage service, or $0.05 $0.05 other means of electronic delivery), for each four (4) files d.Transmission of records in an electronic format or for the use of agency equipment to send the records $0.10 $0.10 electronically, per gigabyte (GB) 16. Document Recording Fees: Actual Costs Actual Costs 17. School Impact Fee Administration 5% x School Impact  Fee 5% x School Impact  Fee SECTION II. MAPLEWOOD GOLF COURSE 2019 2020 1. a.Weekday: (i) 18 Hole $37 $37 (ii) 9 Hole $27 $27 (iii) 18 Hole, Senior $28 $28 (iv) 9 Hole, Senior $20 $20 (v) 18 Hole, Junior $19 $19 (vi) 9 Hole, Junior $15 $15 b.Weekend: (i) 18 Hole $44 $44 (ii) 9 Hole $27 $27 2. Club Rental*$18 $18 3. Golf Cart Fees*: a.18 Hole $30 $32 b.18 Hole Single Rider $22 $24 c.9 Hole $18 $19 d.9 Hole Single Rider $12 $14 e.Trail Fee $10 $10 4. Driving Range Fees*: a.Large Bucket $9 $9 b.Small Bucket $6 $6 c.Warm‐up Bucket $4 $4 5. Lesson Fees: a.1/2 Hour Private $45 $45 b.1 Hour Private $65 $65 c.1/2 Hour Series Private $160 $160 d.1 Hour Series Private $240 $240 e.Group Series $100 $100 f.1/2 Hour Private, Junior $25 $25 g.Playing Lesson(3‐hole minimum/9‐hole maximum) per hole $15 $15 * Rates include Washington State Sales Tax (WSST) Green Fees*:  For purposes of this section, "weekend" shall mean Friday, Saturday, and Sunday. "Weekday" shall mean the remaining  four days of the week. "Junior" shall mean ages 17 and under, "Senior" shall mean ages 62 and over.  Off‐season and promotional rates determined by management; posted on website. *The charges identified in RCW 42.56.120(3)(b) (and referenced above) may be combined to the extent that more than one  type of charge applies to copies produced in response to a particular request. The actual cost of any digital storage media or  device provided by the agency. Alternatively, the City may charge a flat fee of up to $2 for the entire request as long as the  cost of uploading and transmitting the electronic records is reasonably estimated to equal or exceed that amount. Only one  $2 flat fee per request is authorized for electronic records produced in installments. When records are provided electronically  on a CD, DVD, thumb drive, flash drive, or other electronic device, the requestor will be charged for the cost of the electronic  storage device. The City may charge an actual‐cost service charge for requests that require use of IT expertise to prepare data  comilations or provide customized electronic access services when not used by the City for other purposes. A cost estimate  and explanation will be provided to the requestor before incurring the costs. Option to waive charges.  The City may waive charges associated with fulfilling a request.  The decision will be based on  various factors, including the volume and format of the responsive documents. The decision to assess fees for fulfilling a  public records request shall be made on a consistent and equitable basis, dependent primarily upon the amount of staff time  required for copying, scanning, shipping, uploading, and/or transmitting the records associated with fulfilling a request. Certified copies.  If the requestor is seeking a certified copy of a City record, an additional charge of $1.00 per each complete  document may be applied to cover the additional expense and time required for certification. The applicant shall pay all document recording fees charged by King county and all administrative fees charged by the title  company for processing. Payment in full shall by submitted to the City before documents are sent for recording. Note:  Should Section I fees due total less than $4.00 and no other fee is due to the City at the same time, the department  administrator may authorize to waive the entire amount due at their discretion. 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)2 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION III. City CENTER PARKING FEES 2019 2020 1. City Center Parking Garage Fees: Parking rates for retail parking will be as follows: a.Zero (0) ‐ two (2) hours N/C N/C b.Two (2) ‐ four (4) hours $2 $2 c.Four (4) ‐ six (6) hours $4 $4 d.Six (6) ‐ (10) hours $6 $6 e. 10 hours or more $10 $10 f.Monthly pass‐holders, tax included $35 $35 SECTION IV. AQUATIC FEES 2019 2020 1. Admission for the Aquatic Center shall be as follows: a.Regular Session: (i) Resident infants ‐ under 1 year N/C N/C (ii) Non‐resident infants ‐ under 1 year N/C N/C (iii) Resident youth ‐ 1 to 4 years $4.50 $4.50 (iv) Non‐resident youth ‐ 1 to 4 years $8.50 $8.50 (v) Resident ages 5 and up $8.50 $8.50 (vi) Non‐resident ages 5 and up $15 $15 (vii) Resident lap swim ‐ water walking only $3 $3 (viii) Non‐resident lap swim ‐ water walking only $4.50 $4.50 b.Season Pass: (i) Resident infants ‐ under 1 year N/C N/C (ii) Non‐resident infants ‐ under 1 year N/C N/C (iii) Resident ages 1 and up $60 $60 (iv) Non‐resident ages 1 and up $120 $120 c.Miscellaneous Rates: (i) Resident regular session per person rate (group rates)*$10 $10 (ii) Non‐resident regular session per person rate $16 $16 (iii) Locker Rental $0.25 $0.25 d.Canopy Rental Fees*: (includes canopy and admission for one leisure swim session): (i)Henry Moses Party Tent #1  (10' x 20' for up to twenty‐five (25) guests): (1) Resident Rate, per session $310 $310 (2) Non‐resident Rate, per session $475 $475 (ii) Henry Moses Party Tent #2  (10' x 10' for up to fifteen (15) guests): (1) Resident Rate $200 $200 (2) Non‐Resident Rate $300 $300 e.Resident Rate all inclusive*$1,800 $1,800 f.Non‐resident Rate all inclusive*$2,300 $2,300 *Sales tax not included in the rental fee g.Swim Lesson Program: Fees and associated descriptions are published in the "What's Happening " Renton Activities Guide h.End‐of‐year School Party Rentals: (i) Renton School District (1) 001 ‐ 299 students $1,900 $1,900 (2) 300 ‐ 399 students $2,250 $2,250 (3) 400 ‐ 499 students $2,400 $2,400 (4) 500 ‐ 599 students $2,550 $2,550 (ii) Other Schools and Districts (1) 001 ‐ 299 students $2,450 $2,450 (2) 300 ‐ 399 students $2,850 $2,850 (3) 400 ‐ 499 students $3,150 $3,150 (4) 500 ‐ 599 students $3,360 $3,360 2. Boat Launch Rates: a.Daily resident ‐ 7 days a week $10 $10 b.Daily Non‐resident ‐ 7 days a week $20 $20 c.Overnight resident ‐ 7 days a week $20 $20 d.Overnight Non‐resident ‐ 7 days a week $40 $40 e.Annual parking permit ‐ resident $60 $60 f.Annual parking permit ‐ non‐resident $120 $120 g.Additional sticker (launching permit)$5 $5 h.$50 $50 SECTION V. CARCO THEATER (REPEALED)2019 2020 SECTION VI. PARKS AND FACILITIES USE AND RENTAL 2019 2020 1. Outlying Picnic Shelters (Cedar River Trail, Liberty Park, Phillip Arnold Park, Teasdale Park and Heritage Park) Maximum of 50 people: a.Resident 8:30am‐1:30pm/3:30pm‐8:30pm $90 $90 b.Non‐resident 8:30am‐1:30pm/3:30pm‐8:30pm $180 $180 2. Gene Coulon Beach Park Shelters (South #1, South #2 and Creekside) Maximum of 75 people: a.Resident 8:30am‐1:30pm/3:30pm‐8:30pm $100 $100 *Group Rates: Group rates offer guaranteed admission for the group. In order to qualify for a group rate, the group must consist  of ten (10) or more persons, and the session must be scheduled in advance. Please note that the number of groups may be  limited each day. Staff has the authority to offer discounted daily rates for partial sessions or Renton‐only events. Fishing Tournaments at Coulon Beach (additional rental fee if using the Pavilion area for weigh in and or electricity at the current  rental rate) per event 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)3 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION VI. PARKS AND FACILITIES USE AND RENTAL (CONTINUED)2019 2020 b.Non‐resident 8:30am‐1:30pm/3:30pm‐8:30pm $180 $180 e.South Shelters 1 & 2 Resident rate $300 $300 f.South Shelters 1 & 2 Non‐resident rate $600 $600 3. Gene Coulon Beach Park Shelters (North Shelter): a.Resident 8:30am‐1:30pm/3:30pm‐8:30pm $120 $120 b.Non‐resident 8:30am‐1:30pm/3:30pm‐8:30pm $240 $240 c.Full day resident 8:30am‐sunset under 75 people $160 $160 e.Full day non‐resident 8:30am‐sunset under 75 people $320 $320 4. Tennis, Basketball and Sand Volleyball court rate per hour (Tournament Play Only): a.Tennis court $10 $10 b.Park basketball court $10 $10 c.Sand volleyball court $10 $10 5. Catering and Event Rate (All city parks apply): a.Resident half day $200 $200 b.Resident full day $350 $350 c.Non‐resident half day $400 $400 d.Non‐resident full day $700 $700 6. a.Each $50 $50 7. a.Resident rate per hour $10 $10 b.Non‐resident rate per hour $25 $25 c.Special Event Permit Fee $85 $85 8. Piazza Park Open Space Event Rental a.Full day rental  10am ‐ 7pm $500 $500 9. Photo Shoots per hour: a.Commercial Film and Photo Shoots per hour $300 $300 10. Electrical Spider Box rental: a.      Electrical spider box rental per box, per event, with special event approval $100 $100 11. Athletic Field Rental, Lights and Prep Fees: a.Sports field rental per hour ‐ resident $25 $25 b.Sports field rental per hour ‐ non‐resident $30 $30 c.Renton Area Youth Sports Agencies, per hour $6 $6 d.Field prep for softball/baseball ‐ resident per occurrence $30 $30 e.Field prep for soccer ‐ resident per occurrence $45 $45 f.Custom Field prep ‐ resident per occurrence $100 $100 g.Field prep for softball/baseball ‐ non‐resident per occurrence $35 $35 h.Field prep for soccer ‐ non‐resident per occurrence $50 $50 i.Custom Field prep ‐ non‐resident per occurrence $100 $100 j.Field lights all sports ‐ resident per hour $25 $25 k.Field lights all sports ‐ non‐resident per hour $30 $30 12. Banquet & Classroom Rental ‐ Community Center & Senior Activity Center: a.Friday evening 5 hour minimum ‐ resident $650 $650 b.Weekend Rates 10 hour minimum ‐ resident $1,300 $1,300 c.Extra hours ‐ per hour ‐ resident $130 $130 d.Friday 5 hour minimum ‐ non‐resident $750 $750 e.Weekend Rates 10 hour minimum ‐ non‐resident $1,500 $1,500 f.Extra hours ‐ per hour ‐ non‐resident $150 $150 g.Kitchen charge ‐ per hour $100 $100 h.Banquet Room ‐ Mon ‐ Fri ‐ daytime ‐ resident/hr 3 hour min $85 $85 i.Banquet Room ‐ Mon ‐ Fri ‐ daytime ‐ non‐resident/hr 3 hour min $90 $90 j.Damage deposit $550 $550 k.Contract violation fee ‐ per hour $200 $200 l.Cancellation Fee ‐ Less than 90 days $550 $550 13. Classroom and Gymnasium Rental ‐ Renton Community Center: a.Resident single gym athletic ‐ per hour $45 $45 b.Non‐resident single gym athletic ‐ per hour $50 $50 c.Resident double gym athletic ‐ per hour $90 $90 d.Non‐resident double gym athletic ‐ per hour $100 $100 e.Resident single gym non‐athletic $550 $550 f.Non‐resident single gym non‐athletic $675 $675 g.Resident double gym non‐athletic $1,100 $1,100 h.Non‐resident double gym non‐athletic $1,350 $1,350 i.Carpet fee single gym ‐ resident & non‐resident $325 $325 j.Carpet fee double gym ‐ resident & non‐resident $650 $650 k.Classroom resident $35 $35 l.Classroom Non‐resident $40 $40 14. Birthday Party Packages: a.Party package ‐ resident $65 $65 b.Party package ‐ non‐resident $75 $75 Inflatable and big toy rate:  Note: Along with rental fee for the use of City facility for each inflatable or big toy, Applicant or Renter shall provide proof of  insurance naming the City of Renton as additional insured. Open Space Area in the Parks (Cascade, Teasdale, Phillip Arnold, Cedar River, Earlington, Gene Coulon, Glencoe, Kennydale Lions,  Sunset, and Riverview Parks): 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)4 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION VI. PARKS AND FACILITIES USE AND RENTAL (CONTINUED)2019 2020 15. Facility Rental ‐ Neighborhood Center: a.Meeting room ‐ resident $35 $35 b.Gymnasium ‐ resident $35 $35 c.Meeting room ‐ non‐resident $40 $40 d.Gymnasium ‐ non‐resident $40 $40 16. Farmer's Market a.10x10 Lot $40 $40 b.Half Lot $20 $20 c.Application fee $30 $30 d.Electrical fee $5 $5 SECTION VII. COMMUNITY CENTER PASS CARD & FEES 2019 2020 Fees and associated descriptions are published in the "What's Happening " Renton Activities Guide SECTION VIII. AIRPORT CHARGES 2019 2020 1.Airport Fuel Flow Charge:  per gallon $0.08 $0.08 2.JetA Fuel Flow Charge:  per gallon $0.10 $0.10 3.Transient airplane parking daily $8 $8 4.Hangar wait list, one time fee $100 $100 5.Tie‐down wait list, one time fee $25 $25 6.Lost gate card fee per occurrence $50 $50 7.T‐Hangar, Non‐Refundable Move‐in Fee $250 $250 8.Penalty for violation of Minimum Standards/Airport Rules & Regulations (each occurrence)$500 $500 9.Penalty for Movement Area Incursions (each occurrence), assessed to sponsor/tenant $500 $500 SECTION IX. ANIMAL LICENSES FEES* ‐ RMC 5‐4‐2 2019 2020 1.Altered Animal Annual License $30 $30 2.Unaltered Animal Annual License $50 $50 3.Economically Qualified Resident Special Lifetime License $0 $0 4.Duplicate Tag $10 $10 5.Late Charge $30 $30 SECTION X. BUSINESS LICENSES 2019 2020 1. General Business License: a.Registration Fee $150 $150 b.Appeal of Business License Decision $250 $250 2. Penalties: a.The penalty to reinstate an expired business license $50 $50 b.The penalty  for failure to obtain a business license $250 $250 c. SECTION XI. ADULT ENTERTAINMENT LICENSES 2019 2020 1. Every person applying for a adult entertainment license  shall pay the applicable nonrefundable application fee: a.Adult Entertainment Business License $750 $750 b.Entertainer $75 $75 c.Manager $75 $75 d.License Replacement $10 $10 2. Penalties: a.Civil Penalty, per violation $1,000 $1,000 SECTION XII. DEVELOPMENT FEES 2019 2020 1. Building Fees: a.Building Permit Fees:1 (i) Base Fee/Valuation $1.00 to $500.00 $28 $28 (ii) Valuation $501.00 to $2,000.00 $28 + $3.65 x each  $100 value $28 + $3.65 x each  $100 value (iii) Valuation $2001.00 to 25,000.00 $82.75 + $16.75 x  each $1,000 value $82.75 + $16.75 x  each $1,000 value (iv) Valuation $25,001.00 to $50,000.00 $468 + $12 x each  $1,000 value $468 + $12 x each  $1,000 value (v)Valuation $50,001.00 to $100,000.00 $768 + $8.35 x each  $1,000 value $768 + $8.35 x each  $1,000 value (vi) Valuation $100,001.00 to $500,000.00 $1,185.50 + $6.70 x  each $1,000 value $1,185.50 + $6.70 x  each $1,000 value (vii) Valuation $500,001.00 to $1,000,000.00  $3,865.50 + $5.65 x  each $1,000 value $3,865.50 + $5.65 x  each $1,000 value 5%‐15%5%‐15% *Please note, impounded animals are subject to license fees, microchipping costs, and other out‐of‐pocket costs as specified in  RMC 6‐6‐2. Failure to pay the license fee within one day after the day on which it is due and payable pursuant to subsection C7 of  Chapter 5 of the RMC shall render the business enterprise subject to a penalty of (5%) of the amount of the license fee for the  first month of the delinquency and an additional penalty of (5%) for each succeeding month of delinquency, but not  exceeding a total penalty of (15%) of the amount of such license fee. 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)5 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 1. Building Fees: (continued) (viii) Valuation $1,000,001.00 and up $6,690.50 + $4.35 x  each $1,000 value $6,690.50 + $4.35 x  each $1,000 value b.Combination Building Permit Fees*1 (i) Plumbing up to 3,000 sq ft $250 $250 (ii) Plumbing over 3,000 sq ft $275 $275 (iii) Mechanical up to 3,000 sq ft $200 $200 (iv) Mechanical over 3,000 sq ft $225 $225 (v) Electrical up to 3,000 sq ft $225 $225 (vi) Electrical over 3,000 sq ft $275 $275 * Combination Building Permit fees are required for each new single family residential structure c.Building Plan Check Fee 1 (i) Initial Building Plan Check Fee*65% of permit fee 65% of permit fee (ii) Additional Building Plan Check Fee 50% of initial plan  Check Fee 50% of initial plan  Check Fee d.Demolition Permit Fee: (i) Residential $122 $122 (ii) Commercial $265 $265 e.State Building Code Fee: (i) Non‐residential projects:$25 $25 (ii) Residential projects:$6.50 $6.50 (1) Each additional unit after first unit:$2 $2 f.Electrical Permit Fees: (i) Residential Fees ‐ Single ‐Family and Duplex (1)New Service ‐ Single Family and Duplex 1 (a) Up to 200 AMP $212 $212 (b) Over 200  AMP $225 $225 (2) Service Changes/New Circuits ‐ Single Family and Duplex: (a) Change up to 200 AMP $165 $165 (b) Change over 200 AMP $175 $175 (c) Any new circuits added to above price is per each up to a maximum of $80.00 $20 $20 (d) Minimum fee for remodel/addition of new circuits without a service charge $165 $165 (ii) Multi‐Family, Commercial and Industrial Fees: (1)Value of work: $1.00 to $500.00 $63 $63 $500.01 to $1,000.00 $47 + 3.5% of  value $47 + 3.5% of  value $1,000.01 to 5,000.00 $82 + 3.05% of  value $82 + 3.05% of  value $5,000.01 to $50,000.00 $234 + 1.8% of  value $234 + 1.8% of  value $50,000.01 to $250,000.00 $1,127 + 1.05% of  value $1,127 + 1.05% of  value $250,000.01 to $1,000,000.00 $3,752 + 0.85% of  value $3,752 + 0.85% of  value $1,000,000.01 and up $12,152 + 0.47% of  value $12,152 + 0.47% of  value (iii)Temporary Electrical Services $165 $165 (iv) Miscellaneous Electrical Fees (1) Job Trailers $165 $165 (2) Signs per each $165 $165 (3) Mobile Homes $165 $165 (4)50% of commercial  fees Minimum $165 50% of commercial  fees Minimum $165 g.House Moving* ‐ minimum per hour Inspection Fee:$150 $150 h.Inspection Fee For Condominium Conversions $150 on 1st unit /  $20 each add'l unit $150 on 1st unit /  $20 each add'l unit i.Manufactured/Mobile Home Installation Fees*: (i)Within a manufactured home park $150 $150 (ii) Outside of a manufactured home park Building Permit  Fees Building Permit  Fees * Building Plan Check Fee is in addition to the building permit fees and combination building permit fees.  The plan check  fee is equal to 65% of the building permit fee or the combination building permit fee.  Includes three (3) review cycles. Low Voltage Work (e.g., alarm systems; thermostats; computer, data, or phone lines; fiber optics, cable  television, etc.) Exemption: Residential telephone communication systems, thermostats, security systems, and cable television installations  are exempt from fees *This covers only the Building Section inspection of the structure prior to move. There is a separate additional fee charged  by the Public Works Department to cover the actual house move permit. A building permit is also required in order to site  the structure on the new site. 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)6 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 1. Building Fees: (continued) j.Mechanical Permit Fees:1 (i) Residential ‐ Mechanical Permit base fee plus itemized fees below:$52 $52 (1)$20 $20 (2) Boiler or Compressor $20 $20 (3)$20 $20 (4) Ventilation/exhaust fan $20 $20 (5) Fuel Gas Piping (each gas piping system up to 6 outlets)$20 $20 (ii) Commercial or Multi‐Family ‐ Mechanical Permit base fee plus itemized fees below:$75 $75 (1)$35 $35 (2) Boiler or Compressor $75 $75 (3) Refrigeration System $75 $75 (4)$75 $75 (5) Incinerator: Installation or relocation of each  $100 $100 (6)$35 $35 (7) Fuel Gas Piping (each gas piping system up to 6 outlets)$35 $35 k.Plumbing Permit Fees:1 (i) Residential ‐ Plumbing Permit base fee plus itemized fees below:$52 $52 (1)$10 $10 (2) Water Service: For meter to house $10 $10 (3) Per fixture for repair or alteration of drainage or vent piping $10 $10 (4) Per drain for rainwater systems   $10 $10 (5) Per lawn sprinkler system, includes backflow prevention $10 $10 (6) Per vacuum breaker or backflow protection device on tanks, vats, etc.$10 $10 (7) Per interceptor for industrial waste pretreatment $10 $10 (8) Fuel Gas Piping: (each gas piping system up to 6 outlets)$20 $20 (ii) Commercial or Multi‐Family: Plumbing Permit base fee plus itemized fees below:$75 $75 (1)Per plumbing fixture (e.g., sink, shower, toilet, dishwasher, tub, etc.) or set of fixtures on one trap $15 $15 (2) Water Service: For meter to building $15 $15 (3) Per fixture for repair or alteration of drainage or vent piping $15 $15 (4) Per drain for rainwater systems   $15 $15 (5) Per lawn sprinkler system, includes backflow prevention $15 $15 (6) Per vacuum breaker or backflow protection device on tanks, vats, etc.$15 $15 (7) Per interceptor for industrial waste pretreatment $15 $15 (8) Fuel Gas Piping: (each gas piping system up to 6 outlets)$25 $25 (9) Medical Gas Piping: (each gas piping system up to 6 outlets)$75 $75 l.Sign Permit Fees: (i) Permanent Signs: (1) Roof, projecting, awning, canopy, marquee, and wall signs $250 $250 (2) Freestanding ground and pole signs  $250 $250 (ii) Temporary and Portable Signs: (1) Real Estate Directional Signs, pursuant to RMC 4‐4‐100J2, permit valid for a 12‐months period $75 $75 (2) Grand Opening Event Signs, pursuant to RMC 4‐4‐100J6d(i) $75 $75 (3) Event Signs, pursuant to RMC 4‐4‐100J6d(ii) and (iii) per sign, per promotion $50 $50 (4)$125 $125 (5) Commercial Property Real Estate Banner each sign permit is valid for 12 months.$75 $75 (6) Decorative Flags fee is per entrance and valid until flag(s) are removed $75 $75 (iii) Request for Administrative Modifications of City Center Sign Regulations per RMC 4‐4‐100H9:$250 $250 m.Miscellaneous Fees: (i) Inspection Fees: (1) Minimum Housing Inspection $125 $125 (2) WABO ‐ Adult Family Home; Misc building inspection $125 $125 (3) Reinspection Fee; Misc building inspection $125 $125 (ii) Plan Review Fees: (1) Electrical, Plumbing, or Mechanical Permits (percentage of permit fee)40%40% (2) Additional Plan Review Fees: Over three review cycles (percentage of plan review fee)50%50% (3) Miscellaneous Plan Review: hourly fee.$125/hr $125/hr (iii)2 X Permit Fee 2 X Permit Fee 2. Land Use Review Fees: a.General Land Use Review: (i) Additional Animals Permit $50 $50 (ii) Address Change $100 $100 (iii) Annexation: (1) Less than 10 acres $5,000 $5,000 Heating system (furnace, heat pump, suspended heater, fireplace, wood stove, etc.).  A/C system (air  conditioner, chiller or Air Handling Unit (VAV) including ducts and vents) Commercial Hood: Installation of each served by a mechanical exhaust, including the ducts for such hood each  Appliance or piece of equipment regulated by this code but not classed in other appliance categories, or for  which no other fee is listed in this code Per plumbing fixture (e.g., sink, shower, toilet, dishwasher, tub, etc.) or set of fixtures on one trap A‐Frame Signs, pursuant to RMC 4‐4‐100J5 Charge is for the first sign, all subsequent signs are $50.00 Work commencing before permit Issuance:  Where work for which the permit is required is started prior to  obtaining the permit, a special investigation fee in an amount equal to twice the permit fee shall be charged. The  special investigation fee shall be paid in addition to the required permit fees. *  Includes plan review and inspection fees for the foundation (electrical, plumbing, mechanical, sewer and water  connection fees are in addition to the below amounts). Heating system (furnace, heat pump, suspended heater, fireplace, wood stove, etc.).  A/C system (air  conditioner, chiller or Air Handling Unit (VAV) including ducts and vents) Appliance or piece of equipment regulated by this code but not classed in other appliance categories, or for  which no other fee is listed in this code 1Per Resolution 4359, fees for an Accessory Dwelling Unit (ADU) will be assessed at 50%; fees will be waived for every third ADU created within a subdivision of ten or more  lots and vested as of the adoption date of Res. 4359, through December 31, 2020. 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)7 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 2. Land Use Review Fees: (Continued) (2) 10 acres or more $5,000 $5,000 (iv) Appeal (or reconsideration) of: (1) Hearing Examiner's Decision $500 $500 (2) Administrative Decision $500 $500 (3) Environmental Decision $500 $500 (v) Binding Site Plan (total fee for both preliminary and final phases)$5,140 $5,280 (vi) Code Text Amendment N/C N/C (vii) Comprehensive Plan Map or Text Amendment (each)$5,000 $5,000 (viii) Conditional Use Permit: (1) HEX $3,080 $3,170 (2) Administrative 3 $1,540 $1,580 (ix) Critical Areas Exemption N/C N/C (x) Critical Areas Permit $1,200 $1,200 (xi)100% of 100% of  contract cost contract cost (xii) Development Agreement $10,000 $10,000 (xiii)100% of cost 100% of cost (xiv) Environmental Checklist Review $1,540 $1,580 (xv) Environmental (SEPA) Addendum $1,540 $1,580 (xvi) Fence Permit (special)$150 $150 (xvii) Grading and Filling Permit (Hearing Examiner)$5,140 $5,280 (xviii) Landscape Review Fee $150 $150 (xix) Legal Lot Segregation N/C N/C (xx) Lot Consolidation $500 $500 (xxi) Lot Line Adjustment $1,030 $1,060 (xxii)Manufactured/Mobile Home Park: (1) Tentative $1,030 $1,060 (2) Preliminary $3,080 $3,170 (3) Final $1,540 $1,580 (xxiii)Open Space Classification Request $150 $150 (xxiv) Plats: (1) Short Plat (total fee for both preliminary and final phases)$5,140 $5,280 (2) Preliminary $10,280 $10,570 (3) Final Plat $5,140 $5,280 (xxv) Planned Urban Development: (1) Preliminary Plan $5,140 $5,280 (2) Final Plan $2,570 $2,640 (3) Reasonable Use Exception: (a) In conjunction with land use permit $500 $500 (b) Stand alone $1,500 $1,500 (xxvi) Public Arts Exemption N/C N/C (xxvii) Rezone  $5,000 $5,000 (xxix) Routine Vegetation Management Permit without Critical Areas  $100 $100 (xxx) Shoreline‐Related Permits: (1) Shoreline Permit Exemption N/C N/C (2) Substantial Development Permit $2,570 $2,640 (3) Conditional Use Permit $3,080 $3,170 (4) Variance $3,080 $3,170 (xxxi) Site Development Plan (Site Plan or Master Plan  which includes design review fee for projects subject to RMC 4‐3‐100): (1)Hearing Examiner Review $3,600 $3,700 (2) Administrative Review  $2,570 $2,640 (3) Modification (minor, administrative) $250 $250 (4)Application Application  Fees Fees (xxxii) Small Cell Permit, per site 4 $500 $500  (xxxiii) Special Permit (Hearing Examiner) $2,570 $2,640 (xxxiv) Street Naming (Honorary)$250 $250 (1) Application $250 $250 (2) Installation $250 $250 (xxxv) Temporary Use Permits: (1) Tier 1 $100 $100 (2) Tier 2 $200 $200 (xxxvi) Variance (per each variance requested) Administrative or Hearing Examiner $1,300 $1,300 (xxxvii) Waiver or Modification of Code Requirements cost is per request $250 $250 (xxxviii) Zoning Compliance Letter $460 $470 b. Critical Areas Review Fee:  for those projects that propose impacts to critical areas and will be billed at the cost of  contract biologist’s review.1 Environmental Impact Statement Cost include the coordination, review and appeal. Draft and Final 2 Modification (major) required new application and repayment of fee required Exception for Projects Vested in the County: For those projects that have vested to a land use permit under the development  regulations of King County, the King County Land Use Review Fee Schedule shall apply, and is hereby adopted by reference. A  copy of that fee schedule has been filed with the City Clerk and is available at the City Clerk’s office for public review. 1Per RMC 4‐3‐050F7, the City may charge and collect fees from any applicant to cover costs incurred by the City in review of plans, studies, monitoring reports and other  documents related to evaluation of impacts to or hazards from critical areas and subsequent code‐required monitoring. 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)8 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 2. Land Use Review Fees: (Continued) 3. Public Works Fees: a.Franchise Application Fee*$5,000 $5,000 b.Franchise Permit Fees: 1,2 (i) Small work, including trenching less than 60 linear feet or installation of 6 or less utility poles $600 $600 (ii) All other work permit fee plus $60 per hour of inspection.$600 $600 1Bond required pursuant to RMC 9‐10‐5 c.Latecomers' Agreement Application Fees: (i) Processing fee* (Nonrefundable)  (1) If amount covered by latecomers’ is $50,000 or less $1,000 $1,000 (2) If amount covered by latecomers' is between $50,000 and $200,000 $2,000 $2,000 (3) If amount covered by latecomers' is greater than $200,000 $4,000 $4,000 (ii) Latecomers' Agreement – Administration and collection fee  (1) if amount covered by latecomers' is $50,000 or less 15% of total 15% of total (2) If amount covered by latecomers' is between $50,000 and $200,000 10% of total 10% of total (3) If amount covered by latecomers' is greater than $200,000 5% of total 5% of total (iii) Segregation processing fee, if applicable $750 $750 d.System Development Charge Tables: (i) Water and Wastewater System Development Charges: (1)5/8 x 3/4 inch and 1 inch: (a) Water service fee3 $4,050 $4,400 (b) Fire service fee 1,2 $518 $563 (c) Wastewater fee3 $3,100 $3,400 (2) 1‐1/2 inch: (a) Water service fee3 $20,250 $22,000 (b) Fire service fee 1,2 $2,591 $2,815 (c) Wastewater fee3 $15,500 $17,000 (3) 2 inch: (a) Water service fee3 $32,400 $35,200 (b) Fire service fee 1,2 $4,146 $4,504 (c) Wastewater fee3 $24,800 $27,200 (4) 3 inch: (a) Water service fee3 $64,800 $70,400 (b) Fire service fee 1,2 $8,292 $9,008 (c) Wastewater fee3 $49,600 $54,400 (5) 4 inch: (a) Water service fee3 $101,250 $110,000 (b) Fire service fee 1,2 $12,956 $14,075 (c) Wastewater fee3 $77,500 $85,000 (6) 6 inch: (a) Water service fee3 $202,500 $220,000 (b) Fire service fee 1,2 $25,911 $28,150 (c) Wastewater fee3 $155,000 $170,000 (7) 8 inch: (a) Water service fee3 $324,000 $352,000 (b) Fire service fee 1,2 $41,458 $45,041 2When the City is the lead agency for a proposal requiring an Environmental Impact Statement (EIS) and the Environmental Review Committee (ERC) determines that the EIS  shall be prepared, the City may charge and collect a reasonable fee from any applicant to cover costs incurred by the City in preparing the EIS. The ERC shall advise the  applicant(s) of the projected costs for the EIS prior to actual preparation; the applicant shall post bond or otherwise ensure payment of such costs. The ERC may determine  that the City will contract directly with a consultant for preparation of an EIS, or a portion of the EIS, and may bill such costs and expenses directly to the applicant. Such  consultants shall be selected by mutual agreement of the City and applicant after a call for proposals. If a proposal is modified so that an EIS is no longer required, the ERC  shall refund any fees collected under this subsection which remain after incurred costs are paid. The City may collect a reasonable fee from an applicant to cover the cost of  meeting the public notice requirements of this Title relating to the applicant’s proposal. The City shall not collect a fee for performing its duties as a consulted agency. The  City may charge any person for copies of any document prepared under this Title, and for mailing the document, in a manner provided by chapter 42.17 RCW. 3Per Resolution 4359, fees for an Accessory Dwelling Unit (ADU) will be assessed at 50%; fees will be waived for every third ADU created within a subdivision of ten or more  lots and vested as of the adoption date of Res. 4359, through December 31, 2020. 4Prior to issuance of a small cell permit, the applicant shall pay the actual administrative expenses incurred by the City that are directly related to the City's review of the  application, including plan inspection, and approval, as authorized by RCW 35.21.860(1)(b), as may be amended. *The fixed application fee established herein is intended to cover the City’s internal administrative costs in processing and  administering the franchise.  In addition to the fixed application fee, the City may require applicants to either directly pay  or reimburse the City for external costs reasonably incurred to process the application and/or administer the franchise  agreement.  The City may require applicants to deposit funds in advance to cover legal and/or other professional services  fees as they are incurred. If a franchise agreement does not specify the fee amount, the generic fee, as identified in the following table, shall be collected:  2The City may decide to contract with a consultant to perform plan reviews and inspections and may bill such costs and  expenses directly to the applicant. *The administration and collection fee is deducted from each individual latecomer fee payment and the balance forwarded  to the holder of the latecomer’s agreement pursuant to RMC 9‐5, Tender of Fee. 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)9 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 3. Public Works Fees: (continued) (c) Wastewater fee3 $248,000 $272,000 (ii) Storm Water System Development Charges: (1) New single family residence (including mobile/manufactured homes)3 $1,800 $1,900 (2) (3)$0.720 $0.760 per sq foot per sq foot e.Administrative Fees for SDC Segregation Request* $750 +  administrative costs   $750 +  administrative costs  f. (i) Water Construction Permit Fees:1 (1) Water meter tests for 3/4” to 2" meter $50 $50 (a) Water meter tests on meters 2" or larger $60 deposit + time  and materials $60 deposit + time  and materials (b) Open and close fire hydrants for fire flow tests conducted by others. Time and materials Time and materials (c) Water service disconnection (cut at main)$275 $275 (d) Meter resets $95 $95 (e) Repair of damage to service $250 $250 (f) Water main connections $560 $560 (g) Water main cut and cap $1,025 $1,025 (h) Water quality/inspection/purity tests $80 $80 (i) Specialty water tests (lead, copper, etc)Cost of test + $70  processing fee Cost of test + $70  processing fee (j) Water turn ons/offs after hours $185 $185 (k) Installation of isolation valve. $2,000 deposit +  time and materials $2,000 deposit +  time and materials (l)$250 + $0.15 $250 + $0.15  per lineal per lineal  foot foot (m) Miscellaneous water installation fees. Time and materials Time and materials (n) Service size reductions $50 $50  (o) Installation fees for ring and cover castings $200 $200  (2) Water meter installation fees – City installed:  (a) 3/4” meter installed by City within City limits. Installation of stub service and meter setter only.$2,875 $2,875 (i) 3/4" meter drop in only $400 $400 (b) 3/4” meter installed by City outside City limits. Installation of stub service and meter setter only.$2,935 $2,935 (i) 3/4" meter drop in only $400 $400 (c) 1” meter installed by the City.  Installation of stub service and meter setter only.$2,875 $2,875 (i) 1" meter drop in only $460 $460 (d) 1‐1/2" meter installed by the City. Installation of stub service and meter setter only.$4,605 $4,605 (i) 1‐1/2” meter drop in only $750 $750 (e) 2” meter installed by the City. Installation of stub service and meter setter only.$4,735 $4,735 (i) 2" meter drop in only $950 $950 (3)$220 $220 (4) Hydrant Meter fees: (a) Hydrant meter permit fee $50 $50 (b) Deposits: (i)3/4” meter and backflow prevention assembly.$500 $500 (ii) 3” meter and backflow prevention assembly.$2,000 $2,000 (iii) Deposit processing charge, nonrefundable.$25 $25 (c) Meter rental (begins on day of pickup): (i) 3/4” meter and backflow prevention assembly. Per month.$50 $50 (ii) 3” meter and backflow prevention assembly. Per month.$250 $250 (ii) Wastewater and Surface Water Construction Permit Fees:1 (1) Residential: (a) Wastewater permit fee $350 $375 (b) Surface water permit fee $350 $375 (2) Commercial: (a) Wastewater permit fee $350 $375 (b) Surface water permit fee $350 $375 $0.760 per sq foot All other uses charge per square foot of new impervious surface, but not less than $1,800 (2019) or $1,900  (2020) 1 Based upon the size of the fire service (NOT detector bypass meter) 2 Unless a separate fire service is provided, the system development charge(s) shall be based upon the size of the meter installed and a separate fire service fee will not  be charged. 3Per Resolution 4359, fees for an Accessory Dwelling Unit (ADU) will be assessed at 50%; fees will be waived for every third ADU created within a subdivision of ten or  more lots and vested as of the adoption date of Res. 4359, through December 31, 2020. *The applicant shall pay the City’s administrative costs for the preparation, processing and recording of the partial payment  of the fee(s). If the same segregation is used for more than one utility’s special assessment district, and/or latecomer’s  charge, then only one administrative fee is collected. Addition to existing single family residence greater than 500 square feet (including mobile/manufactured  homes) Fee not to exceed $1,800 (2019) or $1,900 (2020) $0.720 per sq foot Public Works Construction Permit Fees:   New water line chlorination fee. Fee plus $0.15 per lineal foot for any footage after the first two hundred fifty (250) lineal feet Water meter processing fees – Applicant installed: For meters larger than 2”, the applicant must provide materials  and installs.   2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)10 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 3. Public Works Fees: (continued) (3) Industrial: (a) Wastewater permit fee $350 $375 (b) Surface water permit fee $350 $375 f. (ii) Wastewater and Surface Water Construction Permit Fees:1 (continued) (4) Repair of any of the above (a) Wastewater permit fee $350 $375 (b) Surface water permit fee $350 $375 (5) Cut and cap/Demolition permit: (a) Wastewater permit fee $350 $375 (b) Surface water permit fee $350 $375 (6)$350 $375 (7)$350 $375 plus King County plus King County sewer rate sewer rate on discharged on discharged amount amount (iii) Right‐of‐way Permit Fees: (1) Single family residence $325 $325 (2) All other uses, excluding those listed $625 $625 (3) Wastewater or storm water service $350 $375 (4) King County ROW Permits/Inspections: (a) Service Installation Only $1,025 $1,025 (b) Utility Extension per 100' of Length (Min 200' Length)$1,025 $1,025 (iv)$525 $525 (v) (1) Standard locate $500 $500 (2) Large project locate $1,000 $1,000 g. (i) (1) $150,000.00 or less 6% of cost 6% of cost (2) Over $150,000.00 but less than $300,000.00. $9,000 + 5% over  $150,000 $9,000 + 5% over  $150,000 (3) $300,000.00 and over. $16,500 + 4% over  $300,000 $16,500 + 4% over  $300,000 (ii)Standard or minor drainage adjustment review $550 $550  h.Grade and Fill License Fees: Fees shall be based on Tier. Grade and Fill Quantity New or Replaced  Hard Surface Tier < 50 cy < 2,000 sf 0 50 cy ‐ 499 cy 2,000 sf ‐ 4,999 sf 1 500 cy ‐ 4,999 cy 5,000 sf ‐ < 1 ac 2 5,000 cy ‐ 49,999 cy 1 ac ‐ < 2.5 ac 3 50,000 cy ‐ 99,999 cy 2.5 ac ‐ < 5 ac 4 100,000 cy and larger 5 ac and larger 5 (i) Review/Intake Fee: (1) Tier 0 N/A N/A (2) Tier 1 $466 $466 (3) Tier 2 $621 $621 (4) Tier 3 $932 $932 (5) Tier 4 $1,242 $1,242 (6) Tier 5 $1,553 $1,553 Ground water discharge (temporary connection to wastewater system for discharge of contaminated ground  water over 50,000 gallons) Rate plus billed for current Renton and King County sewer rate on discharged  amount (meter provided by property owner) Work in right‐of‐way – construction permit: Utility and street/sidewalk improvements: A bond is required, as  stipulated in RMC 9‐10‐5, Street Excavation Bond. Street light system fee, per new connection to power system  Exception: No permit fee shall be charged for individual homeowners for work in street rights‐of‐way for street tree or parking strip irrigation systems. No permit fee  shall be charged for moving pods or moving trucks in the right‐of‐way provided that they are in the right‐of‐way for no more than three (3) days. 1Per Resolution 4359, fees for an Accessory Dwelling Unit (ADU) will be assessed at 50%; fees will be waived for every third ADU created within a subdivision of ten or  more lots and vested as of the adoption date of Res. 4359, through December 31, 2020. Utility Locate Refresh Fee (Fee is due each time excavator calls in for locate refresh during 45‐day locate ticket) Public Works Construction Permit Fees:  (continued) Reinspection for Wastewater or Surface Water Permits < 7,000 sf 7,000 sf ‐ < 3/4 acre 3/4 ac ‐ < 1 ac 1 ac ‐ < 2.5 ac 2.5 ac ‐ < 5 ac 5 ac and larger Public works plan review and inspection fees 1,3: All developers, municipal or quasi‐municipal entities, or utility corporations or  companies, except those specifically exempted, shall pay fees under this Section. Exempted entities include City‐franchised  cable TV, cable modem, natural gas, telecommunications, and electrical power. The fee will be based upon percentages of the  estimated cost of improvements using the following formula.  Street and utility plan review and inspection fees; estimated construction cost 2: The applicant must submit  separate, itemized cost estimates for each item of improvement subject to the approval by the Public Works Plan  Review Section. 1Includes three (3) review cycles. Additional reviews will be charged $1,500 each. 2Construction cost shall be based on the City's bond quantity worksheet and shall include all project related improvements outside of the building envelopes, including,  but not limited to, all costs required to construct the following: paved parking lots, private sidewalks or walkways; private and public storm water management  facilities; temporary erosion and sedimentation control facilities; water quality facilities; public and private streets; public and private sanitary sewers; public water  main improvements; required off‐site street, bike and pedestrian improvements; street lighting improvements; required landscaping and street tree improvements;  and site grading and mobilization costs. 3If deemed necessary by the City in its sole discretion, the City will contract with one or more consultants to provide plan reviews and/or inspections with the related  costs and expenses payable by the applicant. Cleared or  Disturbed Area 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)11 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 3. Public Works Fees: (continued) (ii) Inspection/Issuance Fee: (1) Tier 0 N/A N/A (2) Tier 1 $444 $444 (3) Tier 2 $887 $887 (4) Tier 3 $1,183 $1,183 (5) Tier 4 $2,366 $2,366 (6) Tier 5 $3,550 $3,550 h. Grade and Fill License Fees: Fees shall be based on Tier. (continued) (iii) Solid Waste Fills:1.5 x plan 1.5 x plan  check fee check fee (iv) Annual Licenses of Solid Waste Fills:  1.5 x plan 1.5 x plan  check fee check fee i. (i) Filing fee $250 $250 (ii) Processing fee $250 $250 j. (i) Single family and two family uses annually, fee plus leasehold excise tax 1 if applicable $10.00 + LET1 $10.00 + LET1 (ii)0.5% x Value2 LET1 0.5% x Value2 LET1 (iii) (iv) Insurance Required:   (v) Exception for Public Agencies:  2Right‐of‐way value shall be based on the assessed value of the land adjoining the property as established by the King County Assessor k. (i) Filing fee $500 $500 (ii) Appraised Value of Vacated right‐of‐way: (1) Less than $25,000 $750 $750 (2) $25,000 to $75,000 $1,250 $1,250 (3) Over $75,000 $2,000 $2,000 l. (i) (ii) (iii) m.Water or Sewer ‐ Redevelopment: (i) Fee(s) based upon meter(s) proposed for final project minus fee(s) based upon meter existing on site. n.Miscellaneous Fees: (i) Re‐inspection Fee $125 $125 (ii) Plan Revision following Permit Issuance: (1)$250 $250 (2)$1,500 $1,500 0.5% x Value2 LET1 0.5% x Value2 LET1 Public Liability and property damage insurance is also required pursuant to RMC 9‐2‐5B, Minimum Permit  Requirements for Excess Right‐of‐Way Use. a no‐fee permit may be issued only when the applicant is a public agency  and when the proposed use of the right‐ of‐way provides a direct service to the public (e.g., Metro applications for right‐of‐way for bus shelters). 1There is hereby levied and shall be collected a leasehold excise tax on that act or privilege of occupying or using public owned real or personal property through a  leasehold interest at the rate established by the State of Washington Street and Alley vacation Fees: The imposition, collection, payment and other specifics concerning this charge are detailed in  chapter 9‐14 RMC, Vacations. The plan check fee for solid waste fills shall be one and one‐half (1‐1/2) times the plan checking fees listed above.  The fee for a grading license authorizing additional work to that under a valid license shall be the difference  between the fee paid for the original license and the fee shown for the entire project.  The fee for annual licenses for solid waste fills shall be one and one‐half (1‐1/2) times the plan checking fees listed  above. The fee for a grading license authorizing additional work to that under a valid license shall be the difference  between the fee paid for the original license and the fee shown for the entire project. Any unused fee may be  carried forward to the next year. If any work is done before the license is issued, the grading license fee shall be  doubled. Release of easement fees: The imposition, collection, payment and other specifics concerning this charge are detailed in  chapter 9‐1 RMC, Easements. Revocable Right‐of‐way Permit Fees: All uses without public benefit fee is a per month charge based on property value 2 of land to be utilized, plus  leasehold excise tax1, if applicable.  Uses with public benefit fee is a per year of assessed value of land adjoining the property, plus leasehold excise tax 1,  if applicable. In no case less than $10.00.  30% of system  development  charge 30% of system  development  charge Wastewater Fee; Annual fee equal to thirty percent (30%) of the current system development charge applicable to  the size of the temporary domestic water meter(s).* 30% of system  development  charge 30% of system  development  charge Processing and completion fee, payable upon Council approval of the vacation and upon administrative  determination of appraised value of vacated right‐of‐way. Temporary connections to a City utility system may be granted for a one‐time, temporary, short‐term use of a portion of the  property for a period not to exceed three (3) consecutive years: Storm Water Fee; Fee equal to thirty percent (30%) of the current system development charge applicable to that  portion of the property.* *Fee shall be paid annually (non‐prorated), and shall be nonrefundable, nontransferable (from one portion of the property to another) and shall not constitute a credit  to the system development charge due at the time of permanent use of the utility system. The application for temporary connection shall consist of a detailed plan and  a boundary line of the proposed development service area for use in the fee determination. Credit for existing water or sewer service: Any parcel that currently has water and or sewer service is eligible for a prorated  system development charge. Minor (Results in a change 10% or less than the cost of construction based on the City's bond quantity  worksheet. Excludes minor adjustments that are approved by the City to be shown on record drawings.) Major (Results in a change of greater than 10% of the cost of construction based on the City's bond quantity  worksheet.) Water Fee; Annual fee equal to thirty percent (30%) of the current system development charge applicable to the  size of the temporary water meter(s).* 30% of system  development  charge 30% of system  development  charge 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)12 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 3. Public Works Fees: (continued) (iii) Street Frontage Improvements Fee‐In‐Lieu: (1) Street with existing storm drainage main line $110/LF $113/LF (2) Street with existing conveyance ditch $125/LF $128/LF (iv)$125/hr $125/hr (v)Actual cost Actual cost 4. Technology Surcharge Fee 5.0%5.0% 5. Impact Fees: a. School Impact Fees: (i) Issaquah School District (1) Single Family Fee $15,276 $15,276$14,501 (2) Multi Family, Duplex, & Accessory Dwelling Fee (ADU)$4,399 $4,399$9,583 (ii) Kent School District (1) Single Family Fee $5,397 $5,397$5,554 (2) Multi Family, Duplex, & Accessory Dwelling Fee (ADU)$2,279 $2,279$2,345 (iii) Renton School District (1) Single Family Fee $6,877 $6,877$6,862 (2) Multi Family, Duplex, & Accessory Dwelling Fee (ADU)$2,455 $2,455$3,582 b. Transportation Impact Fees:1 (i) Light Industrial, per sq foot $6.84 $6.84 (ii)Apartment, per dwelling & Accessory Dwelling Unit (ADU)$4,836.31 $4,836.31 (iii) Church, per sq foot $3.86 $3.86 (iv)Coffee/Donut Shop, no drive up, per sq foot $159.19 $159.19 (v)Coffee/Donut Shop, with drive up, per sq foot $167.21 $167.21 (vi) Condominium & Duplexes per dwelling $4,064.56 $4,064.56 (vii)Convenience market ‐ 24 hour, per sq foot $159.71 $159.71 (viii)Daycare, per sq foot $70.39 $70.39 (ix)Drinking Place, per sq foot $44.31 $44.31 (x)Drive‐in bank, per sq foot $100.64 $100.64 (xi)Fast food, no drive‐up, per sq foot $102.14 $102.14 (xii) Fast food, with drive‐up, per sq foot $130.12 $130.12 (xiii)Gas station with convenience store, per pump $47,025.42 $47,025.42 (xiv)Gas station, per pump $62,872.06 $62,872.06 (xvi) General office, per sq foot $10.50 $10.50 (xvii)Health/fitness club, per sq foot $25.93 $25.93 (xviii) Hospital, per sq foot $5.62 $5.62 (xix)Hotel, per room $3,087.01 $3,087.01 (xx) Manufacturing, per sq foot $5.16 $5.16 (xxvi)Marina, per boat berth $1,646.41 $1,646.41 (xxi) Medical office, per sq foot $23.72 $23.72 (xxii) Mini‐warehouse, per sq foot $1.86 $1.86 (xxiii)Mobile home, per dwelling $4,630.52 $4,630.52 (xxiv) Motel, per room $2,829.76 $2,829.76 (xxv)Movie theater, per seat $463.06 $463.06 (xxvii)Nursing home, per bed $1,286.25 $1,286.25 (xxviii) Restaurant: sit‐down, per sq foot $43.89 $43.89 (xxix)Senior housing ‐ attached, per dwelling $2,109.46 $2,109.46 (xxx) Shopping center, per sq foot $19.14 $19.14 (xxxi)Single family house, per dwelling $7,820.42 $7,820.42 (xxxii) Supermarket, per sq foot $47.39 $47.39 c.Park Impact Fees:1 (i) Single family $3,945.70 $3,945.70 (ii) Multi‐family: 2 units, Duplexes, & Accessory Swelling Unit (ADU)$3,202.98 $3,202.98 (iii) Multi‐family: 3 or 4 units $3,048.25 $3,048.25 (iv) Multi‐family: 5 or more units $2,676.89 $2,676.89 (v) Mobile home $2,800.67 $2,800.67 d.Fire Impact Fees: (i) Residential ‐ single family (detached dwellings & duplexes), per dwelling unit $829.77 $829.77 (ii) Residential ‐ multi family & Accessory Dwelling Unit (ADU), per dwelling unit $964.53 $964.53 (iii) Hotel/motel/resort, per sq foot $1.29 $1.29 (iv) Medical care facility, per sq foot $3.92 $3.92 (v) Office, per sq foot $0.26 $0.26 (vi) Medical/dental office, per sq foot $1.99 $1.99 (vii) Retail, per sq foot $1.25 $1.25 (viii) Leisure facilities, per sq foot $2.36 $2.36 (ix)Restaurant/lounge, per sq foot $5.92 $5.92 After hours inspection (applies to inspections performed on Saturdays, Sundays, observed City of Renton holidays,  and non‐holiday Monday‐Fridays outside the hours of 7:00am to 3:30pm) Public Works Reimbursement (any work performed by City forces or under City contract on behalf of a permit  applicant to repair damage to the City infrastructure caused by the permit applicant or contractor under its control,  or any and all roadway or right‐of‐way cleanup efforts performed by City forces or under City contract that resulted  from the work performed by the permit applicant or contractors under its control. An additional technology surcharge shall be required for all fees included in the  following Subsections of Section XII, Development  Fees, of the City of Renton Fee Schedule Brochure: Subsection 1, Building Fees; Subsection 2, Land Use Review Fees, except for  appeals, critical areas review fee, and direct EIS costs; Subsections b, e, f, g and h of subsection 3, Public Works Fees; and Section  XIII, Fire Department Fire Marshall Fees 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)13 AGENDA ITEM #3. a) City of Renton Fee Schedule 2019‐2020 SECTION XII. DEVELOPMENT FEES (CONTINUED)2019 2020 5. Impact Fees: (continued) (x) Industrial/manufacturing, per sq foot $0.15 $0.15 (xi) Church, per sq foot $0.56 $0.56 (xii) Education, per sq foot $0.72 $0.72 (xiii) Special public facilities, per sq foot $4.48 $4.48 *(i)‐(ii) is per unit *(iii)‐(xiii) is per square foot SECTION XIII. FIRE DEPARMENT FIRE MARSHALL FEES (RFA)2019 2020 a.Fire plan review and inspection fees: (i) $0 to $249.99 $35 $35 (ii) $250.00 to $999.99 $35 + 2%  of the cost $35 + 2%  of the cost (iii) $1,000.00 to $4,999.99 $60 + 2%  of the cost $60 + 2%  of the cost (iv) $5,000.00 to $49,999.99 $175 + 1.5%  of the cost $175 + 1.5%  of the cost (v)$50,000.00 to $99,999.99 $400 + 1.2%  of the cost $400 + 1.2%  of the cost (vi) $100,000.00 and above $900 + .75%  of the cost $900 + .75%  of the cost (vii)$125 $125 (viii) (ix) (x) Preventable Fire alarm fee: (1) First, second, and third preventable alarms N/C N/C (2) Fourth and fifth preventable alarms in a calendar year, fee is per each alarm.$75 $75 (3)$150 $150 (xi) Late Payment Penalty $35 $35 b.Fire Permit type: (i)$100 $100 (ii) Hazardous materials and HPM facilities yearly $175 $175 (iii) Construction permit:  (iv) Replacement for lost permit, per each $35 $35 (v) (vi) Underground tank removal permit (commercial)See Fire plan  review and  construction permit  fees See Fire plan  review and  construction permit  fees (vii) Underground tank removal or abandonment‐in‐ place permit (residential)$84 $84 (viii)$125 $125  (ix) NSF check fees $25 $25  (xi)3%3% $250 1Per Resolution 4359, fees for an Accessory Dwelling Unit (ADU) will be assessed at 50%; fees will be waived for every third ADU created within a subdivision of ten or  more lots and vested as of the adoption date of Res. 4359, through December 31, 2020. Construction Re‐inspection. Fee is per hour with a 2 hour minimum. The minimum may be assessed if the requested  inspection does not meet the approval of the inspector. Violation/Second Re‐Inspection after 30‐day period (whenever 30 days or more have passed since Fire Department  notification of a violation, which required a first re‐inspection, and such violation has not been remedied or granted  an extension) $150 $150 Sixth preventable alarm and successive preventable alarms in a calendar year, fee is per each alarm. Operational fire code permit (issued in accordance with Section 105.6 of the IFC) fee is yearly (includes items such  as fire special events, covered stages, mobile food facilities, hot works, etc.) 20% of plan review  fee ‐ Min. $52 Third Re‐Inspection/Pre‐Citation Follow‐Up Inspection when re‐inspections are required beyond the first and  second re‐inspections $250 Other requested inspection when not required by the fire code.  Fee is per hour with a minimum 1 hr when  approved by the Fire Marshal, such as home daycares RFA technology surcharge fee applied to Fire Department Fire Marshal Fees, subsection a. (i, ii, iii, iv, v, vi) and  subsection b. (iii) 20% of plan review  fee ‐ Min. $52 Hazardous production materials permit (for businesses storing, handling, or using hazardous production materials as  regulated in the fire code) permit is yearly $175 $175 2019/2020 Fee Schedule (2019/2020 Mid-Bi BA)14 AGENDA ITEM #3. a)