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Be it Resolved by the City Council of the City of Everett: <br />Fund Department Amount Fund Department Amount <br />001 City Council 1,239.55 101 Parks & Recreation 11,140.54 <br />002 General Funds (1,629.81)110 Library 4,323.80 <br />003 Legal 14,174.90 120 Public Works - Streets 10,930.41 <br />004 Administration 6,250.00 130 Develop & Const Permit Fees 697.93 <br />005 Municipal Court 7,428.50 138 Hotel/Motel Tax Fund 3,842.77 <br />007 Human Resources 600.00 145 Cum Res/ Real Prop Acq.6,676.78 <br />009 Misc Financial Funds 322,574.78 146 Property Management 52,454.63 <br />010 Finance 11,250.29 148 Cum Res/Parks 60.20 <br />021 Planning & Community Dev 49,778.00 149 Senior Center Reserve 20,833.37 <br />024 Public Works-Engineering 36,744.03 151 Fund for Animals 5,618.50 <br />026 Animal Shelter 143.00 152 Cum Res/Library 106.76 <br />031 Police 5,114.73 153 Emergency Med Svc 297,545.56 <br />032 Fire 15,478.19 155 Capital Reserve Fund 8,057.39 <br />038 Facilities Maintenance 1,376.17 156 Criminal Justice 247,812.41 <br />303 Public Works Impr. Projects 251,079.34 <br />336 Water & Sewer Sys Improv Project 1,172,826.60 <br />342 City Facilities Const.10,269.16 <br />TOTAL GENERAL FUND 470,522.33$ 354 Parks Capital Const.16,351.68 <br />401 Public Works-Utilities 402,510.63 <br />402 Solid Waste Utility 2,258.63 <br />425 Public Works-Transit 27,045.76 <br />430 Public Works-Transit 18,515.44 <br />440 Golf 2,701.71 <br />450 Snoh River Regional Water Authority 2,040.00 <br />501 MVD - Trans Services 51,634.12 <br />503 Self-Insurance 2,404.50 <br />505 Computer Reserve 241,809.07 <br />507 Telecommunications 437.50 <br />508 Health Benefits Reserve 11,114.58 <br />637 Police Pension 20,837.00 <br />Councilperson introducing Resolution 638 Fire Pension 35,658.63 <br />665 Other Special Agency Funds 50,747.50 <br />Passed and approved this 21st day of January, 2026 <br />TOTAL CLAIMS 3,460,865.23 <br />Council President <br />Whereas the claims payable by checks against the City of Everett for the period December 20, 2025 through December 26, <br />2025, having been audited and approved by the proper officers, have been paid and the disbursements made by the same, <br />against the proper funds in payment thereof, as follows: <br />RESOLUTION NO. 8256 <br />Scott G. Bader