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HomeMy WebLinkAboutCONSENT Hearing Notice re Budget Appropriations Regular Agenda JEFFERSON COUNTY BOARD OF COUNTY COMMISSIONERS AGENDA REQUEST TO: Board of County Commissioners FROM: Adiel McKnight,Deputy Clerk of the Board DATE: October 6,2025 SUBJECT: HEARING NOTICE re: Proposed Appropriations/Extensions 3rd Quarter; Various County Departments; Scheduled for Monday, October 20,2025 at 10:00 a.m. in the Commissioners Chambers STATEMENT OF ISSUE: Various County Departments have requested increases to their 2025 budget. Per RCW 36.40.140 the Board of County Commissioners must hold a public hearing regarding the proposed budget changes. ANALYSIS: These budget changes are intended to address unanticipated revenues and expenditures of the requesting departments. The Hearing Notice was published in the Port Townsend Leader on October 8 and 15, 2025. FISCAL IMPACT: See attached department fund requests. RECOMMENDATION: Hear public testimony and consider approval of a resolution to adopt the 2025 03 Budget Appropriations on Monday, October 20, 2025 at 10:00 a.m. REVIEWED BY: 1 b s Jos . Peters, County Administrator Date Please publish(2)times: October 8 and 15, 2025 Contact Person: Adiel McKnight Bill to: Jefferson County Commissioners P.O. Box 1220 Port Townsend, WA 98368 NOTICE OF PUBLIC HEARING Budget Appropriation 2025-3rd Quarter; Various County Departments; Hearing scheduled for Monday, October 20, 2025 at 10:00 a.m. in the Commissioners Chambers (HYBRID) NOTICE IS HEREBY GIVEN that a public hearing is scheduled by the Jefferson County Board of Commissioners for MONDAY. October 20, 2025 at 10:00 a.m. in the Commissioners' Chambers, County Courthouse, 1820 Jefferson Street, Port Townsend, WA 98368 (HYBRID). Notice of said hearing is to be published in the official newspaper of Jefferson County. Various County Departments have requested increases to their 2025 budget. Per RCW 36.40.140 the BOCC must hold a public hearing regarding the proposed budget changes. This agenda item is to approve the public notice only; the individual changes will be reviewed at the public hearing. The information is available for viewing on the County website by visiting: www.co.jefferson.wa.us and follow this pathway—Services—Laserfiche Web Portal (username and password is: public)- Board of Commissioners—BOCC Agenda Packets—2025 Weekly Agenda Items— 10 October 2025 — 102025—HEARING re Budget Appropriations You are welcome to participate in this hearing. You will need to join the meeting by 10:00 a.m. using the following methods: VIRTUALLY: Via the following Zoom, link: https://zoom.us/j/93777841705, PHONE: Dial 1-253-215-8782 and enter access code: 937-7784- 1705# and press *9 to "raise your hand"to be called upon. Access for the hearing impaired can be accommodated using Washington Relay Service at 1-800-833-6384,or IN-PERSON at 1820 Jefferson Street,Port Townsend, WA 98368 (Commissioners Chambers) In addition, written testimony is also invited beginning on October 6, 2025 and ending on October 20, 2025 at the end of the Public Hearing, unless extended by the Board of County Commissioners. Written public testimony may be submitted by Email to: jeffbocc@co.jefferson.wa.us You may view testimony received by visiting: www.co.jefferson.wa.us and following this pathway—Services—Laserfiche Web Portal (username and password is: public)— Board of Commissioners—BOCC Agenda Packets—2025 Weekly Agenda Items— 10 October 2025 — 102025 —HEARING re Budget Appropriations You can also Mail your testimony to: Jefferson County Commissioners' Office; P.O. Box 1220, Port Townsend, WA 98368. Written testimony must be received by the Board of County Commissioners by the end of the hearing testimony period. Signed this 6th day of October, 2025 JEFFERSON COUNTY BOARD OF COMMISSIONERS /S/Heidi Eisenhour. Chair STATE OF WASHINGTON COUNTY OF JEFFERSON RESOLUTION APPROVING 2025-3rd QUARTR BUDGET APPROPRIATIONS RESOLUTION NO. FOR VARIOUS COUNTY DEPARTMENTS WHEREAS, the Jefferson County Board of Commissioners did on the 6th day of October, 2025,declare that a need existed for the listed expenses which are funded by additional sources which were not anticipated at the time of preparing said budgets; and such sources include unanticipated received from fees, or grants from the State and Federal government, or proceeds from the sale of bonds, or budgeted but unexpended monies from the prior budget year; and WHEREAS, RCW 36.40.100 authorizes supplemental appropriations, provided "the board shall publish notice of the time and date of the meeting at which the supplemental appropriations resolution will be adopted, and the amount of the appropriation, once each week, for two consecutive weeks prior to the meeting in the official newspaper of the county," and WHEREAS, a supplemental appropriation for 2025-3rd Quarter is necessary as described in the table below: General Fund- 001 Revenue Expense Dept Dept Name Description One-time Ongoing One-time Ongoing 010 Assessor GIS Salary& Benefits 52,412 �020 Auditor Salaries, Benefits,2nd AP Computer, Dues 2,478 32,480 021 Elections Ballots,Envelopes,Security Sleeves 65,000 �059 County Administrator Salaries,Benefits -Communications Spec,Lv Payout 99,052 063 Planning Commission Salaries,Benefits,Supplies 11,568 065 Human Resources NeoGov Subscription, Prothman (DCD Dir) 10,500 067 Emergency Management Software Upgrade 21,600 �068 Community Services Transfers to Fund 132 Opioid Settlements 254,119 180 Sheriff Jail -Medical Contract Services,Medical Cost 65,000 211,668 So County Deputy-Vehicle 93,514 Wellness Grants for Commissioned Law Enf. 48,945 48,945 Jail Xray Machine Upgrade,Training 7,827 Subcontractor,Volunteer LNI 4,260 Fingerprint Machine 24,884 24,884 Navigator 30,000 261 Operating Transfer Transfer to Parks -P/T Seasonal to 1.0 FTE 26,754 Transfer to Roads -SRS Shortfall funded by PI LT 286,199 270 Non-Departmental Prof Services,Filing Fees,Capital Outlay 122,157 Total General Fund 73,829 - 1,195,255 275,162 Other Funds Revenue Expense Fund Fund Name Description One-time Ongoing One-time Ongoing 127 Public Health Grant,Related Expenses 86,600 86,000 128 Water Quality HOH River Lindner 145,000 145,000 132 Opioid Settlements Transfers 541,963 140 Law Library Hardbound RCWs Update 5,937 I 174 Parks &Rec Salaries,Benefits,Utilities,Field Marking Robot 26,754 8,000 38,754 175 Parks Improvement Gibbs Lake Conversion 52,184 52,184 180 Roads Transfer from GF,Cap Improv 304,515 Tra a nsfer from TBD Fund 182 550,000 302 Capital Improvement Transfer to Parks Impov-Gibbs Lake 52,184 Transfer to Roads -ODT 18,316 Loan Repayment-JUMP(Fund 304) 350,000 1304 Hi Carrol JUMP Park Loan Repayment 367,500 405 PHUGA Sewer Capital Transfer to Sewer Operations 250,000 �406 PHUGA Sewer Operations Transfer from Capital,ARPA 385,000 Sewer Service Charge Revenue 72,538 PUD Intergov,Utilities,Misc 155,200 Total Other Funds 2,415,262 99,292 1,140,321 38,754 Total Appropriations 2,489,091 99,292 2,335,576 313,916 WHEREAS, the Jefferson County Board of Commissioners did on the 6th day of October, 2025, set a hearing on said need for the 20th day of October, 2025, at the hour of 10:00 a.m. in the County Commissioners' Chamber, Courthouse, Port Townsend, Washington, (Hybrid); and WHEREAS, Jefferson County has published notice of this hearing as provided in RCW 36.40.100 on October 8, 2025 and October 15, 2025 in the official newspaper of Jefferson County; and WHEREAS, this being the time and place set forth for said hearing and no objection or objection was interposed. NOW THEREFORE, BE IT RESOLVED BY THE BOARD OF COUNTY COMMISSIONERS OF JEFFERSON COUNTY,STATE OF WASHINGTON: Section 1. Whereas Clauses Adopted as Findings of Fact. The Jefferson County Board of Commissioners hereby adopts the above "Whereas" clauses as Findings of Fact. Section 2. Supplemental Budget Appropriations Approved. The Supplemental Budget Appropriations above is hereby approved. Section 3. Severability. If any section, subsection, sentence, clause, phrase or section of this resolution or its application to any person or circumstance is held invalid, the remainder of this resolution or its application to other persons or circumstances shall be fully valid and shall not be affected. Page 2 of 4 Section 4. Effective Date. This resolution is effective upon adoption. Section 5. SEPA Categorical Exemption. This resolution is categorically exempt from the State Environmental Policy Act under WAC 1 97-1 1-800(1 9). (SIGNATURES FOLLOW ON THE NEXT PAGE) Page 3 of 4 APPROVED this 6th day of October, 2025. JEFFERSON COUNTY SEAL: BOARD OF COMMISSIONERS ATTEST: Heidi Eisenhour, Chair Greg Brotherton,Member Carolyn Gallaway, CMC, Date Clerk of the Board Heather Dudley-Nollette,Member Approved as to form only: Philip C. Hunsucker, Date Chief Civil Deputy Prosecuting Attorney Page 4 of 4 2025 Budget Appropriations are set by the Budget Calendar. They are also referred to as budget amendments. Budget Appropriations give fund directors and managers to adjust their budget throughout Budget the year due to changes in revenues and expenditures. The budget appropriations are submitted to the BoCC staff. These are then given to the Finance Manager for review and discussions as needed. Appropriations Once they have been reviewed, they are returned with a summary to the BoCC to setup a public hearing. Notice of the public hearing is advertised for two weeks in the County's designated publication. 3 rd Quarter During the public hearing, the Finance Manager presents the appropriations to the BoCC and answers questions. The public has the opportunity to participate. The BoCC can then make a motion to accept the appropriations. To complete the process, once the resolution has been signed, the Chief Accountant updates the budget in Munis Financial. The Revised Budget reporting column is the original budget and the appropriations amount. RECEIVED 09/12/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: General Fund-Assessor Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# Description $0.00 Expenditure:After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? ]Yes ]No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 AS51423 101000 Salaries $733,034.00 $39,408.00 $772,442.00 AS51423 200000 Benefits $ 1,573.00 $ 13,004.00 $ 14,577.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $734,607.00 $52,412.00 $0.00 $787,019.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description 11 $0.00 Reason for budget appropriation: Salary and benefits for GIS employee is shared with Central Services.This wasn't included in the salary projection for the 2025 Original Budget and now needs to be added as a one-time budget appropriation so salary and benefits are not over budget at year end.This has bee accommodated in the 2026 Preliminary Budget so it doesn't require on-going appropriation. Submitted by(Elected Official/Department Head): Date: 9ZiZ/za2� RECEIVED 09/10/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Auditor Fund 020 Budget Year: 2025 g Quarter: 2nd Revenue: A revenue source (i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget $0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# I Expenditure Obj# Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 020 AU51423 101000 Salaries for A/P 32 hour new position that began 6/2025 $925,040.00 $23,428.00 $948,468.00 020 AU51423 200000 Benefits for A/P position new position $7,896.00 $ 7,896.00 020 AU51423 310000 Small tools&minor equipment computer for A/P positifl $300.00, $2,477.40 $2,777.40 020 AU51423 490000 Dues, subscriptions $3,000.00 $ 1,155.27 $4,155.27 $0.00 $0.00 TOTAL EXPENDITURE:_ $928,340.00 $2,477.40 $32,479.27 $963,296.67 $2 478.00 $32,480.00 $963,297.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description $0.00 Reason for budget appropriation: Salaries and benefits for new A/P position/Computer equipment for new A/P position/New subscription fees for 8 Adobe licenses due in October, paid for 5 months in May Submitted by (Elected Official/Department Head): I. A �� .'< O/in-/ I Date: Ci/ /O 11UZ ("— Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Elections Fund 021 Budget Year: 2025 Quarter: 2nd Revenue: A revenue source (i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget $ 0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: _ OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 021 EL51440 490200 Printing ballots, envelopes,security sleeve $ 113,302.00 S 65.000.00 $ 178,302.00- $0.00 1 1 $0.00 I $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $ 113,302.00 $65,000.00 $0.00 $ 178,302.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# 1 Description _ $0. Reason for budget appropriation: 0 0 CD This expense covers the printing of the ballots, envelopes and security sleeve for the November 4th General Election. it is a direct cost that will be billed to the jurisdictions that have o contests on the ballot. The revenue is expected to be received in 2026. Submitted by(Elected Official/Department Head : Date: � Lo �� . i col 202 r RECEIVED 09/16/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: General Fund Budget Year: .2025 Quarter: 3 Revenue: A revenue source (i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget $0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# I Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? []Yes []No One-time On-going Fund# i Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 ND51890 410000 Professional Services-Correction -$998.00 $98,876.00 . $97,878.00 _ CA51310 101000 Salaries and Wages $377,973.00 $81,530.00 $459,503.00 CA51310 200000 Personnel Benefits $4,069.00 $ 17,522.00 . $21,591.00 ND51489 490107 Auditor Filing Fees $ 137.00 $ 13,000.00 : $ 13,137.00 ND51423 640103 Capital Outlay-Electrical Charging Stations _ $0.00 $ 10,281.00 ,, $ 10,281.00 $0.00 • TOTAL EXPENDITURE: $381,181.00 $221,209.00 $0.00 $602,390.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# l Description $0.00 Reason for budget appropriation: ND51890: Prothman contract had been transfered to HR Dept in prior appropriation and the full amount of the contract was not in Non-Department.Other contracts not originally budgeted for were Berry Dunn$75,793,Jamestown Titles$12,144, Maul Foster(aka Peak)$4,941. In addition$5,000 has been added to this appropriation to cover misc.expenditures. CA51310: CA retirement payout,CS Director salary allocation,County Administrator dual salary for one month, increase Comm Specialist to 1 FTE. ND51489:Auditor filing fees to file documents that should have been filed for several years. ND51423: Elect sal a- haw- gins stations for vehicles mandated purchase by BoCC. Submitted by(Elected Official/Department Head): 7r. ' # !'4 Date: 9/16/2025 RECEIVED 09/15/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: COMMUNITY DEVELOPMENT - PLANNING COMMISSION Budget Year: 2025 Quarter: 3 Revenue: A revenue source (i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below. One-time On-going Fund # l Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget -,— $0.00 $0.00 I $0.00 $000 TOTALREVENUE: $0.00 $000 $0.00 $000 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# I Expenditure Obj# Description - 1 I $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? nYes No One-time On-going Fund # Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 (063) PC55861 101000 SALARIES&WAGES $ 18,338 00 $8.716.00 $27,054.00 001 (063) PC55861 200000 PERSONNEL BENEFITS $2,685.00 $2,369.00 $5,054.00 001 (063) PC55861 310000 OFFICE AND OPERATING SUPPLIES $267 00 $483 00 $ 750.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $21,290.00 ' $ 11,568.00 $0 00 $ 32,858 00 TO: If the expenditure is providing a revenue source to another county fund, identity the receiving fund information. Fund # Org# Revenue Obj# Description $0.00 Reason for budget appropriation: 2025 is the first year in recent history where we have closely tracked the actual cost of the Planning Commission, including staff time, supplies, and clerical support. This year also brings the required 10-year Comprehensive Plan periodic review, which adds substantial workload. Because the base budget did not account for these actual costs, we are requesting a supplemental appropriation to ensure we can meet obligations through year /-end. Submitted by (Elected Official/Department Head): / , ,4,...---- Date: c ic120✓5- RECEIVED 09/15/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: HUMAN RESOURCES 065 Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget $0.00 $0.00 _ $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# 1 Expenditure Obj# Description - - $0.00 Expenditure:After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes []No One-time On-going Fund# ' Org St Expenditure Obj# Description Current Budget Appropriation_Appropriation Amended Budget 065 HR51810 490000 Subscription Service-NEOGov (490100) $7,500.00 $7,500.00 065 HR51810 410000 Professional Services-Prothman $29,500.00 $3,000.00 $32,500.00 $0.00 _ $0.00 _ $0.00 $0.00 TOTAL EXPENDITURE: $29,500.00 $ 10,500.00 $0.00 $40,000.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org St Revenue Obj# Description $0.00 Reason for budget appropriation: Prothman increase required for continued recruitment for Central Services Director. Contract with NEOGov approved for implementation of new employee advertising/recruiting platform;cost for implementation. Submitted by(Elected Official/Department Head): S' Z.tAA.i,LC4Jz( t4.....> Date:yr elk-, e-(J?'c RECEIVED 09/15/25 NEOGOV NEOGOV: Customer Name&Address: Govemmentjobs.com,Inc.(dba"NEOGOV") Jefferson,County of(WA) 2120 Park P1. 1820 Jefferson St. El Segundo,CA 90245 Port Townsend,WA 98368 billing a�3 teogov:com Expiration Date: 2/28/2025 Contact Name: Sarah Melancon Term:36 months Net 30 payment terms Contact Email: pnelsnconlwcojefferson.ss'e.ug Fee Summary Service Description_ Term Term Fees FTE:250-299 Insight(IN) Year I $4,012 40 Govcmmenr lobs(GJ) Insight(IN) Year 2 $7,043 40 Government Jobs(GJ) Insight(IN) Year 3 $10,062 00 Government Jobs(GJ) Professional Services— Year 1 S2,500 00 Implementation and Training A. Terms and Conditions 1.Agreement.This Ordering Document and the Services purchased herein are expressly conditioned upon the acceptance by Customer of the terms of the NEOGOV Services Agreement either affixed hereto or the version most recently published prior to execution of this Ordering Form available at Illos /ww.v ne000v corniservice-specificatwns. Unless otherwise stated, all capitalized terms used but not defined in this Order Form shall have the meanings given to them in the NEOGOV Services Agreement. 2.Effectiveness&Modification.Neither Customer nor NEOGOV will be bound by this Ordering Document until it has been signed by its authorized representative(the"Effective Date").Unless otherwise stated all Sass Subscriptions shall commence on the Effective Date.This Order Form may not be modified or amended except through a written instrument signed by the parties. 3.Summary of Fees.Listed above is a summary of Fees under this Order Once placed,your order shall be non-cancelable and the sums paid nonrefundable.except as provided in the Agreement 4.Order of Precedence This Ordering Document shall take precedence in the event of direct conflict with the Services Agreement. applicable Schedules,and Service Specifications. B. Special Conditions(if any). 1.The second sentence of Section 2.b.of the NEOGOV Services Agreement is replaced in its entirety with the following: "Thereafter,SaaS Subscriptions shall be automatically renewed for up to four(4)successive twelve(12)month terms(each a "Renewal Term"and together with the Initial Term,the"Term')unless a party delivers to the other party,at least thirty(30)days prior to the expiration of the Initial Term or the applicable Renewal Term written notice of such party's intention to not renew the SaaS Subscriptions,or unless terminated earlier in accordance with this Agreement." Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Nenle. DErHR I MENT OF EMERGENCY MGMT(001-067 Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e.grant, new fee)has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: Fund# Org# Revenue Obj# One-time On-going j Description Current Budget Appropriation Appropriation Amended Budget $0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# I Org# l Expenditure Obj# I Description if # ! I I 1 .1 $0.00 Expenditure:After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore,I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? rives TINo # Expenditurei One-time On-going Fund# Org OW# Description Current Budget Appropriation 8Appropriation Amended Budget 001 EM52510 640000 CAPITAL OUTLAY-EMPG UPGRADE $0.00 $21,600.00 - $21,600.00 $0.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $0.00 $21,600.00 $0.00 $21,600.00 TO: If the expenditure is providing a revenue source to another county fund,identify the receiving fund information. Fund# Org# Revenue Obj# I Description I $0.00 Reason for budget appropriation: Grant funding utilized for Ladris evac planning software to complete evacuation plan as part of CWPP Submitted by(Elected Official/Department Head): L/Y1_ Date: 4— t5_ tf RECEIVED 09/10/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Jefferson County Sheriffs Office Budget Year: 2025 Quarter: 3 Revenue: A revenue source (i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget $0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# I Expenditure Obj# Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes EiNo One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH52360 410138 Contracted Medical Services $ 171,306.00 $ 186,668.00 $357,974.00 001 SH52360 410136-Outside Care&Custody $35,000.00, $65,000.00 $25,000.00 $ 125,000.00 $0.00 _ $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $206,306.00 /$65,000.00 $211,668.00 ' $482,974.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# Description _ $0.00 Reason for budget appropriation: SH52360 410138-Budget was due before contract/RFP was finalized. We are hoping to use Opioid Funds to supplement jail medical services. SH52360 410136-We originally asked for 60k but it was chopped to 35K.We are asking for 25k to bring us back to our original ask and then an additional 65k. Our last two quarters were abnormally high due to a chronically ill inmate,who is getting released soon,and another individual who was admitted overnight(10.5k)and furlough was not appropriate. Submitted by(Elected Official/Department Head): Date: g_,a_azi ,116 - 4.3.2.1. Desk. 4.3.2.2. Chair, 4.3.2.3. Computer. 4.3.2.4. Phone. 4.4. Release and Reentry. 4 4 1. Transportation for program participants upon release to first appointment. pick up prescription. safe place. etc. 4.4.2. Release kit items such as: 4.4.2.1. Naloxone. 4.4.2.2. Gift cards. 4 4.2.3. Clothing. shoes. 4.4.2.4. Personal hygiene items. 4 4.2.5. Phones. 5. Deliverables Table. December 1, 2024—June 30, 2025 • # Description Due Date 1 Cost Reimbursement Monthly max 1 Monthly Progress Report December 2024-May 2025: the 10t" day of the month following each month of service Monthly cost June 2025: With final invoice reimbursement not to -- — exceed $11,628 per 2 Monthly Data Collection December 2024-May 2025: the Spreadsheet 10t" day of the month following month each month of service June 2025: With final invoice - Subtotal $162,792 Indirect Cost (10%) $16,281 Total Maximum Cost Reimbursement $179,073 • Washington State 38 HCA Contract#K8167 Health Care Authority Attachment 1 EXHIBIT A Scope of Services: HDS will provide inmate health care services for the Jefferson County Jail in accordance with applicable standards of the American Medical Association ("AMA"). the State of Washington, and the National Commission on Correctional Health Care. These include, but are not limited to, the following: I. Twenty-four (24)hour phone triage and consultation by an Advanced Registered Nurse Practitioner or Medical Doctor for a monthly retainer as shown in the Compensation Schedule with unlimited phone access. Response time will generally be within less than five minutes of facility's call; however, due to technological problems with pagers and cell phones on the road, it may be longer than five minutes and response time may be up to 20 minutes. Any medical matter that requires urgent response will be promptly evaluated and managed by phone. 2. Advanced Registered Nurse Practitioner with prescriptive privileges will attend the Jail once each week and use telemedicine once each week,to conduct sick calls for inmates, review all new inmate intake forms and inmate requests (kites), direct appropriate care and "Special Needs Treatment Planning" for chronic health problems, conduct medical history/physical exams as appropriate within NCCHC timeframes, and make referrals as necessary to other providers. This service will be billed for a 10 hour per week minimum as shown in the Compensation Schedule Hours in excess of 10 hours per week will be billed hourly as shown in the Compensation Schedule with a one hour minimum for scheduled sessions.Unscheduled sessions will be billed a two hour minimum. Services shall also include: (I) Weekly evaluation and ordering of necessary medical supplies and pharmaceuticals. (2) Utilization review of all billings. (3) Training of Jail staff, as recommended by HDS, and authorized by Jail administration. (4) A monthly schedule of sick call coverage will be supplied to jail administration by the 25th for the previous month. The schedule is subject to approval by jail administration. 3. At least one day per week, and more frequently as necessary, a Psychiatric Advanced Registered Nurse Practitioner will review inmate medical records to direct necessary Mental Health services, prescribe and review necessary psychiatric medications, and prepare Mental Health discharge plans prior to release of inmates with mental health conditions. This service will be billed for a 32 hour per month minimum as shown in the Compensation Schedule. Hours in excess of 32 hours per month will be billed hourly as shown in the Compensation Schedule, with a one hour minimum. 9 Jefferson County Jail 2025 EXHIBIT B(Continued) Staff Position Staff Schedule Yee —y Annual Total Annual gHOW'S Hours c!st Nursing Staff $94.50 @ hr M,T, W, Th, Fri 40 2080 $196,560.00 ARNP $131.25 @ hr Two days a week 10 520 S68.250.00 Psych ARNP/ARNP $131.25@hr One day a week 8 416 $54,600.00 ARNP/RN Phone Covera.e M,T,W,TH,Fri, Sat, Sun 168 8'3 $12,600.00 ota ' nnual Cost 3 1,010.00 Table C' Administrath c Services m nistrative'" eivices'`° ` Total Cost Medical Director $16,380.00 Administrator $7,056.00 Clerical $3,528.00 otal A, Cost $26.964.00 Invoice Line item AdminiNtratk e Sen ice, ti2,247.O1) RFP EXHIBI,T B—TOTAL COST low Administrative Cost S26,964.00 Annual Personnel Costs $331.010.00 Total Annual Cost $357,974.00 �%era:,e munthl\ In%()ice \19, 31.1- lappru‘itnatel� RECEIVED 09/10/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Jefferson County Sheriffs Office Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget $0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# Description • $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes EINo One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH52520 640150 Capital Expenditure-Vehicle $61,173.37 $61,173.37 001 SH52520 640150 Capital Expenditure-Upfitting $27,586.34 $27,586.34 001 SH52520 640150 Capital Expenditure-Radio and Radio Programming $4,753.67 $4,753.67 $0.00 $0.00 $0.00 TOTAL EXPENDITURE:__ $0.00 V. $93,513.38 $0.00_ $93,513.38 $93,514.00 $93,514.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description ,I $0.00 Reason for budget appropriation: Patrol vehicle,upfitting and new radio w/programming for South County Deputy. Submitted by(Elected Official/Department Head): Date: 9-9-.202.c RECEIVED 09/10/25 INVOICE Invoice Delivery Date: 3 I..,7U 1 Invoice Number: 3SM045 zM045 PLEASE PAY FROM THIS INVOICE This is \ of unit(s) Terms: Payment is due within 30 calendar days of vehicle delivery. 1%Late Fee per month will be added to any unpaid balance after 30 days. $300 Prompt Payment Dis,ot,nt available only if payment is remitted witlun 20 calendar days of delivery SOLD TO: DELIVER TO: 11600-135 FIN:QF 482 11600-135 Jefferson County Jefferson County Central Services Fleet Services PO Box 1200 371 Chimacum Rd. Port Hadlock WA 98339 Port Hadlock WA 98339 Customer P.O.Number: 3637 Contact: Gayle Schenk Dealer Reference Number: 24-0844 Telephone: 360 301-0965 CARS Quote Number: 2024-8-252 Receiving Hours: 7am to 4pm M-F YEAR MAKE COLOR MODEL VEHICLE IDENTIFICATION NUMBER(VIN) 2025 Ford Iconic Silver K8A Police Utility AWD 1FM5K8AC4SGB34670 DELIVERED WITH VEHICLE: Sold under the terms and conditions of Washington State Contract with Invoice all required equipment and options as ordered. O Title Application Contract Number: 05916 O Odometer Disclosure Commodity Code: 2025-0521-0001 O Certificate of Origin(MSO) O Pre-Delivery Inspection Checklist O Owner's Manual Vehicle Price $ S56,433.00 O O Sales Tax $ 8.4%eff 4/1/2024 S4,740.37 Keys # 015DX $0.00 \P Remote Keyless Entry FOBS (w/Integrated Key) Title Fees $ 4 Remote Keyless Entry FOBS (No Key) S61,173.37 TOTAL AMOUNT DUE: $ Keypad Code(if equipped)# VP'' (Formerly Colton erd) Please remit payment to: VEHICLE INSPECTED AND ACCEPTED BY: Bud Clary Ford Hyundai Name: PO Box 127 Title: Longview WA 98632 Date: Questions? (360)423-4321,Government Sales Dept. BUD CLARY FORD HYUNDAI White&Pink-Customer Yellow&Gold-Dealer RECEIVED 09/10/25 Systems for Public Safety Inc. INVOICE 2520 112th St. S. ( 50174 Lakewood, WA. 98499 Org.Est.#053924 Phone: 253-983-1103 Fax: 253-983-1101 Your One Stop Shop for Emergency Vehicle Needs INVOICE Printed Date:06/06/2025 Work Completed:06/06/2025 Jefferson County Sheriffs Dept. 2025 Ford-Police Interceptor Utility- PO BOX 1200 Lic#: Odometer In : 133 Port Hadlock, WA 98339 Unit#: 1063 VIN# : 1 FM5K8AC4 SGB34670 Hat#: 05/30/25 Part Description I Number Qty Sale Ext Labor Description Ext Inner Edge FST/RST Core Bundle 1.00 3,500.00 3,500.00 Install listed emergency equipment. 6,325.00 Core Inner Edge Pkg. Install pushbumper mounted spot lights 115.00 Inner Edge FST WeCanX, Full Duo 1.00 0.00 n/c Install secondary PA at rear of vehicle. 115.00 PIU BSFW5OZ Install tracers 345.00 CORE CONTROL POINT 1.00 118.57 118.57 Install Jefferson County Graphics Package 950.00 CCP "Equipment Serial Numbers'" Cantorl WC Expansion Module 1.00 213.69 213.69 Radio: NX5700 CANEMI6 Serial#: C4A10312 Whelen PA Mic 1.00 140.06 140.06 WSMIC321 Radio:NX5800 Serial#: C3610513 Tracer Lighting Duo 5 Head, 2.00 798.57 1,597.14 TCRHDS Power Dock:425-3 TRACER MTG KIT INTERCEPTOR 2.00 20.00 40.00 Serial#: 379115-0015 SUV TCRB50 ION T-SERIES LINEAR LT Clear 2.00 105.71 211.42 TUC 3"Round Compartment Light, 1.00 67.14 67.14 Red/White 3SRCCDCR Whelen 12v White/Red 6" 2.00 102.86 205.72 compartment light 60CREGCS Ecco Warning Lights Round LED 4.00 53.90 215.60 Flood Beam E92005 2020-PIU Console Body Kit System 1.00 347.66 347.66 NC1760ITU20 Motion Device 1.00 594.99 594.99 NA 19085 Console Card Holder Faceplate 1.00 25.49 25.49 Weldment N W 18895 Temperature Control Relocation Plate 1.00 25.71 25.71 NP18733 Console Filler Plate, 1.5" 1.00 8.00 8.00 C-FP-15 Kenwood KCH-20R Remote Radio 2.00 18.86 37.72 Size: 3.0" C-EB30-KCH-1 P Tunnel Step Down Plate 1.00 25.49 25.49 NA18940 2020-PIU Computer Floor Mount Kit 1.00 237.16 237.16 NK1761ITU20 Visit us on the web: www.systemsforpublicsafety.com Email Address:service@systemsforpublicsafety.com Service Advisor Burnett,Jill 1565, Tech• Cross.Brett 467 467,DeVera,Malachi Page 1 of 4 Copyright(c)2025 Mitchell Repair Information Company.LLC invhrs 5.1221cr RECEIVED 09/10/25 Systems for Public Safety Inc. INVOICE 2520 112th St. S. 50174 Lakewood, WA. 98499 Org.Est.#053924 Phone: 253-983-1103 Fax: 253-983-1101 Your One Stop Shop for Emergency Vehicle Needs INVOICE Printed Date: 06/06/2025 Work Completed:06/06/2025 Jefferson County Sheriffs Dept. 2025 Ford-Police Interceptor Utility- PO BOX 1200 Lic#: Odometer In : 133 Port Hadlock, WA 98339 Unit#: 1063 VIN# : 1 FM5K8AC4 SGB34670 Hat# : 05/30/25 Part Description /Number Qty Sale Ext Labor Description Ext Switch, Rocker, SPST Momentary 1.00 7.04 7.04 On-Off 44302 Switch Cover No Lens 1.00 1.76 1.76 44435 USB-C&USB Type A Dual Port 1.00 70.71 70.71 Charger C-USB-3 Magnetic Mic Conversion Kit, Single 2.00 34.29 68.58 Unit MMSUI Havis Mic Clip Bracket 2.00 13.57 27.14 C-MCB USB to Type-C Cord, 15ft. Size: 1.00 21.41 21.41 15FT BO7V3LYSBX Sector Printer Mount/Housing 1.00 135.71 135.71 LBX028 PB400 VS Aluminum Bumper Full 1.00 475.16 475.16 BK0534ITU2OPB9 Fender Protector Wraps Utility PB9 1.00 577.16 577.16 FK04021TU25 Full Hard Seat w/#12 Poly Partition 1.00 1,401.66 1,401.66 2020 QK0566ITU20 #10 VS C RP Coated Poly Partition 1.00 951.16 951.16 Tail w/SCA 2020 PK0419/TU20TM Steel Window Barrier 1.00 279.66 279.66 WK05141TU20 Int. Utility Cargo Window Barriers,set 1.00 415.66 415.66 of 3 WK00401TU20 EZ Lift Single Drawer System 1.00 2,506.66 2,506.66 TK1720/TU20 SPS Dual T-Rail Gun Mount SC5 lock 1.00 509.16 509.16 #HK GC14682UHK Blue Sea Fuse block 1.00 57.86 57.86 78153B Blue Sea Fuse block,6 Circuit-Bulk 1.00 46.34 46.34 78152E Harness, Main Power 1.00 27.36 27.36 2022-10 Harness,Console Power 1.00 151.91 151.91 Visit us on the web: www.systemsforpublicsafety.com Email Address:service@systemsforpublicsafety.com Service Advisor Burnett.Jill 1565, Tech Cross.Brett 467 467.DeVera,Malachi Page 2 of 4 Copyright(c)2025 Mitchell Repair Information Company,LLC invhrs 5.12.2kr RECEIVED 09/10/25 Systems for Public Safety Inc. INVOICE 2520 112th St. S. 50174 Lakewood, WA. 98499 Phone: 253-983-1103 Fax: 253-983-1101 Org Est.#053924 Your One Stop Shop for Emergency Vehicle Needs INVOICE Printed Date 06/06/2025 Work Completed:06/06/2025 Jefferson County Sheriffs Dept. 2025 Ford-Police Interceptor Utility- PO BOX 1200 Lic#: Odometer In : 133 Port Hadlock,WA 98339 Unit#: 1063 VIN#: 1 FM5K8AC4 SGB34670 Hat#: 05/30/25 Part Description I Number Qty Sale Ext Labor Description Ext 2022-2 Harness,Console Aux 1.00 74.26 74.26 2022-4 Harness,Partition 1.00 80.92 80.92 2022-6 Harness,Ford Ground Plug 1.00 5.00 5.00 2022-FORD 2/C 20GA twisted Pair WC cable(per 16.00 4.52 72.32 ft) 46-0443441-00 25Ft CAT 6 Shielded(SSTP)Patch 1.00 8.50 8.50 Cable Molded PUR FE-C6-25-PUR 9-1 Antenna and PN#PTA0766, 1.00 565.30 565.30 (Gasket) Size: EA PTA9AS4L4WG 15B-SPS Rain Cap, Black 1.00 9.51 9.51 QWRCB NMO Kit 17ft 2.00 22.24 44.48 NMO58UPL Antenna,VHF,152-162 MHz 1/4 1.00 9.37 9.37 Wave QW152 Antenna,450-470 1/4 Wave, UHF 1.00 10.57 10.57 QW450 UHF Male PL259 for LMR195 2.00 5.20 10.40 RFU505-ST Motorola 13W External Speaker 2.00 89.24 178.48 (Square) HSN40328 Larson Glass Mount GPS Single Band 2.00 11.31 22.62 GPSGMSMA TNC Male to RP SMA Female RF 1.00 12.46 12.46 Coaxial Adapte BO1DDFZ25JY RF INDUSTRIES SMA Female/TNC 2.00 3.40 6.80 Male straight adapter R/FRSA3472 Parse Accessories LSR200 Cable kit; 1.00 55.73 55.73 9-in-1 Size PK/9 PC2004L4WG 15SFSM/EA Relay, 12 V,30/40 amps single pole 1.00 3.89 3.89 332019150 Relay-4 terminal-Dual 1.00 27.46 27.46 75674 Visit us on the web: www.systemsforpublicsafety.corn Email Address.service@systemsforpublicsafety.com Service Advisor Burnett,Jilt 1565, Tech: Cross,Brett 467 467:DeVera,Malachi Page 3 of 4 Copyright Ic)2025 Mitchell Repair Information Company,LLC invhrs 5 1221cr RECEIVED 09/10/25 Systems for Public Safety Inc. INVOICE 2520 112th St. S. 50174 Lakewood, WA. 98499 Phone: 253-983-1103 Fax: 253-983-1101 Org.Est.#053924 Your One Stop Shop for Emergency Vehicle Needs INVOICE Printed Date: 06/06/2025 Work Completed: 06/06/2025 Jefferson County Sheriffs Dept. 2025 Ford-Police Interceptor Utility- PO BOX 1200 Lic#: Odometer In : 133 Port Hadlock, WA 98339 Unit#: 1063 VIN#: 1 FM5K8AC4 SGB34670 Hat#: 05/30/25 Part Description /Number Qty Sale Ext Labor Description Ext Charge Guard 1.00 79.29 79.29 CG-X Mono Plug 2.00 1.40 2.80 07498 Power Supply(with ferrite bead for 1.00 217.54 217.54 in-vehicle EMI suppression)for use with DS-DELL-100, 110,200, 210, 220, 230, 300,410, &420 Series,& DS-GD-300 Series Docking Stations !ps-137 5 Pin Relay Socket 1.00 4.55 4.55 5PRC 105 DC Cable,35-50W, 23 feet Note: For 1.00 72.26 72.26 mid power KCT-23M3 Remote Control Cable(17 feet) 1.00 100.54 100.54 KCT-71M2 Shipping on Equipment 1.00 150.00 150.00 Freight 05/30/25 Car Wash 1.00 12.00 12.00 CW Shop Supplies 25.00 Org.Estimate 27,992.50 Revisions 0.00 Current Estimate 27,992.50 Labor: 7,850.00 Parts: 17,205.71 SubTotal: 25,055.71 Tax: 2,530.63 Total: 27,586.34 IPaymeMa-I Bal Due: S27,586.34 Visit Us Online:www.systemsforpublicsafety.com Vehicle Received 4/15/2025 Customer Number:373 An express mechanic's lien is hereby acknowledged on above car or truck to secure the amount of repairs thereto.Warranty work must be performed in our shop&cannot exceed the onginal cost of repair.Emergency Equipment warranty-New build Labor.1 yr LED products manf.5yr warranty,non LED manf 2yr warranty Warranty does not cover labor to replace/repair products after 1st year:outside of 1st year.cost of labor will be billed for all repair work.NOTE:payment is Net 30 1%Prompt Pay if paid within 10 days.all past due accounts will accrue 2.0%monthly late fee. Signature Date Visit us on the web: www.systemsforpublicsafety.com Email Address:service@systemsforpublicsafety.com Service Advisor Burnett,Jill 1565, Tech. Cross,Brett 467 467;CeVera,Malachi Page 4 of 4 Copyright(c)2025 Mitchell Repair Information Company,LLC invhrs 5.1221rr 0 . r--; Invoice RECEIVED 09/10/25 ,^ Date 4/30/2025 Invoice# INV-32001305 SILKE COMMUNICATIONS SOLUTIONS Acct.No. 20547 115 S NATIONAL AVE Terms Net 30 SUITE A Due Date 5/30/2025 BREMERTON WA 98312 PO# 1155 United States Memo Does not include instal... Sales Rep 103 Gary Rose Bill To Ship To JEFFERSON COUNTY FLEET SE... JEFFERSON COUNTY FLEET SE... 371 Chimacum Rd 371 Chimacum Rd Port Hadlock WA 98339 Port Hadlock WA 98339 United States United States Remit To Silke Communications Solutions 919 International Way Springfield, OR 97477 855-467-4553 bookkeepers@silkecom.com NX-5700BK 50 W 136-174 MHZ RF DECK 1 EA C4A10312 613.90 ' 613.90 9.2% KWD-5100CV LICENSE KEY FOR P25 CONV 1 EA 434.70 434.70 9.2% KWD-5101TR LICENSE KEY FOR P25 PHASE 1 1 EA 393.19 393.19 9.2% TRUNKING NX-58008K 450-520 MHZ 45 WT RF DECK 1 EA C361513 613.90 613.90 9.2% SAFM RF DECK CONFIGURATION 2 EA 694.47 1,388.94 . 9.2% KCT-46 TK-7180/8180 IGNITION SEN 2 EA 12.30 24.60 9.2% KAP-2 HORN ALERT/P.A.RELAY OPT 2 EA 53.69 107.38 92% SHIPPING AND HANDLING INBOUND/OUTBOUND SHIPPING 1 EA 137.64 137.64 9.2% AND HANDLING KMC-66M STANDARD DTMF MIC 2 EA 80.64 161.28 92% NMO58U-NC 3/4 HOLE NMO BRASS RG58U 2 EA 29.95 59.90 : 9.2% MUF4503S HEAVY DUTY 3 DB GN SPRING 1 EA 61.91 61.91 92% MWV 1365S 136-174 MHZ VHF WIDEBAND 1 EA 112.95 112.95 , 9.2% RFU-505-ST UHF MALE CRIMP FOR RG58 2 EA 11.43 22.86 9.2% 'FROG/TUNE PROGRAMMING 8 TUNING/UNIT 2 EA 57.50 115.00 92% L-5029 FACTORY ASSMBLY REMOTE 2 EA 52.50 105.00 92% Subtotal 4,353.15 Tax Total 400.52 Total $4,753.67 Memo Does not include installation Program in Sacramento for Jeferson County Sheriff and ship to Bremerton Each Deck configuration includes:KMC-65M,KCH-2ORM, KRK-15BM, KCT-71M2, Sales Order#SO-32000887 Amount Paid 0.00 Amount Due 4,753.67 II itI HMI III1IIIIAlllllll III IIIIII INV-32001305 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Jefferson County Sheriffs Office Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund St Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH33401 334109 Grant-Cancer Screening $0.00 $27,040.00 $27,040.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $27,040.00 $0.00 $27,040.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? CYes E1No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation, Amended Budget 01 SH52122 410202 Grant-Cancer Screening $0.00 $27,040.00 $27,040.00 $0.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $0.00 $27,040.00 $0.00 $27,040.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obi# Description $0.00 Reason for budget appropriation: This grant is for fully commissioned law enforcement.The vendor will be drawing and analyzing blood samples.The screening is to test for cancer markers. Submitted by(Elected Official/Department Head): Date: 9.23 r Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Jefferson County Sheriffs Office Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH33401 334085 Wellness Grant-Comprehensive blood screening $0.00 $21,905.00 $21,905.00 $0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $21,905.00 $0.00 $21,905.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes EiNo One-time On-going Fund# Org if Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH52122 410193 Wellness Grant-Comprehensive blood screening $0.00 $21,905.00 $21,905.00 $0.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $0.00 $21,905.00 $0.00 $21,905.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description $0.00 Reason for budget appropriation: This grant is for fully commissioned law enforcement.The vendor will be drawing and analyzing blood samples. This comprehensive screening will test hormone levels,vitamin levels, genetic markers,etc. This grant does not cover cancer screening. That is a separate grant/appropriation. Submitted by(Elected Official/Department Head): ,,�,0 Date: 9 -31adaks- Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Jefferson County Sheriffs Office Budget Year: 2025 Quarter: 3 *venue: A revenue source (i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and obudget extension in the amount reflected below: One-time On-going > Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget w o w 0.00 cr $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org St Expenditure Obj# I Description 11 $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH52310 310075 Operating Supplies-Corrections $ 19,823.00 $7,826.20 $27,649.20 $0.00 $0.00 $0.00 _ $0.00 $0.00 TOTAL EXPENDITURE: $ 19,823.00 v $7,826.20 $0.00 $27,649.20 $7,827.00 $27,650.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org St Revenue Obj# I Description . jt $0.00 Reason for budget appropriation: This was an unexpected cost for upgrading and subsequent training required from the State for the jail Xray machine. Submitted by (Elected Official/Department Head): �� Date: 9,3.2 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Jefferson County Sheriffs Office Budget Year: 2025 Quarter: 3 twvenue: A revenue source (i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going o Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget w 0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $ 0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? []Yes No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH52110 410000 SOP Manual for SO and Jail $0.00 $4,200.00 $4,200.00 001 SH52110 410000 LNI for Volunteers $0.00 $60.00 $60.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: S 0.00 $0.00 $4,260.00 $4,260.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# Description S 0.00 Reason for budget appropriation: This is an annual subcontractor fee for maintaining SOPs, DTBs and Facilitation of Lexipol rembursement. Not sure why it was not on our original budget. Noeme advised that the LNI for the JCSO Volunteers also needs to be tracked under this Org and Obj. Unknown where this was being tracked prior to this year. Submitted by (Elected Official/Department Head): ����� Date: 93 1 ai1— RECEIVED 09/11/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Jefferson County Sheriffs Office Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget _ $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# I Expenditure Obj# I Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? ( 1Yes �No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH52122 410155 Navigator $0.00 $30,000.00 $30,000.00 $0.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $0.00 $30,000.00 $0.00 $30,000.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description $0.00 Reason for budget appropriation: The Navigator contract was omitted from the 2025 budget. We are hoping to use Opioid Funds for the Navigator. Submitted by (Elected Official/Department Head): � Date: 9.-3,2akr-- Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Jefferson County Sheriffs Office Budget Year: 2025 Quarter: 3 Rcivenue: A revenue source(i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget c 001 SH33401 334116 New Fingerprint Machine-Grant $0.00 $24,884.00 $24,884.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $24,884.00 $0.00 $24,884.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# I Expenditure Obj# I Description II $0.00 Expenditure:After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes FINo One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 SH52310 420008 New Fingerprint Machine-Grant $0.00 $24,884.00 $24,884.00 $0.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $0.00 / $24,884.00 $0.00 $24,884.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# _ Revenue Obj# Description $0.00 Reason for budget appropriation: We received a grant to purchace a new fingerprint machine for the jail. Submitted by(Elected Official/Department Head): / Date: 9_- 142ka f- RECEIVED 09/17/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: 127/Public Health Budget Year: 2025 g Quarter: 3 Revenue: A revenue source(i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 127 12734661 346369 DDD-(State) $378,403.00 $33,600.00 $412,003.00 127 12733404 334063 Infectious Disease Prevention $ 14,502.00 $30,000.00 $44,502.00 127 12733390 333915 Harm Reduction Navigation $ 137,086.74 $23,000.00 $ 160,086.74 $0.00 TOTAL REVENUE: $529,991.74 -../$86,600.00 $0.00 $616,591.74 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# Description $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? rives nNo One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 127 12756800 410000 Professional Services $0.00 $33,600.00 $33,600.00 127 12756220 310301 Operating Supplies $47,122.00_ $53,000.00 $ 100,122.00 $0.00 $0.00 $0.00 • TOTAL EXPENDITURE: $47,122.00 -1$86,600.00 $0.00 $ 133,722.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description $0.00 Reason for budget appropriation: The one-time appropriations for revenue reflect amended or new grants that were not reflected or approved in JCPH's original budget.The listed expense appropriations are associated with these revenues. Submitted by (Elected Official/Department Head): -_ Date: 09/10/2025 RECEIVED 09/17/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: 128/Water Quality Budget Year: 2025 g Quarter: 3 Revenue: A revenue source (i.e.grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# _ Description _Current Budget Appropriation Appropriation Amended Budget 128 12833402 334090 HOH River Lindner $79,108.49 $ 145,000.00 $224,108.49 $0.00 $0.00 $0.00 TOTAL REVENUE: $79,108.49 ' $ 145,000.00 S 0.00 $224,108.49 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org St 1 Expenditure Obj# Description $0.00 Expenditure:After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 128 12855310 410325 HOH River Lindner Activities $5,000.00 $ 145,000.00 $ 150,000.00 $0.00 $0.00 $0.00 $0.00 - $0.00 TOTAL EXPENDITURE: $5,000.00 $ 145,000.00 $0.00 $150,000.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description $0.00 Reason for budget appropriation: Both the revenue and expense one-time appropriations being requested are necessary adjustments to WQ's 2025 budget. Submitted by (Elected Official/Department Head): C`� v— Date: 09/11/2025 + Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: Opioid Settlements Fund Budget Year: 2025 g Quarter: 3 Revenue: A revenue source(i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected helow One-time On going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 132 13239700 397001 Transfer from the GF-Opioid Settlement $0.00 $541,963.00 $541,963.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 ✓$541,963.00 $0.00 $541,963.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# [Expenditure Obj# Description rRequired multiple lines below. $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes nNo One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 001 CS59700 597131 Transfer out to Fund 131 $287,844.00 -$287,844.00 $0.00 597132 Transfer out to Fund 132 $0.00 $541,963.00 $541,963.00 _ $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $287,844.00 ✓ $254,119.00 $0.00 $541,963.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description $ 000 Reason for budget appropriation: 2025 Q1 Appropriation established budget for opioid settlement funds to be dispersed to Fund 131.Then following an opioid workshop by the BoCC,it was decided to setup a separate fund for these settlement dollars. Resolution 50-0804-25R establish Fund 132 Opioid Settlement Fund.This is the budget to move the funds to the new Fund 132. Submitted by (Elected Official/Department Head): fw•' 1 ,41,66Date: 9/15/2025 RECEIVED 09/15/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: 140/Law Library Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e.grant,new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget $000 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. 1 Fund# l Org# 1 I Expenditure Obj# Description 11 $0.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Thare`ure, I request an pp opria Lion and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes ✓ No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation -Appropriation Amended Budget 140 14059412 640000 Capital Outlay $ 16,418.00 $5,937.00 $22,355.00 $0.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $ 16,418.00 $ 5,937.00 $0.00 $22,355.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information Fund# Org# Revenue Obj# I Description $0.00 Reason for budget appropriation: The Law Library was fully updated in April 2025 with an up-to-date set of hardbound RCWs(Revised Code of Washington)to serve as secondary resource when Westlaw(online)is inaccessible. The one-time cost for this update was$8,336.29. A one-time appropriation of$5,937 00 is required to satisfy total cost of maintaining the county's statutorily mandated Law Library in 2025. Submitted by (Elected Official/Department Head): Date: 9/12/25 RECEIVED 09/10/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: PUBLIC WORKS-PARKS&RECREATION FUND 174 Budget Year: 2025 Quarter: 3 Revenue: A revenue source (i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 174 17439700 397010 TR FROM GF $911,969.00 $26,754.00 $938,723.00 $0.00 $0.00 S 0.00 TOTAL REVENUE: $911,969.00 $0.00 $26,754.00 $938,723.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# I Description 001 OT59700 597174 TR TO PARKS& REC $911,969.001 $26,754.00 $938,723.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes ✓ Nc One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 174 17457680 101000 SALARIES&WAGES $266,589.00 $ 17,214.00 $283,803.00 174 17457680 200000 PERSONNEL BENEFITS $ 123,350.00 $9,540.00 $ 132,890.00 174 17457680 470100 UTILITIES $70,000.00 $8,000.00 $78,000.00 174 17459176 700500 LEASE-FLD LINE MARKING ROBOT $0.00 $ 12,000.00 $ 12,000.00 $0.00 $0.00 TOTAL EXPENDITURE: $459,939.00 $8,000.00 $38,754.00 $506,693.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# Description 17439700 S 0.00 Reason for budget appropriation: The ongoing revenue appropriation request will add 600 hours to an existing 1400 hour seasonal employee, making them full time. Parks& Rec maintains 22 parks with 5.27 FTE.Park use has tripled since 2008 at which time Parks Maintenance had 4.61. Converting this position to year-round will help retain staff. This increase is needed to maintain the current level of service in 2026. The lease for the field marking robot will result in annual savings of$1,008 and free up 132 hours of staff time.The drought has increased the need for athletic field irrigation water at HJ Carroll and Memorial Field. 1 Submitted by(Elected Official/Department Head): Date: 0 2_j RECEIVED 09/10/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: PUBLIC WORKS/ 175-PARKS IMPROVEMENT FUND Budget Year: 2025 Quarter: 3 Revenue: A revenue source (i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 175 17539700 397302 TR FRM CAPITAL IMPRVMNT FUND $ 144,771.00 $ 52,184.00 $ 196,955.00 $0.00 $0.00 S 0.00 TOTAL REVENUE: $ 144 771.00 $52,184.00 $0.00 $ 196,955.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# f Expenditure Obj# I Description 302 30259700 597175 TR TO PARKS IMPRVMNT FUND $ 144,771.00 $52,184.00 $ 196,955.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? ✓ Yes No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget $0.00 $0.00 $0.00 $0.00 $0.00 $0.00 TOTAL EXPENDITURE: $0.00 $0.00 $0.00 $0.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# I Description 17539700 $0.00 Reason for budget appropriation: The Gibbs Lake Caretakers area was converted into a dual purpose public beach&caretakers RV site in June of 2025.The conversion saved a significant amount of capital funds.The project happened quickly in response to the unexpected departure of the existing caretaker. T s. dgei-ap riation will provide$19,000 of previously pledged funds, and$33,184 of additional funds needed to complete the project.The project is 95%complete. It produc hut ,alue,success u gtcome. Submitted by(Elected Official/Department Head): r� )�--�� Date: ?/76/2- RECEIVED Reset Request for Budget Appropriation/Extension and Amendment SEP 15 2025 Department/Fund Name: PUBLIC WORKS/ 180-COUNTY ROAD FUND JF FSQ,' COUNTY Budget Year: 21,:s Quarter: 3 Revenue: A revenue source (i.e. grant, new fee) has been received which wieGIVIMISSIGINEBRSal budget. therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org St Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 180 18039700 397010 TR FROM GF $352,285.00 $286,198.41 $638,483.41 180 18039700 397302 TR FROM CAPITAL IMPROV $ 18,315.74 $ 18,315.74 180 18039700 397182 TR FROM TBD FUND $550.000.00 S 550,000.00 $0.00 TOTAL REVENUE: $352,285.00 g$854,514.15 S 0.00 $ 1,206,799.15 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund p1'ovit0lUUnig the revenue. $1,3067R0.00 Fund# Org it Expenditure Obj# Description 001 OT59700 597180 TR TO ROADS S 352.285.00_ •r5 286,198.41 $638,483.41 1yy.rlu sn3&48-1.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? ✓ Yes No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget ADDITIONAL"FROM"SOURCE $0.00 302 30259700 597180 TR TO ROADS $ 18,315.74 $ 18,315.74 $0.00 $0.00 _ $0.00 $0.00 TOTAL EXPENDITURE: S 0.00 ,/$ 18,315.74 S 0.00 $ 18,315.74 $18,316.00 $18,316.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# Description 18039700 $0.00 Reason for budget appropriation: 1)PILT transfer per Resolution 41-0722-24R committed to ensuring Roads would receive$750,000 in combined SRS and PILT revenues. SRS In 2025 was$111,517. 2)Remaining funds($18,316)committed to the development of the Olympic Discovery Trail from Four Corners to Anderson Lake. 3)The Transportation Benefit District was created in 2025. This allows use of TBD generated revenue for up to$550,000 of eligible maintenance/preservation on county roads. Submitted by(Elected Official Department Head): Digitally signed by Monte Reorders Date: N 011 to Rein d e t s D�.f:=i sS F county PublicrWorkw N7P:„a O=JeHerson County PuWtc Works,CN=Monte Reorders Date 2025.09 15 15:58'25-07'017' RECEIVED 09/10/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: PUBLIC WORKS,HJ CARROLL JUMP!FUND Budget Year: 2025 Quarter: 3 Revenue: A revenue source(i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 30238120 $0.00 $0.00 $0.00 $0.00 TOTAL REVENUE: $0.00 $0.00 $0.00 $0.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# 1 Expenditure Obj# Description 1 $0.00 Expenditure:After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS(Non General Fund): Is there enough Fund Balance to cover this additional expenditure? ,/ Yes No One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 304 30458120 581201 LOAN REPAYMENT TO FUND 302 $350,000.00 $350,000.00 304 30459276 830303 INTEREST ON LOAN FR 302 $ 17,500.00 $ 17,500.00 _ $0.00 _ $0.00 $0.00 $0.00 _ TOTAL EXPENDITURE: $0.00 $367,500.00 $0.00 $367,500.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# Description 302 30238120 381304 LOAN REPAYMENT-FUND 304 $350,000.00 $350,000.00 3Q236117 ih1111' Reason for budget appropriation: Pay back Interfund loan from Capital Improvement Fund for HJC JUMP! Phase 2 cash flow funding Submitted by (Elected Official/Department Head): Date: /q Z-').--- RECEIVED 09/10/25 Reset Request for Budget Appropriation/Extension and Amendment Department/Fund Name: PUBLIC WORKS/406-PHUGA SEWER OPERATIONS FUND Budget Year: 2025 Quarter: 3 Revenue: A revenue source (i.e. grant, new fee) has been received which was not approved in the annual budget. Therefore, I request an appropriation and budget extension in the amount reflected below: One-time On-going Fund# _ Org# Revenue Obj# Description Current Budget Appropriation Appropriation Amended Budget 406 40634350 343501 SEWER SVC CHARGES (PUD) $72,538.00 $72,538.00 406 40639700 397405 TR FROM PHUGA SEWER CAPITAL FUND $250,000.00 $250,000.00 406 40639700 397123 TRANSFER IN-ARPA(123) $ 135,000.00 $ 135,000.00 $0.00 TOTAL REVENUE: $0.00 $385,000.00 $72,538.00 $457,538.00 FROM: If the revenue source is being transferred from another county fund, identify the information for the fund providing the revenue. Fund# Org# Expenditure Obj# Description 405 40559700 597406 LTR TO PHUGA SEWER OPERATIONS FUNDS .;'$250,000.00 $250,000.00 Expenditure: After a thorough examination of my current budget it appears that the amount allocated is insufficient to pay necessary expenses for this year. Therefore, I request an appropriation and budget extension in the amount reflected below: OTHER FUNDS (Non General Fund): Is there enough Fund Balance to cover this additional expenditure? Yes No I One-time On-going Fund# Org# Expenditure Obj# Description Current Budget Appropriation Appropriation Amended Budget 406 40653500 410055 INTERGOV PROF SVCS-PUD $ 135,000.00 $135,000.00 406 40653500 470100 UTILITIES $ 10,200.00 $ 10,200.00 406 40653500 499999 MISCELLANEOUS $ 10,000.00 $ 10,000.00 $0.00 r _ $0.00 $0.00 TOTAL EXPENDITURE: $0.00 /$ 155,200.00 $0.00 $ 155,200.00 TO: If the expenditure is providing a revenue source to another county fund, identify the receiving fund information. Fund# Org# Revenue Obj# Description 40634350 $0.00 Reason for budget appropriation: Establish budget for new PHUGA Sewer operating fund.The Intergov Prof Service-PIJD includes a one time purchase of a truck for the operator. Submitted by (Elected Official/Department Head): Date: