06 22 2021 Yelm City Council Agenda PacketCITY COUNCIL AGENDA
June 22, 2021
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EST. 1924
Please click on the link below to register for the Council meeting
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1. CALL TO ORDER/ROLL CALL
2. AGENDA APPROVAL
3. SPECIAL PRESENTATIONS
a) Student of the Month May - Isabella Guiterrez
b) Student of the Year — BreAnna Short
4. PUBLIC COMMENT
*Complete a blue speaker's card
5. CONSENT AGENDA
a) 05-25-2021 and 06-08-2021 Regular Meeting Minutes
b) May 2021 Financials $1,145,020.87
6. NEW BUSINESS
a) Adult Probation Clerk Services Agreement - Municipal Court
Authorize Mayor JW Foster to sign the Adult Probation Clerk Services Agreement effective July 1, 2021 -
July 1, 2022.
b) PSA for Design Engineering Services - WRF Access Road and Site Grading - Skillings, Inc.
Authorize Mayor Foster to sign a Professional Services Agreement with Skillings, Inc. in the not to exceed
amount of $139,984.00 for design engineering services for a proposed WRF Access Road and site
grading.
c) Ordinance No. 1074 - 2021 Budget Amendment
Move to adopt the first reading of Ordinance No. 1074
106 2nd ST SE • Yelm, WA 98597 •360.458.3244 • www.yelmwa.gov
The City of Yelm is an equal opportunity employer and provider
7. OLD BUSINESS
a) None Scheduled
a) Departments —Michael Grayum, City Administrator
b) Councilmembers
c) Mayor JW Foster
9. EXECUTIVE SESSION
a) None Scheduled
10. ADJOURN
Page 2 of 3
MEETING INFORMATION
All regular Yelm City Council meetings are recorded. Meetings can be viewed at v�r;y„I„rni„,,,;;, or a copy
may be purchased by contacting the City Clerk's office at 360.458.8402.
It is the City of Yelm's policy to provide reasonable accommodations for people with disabilities. If you require
reasonable accommodations to participate at a City Council meeting, please contact the City Clerk's office at
360.458.8402 at least four (4) working days prior to meeting. Information on the Americans with Disabilities
Act and the Title VI Statement is available at www.yelmwa.gov/human-resources.
*The public comment portion of the agenda is an opportunity for the public to address the Council for items
that are not on the published agenda. Comments are limited to three minutes and five speakers. Comment on
matters listed on the published agenda are welcomed as part of the normal agenda.
Public Comment Guidelines: The City reserves up to five members of the public to address the Council at the
beginning of regular business meetings on topics that are not on the agenda. Each speaker will be given 3
minutes and may be asked follow up questions by the Mayor or Council. Further public comment may be
allowed on agenda topics as time permits. We ask that speakers use respectful language and remember they
are speaking to fellow citizens of Yelm who are committed to listening and responding appropriately to
citizens' concerns.
Members of the public engaging in disruptive behavior may be removed or blocked from the meeting.
COMMITTEE AND LIAISON ASSIGNMENTS
Mayor 1W Foster
Councilmember Tad Stillwell
Yelm Emergency Operations Board
Yelm Planning & Economic Development Committee
Chair of Thurston Regional Planning Council
Yelm Public Safety Committee
South Sound Military and Community Partnership
Yelm General Government Committee
Regional Housing Council
Yelm Emergency Operations Board
Board - Risk Management Services Agency
South Thurston Economic Development Initiative
Councilmember lames Blair
Councilmember Tracey Wood
Yelm Public Safety Committee
Yelm Public Safety Committee
Yelm Finance Committee
Yelm General Government Committee
County Solid Waste Advisory Committee
Administrative Board of Director for TCOMM 911
Councilmember Molly Carmody
Admin Board of Director(s) for TRPC
Yelm Public Works Committee
Councilmember Joe DePinto
Yelm Finance Committee
Yelm Public Works Committee
Intercity Transit Authority
Yelm Planning & Economic Development Committee
Yelm Homelessness Task Force
Board of Directors of Economic Development Council
Thurston County Law and Justice Council
Yelm Homelessness Task Force
Councilmember E) Curry
Councilmember Terry Kaminski
Yelm General Government Committee
Yelm Finance Committee
Yelm Public Works Committee
Nisqually River Council
Southeast Thurston Fire Authority
Yelm Planning & Economic Development Committee
Yelm Senior Center liaison
Thurston Thrives Coordinating Council
Page 3 of 3
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WASHINGTON
CITY COUNCIL MEETING MINUTES
VIRTUAL AND IN PERSON
TUESDAY, May 25, 2021
Call to Order: Mayor JW Foster called the meeting to order at 6:01 p.m.
Roll Call: James Blair, Molly Carmody, EJ Curry, Tracey Wood, Joe DePinto, and
Terry Kaminski.
Staff Present: City Administrator Michael Grayum, City Clerk Kathy Linnemeyer,
Public Services Director Cody Colt
APPROVAL OF THE AGENDA
21-064 Motion by EJ Curry to approve the agenda as presented.
Seconded by Tracey Wood.
Motion carried 6-0
SPECIAL PRESENTATIONS
A. April 2021 Student of the Month —Justin Workman
B. YHS FFA Agricultural Sciences Presentation
PUBLIC COMMENT - no comments
CONSENT AGENDA
April 2021 Financials $1,263,262.64
21-065 Motion by Tracey Wood to approve the Consent Agenda.
Seconded by Terry Kaminski.
Motion carried 6-0.
NEW BUSINESS
A. Oath of Office —Mayor JW Foster, administered the Oath of Office to Holly Smith
for Position No. 4.
B. Interlocal Agreement between Yelm and Thurston County to participate in the
Community Development Block Grant Entitlement Program.
21-066 Motion by Joe DePinto to approve the interlocal agreement between Yelm and
Thurston County to continue partnership in participating in receiving funding from
CDBG Entitlement Program.
Seconded by EJ Curry.
Motion carried 7-0
C. Memorandum of Understanding relating to the Administration and Governance of
the CDBG Entitlement Program in South County.
21-067 Motion by Joe DePinto to approve a Memorandum of Understanding between
Yelm, the Cities of Rainier and Tenino, The Town of Bucoda and Thurston County on
how to allocate CDBG Entitlement Funding in South Thurston County.
Seconded by EJ Curry.
Motion carried 7-0
D. Amendment to an Interlocal Agreement between Yelm, Olympia and Lacey
regarding the Deschutes River Property.
21-068 Motion by Tracey Wood to approve an amendment to an Interlocal Agreement
between Yelm, Olympia, and Lacey regarding the Deschutes River property.
Seconded by Joe DePinto.
Motion carried 7-0
E. PSA for On -Call Survey Peer Review — Beyler Consulting, LLC.
21-069 Motion by Molly Carmody to approve the PSA with Beyler Consulting, LLC.
Seconded by Tracey Wood.
Motion carried 7-0
OLD BUSINESS — None scheduled
UPDATES
City Administrator Michael Grayum gave an update on the following items:
• Gave an update on the new masking requirements at City Hall.
• Gave a summary of the vacancies and path forward for Boards and Commissions.
• Gave an update on the re-org
• Announced that the Splash Pad will open Friday at 11:00 am.
• Budget Amendments and a quarterly budget update will be on the June 22, 2021
agenda.
Councilmember Blair the Finance Committee will meet on Friday, attended the Public
Safety Committee meeting and announced that the June SWAC meeting was cancelled.
Councilmember Carmody attended the Inter City Transit meeting, the Finance Committee
will meet on Friday, has questions about the contract that was approved with the surveyor
and stated that we need to address the contract with our attorney.
Councilmember Curry the Fire Department is getting ready to kick off the Bond Drive,
received an update on the Public Works Committee meeting, the Fitness Park is moving
forward and Recycling Center is costing the City about $100.00 due to contaminated items.
Councilmember Wood expressed concern about safety of the intersection at Crystal Springs
and Coates, attended the STEDI Committee and received an update on the Public Works
Committee meeting.
Councilmember DePinto received an update on the Public Works Committee meeting from
PW Director Colt.
Councilmember Kaminski attended Thurston Thrives and attended the Nisqually River
Council meeting.
Mayor JW Foster gave a shout out to the citizens who showed support to the Police
Department during Police Week and the Public Works department during Public Works
Week. Attended the South Sound Military Elected Officials briefing, Bloodworks Northwest
at the Community Center on June 14th and the grand re -opening of the Lions Club Carlson
Cabin. He also announced that the opening day of the Farmers Market is Saturday, flags will
be flown at half-staff until noon on Monday in honor of Memorial Day and that the
restrooms will be installed at Cochrane Park on Thursday.
EXECUTIVE SESSION — None scheduled
ADJOURNMENT
21-070 Motion by Holly Smith to adjourn the meeting.
Seconded by EJ Curry.
The meeting was adjourned at 7:43 p.m.
JW Foster, Mayor
Kathy Linnemeyer, City Clerk
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WASHINGTON
CITY COUNCIL MEETING MINUTES
VIRTUAL AND IN PERSON
TUESDAY, June 8, 2021
Call to Order: Mayor JW Foster called the meeting to order at 6:00 p.m.
Roll Call: James Blair, Molly Carmody, EJ Curry, Holly Smith, Tracey Wood, Joe
DePinto and Terry Kaminski.
Staff Present: City Administrator Michael Grayum, City Clerk Kathy Linnemeyer,
Public Services Director Cody Colt and Police Chief Todd Stancil.
APPROVAL OF THE AGENDA
21-071 Motion by Molly Carmody to approve the agenda as presented.
Seconded by Tracey Wood.
Motion carried 7-0.
SPECIAL PRESENTATIONS
A. Administrator/Director of Thurston County Medic 1, Kurt Hardin, presented
information on the Levy Lid Lift, which will be included on the August ballots.
PUBLIC COMMENT - No comments
CONSENT AGENDA
A. Minutes from the June 1, 2021 Study Session as amended, May 11, 2021 Council
Meeting as amended, May 18, 2021 Special Council Meeting and May 4, 2021
Study Session.
21-072 Motion by Molly Carmody approving the consent agenda with the amended
minutes from the May 11, 2021 and June 1, 2021 as emailed by Kathy Linnemeyer.
Seconded by Joe DePinto.
Motion carried 7-0.
NEW BUSINESS
A. Resolution No. 616 prohibiting the collection, storing or distributing of COVID-19
vaccination information.
21-073 Motion by Joe DePinto to approve Resolution No. 616.
Seconded by James Blair.
Motion carried 5-2 with a roll call vote. Councilmembers Carmody and Curry
voted against.
B. Thurston County Disaster Recovery Interlocal Agreement
21-074 Motion by Joe DePinto authorizing Mayor Foster to sign the Interlocal Agreement
for Thurston County Disaster Recovery Council.
Seconded by Molly Carmody.
Motion carried 6-1 with Councilmember Blair voting no.
OLD BUSINESS
A. Resolution No. 615 authorizing an amended interlocal agreement.
B. Thurston County Solid Waste Ordinance 1075.
21-075 Motion by Molly Carmody to approve Resolution No. 615 and Ordinance No. 1075.
Seconded by Joe DePinto.
Motion carried 6-1 with Councilmember Blair voting no.
DEPARTMENT, MAYOR AND CITY COUNCIL UPDATES
City Administrator Michael Grayum gave an update on the following items:
• Gave an update on the Education and Innovation Center.
• Update on the status of the Wayfair signs.
• Looking ahead at future meetings — Summit Law will be giving a training on the
negotiation process, review of the labor attorney contract, Budget Amendments on
June 22nd, Discussion on the 640 acres at the July Study Session and Discussion on
the American Recovery and Relief funds at the August Study Session.
Councilmember Carmody attended the Intercity Transit Authority meeting and announced
that the Love Abounds will be hosting the first Yelm Community Resource Fair on June 24th
at the Community Center.
Councilmember Curry watched the crane moving the restroom into place at Cochrane Park,
attended the opening of the Splash Pad, Farmers Market, attended a meeting on the Fire
Levy signs, announced that the painting of the water tower is scheduled to be completed by
June 30th- and thanked Paul York for repairing the lawn mower at the Senior Center.
Councilmember Smith attended the ribbon cutting at the Farmers Market.
Councilmember DePinto attended Memorial Day events at the Yelm Cemetery, attended
the opening day of the Farmers Market, Announced that the Yelm Community Resource Fair
is funded by nonprofit organizations, donations and some State agencies.
Councilmember Kaminski attended the Chamber lunch.
Mayor JW Foster met with the director of the Olympia Visitor and Convention Bureau
where he received compliments on the Yelm Skate Park
EXECUTIVE SESSION — None scheduled
ADJOURNMENT
21-076 Motion by Molly Carmody to adjourn the meeting.
The meeting adjourned at 7:22 p.m.
JW Foster, Mayor
Kathy Linnemeyer, City Clerk
VOUCHER APPROVAL FORM
The following isalist mpayments approved atTuesday, June 22nd Council meeting:
Mayor - JW Foster
Payroll April Total Expeme
$
575,905]1
x/pChecks, cprs &omfts
$
5I6,286.06
Debt Service
$
24`805.58
Excise Tax April paid inMay
$
18'023.82
TOTAL
$
1,145,020.87
Timberland Bank Checks Issued Vs/Vz/oV2zthrough Vs/3z/a0az:
Check number 7045 through check number 7163.
Council member EJ Curry
Council member - Molly Carmody Council member -Joe DePinto
Council member - Holly Smith Council member - Tracey Wood
CITY CLERK:
Council member - James Blair
Council member - Terry Kaminski
The above checksapproved and signed bvamajority ofthe Ye|mCity Council, are hereby approved for payment
passed onamotion by ataregular council meeting held
this Z3ndDay ofJune.
City Of Yelm
Trans Date Type
CHECK REGISTER
05/01/2021 To: 05/31/2021
Acct 4 Chk 4 Claimant
3203 05/03/2021 Claims 1 EFT PUBLIC FINANCE INC (E)
Invoices Amount PO For
Time: 15:19:53 Date: 06/14/2021
Page: 1
Amount Memo
276.00 INVOICE - 0002315
0002315 276.00 INVOICE - 0002315 - LID MANAGEMENT COSTS - 2ND QUARTER 2021
3204 05/03/2021 Claims 1 EFT THURSTONTALK INC (EFT) 400.00 INVOICE - 16294
Invoices Amount PO For
16294 400.00 THURSTONTALK INC - 2021 0401
3268
05/05/2021
Payroll
1
EFT
5,675.20 April Hours
3269
05/05/2021
Payroll
1
EFT
4,642.25 April Hours
3270
05/05/2021
Payroll
1
EFT
4,008.19 April Hours
3271
05/05/2021
Payroll
1
EFT
5,727.33 April Hours
3272
05/05/2021
Payroll
1
EFT
4,134.07 April Hours
3273
05/05/2021
Payroll
1
EFT
753.35 April Hours
3274
05/05/2021
Payroll
1
EFT
3,080.43 April Hours
3275
05/05/2021
Payroll
1
EFT
3,359.05 April Hours
3276
05/05/2021
Payroll
1
EFT
4,588.96 April Hours
3277
05/05/2021
Payroll
1
EFT
6,144.32 April Hours
3278
05/05/2021
Payroll
1
EFT
686.35 April Hours
3279
05/05/2021
Payroll
1
EFT
4,375.82 April Hours
3280
05/05/2021
Payroll
1
EFT
2,758.69 April Hours
3281
05/05/2021
Payroll
1
EFT
7,190.86 April Hours
3282
05/05/2021
Payroll
1
EFT
3,953.74 April Hours
3283
05/05/2021
Payroll
1
EFT
740.30 April Hours
3284
05/05/2021
Payroll
1
EFT
3,341.37 April Hours
3285
05/05/2021
Payroll
1
EFT
753.35 April Hours
3286
05/05/2021
Payroll
1
EFT
5,150.31 April Hours
3287
05/05/2021
Payroll
1
EFT
3,668.18 April Hours
3288
05/05/2021
Payroll
1
EFT
3,964.40 April Hours
3289
05/05/2021
Payroll
1
EFT
2,192.83 April Hours
3290
05/05/2021
Payroll
1
EFT
7,196.61 April Hours
3291
05/05/2021
Payroll
1
EFT
2,191.00 April Hours
3292
05/05/2021
Payroll
1
EFT
3,607.44 April Hours
3293
05/05/2021
Payroll
1
EFT
1,950.71 April Hours
3295
05/05/2021
Payroll
1
EFT
4,533.78 April Hours
3296
05/05/2021
Payroll
1
EFT
4,799.35 April Hours
3297
05/05/2021
Payroll
1
EFT
2,826.49 April Hours
3299
05/05/2021
Payroll
1
EFT
5,298.15 April Hours
3300
05/05/2021
Payroll
1
EFT
4,046.52 April Hours
3301
05/05/2021
Payroll
1
EFT
2,326.35 April Hours
3302
05/05/2021
Payroll
1
EFT
2,519.90 April Hours
3303
05/05/2021
Payroll
1
EFT
704.47 April Hours
3304
05/05/2021
Payroll
1
EFT
3,412.94 April Hours
3305
05/05/2021
Payroll
1
EFT
4,483.66 April Hours
3306
05/05/2021
Payroll
1
EFT
4,932.43 April Hours
3307
05/05/2021
Payroll
1
EFT
3,052.81 April Hours
3308
05/05/2021
Payroll
1
EFT
3,685.52 April Hours
3309
05/05/2021
Payroll
1
EFT
2,746.96 April Hours
3310
05/05/2021
Payroll
1
EFT
4,216.54 April Hours
3311
05/05/2021
Payroll
1
EFT
5,134.72 April Hours
3312
05/05/2021
Payroll
1
EFT
2,568.05 April Hours
3313
05/05/2021
Payroll
1
EFT
3,100.11 April Hours
3314
05/05/2021
Payroll
1
EFT
4,409.33 April Hours
3316
05/05/2021
Payroll
1
EFT
3,147.04 April Hours
3317
05/05/2021
Payroll
1
EFT
4,726.60 April Hours
3318
05/05/2021
Payroll
1
EFT
4,970.76 April Hours
3319
05/05/2021
Payroll
1
EFT
2,304.18 April Hours
3320
05/05/2021
Payroll
1
EFT
2,021.67 April Hours
CHECK REGISTER
City Of Yelm
Payroll 1
0 LABOR & INDUSTRIES
8,968.21 2ND Quarter 05/01/2021 -
Time: 15:19:53 Date: 06/14/2021
05/31/2021
3378 05/05/2021
Payroll 1
05/01/2021 To: 05/31/2021
Page: 2
Trans Date
Type
Acct 4
Chk 4
Claimant
Amount Memo
3321
05/05/2021
Payroll
1
EFT
PERS 2 Employee.
4,297.43 April Hours
3322
05/05/2021
Payroll
1
EFT
PO For
2,610.89 April Hours
3323
05/05/2021
Payroll
1
EFT
3,820.96 April Hours
3324
05/05/2021
Payroll
1
EFT
4,195.01 April Hours
3325
05/05/2021
Payroll
1
EFT
2,254.25 April Hours
3326
05/05/2021
Payroll
1
EFT
5,321.61 April Hours
3327
05/05/2021
Payroll
1
EFT
5,121.44 April Hours
3328
05/05/2021
Payroll
1
EFT
4,029.05 April Hours
3329
05/05/2021
Payroll
1
EFT
4,545.47 April Hours
3330
05/05/2021
Payroll
1
EFT
7,633.46 April Hours
3331
05/05/2021
Payroll
1
EFT
2,797.05 April Hours
3332
05/05/2021
Payroll
1
EFT
2,220.71 April Hours
3333
05/05/2021
Payroll
1
EFT
3,524.53 April Hours
3334
05/05/2021
Payroll
1
EFT
4,165.32 April Hours
3335
05/05/2021
Payroll
1
EFT
5,684.59 April Hours
3336
05/05/2021
Payroll
1
EFT
5,264.07 April Hours
3337
05/05/2021
Payroll
1
EFT
5,653.24 April Hours
3338
05/05/2021
Payroll
1
EFT
740.30 April Hours
3339
05/05/2021
Payroll
1
EFT
TEAMSTERS
1,124.50 Pay Cycle(s) 05/05/2021 To
05/05/2021 - Teamsters PW
3340
05/05/2021
Payroll
1
EFT
YELM POLICE OFFICER'S
301.00 Pay Cycle(s) 05/05/2021 To
GUILD
05/05/2021 - Police Guild Dues
3341
05/04/2021
Payroll
1
0
AFLAC
560.95 Pay Cycle(s) 05/05/2021 To
05/05/2021 - Aflac Pre Tax; Pay
Cycle(s) 05/05/2021 To
05/05/2021 - Aflac Post Tax
3342
05/04/2021
Payroll
1
0
DEPT OF RETIREMENT SVCS
82,496.93 Pay Cycle(s) 05/05/2021 To
05/05/2021 - PERS 2; Pay
Cycle(s) 05/05/2021 To
05/05/2021 - PERS 3; Pay
Cycle(s) 05/05/2021 To
05/05/2021 - LEOFF 2; Pay
Cycle(s) 05/05/2021 To
05/05/2021 - Deferred Comp
3343
05/04/2021
Payroll
1
0
EMPLOYMENT SECURITY -
1,562.21 Pay Cycle(s) 05/05/2021 To
PFMLA
05/05/2021 - WA PFMLA
3344
05/04/2021
Payroll
1
0
EMPLOYMENT SECURITY
811.68 2nd Quarter 05/01/2021 -
DEPT
05/31/2021
3345
05/04/2021
Payroll
1
0
INTERNAL REVENUE
100,421.59 941 Deposit for Pay Cycle(s)
SERVICE
05/05/2021 - 05/05/2021
3346 05/04/2021
Payroll 1
0 LABOR & INDUSTRIES
8,968.21 2ND Quarter 05/01/2021 -
05/31/2021
3378 05/05/2021
Payroll 1
0 DEPT OF RETIREMENT SVCS
-841.91 Reimbursement For Overcharge
Of PERS 3 For Michael
Robinson In Error. Employee Is
PERS 2 Employee.
3386 05/05/2021
Claims 1
0 LEMAY - PACIFIC DISP (D)
203.70
Invoices
Amount
PO For
13837001
203.70
GARBAGE BILL FOR CITY OF YELM
PARK AT 16820 CANAL ROAD SE -
BILLING PERIOND: 2021 0301-0331
3387 05/05/2021 Claims 1 0 LEMAY - PACIFIC DISP (D) 142.94
Invoices Amount PO For
13837459 142.94 GARBAGE BILL FOR 901 RHOTON RD - BILLING PERIOD: 2021 0301-0331
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021
Page: 3
Trans
Date
Type Acct 4
Chk 4 Claimant
Amount Memo
3388
05/05/2021
Claims 1
0 LEMAY - PACIFIC DISP (D)
142.94
Invoices
Amount
PO For
13837503
142.94
GARBAGE BILL FOR YCC - BILLING PERIOD: 2021 0301-0331
3390
05/05/2021
Claims 1
0 QUILL CORPORATION (D)
10.25
Invoices
Amount
PO For
15813992
10.25
TR DESK / DRAWER ORG MESH BLACK 4901-24402495 - CDD
3391
05/05/2021
Claims 1
0 QUILL CORPORATION (D)
25.65
Invoices
Amount
PO For
15817995
25.65
MESH PAPER TRAY 4901-24145551
3411
05/06/2021
Payroll 1
EFT
270.41 Michael Robinson PERS Reimb.
3412
05/06/2021
Payroll 1
0 DEPT OF RETIREMENT SVCS
64.88 Pay Cycle(s) 05/06/2021 To
05/06/2021 - PERS 3
3413
05/06/2021
Payroll 1
0 INTERNAL REVENUE
48.76 941 Deposit for Pay Cycle(s)
SERVICE
05/06/2021 - 05/06/2021
3442
05/07/2021
Claims 1
EFT DANIEL B. HAVIRCO, JR.
2,250.00 INVOICE - 2021 0408
Invoices
Amount
PO For
2021 0408
2,250.00
7 CASES AT $250 PER CASE PLUS $500 ARRAIGNMENT FEE IN MARCH
2021 - YELM MUNICIPAL COURT
3443
05/07/2021
Claims 1
0 LEMAY MOB SHRED (D)
49.35 INVOICE - 4696039
Invoices
Amount
PO For
4696039
49.35
MOBILE DOCUMENT SHEDDING SERVICE - COURT - BILLING PERIOD:
2021 0301-0331
3480
05/10/2021
Claims 1
0 AUTOZONE (D)
28.00 INVOICE - 3731583552
Invoices
Amount
PO For
3731583552
28.00
9005 XV UPP BP SYLVANIA XTRAVISION BULBS 49005XV--2
3511
05/11/2021
Claims 1
EFT COPIERS NORTHWEST (EFT)
395.69 INVOICE - INV2288945
Invoices
Amount
PO For
INV2288945
395.69
200651-P - COPIER RENTAL - COURT, PD, PW - 2021 0415
3512
05/11/2021
Claims 1
0 O'REILLY AUTO PARTS (D)
19.56 INVOICE - 3742-458275
Invoices
Amount
PO For
3742-458275
19.56
CLT PLT BRG 4205SS QTY.2
3538
05/03/2021
Claims 1
EFT ETS
72.04 2021 04 - ETS Merchant
Services Charges
3540
05/04/2021
Claims 1
EFT PAYMENTECH
2,131.41 2021 04 - Credit Card Service
Fees For 3 Merchant Service
Accounts
3557
05/14/2021
Claims 1
EFT TIMBERLAND (D)
109.85 2021 0514 - City Of Yelm
Purchase Of Deposit Slips Fomr
Deluxe Bus. Systems Via
Timberland Bank
3618
05/17/2021
Claims 1
EFT COPIERS NORTHWEST (EFT)
9.41 INVOICE - INV2289248
Invoices
Amount
PO For
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 4
Trans
Date
Type
Acct 4
Chk 4 Claimant Amount Memo
Invoices
Amount
PO For
INV2289248
9.41
200651-P - COPIER - WWTP - CONTRACT OVERAGE CHARGES: 04/16/2021 -
04/15/2021
3619
05/17/2021
Claims
1
EFT THURSTONTALK INC (EFT) 400.00 INVOICE - 16353
Invoices
Amount
PO For
16353
400.00
THURSTONTALK INC - 2021 0501
3620
05/17/2021
Claims
1
0 LEMAY MOB SHRED (D) 49.35 INVOICE - 4697421
Invoices
Amount
PO For
4697421
49.35
MOBILE DOCUMENT SHEDDING SERVICE - CITY HALL - BILLING
PERIOD: 2021 0301-0331
3621
05/17/2021
Claims
1
0 O'REILLY AUTO PARTS (D) 29.07 INVOICE - 3742-459703
Invoices
Amount
PO For
3742-459703
29.07
BATTERY UIL SSB
3623
05/17/2021
Claims
1
0 QUILL CORPORATION (D) 13.75 INVOICE - 15845315
Invoices
Amount
PO For
15845315
13.75
2021 AAG NINTH DESKPAD 22X17 4901-SK240021
3624
05/17/2021
Claims
1
0 QUILL CORPORATION (D) 119.80 INVOICE - 15844277
Invoices
Amount
PO For
15844277
15.69
SCOTCHBRITE DISH WAND SCRUBBER 4901-24330742 QTY2; SMEAD
COMP ET YR LABEL SM 21 BLU 4901-3266321
15844277
62.64
AVERY BIGTAB STAB DIVIDERS WHT 4 901-23075 QTY24
15844277
41.47
ADJUSTABLE HEIGHT FOOT REST 4901-2599057; SPLS MMRY FOAM MP
WRST RST, BLK
3625
05/17/2021
Claims
1
0 QUILL CORPORATION (D) 172.16 INVOICE - 15844242
Invoices
Amount
PO For
15844242
172.16
46X48 MED PILE/HARD FL CHAIRMA 4901-1899090 QTY:3; POSTIT 1/2
FLAGS AST CLRS 4901-684VAD2
3626
05/17/2021
Claims
1
0 THE HOME DEPOT PRO (D) 984.49 INVOICE - 611207457
Invoices
Amount
PO For
611207457
984.49
4200PSI 4.OGPM PRESSURE WASHER 43562845
3627
05/17/2021
Claims
1
0 THE HOME DEPOT PRO (D) 378.53 INVOICE - 611547324
Invoices
Amount
PO For
611547324
378.53
IN STORE PURCHASE ON 04/15/2021: SPRING VIOLA 606 PACK QTY:12;
LOBELIA 606 PK QTY. 10; LOBELIA 606 PK QTY2; WAVE PETUNIA 4PK
QTY:10; ZONAL GERANIUM 1QT QTY48
3669
05/20/2021
Payroll
1
EFT 908.92 May 2021 Draw
3670
05/20/2021
Payroll
1
EFT 1,639.67 May 2021 Draw
3671
05/20/2021
Payroll
1
EFT 92.35 May 2021 Draw
3672
05/20/2021
Payroll
1
EFT 527.40 May 2021 Draw
3673
05/20/2021
Payroll
1
EFT 460.95 May 2021 Draw
3674
05/20/2021
Payroll
1
EFT 1,023.40 May 2021 Draw
3675
05/20/2021
Payroll
1
EFT 1,481.32 May 2021 Draw
City Of Yelm
Trans Date Type
3677
05/20/2021
Payroll
3678
05/20/2021
Payroll
3679
05/20/2021
Payroll
3680
05/20/2021
Payroll
3681
05/20/2021
Payroll
3682
05/20/2021
Payroll
3683
05/20/2021
Payroll
3684
05/20/2021
Payroll
3685
05/20/2021
Payroll
3686
05/20/2021
Payroll
3687
05/20/2021
Payroll
3688
05/20/2021
Payroll
3689
05/20/2021
Payroll
3691
05/18/2021
Payroll
CHECK REGISTER
05/01/2021 To: 05/31/2021
Acct 4 Chk 4 Claimant
1
1
1
1
1
1
1
1
1
1
1
1
1
1
3751 05/21/2021 Claims 1
Invoices Amount
EFT
EFT
EFT
EFT
EFT
EFT
EFT
EFT
EFT
EFT
EFT
EFT
EFT
0 INTERNAL REVENUE
SERVICE
EFT COPIERS NORTHWEST (EFT)
PO For
Time: 15:19:53 Date: 06/14/2021
Page: 5
Amount Memo
1,172.96 May 2021 Draw
872.70 May 2021 Draw
1,031.43 May 2021 Draw
696.86 May 2021 Draw
1,302.71 May 2021 Draw
1,625.33 May 2021 Draw
669.86 May 2021 Draw
1,588.53 May 2021 Draw
1,280.45 May 2021 Draw
460.95 May 2021 Draw
1,394.94 May 2021 Draw
1,321.44 May 2021 Draw
1,232.31 May 2021 Draw
5,545.33 941 Deposit for Pay Cycle(s)
05/20/2021 - 05/20/2021
130.16 INVOICE - INV2293159
INV2293159
130.16
CONTRACT# NASPO-CN28347-01 - COPIER RENTAL - PD 2021 0423 - 2021
0522
3752 05/21/2021
Claims 1
EFT DREAMTIME VISUAL 1,173.91 INVOICE - 2280
COMMUNICATIONS INC
Invoices
Amount
PO For
2280
1,173.91
YPD 2021 EXPLORER 4211 DIGITALLY PRINT VINYL - 2 SIDES: POLICE
CITY OF YELM WHITE TEXT WITH BLUE OUTLINE, BLE STRIPE FULL
LENGTH OF VEHICLE, POLICE BADGE ON 2 SIDES, VEHICLE ID ON
REAR, USA FLAG ON 2
3753 05/21/2021
Claims 1
0 CHASE BANK (D) 24,805.00 COMMERCIAL LOAN
INVOICE - 0000116932
(452022339001)
Invoices
Amount
PO For
0000116932
24,805.00 COMMERCIAL LOAN INVOICE - 0000116932 (ACCT# 452022339001)
INTEREST PAYMENT FOR BILLING PERIOD: 12/01/2020 THROUGH
12/31/2021
3754 05/21/2021 Claims
Invoices
3742-462722
3742-464443
3742-463732
3756 05/21/2021 Claims
Invoices
2021 0511
1
0 O'REILLY AUTO PARTS (D)
Amount PO For
157.86 BATTERY 448PLT
84.48 S -HC BELT 45VX560 QTY2; FREIGHT
27.80 120ZSTOPLEAK 410008 QTY2
270.14 INVOICE - 3742-462722;
INVOICE - 3742-464443;
INVOICE - 3742-463732
1 0 WA STATE DOL - DRIVING 13.00 INVOICE - 2021 0511
RECORDS (D)
Amount PO For
13.00 WA STATE DOL RECORD CHECK - STEPHANIE DICE
3813 05/25/2021 Claims 1 0 LEMAY - PACIFIC DISP (D) 489.92 INVOICE - 13838752
Invoices Amount PO For
13838752 489.92 ACT# 2183-1152350-001 CITIZEN RECYCLING BINS AT 901 RHOTON ROAD
SE - 2021 0301-0331
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 6
Trans
Date
Type
Acct 4
Chk 4 Claimant Amount Memo
3814
05/25/2021
Claims
1
0 LEMAY - PACIFIC DISP (D) 215.22 INVOICE - 13992745
Invoices
Amount
PO For
13992745
215.22
ACT# 2183-1152350-001 CITIZEN RECYCLING BINS AT 901 RHOTON ROAD
SE - 2021 0401-0430
3858
05/28/2021
Claims
1
EFT DREAMTIME VISUAL 1,408.14 INVOICE - 2281; INVOICE -
COMMUNICATIONS INC 2262
Invoices
Amount
PO For
2281
1,173.91
YPD 2021 EXPLORER 4212 DIGITALLY PRINT VINYL - 2 SIDES: POLICE
CITY OF YELM WHITE TEXT WITH BLUE OUTLINE, BLE STRIPE FULL
LENGTH OF VEHICLE, POLICE BADGE ON 2 SIDES, VEHICLE ID ON
REAR, USA FLAG ON 2
2262
234.23
YELM BUSINESS CARDS QTY.500 EACH - KATHY LINNEMEYER, CODY
COLT, LORI LUCAS
3859
05/28/2021
Claims
1
EFT RAILWORKS TRACK 1,549.60 INVOICE - RETN 157953
SYSTEMS, INC. (EFT)
Invoices
Amount
PO For
RETN 157953
1,549.60
RETENTION INVOICE AS SHOWN ON INVOICE 157953 - RAILROAD
TRAIL MAINTENANCE - CONTRACT 10. 19.2018
3860
05/28/2021
Claims
1
0 LEMAY MOB SHRED (D) 50.35 INVOICE - 4701140
Invoices
Amount
PO For
4701140
50.35
MOBILE DOCUMENT SHEDDING SERVICE - CITY HALL - BILLING
PERIOD: 2021 0401-0430
3939
05/30/2021
Claims
1
EFT CONSOLIDATED 2,015.81 INVOICE - 2021 0515 (6792)
COMMUNICATIONS (D)
Invoices
Amount
PO For
2021 0515 (6792)
2,015.81
2021 0515 (6792) - CITY PHONES - 2021 0515 (6792)
3943
05/30/2021
Claims
1
EFT RAINIER CONNECT (D) 10.00 INVOICE - 2021 0501
Invoices
Amount
PO For
2021 0501
10.00
Rainier Connect Domain Pointer - Account 49020611 - 2021 0501
4060
05/29/2021
Claims
1
EFT WA STATE DEPT OF 19,827.74 2021-05 USE/EXCISE TAX***
REVENUE DRAFT 2021 0603
4115
05/05/2021
Claims
1
EFT XPRESS UT PMT (D) 1,329.86 INVOICE - 56448
Invoices
Amount
PO For
56448
1,329.86
XPRESS BILL PAY - 05/01/2021
3347 05/04/2021 Payroll
3348 05/04/2021 Payroll
1 7045 AWC
1 7046 NATIONAL FRATERNAL
ORDER OF POLICE
86,452.75 2021 0505 - AWC - Employee
EAP - Reserve Officers Cost; Pay
Cycle(s) 05/05/2021 To
05/05/2021 - Medical Benefits;
Pay Cycle(s) 05/05/2021 To
05/05/2021 - Supplemental Life
1,029.00 Pay Cycle(s) 05/05/2021 To
05/05/2021 - FOP Police
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021
Page: 7
Trans
Date
Type
Acct 4
Chk 4 Claimant
Amount Memo
3349
05/04/2021
Payroll
1
7047 WA STATE COUNCIL OF
916.91 Pay Cycle(s) 05/05/2021 To
COUNTY & CITY EMPL
05/05/2021 - AFSCME
3350
05/04/2021
Payroll
1
7048 WACOPS
200.00 Pay Cycle(s) 05/05/2021 To
05/05/2021 - WACOPS
3351
05/04/2021
Payroll
1
7049 WESTERN STATES POLICE
1,022.40 Pay Cycle(s) 05/05/2021 To
MEDICAL TRUST
05/05/2021 - Western States
Police Trust
3352
05/04/2021
Payroll
1
7050 YELM, CITY OF
169.05 Pay Cycle(s) 05/05/2021 To
05/05/2021 - Police Car Use
3294
05/05/2021
Payroll
1
7051
4,315.03 April Hours
3298
05/05/2021
Payroll
1
7052
837.00 April Hours
3315
05/05/2021
Payroll
1
7053
2,453.33 April Hours
3379
05/05/2021
Claims
1
7054 AV CAPTURE ALL INC
271.91 INVOICE - 2336
Invoices
Amount
PO For
2336
271.91
LEGISLATIVE BASIC APP SOFTWARE
SUBSCRIPTION - BILLING PERIOD:
2021 0501-0531
3380
05/05/2021
Claims
1
7055 GRAINGER
79.33 INVOICE - 9852804229
Invoices
Amount
PO For
9852804229
79.33
839178134 - FILTER ROLL, 501N.X45FT.X2 IN.MERV8 MANUFACTURER
42GGL8 - DELIVERY DATE: 03/30/2021
3381
05/05/2021
Claims
1
7056 LANGUAGE LINE SERVICES
8.48 INVOICE - 4953729
Invoices
Amount
PO For
4953729
8.48
CHARGE FOR LANGUAGE TRANSLATION - POLICE
3382
05/05/2021
Claims
1
7057 MOUNTAIN LUMBER
26.20 INVOICE - 2104-397170
Invoices
Amount
PO For
2104-397170
26.20
GAS CAN NOSPILL 2.5 GAL 47234321
3383
05/05/2021
Claims
1
7058 PAPE & SONS 196,479.83 INVOICE - 2 (2021 03)
CONSTRUCTION, INC.
Invoices
Amount
PO For
2 (2021 03)
196,479.83
PROJECT: 216-1781-041: 2019 WATER MAIN IMPROVEMENTS PAYMENT
REQUEST 42 - 02/26/2021 - 03/26/2021
3384
05/05/2021
Claims
1
7059 UNIFIRST CORP.
484.68 INVOICE - 2021 0426 PW -1875
Invoices
Amount
PO For
2021 0426 PW -1
484.68
INVOICES: 3301724239; 3301726358; 3301728461;
3301730586; 3301732659;
3301734762;3301736858;3301738960
3385
05/05/2021
Claims
1
7060 WASHINGTON
120.12 INVOICE - 21-180198
ARCHITECTURAL
HARDWARE CO
Invoices
Amount
PO For
21-180198
120.12
CIT1607 - MASTER KEYS #BA QTY8; CHANGE KEYS 4BAI QTY -4;
CHANGE KEYS 4BA3 QTY4; CHANGE
KEYS 4BA6 QTY2
3433
05/07/2021
Claims
1
7061 AQUAFIX, INC.
391.09 INVOICE - 35586
Invoices
Amount
PO For
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 8
Trans
Date
Type Acct 4
Chk 4 Claimant Amount Memo
Invoices
Amount
PO For
35586
391.09
FOAM BUSTER 50 -IB BAG(S), BULK 435904 QTY50; SHIPPING
3434
05/07/2021
Claims 1
7062 BATTERIES PLUS BULBS 4244 109.51 INVOICE - P38458744
Invoices
Amount
PO For
P38458744
109.51
SLAA12-2.2F 12V LEAD QTY2; DURPC1500 1.5V IND AAALK 24PK QTY:2;
DURPC1300 12PK
3435
05/07/2021
Claims 1
7063 STEPHANIE R CALTON 35.64 REIMBURSEMENT - 2021
0408
Invoices
Amount
PO For
2021 0408
35.64
REIMBURSEMENT - GAS/MILEAGE FOR 66 MILES - INCURRED ON 2021
0401 & 0408 - RMS TRAINING - TCOMM
3436
05/07/2021
Claims 1
7064 DRAIN -PRO, INC. 43,333.21 INVOICE - 0321
Invoices
Amount
PO For
0321
43,333.21
MARCH 2021: STEP TANK PUMPING VARIOUS LOCATIONS QTY: 111,833
GALS @ $0.225 PER GAL; INSPECTIONS QTY: 96 @ $135 PER
INSPECTION; TRUCK TIME: 19.5 HOURS @ $80 PER HOUR
3437
05/07/2021
Claims 1
7065 FLOHAWKS 922.63 INVOICE - 2021 0406 (6344)
Invoices
Amount
PO For
2021 0406 (6344) 922.63
HAUL SLUDGE TO CITY OF SHELTON - 02/26: 3600GAL; 02/26:3500GAL
3438
05/07/2021
Claims 1
7066 HD FOWLER COMPANY 301.83 INVOICE - I5744828
Invoices
Amount
PO For
I5744828
301.83
2" CF31-77-NL BRONZE METER FLANGE W/GASKET NO -LEAD FORD
QTY.4
3439
05/07/2021
Claims 1
7067 RAM ELECTRIC LLC 442.26 INVOICE - 4523
Invoices
Amount
PO For
4523
442.26
WWTP - TROUBLESHOOT CONTROLLER - TESTED FLOATS - WORKING.
REPLACED CONTROLLER - DID NOT FIX PROBLEM. FOUND DAMAGED
WIRE UNDERGROUND - WILL NEED TO REPIPE CONTROL UNIT TO GET
SYSTEM BACK ONLINE. LABOR
3440
05/07/2021
Claims 1
7068 SHI INTERNATIONAL CORP 373.75 INVOICE -1313326946
Invoices
Amount
PO For
B13326946
373.75
HP ELITEDISPLAY E243 - LED MONITOR 1080P- 23.8IN - FULL HD
434240277 IFH47A84ABA QTY2
3441
05/07/2021
Claims 1
7069 SOUTH SOUND 80.88 INVOICE - 30912
INTERPRETING & SERVICES
Invoices
Amount
PO For
30912
80.88
INTERPRETER SERVICES - COURT - 2021 0318; LOHR & MILEAGE &
TRAVEL
3473
05/10/2021
Claims 1
7070 BILL'S TOWING & 491.40 INVOICE - 21-06365; INVOICE
RECOVERY -21-06024
CHECK REGISTER
City Of Yelm
05/01/2021 To: 05/31/2021
Trans Date Type Acct 4 Chk 4 Claimant
Invoices Amount PO For
21-06365 245.70
21-06024 245.70
3474 05/10/2021 Claims
Invoices
1
Time: 15:19:53 Date: 06/14/2021
Page: 9
Amount Memo
YPD IMPOUND/ACCIDENT AND TOW TO PSB 1994 FORD EXPLORER RED
ON 04/17/2021
YPD IMPOUND/ACCIDENT AND TOW TO PSB - 1999 LEXUS RX 300
GREEN ON 02/20/2021
7071 JCI JONES CHEMICALS INC 5,900.15 INVOICE - 850668; CREDIT
MEMO - 850695; INVOICE -
850667; CREDIT MEMO -
850694
Amount PO For
850668 1,350.00 CHLORINE 150IB CYLINDER QTY:3; SHIPPED 04/09/2021
850695 -300.00 CONTAINERS RETURNED ON 2021 0409 QTY: 3 150LBS CL2
850667 6,250.11 CHLORINE 15 0113 CYLINDER QTY. 10; SULFUR DIOXIDE 15 0113 CYLINDER
QTY: 3 SHIPPED 04/09/2021
850694 -1,399.96 CONTAINERS RETURNED ON 04/09/2021 QTY: 10 150LBS CL2 & QTY: 4
150LBS SO2
3475 05/10/2021 Claims 1 7072 MOUNTAIN LUMBER 16.21 INVOICE - 2104-000216
Invoices Amount PO For
2104-000216 16.21 MISC BOLTS QTY.6; MISC BOLTS QTY:10
3476 05/10/2021 Claims 1 7073 PUBLIC SAFETY TESTING 232.00 INVOICE - 2021-201
Invoices Amount PO For
2021-201 232.00
3477 05/10/2021 Claims 1
Invoices
SUBSCRIPTION FEES - Q1 - JANUARY - MARCH 2021
7074 UNIFIRST CORP. 548.72 INVOICE - 2021 0426
WWTP-8845; INVOICE - 2021
0426 WATER -1465
Amount PO For
2021 0426 WWT
363.31
INVOICE: 3301724241; 3301726360; 3301728463; 3301730588; 3301732661;
3301734764;3301736860;3301738962
2021 0426 WATE
185.41
INVOICES: 3301724270; 3301726387; 3301728492; 3301730615; 3301732690;
3301734791;3301736889;3301738989
3478 05/10/2021 Claims
1
7075 WA STATE PATROL 142.50 INVOICE - I21004169
Invoices
Amount
PO For
I21004169
142.50
JANUARY 2021 BACKGROUND CHECKS- 02/04/2021 - 4121004169
3479 05/10/2021 Claims
1
7076 YELM COMMUNITY 5,513.46 FUEL USEAGE INVOICE -
SCHOOLS 2000003089
Invoices
Amount
PO For
2000003089
5,513.46
FUEL USAGE MARCH 2021
3499 05/11/2021 Claims
1
7077 AMAZON CAPITAL SERVICES 176.41 INVOICE -
INC 1M44-6VWQ-C4GC; INVOICE
- 1966-3JMC-4KD7; INVOICE -
167Y-TDK7-F6R6
Invoices
Amount
PO For
1M44-6VWQ-C4
6.54
JETECH CASE FOR IPHONE 11 (2019), 6.1 -INCH, SHOCKPROOF BUMPER
COVER, ANTI -SCRATCH CLEAR BACK (RED)
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 10
Trans Date
Type Acct 4
Chk 4 Claimant Amount Memo
Invoices
Amount
PO For
1966-3JMC-4KD' 87.43
KLIEN TOOLS VDV501-852 CABLE TESTER WITH REMOTE, VDV SCOUT
PRO 3 TEST KIT LOCATES AND TESTS VOICE, DATA AND VIDEO CABLE.
167Y-TDK7-F6Ri 82.44
APC SURGE PROTECTOR WITH EXTENSION CORD 15FT PE615
6 -OUTLETS QTY2; VELCRO BRAND ONE -WRAP CABLE TIEW 100PK
8X1/2" BLACK QTY2; SCOTCH BRAND 112L PERMANENT MOUNTING
TAPE IINX125IN WHT QTY2
3500 05/11/2021
Claims 1
7078 CANON FINANCIAL 876.91 INVOICE - 26541281; INVOICE
SERVICES, INC. - 26541282; INVOICE -
26541283; INVOICE -
26541284; INVOICE - 26541285
Invoices
Amount
PO For
26541281
21.40
PW FAXBOARD CONTRACT 4 05214/3091 - 2021 0401-0430
26541282
12.97
PW FAXBOARD CONTRACT#WSCA WA - 2021 0401-0430
26541283
501.24
CITY HALL - IMAGE RUNNER ADVANCE C7565I II -
CONTRACT#05214/3091 - 2021 0401-0430
26541284
199.15
PW - IMAGE RUNNER ADVANCE C5540i III - CONTRACT406619 - 2021
0401-0430
26541285
142.15
WWTP - IMAGE RUNNER ADVANCE C5540i III - CONTRACT406619 - 2021
0401-0430
3501 05/11/2021
Claims 1
7079 HD FOWLER COMPANY 704.91 INVOICE - I5752698
Invoices
Amount
PO For
I5752698
704.91
BIOLINEA GPH 12" SPACINGC500' ROLL PURPLE; 200-PEB 2" PLASTIC
VALVE RAIN BIRD QTY2; TECHLINE 6" WIRE STAPLE TLS6-25 NETAFIM
QTY. 100
3502 05/11/2021
Claims 1
7080 J & I POWER EQUIPMENT 610.71 INVOICE - 588643; INVOICE -
592651
Invoices
Amount
PO For
588643
252.67
ENGINE OIL 6.40Z 48/C 40781-319-8009 QTY24; B C OIL GALLONS 4/C
47010-871-0240; LINE CF3 PRO 2.7MM 40000-930-4314 QTY.3
592651
358.04
PULLEY, HST 4K3071-13522 QTY2; PECO BOOT KIT 28120902 4A2167
3503 05/11/2021
Claims 1
7081 MATERIALS TESTING & 7,842.50 INVOICE - 33660; INVOICE -
CONSULTING,INC. 33896
Invoices
Amount
PO For
33660
5,345.00
PROJECT ID: MTC21 S008 - 2019 WATER MAIN IMPROVEMENTS -
SERVICES PERFORMED IN: FEBRUARY 2021 - 01 EARTHWORK &
ASPHALT; 02 LAB FOR EARTHWORK; 30 PROJECT MANAGEMENT
33896
2,497.50
PROJECT ID: MTC21S008 - 2019 WATER MAIN IMPROVEMENTS -
SERVICES PERFORMED IN: MARCH 2021 - 01EARTHWORK & ASPHALT;
02 LAB FOR EARTHWORK; 30 PROJECT MANAGEMENT
3504 05/11/2021
Claims 1
7082 MOUNTAIN LUMBER 107.00 INVOICE - 2104-398874;
INVOICE - 2104-398877;
INVOICE - 2104-000847;
INVOICE - 2104-002059
Invoices
Amount
PO For
2104-398874
9.98
MISC BOLTS; MISC BOLTS; ONE SIDED KEY QTY4
2104-398877
21.73
ONE SIDED KEY QTY. 10
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 11
Trans
Date
Type
Acct 4
Chk 4 Claimant Amount Memo
Invoices
Amount
PO For
2104-000847
46.50
RIVET STL 3-16X3/8" PK25 42014405; 410 ALUM SCOOP (1670900) 470043
2104-002059
28.79
TIE FENCE ALUM 6.5" BG30 47020316 QTY.4
3505
05/11/2021
Claims
1
7083 PAPE MACHINERY INC. 562.02 INVOICE - 12624810
Invoices
Amount
PO For
12624810
562.02
BM25677 GATHERER - BACK ORDER FILL FOR DOC412624612
3506
05/11/2021
Claims
1
7084 PARAMETRIX INC 33,608.47 INVOICE - 25828
Invoices
Amount
PO For
25828
33,608.47
2019 AC WATER MAIN REPLACEMENT - SERVICES RENDERED THROUGH
04/03/2021
3507
05/11/2021
Claims
1
7085 ROGERS MACHINERY 219.65 INVOICE - 1265213
COMPANY, INC.
Invoices
Amount
PO For
1265213
219.65
15123 - S89RIlAACI-120 RELAY, ALTERNATING, 120 VAC COIL, DPDT,
PANEL MOUNT, QUICK CONNECT TERMINALS, CSA LISTED. USAGE:
DUPLEX PANELS, CUST PICKUP
3508
05/11/2021
Claims
1
7086 SCJ ALLIANCE 3,043.00 INVOICE - 63198
Invoices
Amount
PO For
63198
3,043.00
YELM RAILROAD ABANDONMENT PROJECT 00605.014 - PHASE 01:
ANALYSIS AND APPLICATIONS; PHASE 02 STRUCTURAL INSPECTION -
SERVICES FROM 2021 0228-0327
3509
05/11/2021
Claims
1
7087 VERIZON WIRELESS 1,390.46 INVOICE - 9876724785 (2673)
Invoices
Amount
PO For
9876724785 (267
1,390.46
9876724785 (2673) - POLICE PHONES: 2021 0302-0401
3510
05/11/2021
Claims
1
7088 WATER MANAGEMENT LAB 1,020.00 INVOICE - 192943; INVOICE -
INC 193005; INVOICE - 193004;
INVOICE - 193128; INVOICE -
193035
Invoices
Amount
PO For
192943
233.00
AY282R - 2021 0401: FECAL, BOD, TSS
193005
349.00
AY282R - 2021 0406: HARDNESS, TOTAL NITROGEN, TDS, ALKALINITY,
SPECIFIC CONDUCTIVITY, CL, F, SULFATE
193004
138.00
AY282R - 2021 0325: FOG - JACK IN THE BOX; 2021 0330: FOG - KINJA
193004
55.00
AY282R - 2021 0406: SULFITE - COLORIMETRIC (D) - INF. HEADWORKS
193128
38.00
AY282R - 2021 0415: AMMONIA NITROGEN
193035
207.00
AY282R - 2021 0401: FOG - MR DOUG'S; 2021 0401: FOG - UP TOWN
LODGE (LOUNGE); 2021 0406: FOG - QUIZNO'S
3576
05/14/2021
Claims
1
7089 AMAZON CAPITAL SERVICES 234.90 INVOICE - 16LQ-PQH9-GLHT;
INC INVOICE - I IPX-NPH6-6QG4;
INVOICE - 1VG7-7367-MHH1;
INVOICE - IY4W-TQJ7-G1H1
Invoices Amount PO For
CHECK REGISTER
City Of Yelm
05/01/2021 To: 05/31/2021
Trans Date Type Acct 4 Chk 4 Claimant
Invoices Amount PO For
16LQ-PQH9-GLI
38.97
11PX-NPH6-6QC
72.23
1 VG7-7367-MHF
94.99
IY4W-TQJ7-GIF
28.71
Time: 15:19:53 Date: 06/14/2021
Page: 12
Amount Memo
25FTXV ID CLEAR VINYL TUBING, FLEXABLE HYBRIB PVC TUBING
HOSE, LIGHTWEIGHT PLASTIC TUBE UV CHEMICAL RESISTANT VINYL
HOSE, BPA FREE AND NON TOXIC
STAINLESS STEEL MACHINE SCREW, PLAIN FINISH BUTTON HEAD PIN
IN STAR DRIVE 1-1/2"L 50PK; FAVORDRORY 1/4 INCH STAINLESS FLAT
WASHER 5/8"OD 100PC; 1/4-20X2" BUTTONHEAD TORX SECURITY
MACHINE SCREW 15PK X2
LABORATORY -GRADE DENATURED ETHYL ALCOHOL 95% 500ML;
SPEARS "PVCCHK3""PVC SWING CHECK VALVE"; 300CT COTTON SWABS
WITH STRONG BAMBOO STICKS BY XUMZEE: 100% PURE NATURAL
COTTON BIODEGRADABLE CHEMICAL FRE
SANDISK 2GB CLASS 4 SD FLASH MEMORY CARD- SDSDB-002G-B35
3577
05/14/2021 Claims
1
7090 AQUATIC SPECIALTY 1,517.44 INVOICE - 20371
SERVICES, INC
Invoices
Amount
PO For
20371
1,517.44
PROVIDE START UP FOR CCF2 FLOW CELL WITH CP1 SENSOR ON
BECSYS 3 CHEMICAL CONTROLLER AT YELM SPRAY PAD, AND
ADDITIONAL NILLABLE TIME TO GET EZ CONNECT WORKING... PARTS,
PREVAILING LABOR, SHIPPING...
3578
05/14/2021 Claims
1
7091 CANON FINANCIAL 172.22 INVOICE - 26564642
SERVICES, INC.
Invoices
Amount
PO For
26564642
172.22
PSB - COLOR COPIER - CONTRACT 4 06619 - 2021 0401-0430
3579
05/14/2021 Claims
1
7092 CONSOLIDATED SUPPLY CO 49,072.56 CREDIT MEMO:
S010191067.001; INVOICE -
S010186227.001; INVOICE -
S010186126.001
Invoices
Amount
PO For
5010191067.001
-115.49
WATER METER COMPOSITE W/ 5' NICOR MUELLER VOGA43N
5010186227.001
9,837.61
VOGBI3N 5/8X3/4 420B, IB, SSR, 5' NICOR 41563241 QTY50;
MSW-NODE5-1P-05 MINODE M RADIO WATER MN, CONNECTOR METER
INTERFACE UNIT 41320020 QTY.50; MS -TTL -H MLNET HANGER ASSY
41468681 QTY.50
5010186126.001 39,350.44
VOGBI3N 5/8X3/4 420B, IB, SSR, 5' NICOR 41563241 QTY.200;
MSW-NODE5-1P-05 MINODE M RADIO WATER MN, CONNECTOR METER
INTERFACE UNIT #1320020 QTY.200; MS -TTL -H MLNET HANGER ASSY
41468681 QTY.200
3580
05/14/2021 Claims
1
7093 DATABAR 2,093.72 INVOICE - 250225
Invoices
Amount
PO For
250225
2,093.72
STATEMENT PRODUCTION 2021 0401; QTY: 2,790; POSTAGE
3581
05/14/2021 Claims
1
7094 DONALD GADDY 35.00 BUSINESS LICENSE REFUND
-2021 0505
Invoices
Amount
PO For
2021 0505
35.00
REFUND - YELM BUSINESS LICENSE APPLIED FOR BY MISTAKE -
WRONG ADDRESS 1NPUTED FOR STORE LOCATION, BUSINESS IS
ACTUALLY IN TACOMA AND HOME IS IN YELM
CHECK REGISTER
City Of Yelm
05/14/2021
Time: 15:19:53 Date: 06/14/2021
1
7100 J & I POWER EQUIPMENT
05/01/2021 To: 05/31/2021 Page: 13
Trans Date
Type Acct 4
Chk 4 Claimant Amount Memo
3582 05/14/2021
Claims 1
7095 EDWARDS, TONY 200.00 REIMBURSEMENT - 2021
601505
0419
Invoices
Amount
PO For
2021 0419
200.00
REIMBURSEMENT - CROSS CONNECTION CONTROL SPECIALIST
7101 JERRYS COLOR CENTER
175.57 INVOICE - 00068709
EXAMINATION AND WATER TREATMENT PLANT OPERATOR I
Invoices
EXAMINATION
3583 05/14/2021
Claims 1
7096 ENTERPRISE FM TRUST 16,270.84 INVOICE - FBN4179316
Invoices
Amount
PO For
FBN4179316
16,073.74
NEW/LEASE SEWER F150 XLT -ENTERPRISE FLEET MANAGEMENT
CHARGES FOR ADDEDSEWER VEHICLE
FBN4179316
197.10
ENTERPRISE FLEET MANAGEMENT FEE - APRIL 2021
3584 05/14/2021
Claims 1
7097 EPIC LAND SOLUTIONS INC 3,070.56 INVOICE - 0321-0733
Invoices
Amount
PO For
0321-0733
3,070.56
MOSMAN AVENUE PHASE 2 - PROJECT 0733 - SERVICES THROUGH 2021
SE
0328
3585 05/14/2021
Claims 1
7098 GILLIARDI LOGGING & 732.19 INVOICE - 21-0139
CONSTRUCTION INC
Invoices
Amount
PO For
21-0139
732.19
TICKET 4 96344 SUPPLY AND DELIVER 3 WAY TOPSOIL (SOLO) 12
Claims
1
TONS/YARDS ON 03/25/2021; TICKET496378 SUPPLY AND DELIVER 3 WAY
125.00 PERMIT REFUND - 2021 0416
TOPSOIL (TRUCK & TRANSFER) 25 TONS/YARDS ON 03/30/2021
3586 05/14/2021 Claims 1 7099 HENRIETTA MOREY 1,250.00 PERMIT REFUND - 2021 0416
Invoices Amount PO For
2021 0416 1,250.00 PERMIT FEE REFUND - PERMIT# 2020.0028, MOUNTAIN MEADOWS
APPEAL ON RECIEPT4 16490 ON 02/02/2021 ATTACHED TO PERMIT#
2021.0061.AP0002 - APPEAL GRANTED, NO HEARING, RETURN FEE PER
CDD
3587
05/14/2021
Claims
1
7100 J & I POWER EQUIPMENT
4.54 INVOICE - 601505
Invoices
Amount
PO For
601505
4.54
DRAWNPIN CAT1 470000-16608; PIN, LINCH 7/16 STD 470000-73577 QTY.3
3588
05/14/2021
Claims
1
7101 JERRYS COLOR CENTER
175.57 INVOICE - 00068709
Invoices
Amount
PO For
00068709
175.57
4588403 - SPEEDCRYL EXT SATIN MIDTONE COLOR:1011-4 C 45642005
5 GAL
3589
05/14/2021
Claims
1
7102 SUSAN LAIB
235.66 03-5006.0 - 15232 CHAD DR
SE
Invoices
Amount
PO For
2021-7337
235.66
3590
05/14/2021
Claims
1
7103 MASONRY CAFE CATERING
125.00 PERMIT REFUND - 2021 0416
LLC
Invoices
Amount
PO For
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 14
Trans Date
Type
Acct 4
Chk 4 Claimant Amount Memo
Invoices
Amount
PO For
2021 0416
125.00
PERMIT FEE REFUND - PERMIT# 2021.0081.OT0007 ON RECIEPT4 16815
ON 02/25/2021 - MOBILE FOOD VENDOR PERMIT APPLICATION NOT
APPLICABLE PER CDD
3591 05/14/2021
Claims
1
7104 RODNEY MCGAHAN 135.71 04-1950.0 - 9849 GREENLEAF
LP SE
Invoices
Amount
PO For
2021-7387
135.71
3592 05/14/2021
Claims
1
7105 MOUNTAIN LUMBER 564.19 INVOICE - 2104-000038;
INVOICE - 2104-003758;
INVOICE - 2104-004400
Invoices
Amount
PO For
2104-000038
96.90
METAL CUTOFF WHL 4"X5/8" 42799336 X12; WELD STL EXP 1/2X16X30
45081807; RIVET STL 3-16X3/8" PK25 42014405 X2; MISC BOLTS
2104-003758
38.17
GALVANIZED STAKES 47188683 QTY.5
2104-004400
429.12
2X4 2&BTR PRESS TREAD .40 R/L 25 - 10' 424PT QTY.250; MISC BOLTS
QTY.3
3593 05/14/2021
Claims
1
7106 NAPA (ACCT 4 11701) 75.94 INVOICE - 188331
Invoices
Amount
PO For
188331
75.94
SUPER HC IND V -BELT 4.5VX560 QTY.2
3594 05/14/2021
Claims
1
7107 NISQUALLY VALLEY NEWS 35.00 INVOICE - 151132 (2021)
Invoices
Amount
PO For
151132 (2021) 35.00 52 WEEK PREFERRED SUBSCRIBER RENEWAL FOR 04/17/2021-05/17/2022
3595 05/14/2021 Claims 1 7108 PAPE & SONS 800.00 80-0064.0 - 901 RHOTON RD
CONSTRUCTION NW
Invoices Amount PO For
2021-7363 800.00
3596 05/14/2021 Claims 1 7109 PARAMETRIX INC 4,030.98 INVOICE - 25826
Invoices Amount PO For
25826 4,030.98 2021 AC WATER MAIN REPLACEMENT PROJECT 4 216-1781-043 -
PROFESSIONAL SERVICES RENDERED THROUGH 04/03/2021 INVOICE 41
3597 05/14/2021 Claims 1 7110 PCI PEST CONTROL INC 147.42 INVOICE - 59345
Invoices Amount PO For
59345 147.42 PEST CONTROL QUARTERLY PREVENTATIVE SERVICE - YELM CITY
HALL - 2021 0420
3598 05/14/2021 Claims 1 7111 RAM ELECTRIC LLC 520.01 INVOICE - 4524
Invoices Amount PO For
4524 520.01 PSB - TROUBLESHOOT LIGHTS IN HALLWAY. FOUND BAD TOMBSTONES,
ORDER MATERIAL, RETURN TRIP TO REPAIR. 4 TOMBSTONES, 4 LAMP
HOLDERS, 4 U LAMPS. LABOR/TRAVEL
3599 05/14/2021 Claims 1 7112 RI -12 ENGINEERING, INC. 27,650.14 INVOICE - 81846
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 15
Trans
Date
Type
Acct 4
Chk 4 Claimant Amount Memo
Invoices
Amount
PO For
81846
27,650.14
PROJECT: 0210117.00 DOWNTOWN WELL'S TREATMENT FACILITY
UPGRADE - PROFESSIONAL SERVICES THROUGH 03/28/2021
3600
05/14/2021
Claims
1
7113 KRYSTLE ROBINSON 329.54 10-4128.0 - 9978 DRAGT ST SE
Invoices
Amount
PO For
2021-7364
329.54
3601
05/14/2021
Claims
1
7114 SHI INTERNATIONAL CORP 382.68 INVOICE - B13326779
Invoices
Amount
PO For
B13326779
382.68
HP ELITEDISPLAY E243 - LED MONITOR - FULL HD 108P - 23.81N
434240277 1FH47A84ABA QTY.2
3602
05/14/2021
Claims
1
7115 SONSRAY MACHINERY LLC 12,889.40 INVOICE - W07895-08
Invoices
Amount
PO For
W07895-08
12,889.40
YELMOOOI-01 P042365 - ITEM# 105870 4W CA EX 2D 4 - 1 CC 580SM II -
BACKHOE
3603
05/14/2021
Claims
1
7116 TAGS AWARDS & 42.04 INVOICE - 210227
SPECIALTIES
Invoices
Amount
PO For
210227
42.04
CYELM - 2X10 WOODGRAIN - WHT NAME PLATE -ENGRAVED - C.
MAUCH; 1.5X3 WHITE BADGER - C. MAUCH & M. ROBINSON; MAGNET
BACK QTY:2; SHIPPING
3604
05/14/2021
Claims
1
7117 THE CATTLEMAN 125.00 PERMIT REFUND - 2021 0416
Invoices
Amount
PO For
2021 0416
125.00
PERMIT FEE REFUND - PERMIT# 2021.0087.OT0009 ON RECIEPT4 16890
ON 03/08/2021 - MOBILE FOOD VENDOR PERMIT APPLICATION NOT
APPLICABLE PER CDD
3605
05/14/2021
Claims
1
7118 KARLA THOMAS 222.31 02-2080.0 - 15720 92ND CT SE
Invoices
Amount
PO For
2021-7342
222.31
3606
05/14/2021
Claims
1
7119 WA STATE TREASURER - 4,156.94 2021 04 -City Of Yelm A8
REMITTANCES Remittance - DOC ID#85002650
Invoices
Amount
PO For
A8 2021 04
4,156.94
3607
05/14/2021
Claims
1
7120 WATER MANAGEMENT LAB 466.00 INVOICE - 193036
INC
Invoices
Amount
PO For
193036
466.00
AY282R - 2021 0406: FECAL, BOD, TSS; 2021 0408: FECAL, BOD, TSS
3644
05/17/2021
Claims
1
7121 AMAZON CAPITAL SERVICES 196.51 INVOICE -
INC 1 V7X-QHLN-DWQG
Invoices
Amount
PO For
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 16
Trans
Date Type
Acct 4
Chk 4 Claimant Amount Memo
Invoices
Amount
PO For
1 V7X-QHLN-DV
196.51
TRU-SPEC MEN'S PERFORMANCE 24-7 POLYESTER SHORT SLEEVE POLO
SHIRT BLACK XXL QTY2; PROPPER MEN'S I.C.E. MEN'S SHORT SLEEVE
PERF. POLO SHIRT, WHT XXL QTY2; PROPPER MEN'S I.C.E. MEN'S LONG
SLEEVE QTY.1
3645
05/17/2021 Claims
1
7122 NORTHSTAR CHEMICAL INC 3,264.00 INVOICE - 193344
Invoices
Amount
PO For
193344
3,264.00
SODIUM HYDROXIDE - 50% MEMBRANE QTY: 12800.00 - DATE SHIPPED:
04/21/2021
3646
05/17/2021 Claims
1
7123 WATER MANAGEMENT LAB 709.00 INVOICE - 193225; INVOICE -
INC 193224
Invoices
Amount
PO For
193225
243.00
AY282R - 2021 0413: FECAL, AMMONIA NITROGEN, TOTAL NITROGEN,CL
193224
466.00
AY282R - 2021 0413: FECAL, BOD, TSS; 2021 0415: FECAL, BOD, TSS
3647
05/17/2021 Claims
1
7124 YELM FARM & PET / DJB 16.79 INVOICE - 4860/1
LIBERTY INC
Invoices
Amount
PO For
4860/1
16.79
PROPANE SKU 4404 - 7.1OGALS @ $2.19/GAL
3676
05/20/2021 Payroll
1
7125 708.00 May 2021 Draw
3727
05/21/2021 Claims
1
7126 AMAZON CAPITAL SERVICES 705.44 INVOICE -
INC 1W47-HGCM-M3M3; INVOICE
- 1JPL-LJXG-T333; INVOICE -
1R33-H4P4-WVY7; INVOICE -
1GDX-4X63-Q9X9; INVOICE -
11PX-NPH6-6QG4
Invoices
Amount
PO For
1 W47-HGCM-M;
109.16
LOGITECH USB HEADSET H390 WITH NOISE CANCELING MIC QTY -4
1JPL-LJXG-T333
14.29
LABEL KINGDOM COMPATIBLE LABELS REPLACEMENT FOR DYMO
LETRA TAG REFILLS 91331 WHITE PLASTIC LABEL TAPE 12MMX4M
(1/2"X13')
1R33-H4P4-WV)
17.52
JOHN GUEST PISV0416S 1/2"X1/2" STRAIGHT BALL VALVE SPEEDFIT TO
SPEEDFIT CONNECTOR GREY ACETAL QUICK CONNECT RO DI FITTING
REVERSE OSMOSIS
1GDX-4X63-Q9)
563.47
FLEXISPOT HEIGHT ADJUSTABLE STANDING DESK CONVERTER QTY2;
VIVO FULL MOTION DUAL MONITOR FREE-STANDING DESK STAND
HOLDS 2 SCREENS QTY2; ENERGIZER MAX AA BATTERIES & AAA
BATTERIES 48PK; AAA 48PK ENER
11PX-NPH6-6QG
1.00
STAINLESS STEEL MACHINE SCREW, PLAIN FINISH BUTTON HEAD PIN
IN STAR DRIVE 1-1/2"L 50PK; FAVORDRORY 1/4 INCH STAINLESS FLAT
WASHER 5/8"OD 100PC; 1/4-20X2" BUTTONHEAD TORX SECURITY
MACHINE SCREW 15PK X2
3728
05/21/2021 Claims
1
7127 NOAH ANDERSON 20.00 Gingerbread Contest Winner -
High School
Invoices
Amount
PO For
GINGERBREAD
20.00
Gingerbread Contest Winner - High School 2020 - 2nd issued check, 1 st check was
not picked up and is past 90days
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 17
Trans
Date
Type
Acct 4
Chk 4 Claimant Amount Memo
3729
05/21/2021
Claims
1
7128 BRADLEY AIR COMPANY 894.62 INVOICE - 3216
Invoices
Amount
PO For
3216
894.62
JOB 451993283 ON 04/15/21 TROUBLESHOOT ISSUES WITH HEAT AND AC
UNIT AT PSB. 04/22/2021: REPLACED CONTROL BOARD, OSA SENSOR
AND COIL DEFROST SENSOR. DEFROST ACHIEVED IN TEST MODE.
LABOR AND MATERIALS
3730
05/21/2021
Claims
1
7129 COURTESY AUTO SERVICE & 388.71 INVOICE - 260008
TIRE
Invoices
Amount
PO For
260008
388.71
ACCOUNT# 756603425 - 04/23/2021: 2014 POLICE EXPLORER - 245/55R18
103V EAGLE ENFORCER WINTER QTY2; TIRE PRESSURE MONITOR KIT
QTY2; WHEEL BALANCE NON -LEAD QTY2; TIRE DISPOSAL QTY2
3731
05/21/2021
Claims
1
7130 DEMARCUS & SONJ CREDIT 481.34 10-8845.0 - 14463 99TH AVE
SE
Invoices
Amount
PO For
2021-7418
481.34
3732
05/21/2021
Claims
1
7131 EPIC LAND SOLUTIONS INC 1,782.72 INVOICE - 0421-0733
Invoices
Amount
PO For
0421-0733
1,782.72
MOSMAN AVENUE PHASE 2 - PROJECT 0733 - SERVICES THROUGH 2021
0425
3733
05/21/2021
Claims
1
7132 FAY FULLER BUILDING 3,120.89 INVOICE - 0000448 -IN;
CONDO ASSOC INVOICE - 0000450 -IN
Invoices
Amount
PO For
0000448 -IN
1,497.04
LIBRARY UTILITIES AND DUES - MARCH 2021 UTILITIES
0000450 -IN
1,623.85
LIBRARY UTILITIES AND DUES - FFA ASSOCIATION DUES FOR MAY 2021
3734
05/21/2021
Claims
1
7133 FOSTER GARVEY PC 1,950.50 INVOICE - 2785454
Invoices
Amount
PO For
2785454
1,950.50
WATER RIGHTS DEFENSE PROFESSIONAL SERVICES THROUGH 2021
0331
3735
05/21/2021
Claims
1
7134 GALLS, LLC 139.98 INVOICE - 018223009
Invoices
Amount
PO For
018223009
139.98
MENS COMMAND SHIRT W/ZIPPER AND BANJ 4SH071 WHT 185 38 QTY2
3736
05/21/2021
Claims
1
7135 CHRIS GUARIGLIA 10.00 Gingerbread Contest Winner -
Elementary School
Invoices
Amount
PO For
GINGERBREAD
10.00
Gingerbread Contest Winner - Elementary School 2020 - 2nd Issued Check, 1 st
Check Was Not Picked Up And Is Past 90days
3737
05/21/2021
Claims
1
7136 SANDRA HARRIS 260.66 05-8004.0 - 15339 107TH LP SE
Invoices
Amount
PO For
2021-7408
260.66
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 18
Trans
Date
Type
Acct 4
Chk 4 Claimant Amount Memo
3738
05/21/2021
Claims
1
7137 INDUSTRIAL SOFTWARE 11,597.04 INVOICE - SIN007267
SOLUTIONS
Invoices
Amount
PO For
SIN007267
11,597.04
CUSTOMER FIRST - STANDARD - RENEWAL - HISTORIAN
#CF -STANDARD -R -HST; CUSTOMER FIRST - STANDARD - RENEWAL -
WW HMI SCADA #CF -STANDARD -R -WW
3739
05/21/2021
Claims
1
7138 J & I POWER EQUIPMENT 85.11 INVOICE - 602934
Invoices
Amount
PO For
602934
85.11
BLADE, ROTARY 472511-VK6-000 QTY:3; BLADE, ROTARY
472531-VK6-010 QTY.3
3740
05/21/2021
Claims
1
7139 LES SCHWAB WAREHOUSE 20.07 INVOICE - 42300432904
CENTER
Invoices
Amount
PO For
42300432904
20.07
W107 - 24/25 11/13.5 9/10 TR6 INDUSTRIAL/ATV TUBE PRODUCT
CODE4133952
3741
05/21/2021
Claims
1
7140 MICHAEL A MALEK 7.20 REIMBURSEMENT - 2021
0426
Invoices
Amount
PO For
2021 0426
7.20
REIMBURSMENT FOR POSTAGE ON PAYROLL TAXES (IRS 941) SENT OUT
ON 2021 0408
3742
05/21/2021
Claims
1
7141 DEBORAH MITCHELLE 98.32 03-0520.0 - 16001 86TH AVE
SE
Invoices
Amount
PO For
2021-7431
98.32
3743
05/21/2021
Claims
1
7142 MOUNTAIN LUMBER 116.61 INVOICE - 2104-008172;
INVOICE - 2104-008661
Invoices
Amount
PO For
2104-008172
3.09
HOSE QTY6 IN; MISC BOLT
2104-008661
113.52
TRASH CAN GALV 30GAL 470801 QTY4
3744
05/21/2021
Claims
1
7143 NAPA (ACCT 4 11701) 6.60 INVOICE - 185297
Invoices
Amount
PO For
185297
6.60
REDUCER 1 2INF-3 8INM 4ADP1238
3745
05/21/2021
Claims
1
7144 NATIONAL SAFETY INC 693.86 INVOICE - 0614575 -IN
Invoices
Amount
PO For
0614575 -IN
693.86
CL LIME CLS 2 T-SHIRT W/PKT MD QTY4; CL LIME CLS 2 T-SHIRT W/PKT
LG QTY. 12; CL LIME CLS 2 T-SHIRT W/PKT XL QTY. 16; CL LIME CLS 2
T-SHIRT W/PKT 2X QTY4; LOGO 1-CLR/1-LOC POCKET 25-48QTY:36;
LOGOSETUP
3746
05/21/2021
Claims
1
7145 NISQUALLY POLICE DEPT 26.78 INVOICE - 26347
Invoices
Amount
PO For
26347
26.78
Prisioner Care - NIsqually Jail - INMATE PHARMACEUTICAL
REIMBURSEMENT FOR MARCH 2021
CHECK REGISTER
City Of Yelm
2021 03
1,000.00
CONTRACT FEES FOR YELM SENIOR CENTER - MARCH 2021
Time: 15:19:53 Date: 06/14/2021
05/25/2021 Claims
1
7150 AMAZON CAPITAL SERVICES 209.74 INVOICE - 1D1K-JGX9-G44V,
05/01/2021 To: 05/31/2021
Page: 19
Trans Date
Type
Acct 4
Chk 4 Claimant
Amount Memo
3747 05/21/2021
Claims
1
7146 JOEL SAGARA
399.99 02-2140.0 - 15708 92ND CT SE
Invoices
1D1K-JGX9-G44
Amount
PO For
2021-7402
399.99
3748 05/21/2021
Claims
1
7147 DANIEL SHOUP
574.29 03-5175.0 - 15414 CALLIE AVE
ABITKU GALAXY SLOE CASE SILICONE, SLIM LIQUID SILICONE GEL
SE
Invoices
Amount
PO For
2021-7417
54.59
574.29
3749 05/21/2021
Claims
1
7148 SUNBELT RENTALS INC
2,115.62 INVOICE - 112483784-0001
Invoices
Amount
PO For
0510
112483784-0001 2,115.62 RENTAL OF CRAWLER DOZER JOHN DEERE MODEL: 450KLT
EQUIPMENT# 70-79HP FROM 04/19/21 THRU 04/23/21; TRANSPORTATION
SURCHARGE; ENVIRO/HAZMAT FEE; DIESEL 39 GALS; DELIVERY AND
PICKUP CHARGE
3750 05/21/2021 Claims 1 7149 YELM SENIOR CENTER 1,000.00 INVOICE - 2021 03
Invoices Amount PO For
2021 03
1,000.00
CONTRACT FEES FOR YELM SENIOR CENTER - MARCH 2021
3810
05/25/2021 Claims
1
7150 AMAZON CAPITAL SERVICES 209.74 INVOICE - 1D1K-JGX9-G44V,
INC INVOICE - 1199-XJD6-VVD9;
INVOICE - 19RP-HJJD-9MY6
Invoices
Amount
PO For
1D1K-JGX9-G44
106.58
CUDY POE300 60W GIGABIT ULTRA POE+ INJECTOR, UP TO 60W ULTRA
POWER SUPPLY, 10/100/1000MBPS SHEILDED RJ -45, IEEE 802.3AF/802.3 AT
COMPLIANT, NOT SUPPORT QTY.2
1199-XJD6-VVD
48.57
ABITKU GALAXY SLOE CASE SILICONE, SLIM LIQUID SILICONE GEL
RUBBER SHOCKPROOF CASE; AMCREST 1080P WEBCAM WITH
MICROPHONE FOR DESKTOP
19RP-HJJD-9MY
54.59
DIAMOND MULTIMEDIA USB 3.OTO DISPLAYPORT 4K UHD VIDEO
ADAPTER FOR MULTIPLE MONITORS
3811
05/25/2021 Claims
1
7151 MARY BRAAE 250.00 YCC DEPOSIT REFUND - 2021
0510
Invoices
Amount
PO For
2021 0510
250.00
YCC DAMAGE DEPOSIT REFUND FOR EVENT ON 2021 0502 PERMIT#
2021.0173.YC0010; INVOICE42177; RECEIPT417459
3812
05/25/2021 Claims
1
7152 DILLE LAW, PLLC 5,935.00 INVOICE - 6335; INVOICE -
6336; INVOICE - 6337
Invoices
Amount
PO For
6335
45.00
MATTER: COY - MOREY APPEAL - CIVIL ADVISEMENT ON 04/02/2021
6336
1,890.00
DILLE LAW - PROFESSIONAL SERVICES - GENERAL BUSINESS
NON -CRIMINAL: 2021 04
6337
4,000.00
DILLE LAW - PROSECUTOR COURT DAYS: 2021 0401; 2021 0415
3815
05/25/2021 Claims
1
7153 ROTARY CLUB OF YELM 800.00 YCC RESERVATION &
DEPOSIT REFUND - 2021 0510
Invoices
Amount
PO For
CHECK REGISTER
City Of Yelm
Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 20
Trans
Date Type
Acct 4
Chk 4 Claimant Amount Memo
Invoices
Amount
PO For
800
800.00
YCC RESERVATION & DEPOSIT REFUND FOR CANCELLED EVENT ON
2020 0509; PERMIT42020.0067.YC0011; INVOICE4904; RECEIPT412379
3816
05/25/2021 Claims
1
7154 SE THURSTON FIRE 2,742.12 FIRE IMPACT FEES - 2021 03
AUTHORITY
Invoices
Amount
PO For
2021 03
2,742.12
FIRE IMPACT FEES - 2021 03
3817
05/25/2021 Claims
1
7155 VERIZON WIRELESS 1,554.41 INVOICE - 9878860481 (2673)
Invoices
Amount
PO For
9878860481 (267
1,554.41
9878860481 (2673) - POLICE PHONES: 2021 0402-0501
3818
05/25/2021 Claims
1
7156 YELM COMMUNITY 12,800.00 SCHOOL IMPACT FEES - 2021
SCHOOLS 03
Invoices
Amount
PO For
2021 03
12,800.00
SCHOOL IMPACT FEES - MARCH 2021
3851
05/28/2021 Claims
1
7157 CODE PUBLISHING CO 561.08 INVOICE - 69720
Invoices
Amount
PO For
69720
561.08
MUNICIPAL CODE - WEB UPDATE: ORDINANCES: 1070, 1073, NC: 1069,
1071, 1072 - NEW PAGES QTY. 19; WEB HOURLY UPDATE: QTY0.9,
GRAPHICS, TABLES
3852
05/28/2021 Claims
1
7158 MOUNTAIN MIST 110.65 INVOICE - 2021 0430 (023279)
Invoices
Amount
PO For
2021 0430 (0232'
27.25
MOUNTAIN MIST STOP 44:206 MCKENZIE AVE
2021 0430 (0232'
27.25
MOUNTAIN MIST STOP43: 106 2ND ST SE
2021 0430 (0232'
41.50
MOUNTAIN MIST STOP42: 901 RHOTON RD SE
2021 0430 (0232'
14.65
MOUNTAIN MIST STOP41: 931 NORTHERN PACIFIC RD SE
3853
05/28/2021 Claims
1
7159 OFFICE DEPOT, INC. 141.57 INVOICE - 171384808001;
INVOICE - 171384009001
Invoices
Amount
PO For
171384808001
37.67
BOX, STOR/FILE,LTR/LGL,B SC, I OPK 4287154 QTY.2
171384009001
103.90
END TAB FLDR STR LTR MAN REINF 41394785 BOXES QTYS
3854
05/28/2021 Claims
1
7160 TAGS AWARDS & 136.20 INVOICE - J1390
SPECIALTIES
Invoices
Amount
PO For
J1390
136.20
CYELM - EMBROIDERY ON CUSTOMER PROVIDED ITEMS - LEFT
CHEST-CHEIF BADGE; RIGHT CHEST -CHIEF T. STANCIL, YELM POLICE
(STACKED) QTY.6
3855
05/28/2021 Claims
1
7161 TERESA D JOHNSON CPA, 10,408.84 INVOICE - 5617
INC
Invoices
Amount
PO For
5617
10,408.84
CONSULTING WORK PERFORMED DURING APRIL 2021:14.91667 HRS @
$190EACH; PREPARATION OF FINANCIAL STATEMENTS - SERVICES
PERFORMED IN APRIL 2021: 39.86667HRS @ $190 EACH
CHECK REGISTER
City Of Yelm Time: 15:19:53 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 21
Trans Date Type Acct 4 Chk 4 Claimant Amount Memo
3856 05/28/2021 Claims 1 7162 YELM COMMUNITY 5,849.18 FUEL USEAGE INVOICE -
SCHOOLS 2000003095
Invoices Amount PO For
2000003095 5,849.18 FUEL USEAGE FOR APRIL 2021
3857 05/28/2021 Claims 1 7163 YELM SENIOR CENTER 1,000.00 INVOICE - 2021 04;
Invoices Amount PO For
2021 04 1,000.00 CONTRACT FEES FOR YELM SENIOR CENTER - APRIL 2021
001 General Fund
101 Municipal Street Fund
200 LTGO Bond Redemption
202 Killion Road LID
302 Municipal Building Fund
316 Road & Street Construction
400 Stormwater Utility Fund
401 Municipal Water Utility Fund
404 Water Capital Improvements
412 Sewer Utility Fund
501 IT Equipment Rental & Repair
502 Equipment Rental & Repair
* Transaction Has Mixed Revenue And Expense Accounts
424,691.62
23,058.68
24,805.00
276.00
2,115.62
4,853.28
19,538.26
140,678.68
291,034.34
153,129.76
42,220.97
18,618.66
Claims:
1,145,020.87 Payroll:
569,115.56
575,905.31
2021 BUDGET POSITION TOTALS
City Of Yelm Months: 01 To: 05 Time: 15:40:06 Date: 06/14/2021
Page: 76
Fund Revenue Budgeted Received Expense Budgeted Spent
001 General Fund
8,516,130.00
5,027,872.05
59.0%
7,479,947.00
2,667,238.57
36%
101 Municipal Street Fund
658,196.00
146,576.26
22.3%
540,559.00
162,437.02
30%
102 Arterial Streets Fund
163,327.00
78,250.64
47.9%
120,000.00
0.00
0%
104 Cumulative Reserve
377,579.00
355,265.84
94.1%
0.00
0.00
0%
105 Park Reserve
962.00
942.38
98.0%
0.00
0.00
0%
107 Tourism Promotion
333,024.00
332,465.69
99.8%
80,000.00
0.00
0%
109 YPD School Resource
108,275.00
67,436.51
62.3%
20,000.00
0.00
0%
112 Affordable Housing Support
0.00
0.00
0.0%
0.00
0.00
0%
119 Deposts & Retainage
8,692.00
8,510.36
97.9%
200.00
0.00
0%
120 Transportation Facility Charge
105,661.00
-26,995.87
-25.5%
8,486.00
0.00
0%
200 LTGO Bond Redemption
482,324.00
-23,118.96
-4.8%
443,528.00
24,805.00
6%
202 Killion Road LID
1,020,730.00
601,624.56
58.9%
446,539.00
635.20
0%
203 Sewer Revenue Bonds
179,756.00
105,999.50
59.0%
173,026.00
0.00
0%
204 Sewer Revenue Bond Reserve
726,520.00
451,198.22
62.1%
0.00
0.00
0%
302 Municipal Building Fund
641,464.00
488,361.75
76.1%
415,000.00
2,115.62
1%
316 Road & Street Construction
2,972,462.00
1,024,746.01
34.5%
2,021,000.00
202,526.51
10%
400 Stormwater Utility Fund
788,212.00
555,357.89
70.5%
492,116.00
107,689.98
22%
401 Municipal Water Utility Fund
9,200,780.00
7,344,680.05
79.8%
7,099,925.00
756,812.63
11%
402 Utility Consumer Deposits
100,931.00
97,138.75
96.2%
5,000.00
1,883.15
38%
404 Water Capital Improvements
7,669,775.00
3,194,144.37
41.6%
5,187,018.00
769,638.27
15%
405 Water Revenue Debt Redemption
777,870.00
106,117.70
13.6%
774,292.00
25,928.30
3%
406 Water Capital Inprovements
1,666,890.00
982,836.16
59.0%
0.00
0.00
0%
412 Sewer Utility Fund
6,757,436.00
3,708,983.44
54.9%
4,116,324.00
970,060.76
24%
413 Sewer/Reuse Capital Reserve
22,157,611.00
1,781,983.78
8.0%
21,155,000.00
524,064.96
2%
415 Sewer Bond Refi & Reserve
250,864.00
129,222.18
51.5%
97,101.00
48,550.27
50%
430 Shortline Railroad
512.00
439.41
85.8%
0.00
0.00
0%
431 Water Construction Fund
0.00
776.63
0.0%
0.00
0.00
0%
501 IT Equipment Rental & Repair
750,144.00
364,900.88
48.6%
468,955.00
204,452.96
44%
502 Equipment Rental & Repair
1,481,442.00
1,442,867.89
97.4%
183,944.00
99,765.47
54%
630 Project Performance Assurance 1
0.00
-0.38
0.0%
0.00
0.00
0%
67,897,569.00 28,348,583.69 41.8% 51,327,960.00 6,568,604.67 12.8%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
1
001 General Fund
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 31 00 0-001
BEGINNING CASH - RESTRICTED
0.00
78,333.69
(78,333.69)
0.0%
308 91 00 0-001
BEGINNING CASH - UNASSIGNED
1,365,256.00
1,582,350.00
(217,094.00)
115.9%
308 BEGINNING CASH
1,365,256.00
1,660,683.69
(295,427.69)
121.6%
310 TAXES
311 10 00 0-001
REAL & PERSONAL PROPERTY TAX
1,551,083.00
724,140.53
826,942.47
46.7%
313 11 00 0-001
LOCAL SALES & USE TAX
2,338,477.00
1,116,825.73
1,221,651.27
47.8%
313 71 00 0-001
LOCAL CRIMINAL JUSTICE
184,888.00
91,981.21
92,906.79
49.7%
316 10 00 0-001
BUSINESS & OCCUPATION TAX
714,567.00
456,125.45
258,441.55
63.8%
316 11 00 0-001
B&O PENALTIES/INTEREST
16,028.00
18,172.07
(2,144.07)
113.4%
316 41 00 0-001
ELECTRIC UTILITY TAX
359,455.00
204,006.44
155,448.56
56.8%
316 42 00 0-001
WATER UTILITY TAX
225,000.00
74,128.50
150,871.50
32.9%
316 43 00 0-001
NATURAL GAS UTILITY TAX
125,068.00
83,996.92
41,071.08
67.2%
316 44 00 0-001
SEWER UTILITY TAX
180,000.00
80,150.63
99,849.37
44.5%
316 45 00 0-001
GARBAGE/SOLID WASTE UTILITY
2,430.00
0.00
2,430.00
0.0%
316 46 00 0-001
TELEVISION/CABLE TAX
105,485.00
53,411.37
52,073.63
50.6%
316 47 00 0-001
TELEPHONE TAX
117,000.00
27,895.30
89,104.70
23.8%
316 49 00 0-001
STORMWATER UTILITY TAX
28,257.00
11,146.56
17,110.44
39.4%
316 81 00 0-001
PUNCH BOARD AND PULL TABS
5,832.00
5,256.57
575.43
90.1%
316 82 00 0-001
BINGO & RAFFLE TAX RECEIPTS
250.00
0.00
250.00
0.0%
316 83 00 0-001
AMUSEMENT GAMES RECEIPTS
245.00
20.58
224.42
8.4%
317 20 00 0-001
FOREST EXCISE TAX
0.00
1.81
(1.81)
0.0%
318 34 00 0-001
LOCAL REAL ESTATE EXCISE TAX
0.00
8,226.93
(8,226.93)
0.0%
310 TAXES
5,954,065.00
2,955,486.60
2,998,578.40
49.6%
320 LICENSES AND PERMITS
321 50 00 0-001
PUBLIC UTILITIES PERMITS
3,000.00
10,650.00
(7,650.00)
355.0%
321 60 00 0-001
PROFESSIONAL & OCCUPATIONS
600.00
156.00
444.00
26.0%
321 80 00 0-001
FINES/PENALTIES BUS LICENSE
0.00
0.00
0.00
0.0%
321 91 00 0-001
FRANCHISE FEES
110,000.00
48,643.12
61,356.88
44.2%
321 99 00 0-001
BUSINESS LICENSES & PERMITS
26,734.00
13,503.33
13,230.67
50.5%
322 10 00 0-001
BUILDING PERMITS & INSPECTIONS
150,000.00
45,284.00
104,716.00
30.2%
322 10 00 1-001
FINES/PENALTIES - BLDG DEPT
0.00
0.00
0.00
0.0%
322 10 01 0-001
MECHANICAL PERMIT
0.00
2,484.25
(2,484.25)
0.0%
322 10 02 0-001
PLUMBING PERMIT
0.00
0.00
0.00
0.0%
322 30 00 0-001
ANIMAL LICENSES
0.00
0.00
0.00
0.0%
320 LICENSES
AND PERMITS
290,334.00
120,720.70
169,613.30
41.6%
330 INTERGOVERNMENTAL
331 16 70 0-001
DOJ -JAG GRANT 16.738
0.00
0.00
0.00
0.0%
332 92 10 0-001
COVID-19 NON -GRANT ASSISTANCE
0.00
0.00
0.00
0.0%
333 11 00 0-001
CARES GRANT (INDIRECT) -
0.00
0.00
0.00
0.0%
DEPARTMENT OF COMMERCE
333 20 60 0-001
UD FED VIA WASPC CFDA 20.600
0.00
0.00
0.00
0.0%
333 20 60 1-001
UD FED GRANT WTSC CFDA 20.601
0.00
0.00
0.00
0.0%
334 0120 0-001
ST GRANT OFFICE OF THE COURTS
0.00
0.00
0.00
0.0%
334 01 80 0-001
2012 STORM ASSISTANCE
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page: 2
001 General Fund Months: 01 To: 05
Revenues Amt Budgeted Revenues Remaining
330 INTERGOVERNMENTAL
334 03 50 0-001
WASH TRAFFIC SAFETY
34122 12 0-001
COMMISSION
336 00 98 0-001
CITY -COUNTY ASSISTANCE
336 06 20 0-001
CJ -HIGH CRIME
336 06 21 0-001
CRIMINAL JUSTICE -POP
336 06 26 0-001
CRIMINAL JUSTICE -SPECIAL SVCS
336 06 42 0-001
MARIJUANA EXCISE TAX DISTRIB
336 06 51 0-001
MUNICIPAL CRIMINAL JUSTICE AST
336 06 51 1-001
DUI And Other Criminal Justice
342 33 07 0-001
Assistance
336 06 94 0-001
LIQUOR EXCISE TAX
336 06 95 0-001
LIQUOR BOARD PROFITS
337 00 00 0-001
TIMBERLAND LIBRARY ANNUAL
343 95 00 0-001
O&M
337 00 00 1-001
LOCAL GRANTS, ENTI, OTHER PMTS
337 00 00 2-001
WELLNESS GRANTS
337 00 00 3-001
NISQUALLY TRIBE GRANT
338 21 00 0-001
WA CJTC REIMBURSEMENTS
330 INTERGOVERNMENTAL
340 CHARGES - GOODS/SERVICES
34122 02 0-001
JST-CLJ
34122 12 0-001
LAW LIBRARY
341 33 02 0-001
DIST/MUNI COURT ADMIN FEES
34143 00 0-001
Credit Credit Fee
341 81 00 0-001
CHARGE FOR COPIES
341 99 00 0-001
PASSPORT FEE COLLECTION
342 10 00 0-001
LAW ENFORCEMENT SERVICES
342 11 00 0-001
PUBLIC SAFETY OTHER
342 33 00 0-001
ADULT PROBATION FEES
342 33 07 0-001
TRAFFIC SCHOOL FEES-TENINO
343 40 00 0-001
LATECOMERS ADMIN WATER
343 50 00 0-001
LATECOMERS ADMIN SEWER
343 70 00 0-001
LEMAY GARBAGE CONTRIBUTION
343 95 00 0-001
ABATEMENT CHARGES
345 17 00 0-001
ABATEMENT LIENS & RECOVERY OF
20,847.86
CLEAN UP COSTS
345 23 00 0-001
ANIMAL CONTROL/SHELTER FEES
345 81 00 0-001
PLANNING DEP. FEES,ZONING ETC.
345 81 01 0-001
ANNEXATION FEES
345 81 02 0-001
PROJECT FEE - SW YELM
345 83 00 0-001
BLDG DEPT PLAN REVIEW FEES
345 83 01 0-001
CIVIL PLAN REVIEW FEES
345 85 00 0-001
FIRE DISTRICT IMPACT FEES
347 30 00 0-001
PARK RENTAL FEES
340 CHARGES - GOODS/SERVICES
350 FINES AND PENALTIES
2,250.00 0.00 2,250.00 0.0%
16,500.00
4,456.53
12,043.47
27.0%
22,000.00
13,506.23
8,493.77
61.4%
3,102.00
1,495.50
1,606.50
48.2%
10,998.00
5,338.49
5,659.51
48.5%
30,000.00
9,085.73
20,914.27
30.3%
1,000.00
738.05
261.95
73.8%
0.00
0.00
0.00
0.0%
53,204.00
32,356.14
20,847.86
60.8%
74,260.00
18,571.69
55,688.31
25.0%
25,104.00
0.00
25,104.00
0.0%
9,758.00
0.00
9,758.00
0.0%
500.00
510.00
(10.00)
102.0%
22,425.00
0.00
22,425.00
0.0%
0.00
0.00
0.00
0.0%
271,101.00 86,058.36 185,042.64 31.7%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
782.00
1,155.00
(373.00)
147.7%
0.00
0.00
0.00
0.0%
13,000.00
10,113.80
2,886.20
77.8%
0.00
3,819.75
(3,819.75)
0.0%
2,238.00
0.00
2,238.00
0.0%
0.00
3,477.08
(3,477.08)
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
2,500.00
10,475.00
(7,975.00)
419.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
62,000.00
16,761.67
45,238.33
27.0%
15,000.00
1,770.00
13,230.00
11.8%
0.00
103.68
(103.68)
0.0%
0.00
2,009.00
(2,009.00)
0.0%
95,520.00 49,684.98 45,835.02 52.0%
353 10 00 0-001 LOCAL INFRACTION REFUND 0.00 0.00 0.00 0.0%
353 60 00 0-001 LITTER CONTROL VIOLATIONS 0.00 0.00 0.00 0.0%
2021 BUDGET POSITION
City Of Yelm
INVESTMENT INTEREST
Time: 15:40:06
Date: 06/14/2021
36140 00 0-001
INTEREST ON
0.00
Page:
3
001 General Fund
362 60 00 0-001
HOUSING RENTALS/LEASES
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
DONATIONS -POLICE DEPT
350 FINES AND PENALTIES
PARK CONTRIBUTIONS/DONATIONS
367 00 00 4-001
VETERANS MEMORIAL WALL
(6,000.00)
355 20 00 0-001 CRIMINAL TRAFFIC DUI FINES
0.00
0.00
0.00
0.0%
355 80 01 0-001 CRIMINAL TRAFFIC OTHER FINES
0.00
0.00
0.00
0.0%
356 90 00 0-001 OTHER CRIMINAL
0.00
0.00
0.00
0.0%
NONTRAFFIC,THFT
SALE/SURPLUS PROPERTY
369 40 00 0-001
OTHER JUDGEMENTS &
(150.00)
357 37 00 0-001 MUNICIPAL COURT RECEIPTS
83,543.00
38,591.47
44,951.53
46.2%
357 37 01 0-001 DISTRICT COURT RECEIPTS
755.00
62.22
692.78
8.2%
350 FINES AND PENALTIES
84,298.00
38,653.69
45,644.31
45.9%
360 MISCELLANEOUS REVENUES
NSF FEES
369 91 05 0-001
MUSEUM CONTRIBUTIONS,
0.00
361 11 00 0-001
INVESTMENT INTEREST
361 11 00 1-001
TREE INVESTMENT INTEREST
36140 00 0-001
INTEREST ON
0.00
CONTRACTS/AR/NOTES
362 40 00 0-001
YCC-RENTAL FEE
362 60 00 0-001
HOUSING RENTALS/LEASES
367 00 00 0-001
CONTRIBUTIONS PRIVATE SOURCES
367 00 00 1-001
BANNER CONTRIBUTIONS
367 00 00 2-001
DONATIONS -POLICE DEPT
367 00 00 3-001
PARK CONTRIBUTIONS/DONATIONS
367 00 00 4-001
VETERANS MEMORIAL WALL
(6,000.00)
DONATIONS
367 00 05 0-001
CHRISTMAS DECORATIONS/PARK
367 11 00 0-001
GRANTS-AWC & PRIVATE SOURCES
367 11 00 1-001
TREE: PRIVATE DONATIONS
367 11 00 2-001
TREE: MEMORIAL CONTRIBUTIONS
369 10 00 0-001
SALE OF SURPLUS/SCRAP PROP
369 20 00 0-001
YPD-UNCLM/SALE/IMPOUND/SU
369 30 00 0-001
YPD-PROCEEDS/SEIZED PROPERTY
369 30 01 0-001
SALE/SURPLUS PROPERTY
369 40 00 0-001
OTHER JUDGEMENTS &
(150.00)
SETTLEMENTS
369 40 00 1-001
TREE: JUDGEMENTS &
10,000.00
SETTLEMENTS
369 81 00 0-001
CASHIER OVER/UNDER
369 90 03 0-001
REGISTRATION FEES
369 91 00 0-001
MISCELLANEOUS OTHER
369 91 01 0-001
YPD MISCELLANEOUS REVENUE
369 91 02 0-001
CIVIL SERVICE REVENUE/APPL.FEE
369 91 04 0-001
NSF FEES
369 91 05 0-001
MUSEUM CONTRIBUTIONS,
0.00
DONATIONS & MISC REVENUE
369 91 06 0-001
OTHER MISCELLANEOUS REVENUE
360 MISCELLANEOUS REVENUES
380 NON -REVENUES
50,603.00
(239.05)
50,842.05
0.5%
0.00
0.00
0.00
0.0%
3,700.00
1,022.12
2,677.88
27.6%
9,550.00
2,025.00
7,525.00
21.2%
0.00
0.00
0.00
0.0%
2,000.00
0.00
2,000.00
0.0%
0.00
0.00
0.00
0.0%
0.00
5,000.00
(5,000.00)
0.0%
0.00
6,000.00
(6,000.00)
0.0%
0.00
250.00
(250.00)
0.0%
0.00
0.00
0.00
0.0%
0.00
8,273.62
(8,273.62)
0.0%
0.00
0.00
0.00
0.0%
0.00
150.00
(150.00)
0.0%
10,000.00
0.00
10,000.00
0.0%
0.00
528.00
(528.00)
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
5,000.00
2,880.97
2,119.03
57.6%
1,000.00
1,174.45
(174.45)
117.4%
100.00
20.00
80.00
20.0%
0.00
90.00
(90.00)
0.0%
0.00
0.00
0.00
0.0%
0.00 692.00 (692.00) 0.0%
81,953.0027,867.11 54,085.89
34.0%
38120 00 0-001
INTERFUND LOAN PMT FROM 316
0.00
0.00
0.00
0.0%
382 10 00 0-001
YCC- DAMAGE DEPOSIT
6,200.00
0.00
6,200.00
0.0%
384 00 00 0-001
PROCEEDS SALE OF INVESTMENTS
0.00
0.00
0.00
0.0%
386 00 00 0-001
BUILDING CODE FEE
500.00
84.50
415.50
16.9%
386 01 00 0-001
BUILDING CODE SUR -CHARGE
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 4
001 General Fund Months: 01 To: 05
Revenues Amt Budgeted Revenues Remaining
380 NON -REVENUES
386 02 00 0-001
DEVELOPER FEES REIMBURSED
0.00
0.00
0.00
0.0%
386 03 00 0-001
YCC- DAMAGE DEPOSIT
0.00
1,000.00
(1,000.00)
0.0%
386 04 00 0-001
YCC-SALES TAX
0.00
0.00
0.00
0.0%
386 05 00 0-001
SURETY/PERFORM BOND DEPOSITS
0.00
0.00
0.00
0.0%
386 06 00 0-001
DRUGSEIZED-STATE-RCW69.50
0.00
0.00
0.00
0.0%
386 58 00 0-001
ASSIGNED SAV - CDD
0.00
0.00
0.00
0.0%
386 83 00 0-001
TRAUMA CARE
1,600.00
594.27
1,005.73
37.1%
386 83 31 0-001
AUTO THEFT PREVENTION
3,000.00
1,187.34
1,812.66
39.6%
386 83 32 0-001
TRAUMATIC BRAIN INJURY
400.00
375.78
24.22
93.9%
386 83 33 0-001
DISTRACTED DRIVER PREVENTION
50.00
0.00
50.00
0.0%
386 85 01 0-001
HIGHWAY SAFETY ACCOUNT
460.00
200.98
259.02
43.7%
386 87 02 0-001
JUD STABLIZATION TRUST ACCT
0.00
0.00
0.00
0.0%
386 88 00 0-001
STATE PSEA
1,150.00
270.08
879.92
23.5%
386 89 00 1-001
CIVIL PARKING PENALTIES
0.00
0.00
0.00
0.0%
386 89 03 0-001
LAB/BLOOD/BREATH STATE
0.00
15.00
(15.00)
0.0%
REMITTANCE
386 89 09 0-001
WSP HIWAY ACCT
1,370.00
330.30
1,039.70
24.1%
386 89 15 0-001
DEATH INVEST. TOXICOLOGY LAB
300.00
84.40
215.60
28.1%
386 89 24 0-001
MC SAFETY ACCOUNT
0.00
194.09
(194.09)
0.0%
386 91 00 0-001
PSEA - 1 PUBLIC SAFETY EDUC
27,400.00
12,360.53
15,039.47
45.1%
386 91 01 0-001
PSEA - 3 PUBLIC SAFETY EDUC
0.00
0.00
0.00
0.0%
386 92 00 0-001
PSEA - 2 PUBLIC SAFETY EDUC
12,650.00
6,230.87
6,419.13
49.3%
386 92 01 0-001
JIS ACCOUNT/
50.00
0.00
50.00
0.0%
386 95 00 0-001
CRIME VICTIMS
860.00
413.98
446.02
48.1%
386 96 02 0-001
BREATH TEST/LAB/DEATH INVESTIG
0.00
0.00
0.00
0.0%
386 96 03 0-001
LAB/BLOOD/BREATH-STATE REMIT
100.00
0.00
100.00
0.0%
386 97 00 0-001
JUDICIAL INFO SYS RCW 2.68.040
9,400.00
3,316.52
6,083.48
35.3%
386 99 00 0-001
SCHOOL ZONE SAFETY
0.00
0.00
0.00
0.0%
389 00 00 1-001
BANK CREDIT CARD RECON
0.00
0.00
0.00
0.0%
389 30 00 1-001
SCHOOL DIST IMPACT FEE
220,667.00
48,100.00
172,567.00
21.8%
389 30 00 2-001
FIRE DISTRICT IMPACT FEES
86,446.00
13,958.28
72,487.72
16.1%
389 30 00 3-001
LATE COMERS FEE
0.00
0.00
0.00
0.0%
389 99 99 9-001
Suspense
0.00
0.00
0.00
0.0%
380 NON -REVENUES
372,603.00
88,716.92
283,886.08
23.8%
390 OTHER FINANCING SOURCES
391 90 00 0-001
Local Financing Agreements
0.00
0.00
0.00
0.0%
395 10 00 0-001
PROCEEDS - LAND - EASEMENT
0.00
0.00
0.00
0.0%
395 20 00 0-001
INSUR RECOVERY - CAP ASSETS
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS
IN
397 00 00 0-001
T/I FROM KB SAVINGS (TO CLOSE)
0.00
0.00
0.00
0.0%
397 00 00 1-001
T/I FROM FUND 106
0.00
0.00
0.00
0.0%
397 00 00 2-001
T/I FROM FUND 197
0.00
0.00
0.00
0.0%
397 10 00 0-001
T/I from Cumulative Reserve
0.00
0.00
0.00
0.0%
397 19 49 0-001
T/I FROM 108 (CLOSE 108)
0.00
0.00
0.00
0.0%
397 31 05 0-001
T/I FROM FUND 116
0.00
0.00
0.00
0.0%
397 35 00 1-001
TR FR 407 SWR LID
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
5
001 General Fund
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
397 TRANSFERS IN
397 35 00 2-001
TR FR 416 SWR LID 1 RES
0.00
0.00
0.00
0.0%
397 42 00 0-001
TRANSFER FROM 316
0.00
0.00
0.00
0.0%
397 80 00 0-001
TRANS -IN CONTINGENCY (108)
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
398 OTHER FINANCING SOURCES
398 10 00 0-001
INSURANCE RECOVERIES
1,000.00
0.00
1,000.00
0.0%
398 OTHER FINANCING SOURCES
1,000.00
0.00
1,000.00
0.0%
Fund Revenues:
8,516,130.00
5,027,872.05
3,488,257.95
59.0%
Expenditures
Amt Budgeted
Expenditures
Remaining
511 LEGISLATIVE
511 10 42 0-001
LEGISLATIVE COMMUNICATIONS
500.00
0.00
500.00
0.0%
511 10 44 1-001
PUBLIC RELATIONS
200.00
0.00
200.00
0.0%
511 10 44 2-001
PR: MILITARY BANNER PROGRAM
0.00
0.00
0.00
0.0%
51120 41 0-001
LOBBYIST PROFESSIONAL SERVICES
15,000.00
0.00
15,000.00
0.0%
511 30 41 0-001
ADVERTISING/CHAMBER CONTRACT
6,500.00
0.00
6,500.00
0.0%
511 30 44 0-001
OFFICIAL PUBLICATIONS SERVIC
5,500.00
1,918.13
3,581.87
34.9%
511 60 10 0-001
SALARIES/WAGES
68,712.00
27,812.00
40,900.00
40.5%
511 60 12 0-001
OVERTIME
0.00
0.00
0.00
0.0%
511 60 20 0-001
F.LC.A.
5,256.00
2,127.72
3,128.28
40.5%
511 60 21 0-001
RETIREMENT
0.00
0.00
0.00
0.0%
511 60 22 0-001
INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
511 60 23 0-001
UNEMPLOYMENT INSURANCE
238.00
40.80
197.20
17.1%
511 60 23 0-011
WA PFMLA
0.00
0.00
0.00
0.0%
511 60 31 0-001
OFFICE & OPERATING SUPPLIES
500.00
0.00
500.00
0.0%
511 60 40 0-001
TRAVEL/TRAINING/MTGS
7,000.00
0.00
7,000.00
0.0%
511 60 46 0-001
ERRORS/OMMISSIONS INSURANCE
0.00
0.00
0.00
0.0%
511 60 49 0-001
MISCELLANEOUS
24,170.00
0.00
24,170.00
0.0%
511 LEGISLATIVE
133,576.00
31,898.65
101,677.35
23.9%
512 JUDICIAL
512 40 49 0-001
DISTRICT COURT MISC. FEES/CH
0.00
0.00
0.00
0.0%
512 50 10 0-001
SALARIES/WAGES
183,419.00
74,483.75
108,935.25
40.6%
512 50 11 0-001
ACCRUED VACATION/HOLIDAY/SIC
0.00
0.00
0.00
0.0%
512 50 12 0-001
OVER -TIME
0.00
0.00
0.00
0.0%
512 50 13 0-001
TEMPORARY SALARIES
0.00
0.00
0.00
0.0%
512 50 20 0-001
F.LC.A.
14,032.00
5,684.69
8,347.31
40.5%
512 50 21 0-001
RETIREMENT
17,197.00
7,947.37
9,249.63
46.2%
512 50 22 0-001
INDUSTRIAL INSURANCE
744.00
219.25
524.75
29.5%
512 50 23 0-001
UNEMPLOYMENT INSURANCE
636.00
282.31
353.69
44.4%
512 50 24 0-001
MEDICAL INSURANCE
31,658.00
11,442.45
20,215.55
36.1%
512 50 31 0-001
OFFICE/OPERATING SUPPLIES
2,250.00
246.68
2,003.32
11.0%
512 50 41 0-001
PROFESSIONAL SERVICES
1,800.00
819.84
980.16
45.5%
512 50 42 0-001
COMM:ALARM MONITORING/WEB
0.00
0.00
0.00
0.0%
USAG
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 6
001 General Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
512 JUDICIAL
512 50 42 1-001 COMMINCATIONS: PHONE
512 50 42 2-001 COMMINICATIONS: POSTAGE
512 50 43 0-001 TRAVEL/TRAINING/DUES
512 50 45 1-001 IT ALLOC - JUDICIAL
512 50 46 0-001 INSURANCE BONDING
512 50 48 0-001 CONTRACTED REPAIRS/MAINT
512 50 49 0-001 MISCELLANEOUS/DUES
512 89 00 0-001 REALLOCATE IT/DATA PROCSG
512 JUDICIAL
513 EXECUTIVE
0.00
0.00
2,000.00
20,080.00
0.00
200.00
350.00
0.00
274,366.00
0.00
0.00
130.00
0.00
0.00
0.00
0.00
0.00
101,256.34
0.00
0.00
1,870.00
20,080.00
0.00
200.00
350.00
0.00
173,109.66
0.0%
0.0%
6.5%
0.0%
0.0%
0.0%
0.0%
0.0%
36.9%
513 10 10 0-001
EXECUTIVE SALARY
309,364.00
125,519.39
183,844.61
40.6%
513 10 10 1-001
EXECUTIVE INTERN SALARY
0.00
0.00
0.00
0.0%
513 10 11 0-001
ACCRUED VACATION/HOLIDAY/SIC
0.00
0.00
0.00
0.0%
513 10 12 0-001
OVERTIME
886.00
185.33
700.67
20.9%
513 10 12 1-001
OVERTIME -INTERN
0.00
0.00
0.00
0.0%
513 10 20 0-001
F.LC.A.
23,735.00
9,338.63
14,396.37
39.3%
513 10 20 1-001
F.LC.A. INTERN
0.00
0.00
0.00
0.0%
513 1021 0-001
RETIREMENT
36,021.00
15,449.45
20,571.55
42.9%
513 10 21 1-001
RETIREMENT -INTERN
0.00
0.00
0.00
0.0%
513 10 22 0-001
INDUSTRIAL INSURANCE
1,066.00
411.25
654.75
38.6%
513 10 22 1-001
INDUSTRIAL INS. -INTERN
0.00
0.00
0.00
0.0%
513 10 23 0-001
UNEMPLOYMENT INSURANCE
1,077.00
456.11
620.89
42.4%
513 10 23 1-001
UNEMPLOYMENT INS. -INTERN
0.00
0.00
0.00
0.0%
513 10 24 0-001
MEDICAL INSURANCE
62,101.00
26,215.60
35,885.40
42.2%
513 10 31 0-001
OFFICE/OPERATING SUPPLIES
4,600.00
1,055.33
3,544.67
22.9%
513 10 32 0-001
FUEL CONSUMED
0.00
0.00
0.00
0.0%
513 10 35 0-001
SMALL TOOLS/MINOR EQUIPMENT
1,500.00
0.00
1,500.00
0.0%
513 10 40 0-001
EXECUTIVE TRAVEL/TRAINING
23,000.00
2,261.15
20,738.85
9.8%
513 10 41 0-001
EXECUTIVE CONTRACT
0.00
30.00
(30.00)
0.0%
513 1041 1-001
Planning/Design Prof Svcs
0.00
0.00
0.00
0.0%
513 10 42 1-001
COMMUNICATIONS: PHONE
0.00
0.00
0.00
0.0%
513 10 42 2-001
COMMUNICATIONS: POSTAGE
0.00
0.00
0.00
0.0%
513 10 44 0-001
ADVERTISING/CHAMBER CONTRACT
4,250.00
25.00
4,225.00
0.6%
513 10 44 1-001
PUBLIC RELATIONS
10,000.00
2,253.19
7,746.81
22.5%
513 1045 1-001
IT ALLOC - EXEC
31,580.00
550.00
31,030.00
1.7%
513 10 49 0-001
EXECUTIVE MISCELLANEOUS EXP.
0.00
128.01
(128.01)
0.0%
513 10 49 1-001
WELLNESS PROGRAM
2,500.00
414.72
2,085.28
16.6%
513 10 49 2-001
SSM&C PARTNERSHIP
6,500.00
6,500.00
0.00
100.0%
513 39 00 0-001
REALLOCATE CUSTODIAN
0.00
0.00
0.00
0.0%
513 89 00 0-001
REALLOCATE IT/DATA PROCSG
0.00
0.00
0.00
0.0%
513 EXECUTIVE
518,180.00
190,793.16
327,386.84
36.8%
514 FINANCE
& ADMINISTRATION
514 23 10 0-001
SALARIES/WAGES
128,395.00
49,169.52
79,225.48
38.3%
514 23 11 0-001
ACCRUED VACATION/HOLIDAY/SIC
(7,878.00)
0.00
(7,878.00)
0.0%
514 23 12 0-001
OVERTIME
3,162.00
958.22
2,203.78
30.3%
514 23 20 0-001
F.LC.A.
9,461.00
3,679.62
5,781.38
38.9%
514 23 21 0-001
RETIREMENT
14,359.00
5,365.72
8,993.28
37.4%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page: 7
001 General Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
514 FINANCE & ADMINISTRATION
514 23 22 0-001
INDUSTRIAL INSURANCE
514 23 23 0-001
UNEMPLOYMENT INSURANCE
514 23 24 0-001
MEDICAL INSURANCE
514 23 31 0-001
OFFICE/OPERATING SUPPLIES
514 23 32 0-001
FUEL/VEH. MTC.
514 23 35 0-001
SMALL TOOLS/MINOR EQUIPMENT
514 23 41 0-001
PROFESSIONAL SVCS/LEGAL
514 23 41 1-001
PROFESSIONAL SRVCS BANKING
514 23 41 9-001
TVI INV MUNI ADM ACCT
514 23 42 0-001
COMMUNICATIONS: ALARM
2,000.00
MONITORI
514 23 42 1-001
COMMUNICATION: PHONE
514 23 42 2-001
COMMUNICATIONS: POSTAGE
514 23 43 0-001
TRAVEL/TRAINING/DUES
514 23 44 0-001
PRINTING/ADVERTISING
514 23 45 1-001
IT ALLOC - FINANCE
514 23 46 0-001
PROPERTY/CASUALTY/BONDING
514 23 47 0-001
PUBLIC UTILITIES SERVICES
514 23 48 0-001
CONTRACTED REPAIRS/MAINT
514 23 49 0-001
MISCELLANEOUS
514 23 49 1-001
AUDITOR/PROFESSIONAL EXPENSE
514 23 49 2-001
TAXES & ASSESSMENTS EXTERNAL
514 30 41 0-001
RECORDS SERVICES
514 39 00 0-001
REALLOCATE CUSTODIAN
514 40 41 0-001
ELECTION COSTS
514 50 35 0-001
BLDG/GROUNDS MAINT. SUPPLIES
514 50 41 0-001
BLDG/GROUND CUSTODIAL
6,000.00
/CLEANIN
514 50 41 1-001
SOFTWARE MAINT
514 8149 0-001
BUS. LICENSE BACKGROUND
0.00
CHECKS
514 89 00 0-001
REALLOCATE IT/DATA PROCSG
514 90 41 0-001
VOTER REGISTRATION COSTS
514 FINANCE & ADMINISTRATION
515 LEGAL
372.00
140.09
231.91
37.7%
430.00
183.99
246.01
42.8%
34,993.00
13,311.38
21,681.62
38.0%
1,650.00
600.55
1,049.45
36.4%
0.00
0.00
0.00
0.0%
2,000.00
0.00
2,000.00
0.0%
8,028.00
21,096.81
(13,068.81)
262.8%
1,000.00
9,968.00
(8,968.00)
996.8%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
8,000.00
329.76
7,670.24
4.1%
800.00
1,150.00
(350.00)
143.8%
12,010.00
0.00
12,010.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
100.00
95.46
4.54
95.5%
34,000.00
0.00
34,000.00
0.0%
75.00
0.00
75.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
6,000.00
0.00
6,000.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
5,000.00
0.00
5,000.00
0.0%
110.00
0.00
110.00
0.0%
0.00
0.00
0.00
0.0%
15,000.00
10,895.68
4,104.32
72.6%
277,067.00
116,944.80
160,122.20
42.2%
515 20 41 0-001
LABOR RELATIONS CONSULTANT
15,000.00
8,442.00
6,558.00
56.3%
515 30 41 0-001
LEGAL SERVICES/CRIMINAL
36,000.00
19,000.00
17,000.00
52.8%
515 30 41 1-001
LEGAL SERVICES/CIVIL
70,000.00
9,260.47
60,739.53
13.2%
515 9141 0-001
INDIGENT DEFENSE COSTS
97,500.00
31,750.00
65,750.00
32.6%
515 9141 1-001
Public Defense Grant
0.00
0.00
0.00
0.0%
515 LEGAL 218,500.00 68,452.47 150,047.53 31.3%
517 EMPLOYEE BENEFIT PROGRAM
517 60 49 0-001 L&I RETRO PROGRAM
517 EMPLOYEE BENEFIT PROGRAM
518 CENTRAL SERVICE
4,100.00 3,394.87 705.13 82.8%
4,100.00 3,394.87 705.13 82.8%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 8
001 General Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
518 CENTRAL SERVICE
518 10 60 0-001
FLEET ALLOCATION - CITY HALL
14,600.00
0.00
14,600.00
0.0%
518 20 48 0-001
BUILDING MAINT/REPAIRS
0.00
0.00
0.00
0.0%
518 23 46 0-001
RMSA INSURANCE
257,595.00
257,227.38
367.62
99.9%
518 30 10 0-001
SALARIES/WAGES Maint. Staff
37,160.00
15,974.09
21,185.91
43.0%
518 30 20 0-001
F.LC.A.
2,843.00
950.54
1,892.46
33.4%
518 30 21 0-001
RETIREMENT
4,314.00
1,664.03
2,649.97
38.6%
518 30 22 0-001
INDUSTRIAL INSURANCE
1,345.00
563.32
781.68
41.9%
518 30 23 0-001
UNEMPLOYMENT INSURANCE
129.00
54.19
74.81
42.0%
518 30 24 0-001
MEDICAL INSURANCE
19,115.00
4,120.52
14,994.48
21.6%
518 30 48 0-001
CUSTODIAL/JANITORIAL SERVICE
25,000.00
6,450.94
18,549.06
25.8%
518 30 48 1-001
BLDG MAINT/REPAIRS
40,000.00
19,439.80
20,560.20
48.6%
518 35 00 1-001
SMALL EQUIPMENT -SAFETY
1,000.00
174.19
825.81
17.4%
518 63 41 0-001
CARES Act Distributions - Community
0.00
39,788.35
(39,788.35)
0.0%
Support
518 63 41 1-001
CARES Act Distributions - Business
0.00
0.00
0.00
0.0%
Support
518 81 10 0-001
SALARIES/WAGES
0.00
0.00
0.00
0.0%
518 81 11 0-001
ACCRUED VACATION/HOLIDAY/SIC
0.00
0.00
0.00
0.0%
518 81 12 0-001
OVERTIME
0.00
0.00
0.00
0.0%
518 8120 0-001
F.LC.A.
0.00
0.00
0.00
0.0%
518 8121 0-001
RETIREMENT
0.00
0.00
0.00
0.0%
518 8122 0-001
INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
518 8123 0-001
UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
518 8124 0-001
MEDICAL INSURANCE
0.00
0.00
0.00
0.0%
518 81 31 0-001
OFFICE/OPERATING SUPPLIES
0.00
0.00
0.00
0.0%
518 8141 0-001
PROFESSIONAL SVCS
0.00
0.00
0.00
0.0%
518 8142 1-001
COMMUNICATIONS: PHONE
0.00
0.00
0.00
0.0%
518 8142 2-001
COMMUNICATIONS: POSTAGE
11,000.00
2,054.56
8,945.44
18.7%
518 8142 3-001
COMMUNICATION: COPIERS
0.00
0.00
0.00
0.0%
518 8142 4-001
COMMUNICATION: NETWORK
0.00
0.00
0.00
0.0%
518 8143 0-001
IT TRAINING
0.00
0.00
0.00
0.0%
518 8145 1-001
IT ALLOC - CENTRAL SERVICES
14,490.00
0.00
14,490.00
0.0%
518 85 41 0-001
SOFTWARE MAINTENANCE
0.00
0.00
0.00
0.0%
518 86 41 0-001
DATA PROCESSING CONTRACTED
0.00
0.00
0.00
0.0%
518 89 00 0-001
REALLOCATE IT/DATA PROCESSING
0.00
0.00
0.00
0.0%
518 89 49 0-001
DATA PROCESSING OTHER EXPENS
0.00
0.00
0.00
0.0%
518 90 40 0-001
PUBLIC UTILITIES (WTR/SWR/PWR)
40,000.00
20,414.82
19,585.18
51.0%
518 CENTRAL SERVICE
468,591.00
368,876.73
99,714.27
78.7%
521 LAW ENFORCEMENT
521 10 10 0-001
SALARIES/WAGES
1,594,129.00
655,393.47
938,735.53
41.1%
521 10 11 0-001
POLICE ACCRUED
31,018.00
0.00
31,018.00
0.0%
521 10 12 0-001
OVERTIME
36,603.00
12,005.08
24,597.92
32.8%
521 10 15 0-001
TEMPORARY/RESERVE HIRE
0.00
0.00
0.00
0.0%
521 10 160-001
CIVIL SERVICE SALARIES
1,100.00
1,557.37
(457.37)
141.6%
521 10 20 0-001
FICA/MEDICARE
128,214.00
51,956.84
76,257.16
40.5%
521 1021 0-001
RETIREMENT
96,817.00
42,861.34
53,955.66
44.3%
521 10 22 0-001
INDUSTRIAL INSURANCE
51,440.00
21,547.27
29,892.73
41.9%
521 10 23 0-001
UNEMPLOYMENT INSURANCE
5,815.00
2,622.84
3,192.16
45.1%
521 10 24 0-001
MEDICAL/DISABILITY INSURANCE
364,813.00
145,696.96
219,116.04
39.9%
521 10 25 0-001
UNIFORMS
18,100.00
17,180.61
919.39
94.9%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 9
001 General Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
521 LAW ENFORCEMENT
521 1025 1-001
RESERVE UNIFORMS
3,000.00
44.03
2,955.97
1.5%
521 1031 0-001
OFFICE/OPERATING SUPPLIES
6,000.00
1,203.34
4,796.66
20.1%
521 10 32 0-001
FUEL CONSUMED/OIL
42,000.00
16,342.81
25,657.19
38.9%
521 10 40 0-001
CIVIL SERVICE/OTHER CHARGES
2,000.00
464.00
1,536.00
23.2%
521 1041 0-001
PROFESSIONAL SERVICES
4,700.00
1,033.90
3,666.10
22.0%
521 10 41 1-001
PROF SVCS: ALARM MONITORING
0.00
0.00
0.00
0.0%
521 10 41 2-001
PROF SVCS: WEB USAGE
0.00
0.00
0.00
0.0%
521 10 42 1-001
COMMUNICATION: PHONES
0.00
901.65
(901.65)
0.0%
521 10 42 2-001
COMMUNICATION: POSTAGE
0.00
0.00
0.00
0.0%
521 10 43 0-001
TRAVEL/TRAINING FEES
8,000.00
645.00
7,355.00
8.1%
521 1043 1-001
CRIMINAL JUSTICE TRNG REIMB
0.00
0.00
0.00
0.0%
521 10 44 0-001
PRINTING & ADVERTISING
200.00
0.00
200.00
0.0%
521 1045 1-001
IT ALLOC - PUBLIC SAFETY
132,425.00
0.00
132,425.00
0.0%
521 10 46 0-001
CASUALTY INSURANCE-RMSA
0.00
0.00
0.00
0.0%
521 10 47 0-001
PUBLIC UTILITIES SERVICES
0.00
0.00
0.00
0.0%
521 10 48 0-001
VEHICLE REPAIRS & MTCE.
17,000.00
4,886.88
12,113.12
28.7%
521 1048 1-001
OFFICE/RADIO EQPT. REPAIR/MT
8,825.00
2,848.10
5,976.90
32.3%
521 10 49 0-001
FEES/DUES
36,325.00
30,379.80
5,945.20
83.6%
521 10 49 1-001
TAXES & ASSESSMENTS EXTERNAL
14.00
0.00
14.00
0.0%
521 10 63 0-001
FLEET ALLOCATION - LAW
60,000.00
0.00
60,000.00
0.0%
ENFORCEMENT
521 10 97 0-001
THURSTON COUNTY
0.00
0.00
0.00
0.0%
COMMUNICATIO
52121 00 0-001
DRUG INVESTIGATION FUNDS
0.00
0.00
0.00
0.0%
521 30 31 0-001
CRIME PREVENTION
3,000.00
0.00
3,000.00
0.0%
521 30 49 4-001
RESERVE OFFICERS CRIME PREV.
0.00
0.00
0.00
0.0%
521 31 35 0-001
SMALL TOOLS/MINOR EQUIPMENT
30,000.00
9,637.01
20,362.99
32.1%
521 39 00 0-001
REALLOCATE CUSTODIAN
0.00
0.00
0.00
0.0%
52140 31 0-001
TRAINING SUPPLIES/AMMUNITION
9,500.00
1,987.39
7,512.61
20.9%
521 50 41 0-001
BLDG/GROUND
0.00
0.00
0.00
0.0%
CUSTODIAL/CLEANING
521 89 00 0-001
REALLOCATE IT/DATA PROCSG
0.00
0.00
0.00
0.0%
521 LAW ENFORCEMENT
2,691,038.00
1,021,195.69
1,669,842.31
37.9%
523 DETENTION/CORRECTION
523 60 40 0-001
CARE & CUSTODY OF PRISONERS
127,727.00
21,706.58
106,020.42
17.0%
523 DETENTION/CORRECTION
127,727.00
21,706.58
106,020.42
17.0%
537 GARBAGE/RECYCLING
537 10 10 0-001
SALARIES/WAGES
0.00
0.00
0.00
0.0%
537 10 20 0-001
F.LC.A.
0.00
0.00
0.00
0.0%
537 10 21 0-001
RETIREMENT
0.00
0.00
0.00
0.0%
537 10 22 0-001
INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
537 10 23 0-001
UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
537 10 24 0-001
MEDICAL INSURANCE
0.00
0.00
0.00
0.0%
537 10 31 0-001
OFFICE/OPERATING SUPPLIES
0.00
0.00
0.00
0.0%
537 10 42 0-001
POSTAGE AND MAILING
0.00
0.00
0.00
0.0%
537 10 49 0-001
MISCELLANEOUS
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
10
001 General Fund
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
537 GARBAGE/RECYCLING
537 GARBAGE/RECYCLING
0.00
0.00
0.00
0.0%
539 ANIMAL CONTROL
539 30 10 0-001 SALARIES/WAGES
0.00
988.79
(988.79)
0.0%
539 30 11 0-001 ACCRUED VACATION/HOLIDAY/SIC
0.00
0.00
0.00
0.0%
539 30 12 0-001 OVERTIME
0.00
0.00
0.00
0.0%
539 30 13 0-001 STAND BY PAY
0.00
594.00
(594.00)
0.0%
539 30 20 0-001 F.LC.A.
0.00
74.69
(74.69)
0.0%
539 30 21 0-001 RETIREMENT
0.00
130.83
(130.83)
0.0%
539 30 22 0-001 INDUSTRIAL INSURANCE
0.00
18.56
(18.56)
0.0%
539 30 23 0-001 UNEMPLOYMENT INSURANCE
0.00
4.13
(4.13)
0.0%
539 30 24 0-001 MEDICAL INSURANCE
0.00
238.58
(238.58)
0.0%
539 30 25 0-001 UNIFORMS
0.00
0.00
0.00
0.0%
539 30 31 0-001 OFFICE & OPERATING SUPPLIES
0.00
0.00
0.00
0.0%
539 30 32 0-001 FUEL CONSUMED
0.00
0.00
0.00
0.0%
539 30 33 0-001 SMALL TOOLS/MINOR EQUIPMENT
0.00
0.00
0.00
0.0%
539 30 41 0-001 ANIMAL CONTROL/CARE & CUSTOD
45,000.00
101.25
44,898.75
0.2%
539 30 47 0-001 UTILITY SERVICES
0.00
0.00
0.00
0.0%
539 30 49 0-001 MISCELLANEOUS
0.00
0.00
0.00
0.0%
539 30 60 0-001 MACHINERY/EQUIPMENT
0.00
0.00
0.00
0.0%
539 39 00 0-001 REALLOCATE CUSTODIAN
0.00
0.00
0.00
0.0%
539 50 48 0-001 BLDG/GROUNDS/MTCE/JANITOR
0.00
0.00
0.00
0.0%
539 ANIMAL CONTROL
45,000.00
2,150.83
42,849.17
4.8%
542 ROAD/STREET MAINTENANCE
542 62 48 0-001 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
552 EMP. OPPORTUNITY & DEV.
552 10 49 0-001 OMWBE OPERATING COSTS
100.00
0.00
100.00
0.0%
552 EMP. OPPORTUNITY & DEV.
100.00
0.00
100.00
0.0%
553 POLLUTION CONTROL
553 70 41 0-001 POLLUTION CONTROL
7,400.00
7,445.03
(45.03)
100.6%
553 POLLUTION CONTROL
7,400.00
7,445.03
(45.03)
100.6%
554 ANIMAL CONTROL
554 30 41 0-001 Animal Control - Professional Services
0.00
0.00
0.00
0.0%
554 ANIMAL CONTROL
0.00
0.00
0.00
0.0%
558 PLANNING/COMMUNITY DEVV,
558 10 11 0-001 ACCRUED VACATION/HOLIDAY/SIC
0.00
0.00
0.00
0.0%
558 10 12 0-001 OVERTIME
306.00
0.00
306.00
0.0%
558 10 40 0-001 RMSA INSURANCE
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
11
001 General Fund
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
558 PLANNING/COMMUNITY DEVV,
558 10 42 2-001
COMMUNICATIONS: POSTAGE
0.00
0.00
0.00
0.0%
558 10 42 3-001
TREE: POSTAGE
0.00
0.00
0.00
0.0%
558 20 41 0-001
GMA GRANT PROJECT WORK
0.00
0.00
0.00
0.0%
558 39 00 0-001
REALLOCATE CUSTODIAN
0.00
0.00
0.00
0.0%
558 50 48 0-001
CONTRACTED REPAIRS/MAINT
0.00
0.00
0.00
0.0%
558 60 10 0-001
SALARIES/WAGES
437,728.00
158,198.54
279,529.46
36.1%
558 60 20 0-001
F.LC.A.
33,510.00
11,761.85
21,748.15
35.1%
558 60 21 0-001
RETIREMENT
50,856.00
20,518.32
30,337.68
40.3%
558 60 22 0-001
INDUSTRIAL INSURANCE
4,371.00
2,010.55
2,360.45
46.0%
558 60 23 0-001
UNEMPLOYMENT INSURANCE
1,520.00
608.86
911.14
40.1%
558 60 24 0-001
MEDICAL INSURANCE
113,916.00
32,986.70
80,929.30
29.0%
558 60 31 0-001
OFFICE/OPERATING SUPPLIES
8,250.00
585.00
7,665.00
7.1%
558 60 32 0-001
FUEL
2,000.00
78.74
1,921.26
3.9%
558 60 35 0-001
SMALL TOOLS/MINOR EQUIPMENT
5,300.00
2,255.34
3,044.66
42.6%
558 60 41 0-001
REGIONAL PLANNING
35,000.00
38,045.14
(3,045.14)
108.7%
558 60 41 1-001
LOCAL PLANNING
0.00
0.00
0.00
0.0%
558 60 412-001
CONSULTANT SVCS/PLAN REVIEW
8,000.00
1,661.62
6,338.38
20.8%
558 60 41 3-001
TREE: PROFESSIONAL SERVICES
2,000.00
0.00
2,000.00
0.0%
558 60 42 1-001
COMMUNICATIONS: PHONE
0.00
0.00
0.00
0.0%
558 60 43 0-001
TRAVEL/TRAINING/DUES
6,300.00
1,250.60
5,049.40
19.9%
558 60 43 1-001
TREE: TRAVEL/TRAINING/DUES
200.00
0.00
200.00
0.0%
558 60 44 0-001
PRINTING & ADVERTISING
6,000.00
1,084.07
4,915.93
18.1%
558 60 44 1-001
TREE: EVENTS/ADVERTISING
1,500.00
0.00
1,500.00
0.0%
558 60 45 1-001
IT ALLOC - PLANNING
39,485.00
0.00
39,485.00
0.0%
558 60 48 0-001
VEHICLE/EQUIPMENT REP/MTC.
1,400.00
407.14
992.86
29.1%
558 60 48 1-001
TREE: CITY REPAIRS/ MAINT
1,500.00
4,904.96
(3,404.96)
327.0%
558 60 49 0-001
MISC/RECORD ORDINANCES
1,000.00
42.26
957.74
4.2%
558 70 48 0-001
AMTRAK STATION OPERATION/MAI
1,400.00
1,093.86
306.14
78.1%
558 80 41 0-001
PROFESSIONAL/DEVELOPMENT FEE
0.00
0.00
0.00
0.0%
558 80 48 1-001
SW YELM MASTER PLAN
0.00
0.00
0.00
0.0%
558 89 00 0-001
REALLOCATE IT/DATA PROCSG
0.00
0.00
0.00
0.0%
558 90 48 0-001
R&M FOR CONTRACTED SERVICES
0.00
0.00
0.00
0.0%
558 PLANNING/COMMUNITY DEV.
761,542.00
277,493.55
484,048.45
36.4%
565 MENTAL & PHYSICAL HEALTH
565 10 49 0-001
ANNUAL CONTRIBUTIONS
15,000.00
5,000.00
10,000.00
33.3%
565 MENTAL & PHYSICAL HEALTH
15,000.00
5,000.00
10,000.00
33.3%
566 SUBSTANCE
ABUSE
566 00 41 0-001
SUBSTANCE ABUSE/SOCIAL SVCS.
1,700.00
848.26
851.74
49.9%
566 SUBSTANCE ABUSE
1,700.00
848.26
851.74
49.9%
572 LIBRARY
SERVICES
572 10 40 1-001
ADMINISTRATION
0.00
0.00
0.00
0.0%
572 10 41 0-001
LIBRARY SERVICES O&M
50,000.00
15,182.79
34,817.21
30.4%
572 LIBRARY SERVICES 50,000.00 15,182.79 34,817.21 30.4%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 12
001 General Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
573 HISTORIC PRESERVATION
572 10 41 1-001 LIBRARY SERVICES MAINTENANCE
RESERVE
573 60 31 0-001 PARTICIPANT RECREATION SVCS
573 90 31 0-001 OPERATING SUPPLIES/PLAQUES
573 HISTORIC PRESERVATION
575 CULTURE RECREATION
3,528.00
1,000.00
500.00
5,028.00
0.00
0.00
0.00
0.00
3,528.00
1,000.00
500.00
5,028.00
0.0%
0.0%
0.0%
0.0%
575 30 40 0-001
MUSEUM - OTHER SERVICES
0.00
1,088.43
(1,088.43)
0.0%
575 50 10 0-001
Salaries/Wages
2,600.00
402.86
2,197.14
15.5%
575 50 20 0-001
F.LC.A
0.00
30.82
(30.82)
0.0%
575 50 21 0-001
Retirement
0.00
52.25
(52.25)
0.0%
575 50 22 0-001
INDUSTRIAL INSURANCE
0.00
14.93
(14.93)
0.0%
575 50 23 0-001
UNEMPLOYMENT INSURANCE
0.00
1.40
(1.40)
0.0%
575 50 24 0-001
MEDICAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 30 0-001
YCC- SUPPLIES
500.00
189.26
310.74
37.9%
575 50 40 0-001
YELM CC -GARBAGE
1,800.00
573.19
1,226.81
31.8%
575 50 40 1-001
YCC-PHONE/ALARM/INTERNET
800.00
105.00
695.00
13.1%
575 50 40 2-001
YCC- WATER/SEWER/STORM
9,990.00
938.40
9,051.60
9.4%
575 50 40 3-001
YCC ELECTRIC/GAS
6,600.00
2,490.27
4,109.73
37.7%
575 50 40 4-001
YCC - OTHER SERVICES
0.00
0.00
0.00
0.0%
575 50 40 5-001
CONTRACTED SERVICES
0.00
0.00
0.00
0.0%
575 CULTURE
RECREATION
22,290.00
5,886.81
16,403.19
26.4%
576 PARKS
576 10 13 0-001
STAND BY PAY
5,700.00
1,312.00
4,388.00
23.0%
576 10 23 0-001
UNEMPLOYMENT INSURANCE
0.00
1.61
(1.61)
0.0%
576 10 53 0-001
TAXES & ASSESSMENTS EXTERNAL
92.00
0.00
92.00
0.0%
576 39 00 0-001
REALLOCATE CUSTODIAN
0.00
0.00
0.00
0.0%
576 80 10 0-001
SALARIES/WAGES
257,053.00
97,048.71
160,004.29
37.8%
576 80 11 0-001
ACCRUED VACATION/HOLIDAY/SIC
0.00
0.00
0.00
0.0%
576 80 12 0-001
OVERTIME
0.00
69.82
(69.82)
0.0%
576 80 20 0-001
F.LC.A.
19,664.00
7,062.44
12,601.56
35.9%
576 80 21 0-001
RETIREMENT
29,844.00
12,214.71
17,629.29
40.9%
576 80 22 0-001
INDUSTRIAL INSURANCE
7,644.00
2,520.00
5,124.00
33.0%
576 80 23 0-001
UNEMPLOYMENT INSURANCE
892.00
328.50
563.50
36.8%
576 80 24 0-001
MEDICAL INSURANCE
57,874.00
18,043.62
39,830.38
31.2%
576 80 25 0-001
UNIFORMS/SAFETY EQUIPMENT
2,020.00
2,418.72
(398.72)
119.7%
576 80 31 0-001
OFFICE/OPERATING SUPPLIES
1,000.00
665.04
334.96
66.5%
576 80 31 1-001
CHRISTMAS IN THE PARK
4,000.00
136.61
3,863.39
3.4%
576 80 32 0-001
FUEL CONSUMED
4,500.00
5,391.86
(891.86)
119.8%
576 80 35 0-001
SMALL TOOLS & MINOR EQUIPMEN
7,500.00
2,527.64
4,972.36
33.7%
576 80 40 0-001
RMSA INSURANCE
0.00
0.00
0.00
0.0%
576 80 40 1-001
FLEET ALLOCATION - PARKS
22,933.00
0.00
22,933.00
0.0%
576 80 41 0-001
PROFESSIONAL SERVICES
300.00
50.00
250.00
16.7%
576 80 42 1-001
COMMUNICATIONS: PHONE
0.00
0.00
0.00
0.0%
576 80 42 2-001
COMMUNICATIONS: POSTAGE
0.00
0.00
0.00
0.0%
576 80 43 0-001
TRAVEL/TRAINING/DUES
1,000.00
1,103.98
(103.98)
110.4%
576 80 45 1-001
IT ALLOC - PARKS
16,000.00
0.00
16,000.00
0.0%
576 80 47 0-001
PUBLIC UTILITY SERVICES
20,000.00
896.81
19,103.19
4.5%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 13
001 General Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
576 PARKS
576 80 48 0-001 REPAIRS/MTCE VEHICLES & EQUI
576 80 48 2-001 BLDG/GROUNDS/MTCE - SKATEBD
576 80 48 3-001 BLDG/GROUNDS/MTCE-LONGMIR
576 80 48 4-001 BLDG/GROUNDS/MTCE-COCHRAN
576 80 48 5-001 BLDG/GROUNDS/MTCE- CITY
576 80 48 6-001 BLDG/GROUNDS/MTCE-TRAIL
576 80 49 0-001 MISCELLANEOUS
576 80 49 1-001 TAXES & ASSESSMENTS EXTERNAL
576 90 30 0-001 BLDG/GROUND/MTCE-SPLASH PAD
576 90 40 0-001 RAILROAD TRAIL MAINT.
576 PARKS
580 NON -EXPENDITURES
7,500.00
4,200.00
40,000.00
8,000.00
12,000.00
2,100.00
0.00
0.00
16,500.00
0.00
548,316.00
3,775.04
1,221.62
11,084.75
568.00
16,332.81
267.57
0.00
0.00
4,929.55
1,549.60
191,521.01
3,724.96
2,978.38
28,915.25
7,432.00
(4,332.81)
1,832.43
0.00
0.00
11,570.45
(1,549.60)
356,794.99
50.3%
29.1%
27.7%
7.1%
136.1%
12.7%
0.0%
0.0%
29.9%
0.0%
34.9%
581 10 00 0-001
INTERFUND LOAN TO 316
0.00
0.00
0.00
0.0%
586 00 00 0-001
CRIME VICTIMS COMPENSATION
860.00
0.00
860.00
0.0%
586 00 00 1-001
CIVIL PARKING PENALTIES
0.00
0.00
0.00
0.0%
586 02 00 0-001
DEVELOPER FEES REIMBURSED
0.00
0.00
0.00
0.0%
586 03 00 0-001
YCC-DAMAGE DEPOSIT RETURN
6,200.00
1,000.00
5,200.00
16.1%
586 04 00 0-001
YCC-SALES TAX REMIT
0.00
0.00
0.00
0.0%
586 05 00 0-001
SURETY/PERFORMANCE BOND REFU
0.00
0.00
0.00
0.0%
586 06 00 0-001
DRUGSEIZED-STATE-RCW69.50
0.00
0.00
0.00
0.0%
586 20 02 0-001
DISTRACTED DRIVER
50.00
0.00
50.00
0.0%
586 58 00 0-001
ASSIGNED SAV - CDD
0.00
0.00
0.00
0.0%
586 83 00 0-001
Trauma Care
1,600.00
497.74
1,102.26
31.1%
586 83 31 0-001
Auto Theft Prevention
3,000.00
993.83
2,006.17
33.1%
586 83 32 0-001
Trauma Brain Injury
0.00
0.00
0.00
0.0%
586 85 01 0-001
HIGHWAY SAFETY ACCOUNT
460.00
165.20
294.80
35.9%
586 85 02 0-001
MOTOR CYCLE SAFETY EDUCATION
0.00
0.00
0.00
0.0%
ACCOUNT
586 87 02 0-001
JUDICAL STABLIZATION TRUST ACC
9,450.00
2,371.05
7,078.95
25.1%
586 88 00 0-001
Public Safety & Education (3)
0.00
0.00
0.00
0.0%
586 89 09 0-001
WSP Hwy Account
1,370.00
235.96
1,134.04
17.2%
586 89 15 0-001
Lab Toxicology Testing
400.00
41.36
358.64
10.3%
586 91 00 0-001
Public Safety & Education (1)
1,150.00
0.00
1,150.00
0.0%
586 92 00 0-001
Public Saftey & Education (2)
0.00
0.00
0.00
0.0%
586 97 00 0-001
JIS (Judicial Information System) State
0.00
0.00
0.00
0.0%
588 00 00 0-001
PRIOR PERIOD ADJUSTMENT
0.00
0.00
0.00
0.0%
589 00 00 0-001
PUBLIC SAFETY & EDUCATION
27,400.00
10,987.96
16,412.04
40.1%
589 00 00 1-001
CASH DRAWER
0.00
0.00
0.00
0.0%
589 00 00 2-001
UNCLAIMED PROPERTY
0.00
0.00
0.00
0.0%
589 01 00 0-001
PUBLIC SAFETY & EDUC. 86 ASS
12,650.00
5,357.92
7,292.08
42.4%
589 02 00 0-001
BUILDING CODE FEE
500.00
0.00
500.00
0.0%
589 03 00 0-001
JIS FUNDS TO STATE
0.00
0.00
0.00
0.0%
589 04 00 0-001
SCHOOL ZONE SAFETY
0.00
0.00
0.00
0.0%
589 05 00 0-001
LITTER CONTROL
0.00
0.00
0.00
0.0%
589 06 00 0-001
TRAUMA CARE
0.00
0.00
0.00
0.0%
589 07 00 0-001
PUBLIC SAFETY & EDUCATION
0.00
0.00
0.00
0.0%
589 12 52 0-001
BREATH TEST/LAB/CRIME INVEST
0.00
0.00
0.00
0.0%
589 30 00 1-001
SCHOOL IMPACT FEE REMIT
220,667.00
39,100.00
181,567.00
17.7%
589 30 00 2-001
FIRE DISTRICT IMPACT FEE REMIT
86,446.00
11,818.44
74,627.56
13.7%
589 30 00 3-001
LATE COMERS FEES
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
MACHINERY/EQUIPMENT
Time: 15:40:06
Date: 06/14/2021
0.00
0.0%
594 12 64 0-001
Page:
14
001 General Fund
0.00
0.0%
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
0.0%
580 NON -EXPENDITURES
MACHINERY/EQUIPMENT/SOFTW
0.00
0.00
0.00
589 83 31 0-001 AUTO THEFT PREVENTION
0.00
0.00
0.00
0.0%
589 83 32 0-001 TRAUMATIC BRAIN INJURY
0.00
306.16
(306.16)
0.0%
589 99 00 2-001 PAYROLL CLEARING
0.00
1,255.63
(1,255.63)
0.0%
589 99 00 3-001 DRAW CLEARING
0.00
11,774.78
(11,774.78)
0.0%
589 99 90 0-001 SUSPENSE
0.00
151,284.97
(151,284.97)
0.0%
580 NON -EXPENDITURES
372,203.00
237,191.00
135,012.00
63.7%
591 DEBT SERVICE
594 21 64 2-001
CRIME PREVENTION/EQUIPMENT
0.00
0.00
59121 75 0-001 AUTO LEASE PRINCIPAL
0.00
0.00
0.00
0.0%
592 21 83 0-001 AUTO LEASE INTEREST
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 11 64 0-001
MACHINERY/EQUIPMENT
0.00
0.00
0.00
0.0%
594 12 64 0-001
MACHINERY/EQPT/SOFTWARE
0.00
0.00
0.00
0.0%
594 13 64 0-001
MACHINERY/EQUIPMENT/SOFTW
0.00
0.00
0.00
0.0%
594 18 64 0-001
MACHINERY/EQUIPMENT/SOFTW
0.00
0.00
0.00
0.0%
594 19 62 0-001
BLDGS/STRUCTURES/GROUNDS
0.00
0.00
0.00
0.0%
594 19 63 0-001
BNC RESERVE
0.00
0.00
0.00
0.0%
59421 620-001
Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
594 21 64 0-001
MACHINERY & EQUIPMENT
0.00
0.00
0.00
0.0%
594 21 64 1-001
FORFEITURE PROCEEDS PURCHASE
0.00
0.00
0.00
0.0%
594 21 64 2-001
CRIME PREVENTION/EQUIPMENT
0.00
0.00
0.00
0.0%
594 21 64 3-001
RED WIND CRIME PREV. EQUIPME
0.00
0.00
0.00
0.0%
594 21 64 4-001
DOJ -GRANT RMS EQUIPMENT
0.00
0.00
0.00
0.0%
594 21 64 5-001
SURVEILLANCE CAMERAS
0.00
0.00
0.00
0.0%
594 21 70 0-001
PRINCIPAL SERIES 2017A POL VEH
0.00
0.00
0.00
0.0%
594 21 80 0-001
INTEREST SERIES 2017A POL VEH
0.00
0.00
0.00
0.0%
594 22 60 0-001
FIRE IMPACT FEES
0.00
0.00
0.00
0.0%
594 22 60 1-001
FIRE IMPACT FEES RESERVE
0.00
0.00
0.00
0.0%
594 58 64 0-001
MACHINERY/EQUIPMENT/SOFTW
0.00
0.00
0.00
0.0%
594 72 62 0-001
BLDGS/STRUCTURES/GROUNDS
0.00
0.00
0.00
0.0%
594 73 63 0-001
HABITAT CONSERVATION PLAN
100,000.00
0.00
100,000.00
0.0%
594 76 64 0-001
MACHINERY & EQUIPMENT
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES 100,000.00 0.00 100,000.00 0.0%
597 TRANSFERS OUT
597 10 00 0-001
T/O TO CUMULATIVE RESERVE
30,000.00
0.00
30,000.00
0.0%
597 10 62 0-001
T/O TO 200 LIBRARY DEBT PMT
137,313.00
0.00
137,313.00
0.0%
597 18 64 0-001
T/O To Fund 501
0.00
0.00
0.00
0.0%
597 19 00 0-001
T/O to 104 CUMULATIVE RESERVE
0.00
0.00
0.00
0.0%
597 19 49 1-001
T/O TO FUND 119 RETAINAGE
0.00
0.00
0.00
0.0%
597 19 62 1-001
T/O PW LTGO BOND 4200
0.00
0.00
0.00
0.0%
597 21 00 0-001
T/O YPD SCH RESRC #109
0.00
0.00
0.00
0.0%
597 21 62 1-001
T/O PSB LTGO BOND 4200
330,910.00
0.00
330,910.00
0.0%
597 21 64 0-001
T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 37 00 0-001
T/O TO 403
0.00
0.00
0.00
0.0%
597 42 00 0-001
Transfer to 316
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
15
001 General Fund
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
597 TRANSFERS OUT
597 44 00 0-001 T/O STREET 4101
355,000.00
0.00
355,000.00
0.0%
597 47 00 1-001 T/O to 430
0.00
0.00
0.00
0.0%
597 48 00 0-001 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 1-001 T/O TO 104 CUMULATIVE RESERVE
0.00
0.00
0.00
0.0%
597 76 63 4-001 T/O to Fund 302 Muni Bldg Fund
(15,000.00)
0.00
(15,000.00)
0.0%
597 TRANSFERS OUT
838,223.00
0.00
838,223.00
0.0%
999 ENDING CASH
508 31 00 0-001 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
508 91 00 0-001 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
7,479,947.00
2,667,238.57
4,812,708.43
35.7%
2021 BUDGET POSITION
City Of Yelm
FED HWY TEA -21 (SMALL CITIES)
Time: 15:40:06
Date: 06/14/2021
0.00
0.0%
334 01 80 0-101
Page: 16
101 Municipal Street Fund
0.00
0.00
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
0.0%
336 00 71 0-101
MULTIMODAL TRANSPORATION-
308 31 00 0-101 BEGINNING CASH - RESTRICTED
0.00
0.00
0.00 0.0%
308 51 00 0-101 BEGINNING CASH - ASSIGNED
174,045.00
100,317.84
73,727.16 57.6%
308 BEGINNING CASH
174,045.00
100,317.84
73,727.16 57.6%
330 INTERGOVERNMENTAL
333 00 63 0-101
FED HWY TEA -21 (SMALL CITIES)
0.00
0.00
0.00
0.0%
334 01 80 0-101
2012 STORM ASSISTANCE
0.00
0.00
0.00
0.0%
334 03 80 1-101
TIB 2017 Emergency Pvmt Repair
0.00
0.00
0.00
0.0%
336 00 71 0-101
MULTIMODAL TRANSPORATION-
7,558.00
2,144.68
5,413.32
28.4%
1.7%
MTA
0.00
0.00
0.00
0.0%
336 00 87 0-101
MOTOR VEHICLE FUEL TAX
120,752.00
44,099.32
76,652.68
36.5%
337 07 00 0-101
GRANT -PORT OF OLYMPIA
0.00
0.00
0.00
0.0%
330 INTERGOVERNMENTAL 128,310.00 46,244.00 82,066.00 36.0%
340 CHARGES - GOODS/SERVICES
341 69 00 0-101 Charge for Copies
0.00
0.00
0.00
0.0%
344 10 00 0-101 MAINT/REPAIRS/CONSTRUCTIO SVS
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-101 INVESTMENT INTEREST
841.00
14.42
826.58
1.7%
369 30 00 0-101 SALE/SURPLUS PROPERTY
0.00
0.00
0.00
0.0%
369 90 00 0-101 OTHER MISCELLANEOUS REVENUE
0.00
0.00
0.00
0.0%
369 90 01 0-101 MISC REVENUE - TREE REMOVAL
0.00
0.00
0.00
0.0%
369 91 00 0-101 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
841.00
14.42
826.58
1.7%
397 TRANSFERS IN
397 44 00 0-101 T/I FRM 001
355,000.00
0.00
355,000.00
0.0%
397 44 64 0-101 T/I MACH & EQ FROM 302 PSB
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
355,000.00
0.00
355,000.00
0.0%
398 OTHER FINANCING SOURCES
398 00 00 0-101 Insurance Recoveries
0.00
0.00
0.00
0.0%
398 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
Fund Revenues:
658,196.00
146,576.26
511,619.74
22.3%
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 30 48 1-101 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page: 17
101 Municipal Street Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
542 ROAD/STREET MAINTENANCE
542 30 10 0-101
SALARIES/WAGES
542 30 11 0-101
ACCRUED VACATION/HOLIDAY/SIC
542 30 12 0-101
OVERTIME
542 30 13 0-101
STAND BY PAY
542 30 20 0-101
F.LC.A.
542 30 21 0-101
RETIREMENT
542 30 22 0-101
INDUSTRIAL INSURANCE
542 30 23 0-101
UNEMPLOYMENT INSURANCE
542 30 24 0-101
MEDICAL INSURANCE
542 30 25 0-101
UNIFORMS/SAFETY EQUIPMENT
542 30 31 0-101
OFFICE/OPERATING SUPPLIES
542 30 32 0-101
FUEL CONSUMED
542 30 35 0-101
SMALL TOOLS & MINOR EQUIPMEN
542 30 41 0-101
COMPUTER SOFTWARE O&M
542 30 42 1-101
COMMUNICATIONS: PHONE
542 30 42 2-101
COMMUNICATIONS: POSTAGE
542 30 43 0-101
TRAVEL/TRAINING
542 30 45 1-101
OP ALLOC TO IT FUND
542 30 46 0-101
PROPERTY/EQPT/LIABILITY INS
542 30 48 0-101
VEHICLE REPAIR/MAINTENANCE
542 30 49 0-101
RENTAL EQUIPMENT
542 62 48 0-101
Repairs and Maint - Rail Line
542 63 40 0-101
STREET LIGHTING
542 64 31 0-101
TRAFFIC CONTROL DEVICES
542 64 48 0-101
SIDEWALK REPAIR MAINTENANCE
542 66 30 0-101
Roads/Streets Maintenance - Snow & Ice
0.00
Control
542 80 49 0-101
MISCELLANEOUS
542 90 48 0-101
STREET REPAIRS/MAINTENANCE
542 ROAD/STREET MAINTENANCE
543 ROAD/STREET GEN. ADMIN.
186,820.00
56,461.45
130,358.55
30.2%
0.00
0.00
0.00
0.0%
0.00
250.32
(250.32)
0.0%
0.00
1,294.00
(1,294.00)
0.0%
14,292.00
4,472.57
9,819.43
31.3%
21,690.00
7,768.40
13,921.60
35.8%
4,686.00
1,623.71
3,062.29
34.7%
648.00
241.77
406.23
37.3%
46,781.00
12,112.11
34,668.89
25.9%
2,600.00
2,013.60
586.40
77.4%
600.00
364.69
235.31
60.8%
4,000.00
1,598.07
2,401.93
40.0%
5,000.00
193.09
4,806.91
3.9%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
1,500.00
169.25
1,330.75
11.3%
15,600.00
0.00
15,600.00
0.0%
30.00
0.00
30.00
0.0%
2,500.00
(35.25)
2,535.25
1.4%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
120,000.00
33,308.08
86,691.92
27.8%
4,000.00
208.11
3,791.89
5.2%
30,000.00
18,487.56
11,512.44
61.6%
2,500.00
914.80
1,585.20
36.6%
250.00
0.00
250.00
0.0%
35,000.00
20,627.17
14,372.83
58.9%
498,497.00
162,073.50
336,423.50
32.5%
543 10 41 0-101
Road & Street Administration & Overhead
0.00
0.00
0.00
0.0%
- Professional Services
543 20 41 0-101
BIANNUAL TRAFFIC COUNTS
11,000.00
0.00
11,000.00
0.0%
543 30 44 0-101
PRINTING/ADVERTISING
500.00
0.00
500.00
0.0%
543 30 48 0-101
GEN SVCS EQUIP REPAIR/MTCE
0.00
0.00
0.00
0.0%
543 30 64 0-101
GEN SVC MACHINERY/EQUIPMENT
0.00
0.00
0.00
0.0%
543 50 47 0-101
PUBLIC UTILITY SERVICES
2,400.00
363.52
2,036.48
15.1%
543 ROAD/STREET GEN. ADMIN.
13,900.00
363.52
13,536.48
2.6%
575 CULTURE
RECREATION
575 50 10 0-101
SALARIES/WAGES
0.00
0.00
0.00
0.0%
575 50 20 0-101
F.I.C.A.
0.00
0.00
0.00
0.0%
575 50 22 0-101
INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-101
UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION 0.00 0.00 0.00 0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
18
101 Municipal Street Fund
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
594 CAPITAL EXPENSES
594 21 62 0-101 BUILDINGS/STRUCTURES/GROUNDS
0.00
0.00
0.00
0.0%
594 44 64 0-101 MACHINERY & EQUPMENT
0.00
0.00
0.00
0.0%
594 64 00 0-101 VEHICLE REPAIRS/MAINT RESERVE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
597 18 64 0-101 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-101 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 48 00 0-101 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-101 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 95 63 0-101 Operating Allocation - ER&R (Street
23,266.00
0.00
23,266.00
0.0%
597 95 63 6-101 T/O To 316
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
23,266.00
0.00
23,266.00
0.0%
999 ENDING CASH
508 31 00 0-101 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
508 51 00 0-101 ENDING CASH - ASSIGNED
4,896.00
0.00
4,896.00
0.0%
999 ENDING CASH
4,896.00
0.00
4,896.00
0.0%
Fund Expenditures:
540,559.00
162,437.02
378,121.98
30.0%
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
340 CHARGES - GOODS/SERVICES
0.00
Page:
19
102 Arterial Streets Fund
360 MISCELLANEOUS REVENUES
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
387.63
308 BEGINNING CASH
38.8%
367 11 00 1-102 PORT OF OLY-SMALL CITY GRANT
0.00
0.00
308 31 00 0-102 BEGINNING CASH - RESTRICTED
76,787.00
56,100.40
20,686.60
73.1%
308 BEGINNING CASH
76,787.00
56,100.40
20,686.60
73.1%
330 INTERGOVERNMENTAL
0.0%
360 MISCELLANEOUS REVENUES
1,000.00
387.63
333 00 63 0-102 FED INDIRECT TEA -21103RD
0.00
0.00
0.00
0.0%
333 20 20 0-102 STP GRANT SR 507 & 1ST STREET
0.00
0.00
0.00
0.0%
334 03 80 1-102 TIB EPP-1ST TO RHOTON
0.00
0.00
0.00
0.0%
334 03 80 2-102 TIB EPP (2013 GRANT -POTENTIAL
0.00
0.00
0.00
0.0%
336 00 71 0-102 MULTIMODAL TRANSPORATION-
5,038.00
1,009.26
4,028.74
20.0%
MTA
0.0%
Fund Revenues:
163,327.00
78,250.64
336 00 87 0-102 MOTOR VEHICLE FUEL TAX
80,502.00
20,753.35
59,748.65
25.8%
336 00 88 0-102 USE 336.00.87.00
0.00
0.00
0.00
0.0%
337 07 01 0-102 STP SIDEWALK GRANT-THURS
0.00
0.00
0.00
0.0%
337 07 02 0-102 TRPC SIDEWALK GRANT-INTCTY
0.00
0.00
0.00
0.0%
TRA
0.0%
541 ROAD/STREET PRESERVATION
330 INTERGOVERNMENTAL 85,540.00 21,762.61 63,777.39 25.4%
340 CHARGES - GOODS/SERVICES
345 85 00 0-102 DEVELOPER TRAFFIC IMPACT FEES
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-102 INVESTMENT INTEREST
1,000.00
387.63
612.37
38.8%
367 11 00 1-102 PORT OF OLY-SMALL CITY GRANT
0.00
0.00
0.00
0.0%
369 90 00 0-102 OTHER MISC. REVENUE
0.00
0.00
0.00
0.0%
369 91 00 0-102 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
1,000.00
387.63
612.37
38.8%
397 TRANSFERS IN
397 40 00 1-102 T/I FROM 316 ROAD/ST CONST
0.00
0.00
0.00
0.0%
397 40 00 7-102 T/I FROM 114 TO CLOSE FUND
0.00
0.00
0.00
0.0%
397 44 00 1-102 T/I FROM 310 TO CLOSE FUND
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
163,327.00
78,250.64
85,076.36
47.9%
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 30 48 1-102 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
541 ROAD/STREET PRESERVATION
541 10 00 2-102 EPP-CONST. ENGINEERING
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
542 6141 0-102 ENGINEER-YELM AVE W SIDEWALK
0.00
Page: 20
102 Arterial Streets Fund
0.0%
542 61 63 1-102 YELM AVE SIDEWALK
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
541 ROAD/STREET PRESERVATION
0.00
20,000.00
0.0%
541 10 00 3-102 EPP -DESIGN ENGINEERING
0.00
0.00
0.00 0.0%
541 10 00 4-102 EPP-ENGINEER. (2013 TIB GRANT)
0.00
0.00
0.00 0.0%
541 ROAD/STREET PRESERVATION
0.00
0.00
0.00 0.0%
542 ROAD/STREET MAINTENANCE
542 30 00 0-102 2ND STREET CONSTRUCTION
0.00
0.00
0.00
0.0%
542 6141 0-102 ENGINEER-YELM AVE W SIDEWALK
0.00
0.00
0.00
0.0%
542 61 63 1-102 YELM AVE SIDEWALK
0.00
0.00
0.00
0.0%
ENHANCEMENTS
20,000.00
0.00
20,000.00
0.0%
542 62 48 0-102 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE 0.00 0.00 0.00 0.0%
543 ROAD/STREET GEN. ADMIN.
543 30 41 0-102 TRAFFIC MODELING - ENGINEERING
5,000.00
0.00
5,000.00
0.0%
543 30 41 1-102 LOBBYIST CONTRACT SVCS
15,000.00
0.00
15,000.00
0.0%
543 30 412-102 PLANNING STUDY (SR507 &1 ST
0.00
0.00
0.00
0.0%
543 ROAD/STREET GEN. ADMIN.
20,000.00
0.00
20,000.00
0.0%
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
575 50 10 0-102 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-102 F.I.C.A
0.00
0.00
0.00
0.0%
575 50 22 0-102 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-102 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION 0.00 0.00 0.00 0.0%
594 CAPITAL EXPENSES
594 21 62 0-102 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
595 00 00 0-102 CAPITAL RESERVE -FUTURE USE
0.00
0.00
0.00
0.0%
595 30 00 2-102 EPP CONSTRUCTION/1ST & RHOTON
0.00
0.00
0.00
0.0%
595 30 00 3-102 EPP CONST. (2013 TIB GRANT
0.00
0.00
0.00
0.0%
595 61 63 1-102 YELM AVE SIDEWALK LOCAL MATCH
0.00
0.00
0.00
0.0%
595 61 63 2-102 EPP LOCAL MATCH/1 ST & RHOTON
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
597 18 64 0-102 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-102 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 42 00 0-102 Road/Street Transfer Repayment
0.00
0.00
0.00
0.0%
597 48 00 0-102 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-102 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 95 60 7-102 T/O TO 316
0.00
0.00
0.00
0.0%
597 95 63 6-102 TRANS -OUT TO 316
100,000.00
0.00
100,000.00
0.0%
597 TRANSFERS OUT 100,000.00 0.00 100,000.00 0.0%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 21
102 Arterial Streets Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
999 ENDING CASH
508 31 00 0-102 ENDING CASH - RESTRICTED 0.00 0.00 0.00 0.0%
999 ENDING CASH 0.00 0.00 0.00 0.0%
Fund Expenditures: 120,000.00 0.00 120,000.00 0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
22
104 Cumulative Reserve
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 51 00 0-104 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
341 69 00 0-104 Charge for Copies
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-104 INVESTMENT INTEREST
0.00
120.92
(120.92)
0.0%
366 10 85 0-104 LOAN
0.00
0.00
0.00
0.0%
REPAYMENT -INTEREST -SWEEPER
367 11 00 0-104 RR PARTNERS SHARES
0.00
0.00
0.00
0.0%
369 91 00 0-104 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
0.00
120.92
(120.92)
0.0%
380 NON -REVENUES
384 00 00 0-104 PROCEEDS INVESTMENT SALE
0.00
0.00
0.00
0.0%
387 00 00 0-104 LONGMIRE PARK CASH FLOW
0.00
0.00
0.00
0.0%
RECOVERY
387 00 57 2-104 T/I FROM 001 CLOSE 198
0.00
0.00
0.00
0.0%
380 NON -REVENUES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 10 00 0-104 T/I FROM FUND 101
0.00
0.00
0.00
0.0%
397 76 63 1-104 T/I FROM 001
15,000.00
0.00
15,000.00
0.0%
397 76 63 2-104 T/I FROM FUND 314
0.00
0.00
0.00
0.0%
397 76 63 3-104 T/I FROM 118 (CLOSE 118)
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
15,000.00
0.00
15,000.00
0.0%
999 ENDING CASH
308 41 00 0-104 BEGINNING CASH - COMMITTED
362,579.00
355,144.92
7,434.08
97.9%
999 ENDING CASH
362,579.00
355,144.92
7,434.08
97.9%
Fund Revenues:
377,579.00
355,265.84
22,313.16
94.1%
Expenditures
Amt Budgeted
Expenditures
Remaining
594 CAPITAL EXPENSES
594 00 00 0-104 CUMULATIVE RESERVE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
597 76 63 4-104 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page: 23
104 Cumulative Reserve
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
597 TRANSFERS OUT
597 76 63 5-104 T/O to General Fund
0.00
0.00
0.00 0.0%
597 TRANSFERS OUT
0.00
0.00
0.00 0.0%
999 ENDING CASH
508 41 00 0-104 ENDING CASH - COMMITTED
0.00
0.00
0.00 0.0%
508 51 00 0-104 ENDING CASH - ASSIGNED
0.00
0.00
0.00 0.0%
999 ENDING CASH
0.00
0.00
0.00 0.0%
Fund Expenditures:
0.00
0.00
0.00 0.0%
2021 BUDGET POSITION
City Of Yelm
INVESTMENT INTEREST
Time: 15:40:06
Date: 06/14/2021
(0.33)
0.0%
367 00 01 0-105
Page:
24
105 Park Reserve
0.00
0.0%
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
0.0%
308 BEGINNING CASH
GENERAL PARK DONATIONS
0.00
0.00
0.00
308 51 00 0-105 BEGINNING CASH - ASSIGNED
962.00
942.05
19.95
97.9%
308 91 00 0-105 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
962.00
942.05
19.95
97.9%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.0%
367 00 07 0-105
341 69 00 0-105 Charge for Copies
0.00
0.00
0.00
0.0%
347 90 00 0-105 OPEN SPACE/PARK FEE IN LIEU
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-105
INVESTMENT INTEREST
0.00
0.33
(0.33)
0.0%
367 00 01 0-105
CITY PARK DONATIONS
0.00
0.00
0.00
0.0%
367 00 02 0-105
COCHRANE PARK DONATIONS
0.00
0.00
0.00
0.0%
367 00 03 0-105
GENERAL PARK DONATIONS
0.00
0.00
0.00
0.0%
367 00 04 0-105
CHRISTMAS DECORATIONS/PARK
0.00
0.00
0.00
0.0%
367 00 05 0-105
PARK PLAYGROUND DONATIONS
0.00
0.00
0.00
0.0%
367 00 06 0-105
SKATE BOARD PARK DONATIONS
0.00
0.00
0.00
0.0%
367 00 07 0-105
LONGMIRE COMM. PARK
0.00
0.00
0.00
0.0%
0.00
DONATIONS
542 ROAD/STREET MAINTENANCE
369 00 00 0-105
TREE CUTTING PROCEEDS
0.00
0.00
0.00
0.0%
369 91 00 0-105
MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES 0.00 0.33 (0.33) 0.0%
397 TRANSFERS IN
397 00 00 0-105 TRANS IN DONATIONS FROM 119
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
962.00
942.38
19.62
98.0%
Expenditures
Amt Budgeted
Expenditures
Remaining
514 FINANCE & ADMINISTRATION
514 23 41 1-105 PROFESSIONAL SERVICES BANKING
0.00
0.00
0.00
0.0%
514 FINANCE & ADMINISTRATION
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
518 30 48 1-105 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
542 62 48 0-105 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
25
105 Park Reserve
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
573 HISTORIC PRESERVATION
573 60 30 0-105 CULTURE&COMMUNITYEVENT-SP
0.00
0.00
0.00
0.0%
573 HISTORIC PRESERVATION
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
575 50 10 0-105 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-105 F.I.C.A
0.00
0.00
0.00
0.0%
575 50 22 0-105 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-105 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
576 PARKS
576 80 49 0-105 GENERAL PARK PURCHASES
0.00
0.00
0.00
0.0%
576 80 64 0-105 DONATED CITY PARK EQPT.
0.00
0.00
0.00
0.0%
576 81 64 0-105 DONATED COCHRANE PARK EQPT.
0.00
0.00
0.00
0.0%
576 82 35 0-105 SMALL TOOLS/MINOR EQUIPMENT
0.00
0.00
0.00
0.0%
576 PARKS
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 21 62 0-105 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
594 76 94 0-105 LONGMIRE COMMUNITY PARK
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
597 18 64 0-105 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-105 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 48 00 0-105 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 0-105 T/O TO 302
0.00
0.00
0.00
0.0%
597 76 63 4-105 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 51 00 0-105 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-105 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
26
107 Tourism Promotion
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 31 00 0-107 BEGINNING CASH - RESTRICTED
316,216.00
324,762.99
(8,546.99)
102.7%
308 BEGINNING CASH
316,216.00
324,762.99
(8,546.99)
102.7%
310 TAXES
313 31 00 0-107 TAXES RECEIVED
15,000.00
7,461.16
7,538.84
49.7%
310 TAXES
15,000.00
7,461.16
7,538.84
49.7%
340 CHARGES - GOODS/SERVICES
341 69 00 0-107 Charge for Copies
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-107 INVESTMENT INTEREST
1,808.00
241.54
1,566.46
13.4%
369 91 00 0-107 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
1,808.00
241.54
1,566.46
13.4%
Fund Revenues:
333,024.00
332,465.69
558.31
99.8%
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 30 48 1-107 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
542 62 48 0-107 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
557 COMMUNITY SERVICE
557 30 41 0-107 TOURISM/PROMOTION
80,000.00
0.00
80,000.00
0.0%
557 COMMUNITY SERVICE
80,000.00
0.00
80,000.00
0.0%
999 ENDING CASH
508 31 00 0-107 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
80,000.00
0.00
80,000.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
27
109 YPD School Resource
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 51 00 0-109 BEGINNING CASH - ASSIGNED
88,275.00
67,413.42
20,861.58
76.4%
308 BEGINNING CASH
88,275.00
67,413.42
20,861.58
76.4%
340 CHARGES - GOODS/SERVICES
341 69 00 0-109 Charge for Copies
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
342 10 00 0-109 YELM COMMUNITY SCHOOLS
20,000.00
0.00
20,000.00
0.0%
361 11 00 0-109 INVESTMENT INTEREST
0.00
23.09
(23.09)
0.0%
367 00 03 0-109 YOUTH CRIME PREVENTION
0.00
0.00
0.00
0.0%
CONTRIB
369 91 00 0-109 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
20,000.00
23.09
19,976.91
0.1%
380 NON -REVENUES
387 00 00 0-109 CASH FLOW RESERVE
0.00
0.00
0.00
0.0%
380 NON -REVENUES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 21 01 0-109 TRANS -IN CRIMINAL JUSTICE 001
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
108,275.00
67,436.51
40,838.49
62.3%
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 30 48 1-109 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
521 LAW ENFORCEMENT
521 31 10 0-109 SALARIES
15,212.00
0.00
15,212.00
0.0%
521 3111 0-109 ACCRUED VAC/HOL/SL Cashout
0.00
0.00
0.00
0.0%
521 31 12 0-109 OVERTIME
0.00
0.00
0.00
0.0%
521 3120 0-109 FICA
1,183.00
0.00
1,183.00
0.0%
521 3121 0-109 RETIREMENT
860.00
0.00
860.00
0.0%
521 3122 0-109 INDUSTRIAL INSURANCE
337.00
0.00
337.00
0.0%
521 3123 0-109 UNEMPLOYMENT INSURANCE
43.00
0.00
43.00
0.0%
521 3124 0-109 MEDICAL/DISABILITY INSURANCE
2,365.00
0.00
2,365.00
0.0%
521 3125 0-109 UNIFORMS
0.00
0.00
0.00
0.0%
521 31 31 0-109 OFFICE/OPERATING SUPPLIES
0.00
0.00
0.00
0.0%
521 31 64 0-109 MACHINERY/EQUIPMENT
0.00
0.00
0.00
0.0%
521 50 46 0-109 RMSA INSURANCE
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
28
109 YPD School Resource
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
521 LAW ENFORCEMENT
521 LAW ENFORCEMENT
20,000.00
0.00
20,000.00
0.0%
542 ROAD/STREET MAINTENANCE
542 62 48 0-109 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
575 50 10 0-109 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-109 F.I.C.A
0.00
0.00
0.00
0.0%
575 50 22 0-109 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-109 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 2149 0-109 CASH FLOW RESERVE
0.00
0.00
0.00
0.0%
594 21 62 0-109 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
597 18 64 0-109 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-109 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 48 00 0-109 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-109 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 51 00 0-109 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
20,000.00
0.00
20,000.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
29
112 Affordable Housing Support
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
310 TAXES
313 11 00 0-112 Local Retail Sales And Use Tax
0.00
0.00
0.00
0.0%
310 TAXES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-112 Interest Income
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
0.00
0.00
0.00
0.0%
Fund Revenues:
0.00
0.00
0.00
0.0%
Expenditures
Amt Budgeted
Expenditures
Remaining
565 MENTAL & PHYSICAL HEALTH
551 00 41 0-112 Public Housing Support
0.00
0.00
0.00
0.0%
565 40 41 0-112 Homeless Housing Support
0.00
0.00
0.00
0.0%
565 MENTAL & PHYSICAL HEALTH
0.00
0.00
0.00
0.0%
Fund Expenditures:
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 30
119 Deposts & Retainage Months: 01 To: 05
Revenues Amt Budgeted Revenues Remaining
308 BEGINNING CASH
308 31 00 0-119 BEGINNING CASH - RESTRICTED
308 51 00 0-119 BEGINNING CASH - ASSIGNED
308 91 00 0-119 BEGINNING CASH - UNASSIGNED
308 BEGINNING CASH
360 MISCELLANEOUS REVENUES
8,692.00
0.00
0.00
8,692.00
8,507.46
0.00
0.00
8,507.46
184.54
0.00
0.00
184.54
97.9%
0.0%
0.0%
97.9%
361 11 00 0-119
INTEREST EARNED
0.00
2.90
(2.90)
0.0%
369 91 00 0-119
MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
0.00
2.90
(2.90)
0.0%
380 NON -REVENUES
386 00 00 0-119
SURETY/PERFORMANCE/RETAIN
0.00
0.00
0.00
0.0%
386 00 00 1-119
2012-0260 HABITAT FOR HUMANITY
0.00
0.00
0.00
0.0%
389 00 00 0-119
PARK DEPOSITS
0.00
0.00
0.00
0.0%
389 00 00 1-119
SURETY/PERFORMANCE/RETAIN
0.00
0.00
0.00
0.0%
389 00 00 2-119
T. BAILEY RETAINAGE
0.00
0.00
0.00
0.0%
389 00 00 3-119
W -M APPLICATION DEPOSIT
0.00
0.00
0.00
0.0%
389 00 00 4-119
SUB -04 -0012 -YL WILLOW GLEN
0.00
0.00
0.00
0.0%
389 00 00 5-119
SUB -04 -0216 -YL MILL POND
0.00
0.00
0.00
0.0%
389 00 00 6-119
SHS -04 -0118 -YL AIRBORNE
0.00
0.00
0.00
0.0%
389 00 00 7-119
SPR -03 -8356 -YL CHRISTENSEN
0.00
0.00
0.00
0.0%
389 00 00 9-119
SUB -02 -8329 -YL MTSUNRS,Coyn,SB
0.00
0.00
0.00
0.0%
389 00 01 0-119
HAWKS LANDING
0.00
0.00
0.00
0.0%
389 00 01 1-119
WOOD & SON RECLAIMED MILL
0.00
0.00
0.00
0.0%
389 00 012-119
SUB -05 -0068 -YL TAHOMA TERRA
0.00
0.00
0.00
0.0%
389 00 01 3-119
SHS -05 -0388 -YL LANDSCAPE/OPEN
0.00
0.00
0.00
0.0%
389 00 014-119
SHS -05 -0388 -YL DEVELOPER AGRMT
0.00
0.00
0.00
0.0%
389 00 01 5-119
JOHNSON BROS LANDSCAPING
0.00
0.00
0.00
0.0%
RETAI
389 00 01 6-119
SUB -05-0257 GOLF LNDSCP BOND
0.00
0.00
0.00
0.0%
389 00 01 7-119
THURSTON HIGHLANDS EIS
0.00
0.00
0.00
0.0%
389 00 01 8-119
BOND: PARKINSON PAINTING
0.00
0.00
0.00
0.0%
389 00 01 9-119
SUB-05-0305YL VINTAGE GREENS
0.00
0.00
0.00
0.0%
389 00 02 0-119
SUB -02 -8329 -YL MT SUNRISE PH
0.00
0.00
0.00
0.0%
389 00 02 1-119
SUB -05 -0239 -YL YELM CK ESTATE
0.00
0.00
0.00
0.0%
389 00 02 2-119
BOND: SUB -05 -0304 -YL TT P1 -D2
0.00
0.00
0.00
0.0%
389 00 02 3-119
CONSTRUCT INC - PSB
0.00
0.00
0.00
0.0%
389 00 02 4-119
Stevens St - Wood & Sons
0.00
0.00
0.00
0.0%
389 00 02 5-119
WAL MART DOT ROW
0.00
0.00
0.00
0.0%
389 00 02 6-119
SCI Retainage
0.00
0.00
0.00
0.0%
389 00 02 7-119
WOOD & SONS EARTHWKS-LID2
0.00
0.00
0.00
0.0%
389 00 02 8-119
SUB -05 -0762 -YL TAHOMA TRA P2D1
0.00
0.00
0.00
0.0%
389 00 02 9-119
SOTO & SONS RETAINAGE -TRAIL
0.00
0.00
0.00
0.0%
389 00 03 0-119
A & A EXCAVATION -LP PIPELINE
0.00
0.00
0.00
0.0%
389 00 03 1-119
WOOD & SON-COATES
0.00
0.00
0.00
0.0%
389 00 03 2-119
20100129 ACU SIDEWALK/HYDROSEE
0.00
0.00
0.00
0.0%
389 00 03 3-119
JODY MILLER RETAINAGE -LP REST
0.00
0.00
0.00
0.0%
389 00 03 4-119
HENDERSON-YELM AVE SIDEWALK
0.00
0.00
0.00
0.0%
389 00 03 5-119
1ST ST/RHOTON RD -RETAINAGE
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
8,692.00
Amt Budgeted
Time: 15:40:06
Date: 06/14/2021
97.9%
580 NON -EXPENDITURES
Page: 31
119 Deposts & Retainage
586 00 00 6-119
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
380 NON -REVENUES
SO4-03-8356-YL CHRISTENSEN
0.00
0.00
389 00 04 0-119 COMP PLN - THURSTON HIGH ASSOC
0.00
0.00
0.00 0.0%
389 00 04 5-119 TAHOMA TERRA/STREET LID DPST
0.00
0.00
0.00 0.0%
380 NON -REVENUES
0.00
0.00
0.00 0.0%
397 TRANSFERS IN
0.0%
586 00 01 0-119
HAWKS LANDING
397 19 49 1-119 T/I FROM FUND 001
0.00
0.00
0.00 0.0%
397 TRANSFERS IN
0.00
0.00
0.00 0.0%
Fund Revenues:
Expenditures
8,692.00
Amt Budgeted
8,510.36
Expenditures
181.64
Remaining
97.9%
580 NON -EXPENDITURES
586 00 00 6-119
SHS -04 -0118 -YL AIRBORNE
0.00
0.00
0.00
0.0%
586 00 00 7-119
SO4-03-8356-YL CHRISTENSEN
0.00
0.00
0.00
0.0%
586 00 00 8-119
SUB -04 -02128 -YL BURNETT ESTA
0.00
0.00
0.00
0.0%
586 00 00 9-119
SUB -02 -8329 -YL MTSUNRS,COYN,
0.00
0.00
0.00
0.0%
586 00 01 0-119
HAWKS LANDING
0.00
0.00
0.00
0.0%
586 00 01 1-119
WOOD & SON RECLAIMED MILL
0.00
0.00
0.00
0.0%
586 00 012-119
SUB -05 -0058 -YL TACOMA TERRA
0.00
0.00
0.00
0.0%
586 00 01 3-119
SHS -05 -0388 -YL LANDSCAPE/OPE
0.00
0.00
0.00
0.0%
586 00 014-119
SHS -05 -0388 -YL DEVLPR AGREEM
0.00
0.00
0.00
0.0%
586 00 01 5-119
JOHNSON BROS LANDSCAPE RETAI
0.00
0.00
0.00
0.0%
586 00 01 6-119
SUB -05-0257 GOLF LNDSCP BOND
0.00
0.00
0.00
0.0%
586 00 01 7-119
THURSTON HIGHLANDS EIS PYMTS
0.00
0.00
0.00
0.0%
586 00 01 8-119
BOND: PARKINSON PAINTING
0.00
0.00
0.00
0.0%
586 00 01 9-119
SUB -05 -0305 -YL VINTAGE GREEN
0.00
0.00
0.00
0.0%
586 00 02 0-119
SUB -02 -8329 -YL MT SUNRISE
0.00
0.00
0.00
0.0%
586 00 02 1-119
SUB -05 -0239 -YL YELM CK ESTAT
0.00
0.00
0.00
0.0%
586 00 02 2-119
SUB -05 -0304 -YL TT P1 -D2
0.00
0.00
0.00
0.0%
586 00 02 3-119
CONSTRUCT INC - PSB
0.00
0.00
0.00
0.0%
586 00 02 4-119
Stevens St - Wood & Sons
0.00
0.00
0.00
0.0%
586 00 02 5-119
WAL MART DOT ROW
0.00
0.00
0.00
0.0%
586 00 02 6-119
SCI Retainage
0.00
0.00
0.00
0.0%
586 00 02 7-119
WOOD & SONS EARTHWKS-LID2
0.00
0.00
0.00
0.0%
586 00 02 8-119
SUB -05 -0762 -YL TAHOMA TRA
0.00
0.00
0.00
0.0%
586 00 02 9-119
SOTO & SONS RETAINAIGE-TRAIL
0.00
0.00
0.00
0.0%
586 00 03 0-119
A & A EXCAVATION -LP PIPELINE
0.00
0.00
0.00
0.0%
586 00 03 1-119
WOOD & SON-COATES
0.00
0.00
0.00
0.0%
586 00 03 2-119
W E & B RETAINAGE
0.00
0.00
0.00
0.0%
589 00 00 0-119
PARK USE REFUNDS ISSUED
0.00
0.00
0.00
0.0%
589 00 00 1-119
SURETY/PERFORM/RETAIN REFUND
0.00
0.00
0.00
0.0%
589 00 00 2-119
20100129 ACU SIDEWALK/HYDROSEE
0.00
0.00
0.00
0.0%
589 00 00 3-119
W -M APPLICATION CHARGES
0.00
0.00
0.00
0.0%
589 00 00 4-119
SUB -04 -0012 -YL WILLOW GLEN
0.00
0.00
0.00
0.0%
589 00 00 5-119
TAHOMA TERRA/ST LID COSTS
0.00
0.00
0.00
0.0%
589 00 00 6-119
HENDERSON-YELM AVE SIDEWALK
0.00
0.00
0.00
0.0%
589 00 41 0-119
COMP PLAN THURSTON HIGH ASSOC
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
32
119 Deposts & Retainage
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
580 NON -EXPENDITURES
580 NON -EXPENDITURES
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 21 62 0-119 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
597 18 64 0-119 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-119 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 48 00 0-119 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-119 T/O to Fund 302 Muni Bldg Fund
200.00
0.00
200.00
0.0%
597 TRANSFERS OUT
200.00
0.00
200.00
0.0%
999 ENDING CASH
508 31 00 0-119 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
508 51 00 0-119 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-119 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
200.00
0.00
200.00
0.0%
2021 BUDGET POSITION
City Of Yelm
2,000.00
Time: 15:40:06
Date: 06/14/2021
19.4%
369 91 00 0-120 MISCELLANEOUS OTHER
0.00
Page:
33
120 Transportation Facility Charge
360 MISCELLANEOUS REVENUES
2,000.00
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
397 95 03 8-120 T/I CLOSE FUND 308
0.00
0.00
308 31 00 0-120 BEGINNING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
308 51 00 0-120 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
308 91 00 0-120 BEGINNING CASH - UNASSIGNED
13,841.00
(44,299.98)
58,140.98
320.1%
308 BEGINNING CASH
13,841.00
(44,299.98)
58,140.98
320.1%
340 CHARGES - GOODS/SERVICES
518 30 48 1-120 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
341 69 00 0-120 Charge for Copies
0.00
0.00
0.00
0.0%
344 70 00 0-120 TRANSPORTATION FACILITIES CHGS
0.00
16,916.10
(16,916.10)
0.0%
344 85 00 0-120 TRANSPORTATION FACILITIES
89,820.00
0.00
89,820.00
0.0%
CHARGES
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
344 90 00 0-120 OTHER FEES & CHARGES
0.00
0.00
0.00
0.0%
345 81 00 1-120 LONGMIRE/SR 510 MITIGATION FEE
0.00
0.00
0.00
0.0%
345 81 00 2-120 93RD AVE/SR 510 MITIGATION FEE
0.00
0.00
0.00
0.0%
345 81 00 3-120 COATES RD EXT. MITIGATION FEES
0.00
0.00
0.00
0.0%
345 85 00 0-120 TRANSPORTATION IMPACT FEES
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES 89,820.00 16,916.10 72,903.90 18.8%
360 MISCELLANEOUS REVENUES
361 11 00 0-120 INTEREST
2,000.00
388.01
1,611.99
19.4%
369 91 00 0-120 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
2,000.00
388.01
1,611.99
19.4%
397 TRANSFERS IN
397 95 03 8-120 T/I CLOSE FUND 308
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
105,661.00
(26,995.87)
132,656.87
25.5%
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 30 48 1-120 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
542 62 48 0-120 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
575 50 10 0-120 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-120 F.I.C.A
0.00
0.00
0.00
0.0%
575 50 22 0-120 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-120 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
34
120 Transportation Facility Charge
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
575 CULTURE RECREATION
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
580 NON -EXPENDITURES
58120 00 0-120 T/O To 413 OF Loan Repayment
0.00
0.00
0.00
0.0%
580 NON -EXPENDITURES
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 21 62 0-120 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
595 60 65 0-120 RESERVE - COATES RD EXTENSION
8,486.00
0.00
8,486.00
0.0%
595 60 65 1-120 RESERVE Signal @ Longmire/510
0.00
0.00
0.00
0.0%
595 60 65 2-120 RESERVE -Improv @ 93rd/510
0.00
0.00
0.00
0.0%
595 60 65 3-120 RESERVE -Coates Rd Extension
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
8,486.00
0.00
8,486.00
0.0%
597 TRANSFERS OUT
597 18 64 0-120 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-120 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 48 00 0-120 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-120 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 95 63 0-120 T/O TO 413 (Killion OF Ln Pmt
0.00
0.00
0.00
0.0%
597 95 63 8-120 T/O TO 316 for CAPITAL
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 31 00 0-120 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
508 51 00 0-120 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
8,486.00
0.00
8,486.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
35
200 LTGO Bond Redemption
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-200 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-200 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
308 91 00 0-200 BEGINNING CASH - UNASSIGNED
13,351.00
(23,134.47)
36,485.47
173.3%
308 BEGINNING CASH
13,351.00
(23,134.47)
36,485.47
173.3%
340 CHARGES - GOODS/SERVICES
341 69 00 0-200 Charge for Copies
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-200 INTEREST EARNED
750.00
15.51
734.49
2.1%
368 10 01 0-200 PUBLIC SAFETY MITIGATION
0.00
0.00
0.00
0.0%
369 91 00 0-200 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
750.00
15.51
734.49
2.1%
390 OTHER FINANCING SOURCES
392 00 00 0-200 Refunding Long -Term Debt Issue
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 10 62 0-200 T/I FROM 001 LIBRARY PMT
137,313.00
0.00
137,313.00
0.0%
397 21 62 1-200 T/I FROM 001 PSB LTGO
330,910.00
0.00
330,910.00
0.0%
397 TRANSFERS IN
468,223.00
0.00
468,223.00
0.0%
Fund Revenues:
482,324.00
(23,118.96)
505,442.96
4.8%
Expenditures
Amt Budgeted
Expenditures
Remaining
591 DEBT SERVICE
59121 70 0-200 PSB BOND PRINCIPAL
281,000.00
0.00
281,000.00
0.0%
591 34 71 0-200 PW BOND PRINCIPAL
0.00
0.00
0.00
0.0%
591 72 71 0-200 LIBRARY BOND - PRINCIPAL
100,000.00
0.00
100,000.00
0.0%
592 21 83 0-200 PSB BOND INTEREST
24,915.00
24,805.00
110.00
99.6%
592 21 86 0-200 PSB BOND MISCELLANEOUS COSTS
300.00
0.00
300.00
0.0%
592 34 83 0-200 PW BND INTEREST
0.00
0.00
0.00
0.0%
592 72 83 0-200 LIBRARY BOND- INTEREST
37,313.00
0.00
37,313.00
0.0%
592 72 84 0-200 LIBRARY DEBT ISSUE COSTS
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
443,528.00
24,805.00
418,723.00
5.6%
594 CAPITAL EXPENSES
594 21 63 0-200 PSB 06 BOND RESERVE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
36
200 LTGO Bond Redemption
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
599 PAYMENTS TO REFUNDED DEBT ESCRON
599 95 80 0-200 LTGO REFUND PROCEEDS ESCROW
0.00
0.00
0.00
0.0%
599 PAYMENTS TO REFUNDED DEBT ESCRO`
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 41 00 0-200 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-200 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-200 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
443,528.00
24,805.00
418,723.00
5.6%
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
36140 00 0-202 LID 42 ASSMT PENNALTY/INTEREST
73,359.00
Page: 37
202 Killion Road LID
1.3%
368 10 00 0-202 LID 42 ASSESSMENT PRINCIPAL
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
0.00
0.00
0.0%
308 31 00 0-202 BEGINNING CASH - RESTRICTED
670,920.00
592,974.33
77,945.67 88.4%
308 41 00 0-202 BEGINNING CASH - COMMITTED
0.00
0.00
0.00 0.0%
308 51 00 0-202 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00 0.0%
308 BEGINNING CASH
670,920.00
592,974.33
77,945.67 88.4%
360 MISCELLANEOUS REVENUES
361 11 00 0-202 INVESTMENT INTEREST
0.00
232.36
(232.36)
0.0%
36140 00 0-202 LID 42 ASSMT PENNALTY/INTEREST
73,359.00
918.95
72,440.05
1.3%
368 10 00 0-202 LID 42 ASSESSMENT PRINCIPAL
276,451.00
7,498.92
268,952.08
2.7%
369 91 00 0-202 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES 349,810.00 8,650.23 341,159.77 2.5%
380 NON -REVENUES
381 10 00 0-202 OF LOAN FROM 120 & 302 TO 202
0.00
0.00
0.00
0.0%
388 10 00 0-202 LID 42 PRIOR PERIOD
0.00
0.00
0.00
0.0%
380 NON -REVENUES
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
391 30 00 0-202 LOAN PROCEEDS-THURSTON 1 ST
0.00
0.00
0.00
0.0%
393 00 00 0-202 LID 42 REFUNDING DEBT ISSUED
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 95 63 0-202 T/I FRM 310 LID2
0.00
0.00
0.00
0.0%
397 95 63 1-202 TRANS/IN FRM 120 TRANS FAC CHG
0.00
0.00
0.00
0.0%
397 95 63 2-202 TRANS/IN FRM 302 MUNI BLD FUND
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
1,020,730.00
601,624.56
419,105.44
58.9%
Expenditures
Amt Budgeted
Expenditures
Remaining
543 ROAD/STREET GEN. ADMIN.
543 10 40 0-202 LID MANAGEMENT COSTS
3,000.00
635.20
2,364.80
21.2%
543 ROAD/STREET GEN. ADMIN.
3,000.00
635.20
2,364.80
21.2%
591 DEBT SERVICE
591 95 71 0-202 LID 42 DEBT REDEMPTION
0.00
0.00
0.00
0.0%
591 95 75 0-202 2018 REFI LID 42 PRINCIPAL
382,655.00
0.00
382,655.00
0.0%
592 95 01 0-202 LID 42 MISC. DEBT SERVICE
0.00
0.00
0.00
0.0%
592 95 80 0-202 LID 42 COST OF ISSUANCE
0.00
0.00
0.00
0.0%
592 95 83 0-202 LID 42 INTEREST COSTS
0.00
0.00
0.00
0.0%
592 95 85 0-202 REFI LID 42 INTEREST
60,884.00
0.00
60,884.00
0.0%
593 95 80 0-202 LID 42 PMT TO ESCROW
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
0.00
0.00
0.0%
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.00
0.00
0.00
0.0%
Page:
38
202 Killion Road LID
0.0%
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
445,903.80
591 DEBT SERVICE
591 DEBT SERVICE
443,539.00
0.00
443,539.00
0.0%
594 CAPITAL EXPENSES
594 14 64 0-202 MACHINERY/EQUIPMENT/SOFTW
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
599 PAYMENTS TO REFUNDED DEBT ESCRON
599 95 70 0-202 LID 42 REFUND PROCEEDS ESCROW
0.00
0.00
0.00
0.0%
599 PAYMENTS TO REFUNDED DEBT ESCRO`
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 31 00 0-202 ENDING CASH - RESTRICTED
508 41 00 0-202 ENDING CASH - COMMITTED
508 51 00 0-202 ENDING CASH - ASSIGNED
999 ENDING CASH
Fund Expenditures:
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.00
0.00
0.00
0.0%
0.1%
446,539.00
635.20
445,903.80
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
508 41 00 0-203 ENDING CASH - COMMITTED
0.00
Page:
39
203 Sewer Revenue Bonds
508 51 00 0-203 ENDING CASH - ASSIGNED
0.00
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
0.00
308 BEGINNING CASH
0.0%
308 31 00 0-203 BEGINNING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
308 41 00 0-203 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-203 BEGINNING CASH - ASSIGNED
6,481.00
105,951.82
(99,470.82)
1634.8%
308 BEGINNING CASH
6,481.00
105,951.82
(99,470.82)1634.8%
330 INTERGOVERNMENTAL
334 03 10 0-203 SRL PROCEEDS L0300031
0.00
0.00
0.00
0.0%
330 INTERGOVERNMENTAL
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-203 INTEREST EARNED
249.00
47.68
201.32
19.1%
369 91 00 0-203 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
249.00
47.68
201.32
19.1%
397 TRANSFERS IN
397 00 00 0-203 TRANSFER IN - SEWER OPS 412
173,026.00
0.00
173,026.00
0.0%
397 TRANSFERS IN
173,026.00
0.00
173,026.00
0.0%
Fund Revenues:
179,756.00
105,999.50
73,756.50
59.0%
Expenditures
Amt Budgeted
Expenditures
Remaining
591 DEBT SERVICE
591 35 72 0-203 1999 BOND PRINCIPAL - REUSE
0.00
0.00
0.00
0.0%
591 35 72 2-203 DOE 1998 WTR REUSE DES (P)
94,583.00
0.00
94,583.00
0.0%
592 35 83 1-203 DOE 1998 WTR REUSE DES (I)
78,443.00
0.00
78,443.00
0.0%
592 35 83 3-203 1999 BOND INTEREST - REUSE
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
173,026.00
0.00
173,026.00
0.0%
999 ENDING CASH
508 31 00 0-203 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
508 41 00 0-203 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-203 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures: 173,026.00 0.00 173,026.00 0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
40
204 Sewer Revenue Bond Reserve
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 31 00 0-204 BEGINNING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
308 51 00 0-204 BEGINNING CASH - ASSIGNED
725,520.00
451,042.44
274,477.56
62.2%
308 BEGINNING CASH
725,520.00
451,042.44
274,477.56
62.2%
360 MISCELLANEOUS REVENUES
361 11 00 0-204 INVESTMENT INTEREST
1,000.00
155.78
844.22
15.6%
360 MISCELLANEOUS REVENUES
1,000.00
155.78
844.22
15.6%
Fund Revenues:
726,520.00
451,198.22
275,321.78
62.1%
Expenditures
Amt Budgeted
Expenditures
Remaining
594 CAPITAL EXPENSES
594 35 00 0-204 SEWER REVENUE BOND RESERVE
0.00
0.00
0.00
0.0%
594 35 00 1-204 SRL REUSE DESIGN RESERVE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 31 00 0-204 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
508 51 00 0-204 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
391 10 00 1-302 LIBRARY BOND PROCEEDS
0.00
Page:
41
302 Municipal Building Fund
395 20 00 0-302 INSURANCE RECOVERY
0.00
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
0.00
308 BEGINNING CASH
0.0%
397 TRANSFERS IN
308 31 00 0-302 BEGINNING CASH - RESTRICTED
334,023.00
374,184.35
(40,161.35)
112.0%
308 BEGINNING CASH
334,023.00
374,184.35
(40,161.35)
112.0%
310 TAXES
0.0%
397 10 00 1-302 T/I From Cumulative Reserve
0.00
0.00
318 34 00 0-302 LOCAL REAL ESTATE EXCISE TAX
305,250.00
112,016.06
193,233.94
36.7%
310 TAXES
305,250.00
112,016.06
193,233.94
36.7%
330 INTERGOVERNMENTAL
0.0%
397 19 62 2-302 TRANS -IN WATER 401 CAPTL 404
0.00
0.00
333 14 21 0-302 GRANT- USHUD CDBG (Skate Park)
0.00
0.00
0.00
0.0%
333 14 21 1-302 GRANT-USHUD CDBG-SPRAY PRK
0.00
0.00
0.00
0.0%
334 04 20 0-302 GRANT- WASTATE DEPT COMMERCE
0.00
0.00
0.00
0.0%
334 04 20 1-302 Commerce Playgrd Equip Grant
0.00
0.00
0.00
0.0%
334 04 20 2-302 State Direct/Indirect Grant From
0.00
0.00
0.00
0.0%
Department Of Commerce
334 04 20 3-302 State Energy Grant From Department Of
0.00
0.00
0.00
0.0%
Commerce
337 07 00 0-302 GRANT -PORT OF OLYMPIA
0.00
0.00
0.00
0.0%
330 INTERGOVERNMENTAL
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
341 69 00 0-302 Charge for Copies
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-302 INVESTMENT INTEREST
2,191.00
2,161.34
29.66
98.6%
368 10 01 0-302 PUBLIC SAFETY MITIGATION
0.00
0.00
0.00
0.0%
369 10 00 0-302 SALE OF SCRAP & JUNK
0.00
0.00
0.00
0.0%
369 91 00 0-302 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
2,191.00
2,161.34
29.66
98.6%
390 OTHER FINANCING SOURCES
391 10 00 0-302 PSB BOND PROCEEDS
0.00
0.00
0.00
0.0%
391 10 00 1-302 LIBRARY BOND PROCEEDS
0.00
0.00
0.00
0.0%
395 20 00 0-302 INSURANCE RECOVERY
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 00 63 0-302 T/I GARBAGE FUND 403
0.00
0.00
0.00
0.0%
397 10 00 0-302 TRANS -IN CURENT 001
0.00
0.00
0.00
0.0%
397 10 00 1-302 T/I From Cumulative Reserve
0.00
0.00
0.00
0.0%
397 10 01 0-302 TRANS -IN INS RECOVERY FROM 001
0.00
0.00
0.00
0.0%
397 19 62 1-302 TRANS -IN STREET 101
0.00
0.00
0.00
0.0%
397 19 62 2-302 TRANS -IN WATER 401 CAPTL 404
0.00
0.00
0.00
0.0%
397 19 62 3-302 TRANS -IN SEWER 412
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
42
302 Municipal Building Fund
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
397 TRANSFERS IN
397 76 00 4-302 T/I From Fund 001
0.00
0.00
0.00
0.0%
397 76 63 0-302 T/I FROM 104,105,404,413
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
641,464.00
488,361.75
153,102.25
76.1%
Expenditures
Amt Budgeted
Expenditures
Remaining
542 ROAD/STREET MAINTENANCE
542 62 48 0-302 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
575 50 10 0-302 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-302 F.LC.A
0.00
0.00
0.00
0.0%
575 50 22 0-302 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-302 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
59121 71 0-302 DEBT SERVICE PRINCIPAL
0.00
0.00
0.00
0.0%
59148 61 0-302 PW PROPERTY PRINCIPAL PAYMEN
0.00
0.00
0.00
0.0%
592 21 83 0-302 DEBT SERVICE INTEREST
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 14 62 0-302 CAPITAL RESERVE - FUTURE USE
0.00
0.00
0.00
0.0%
594 18 62 0-302 BUILDING IMPROVEMENTS
0.00
0.00
0.00
0.0%
594 19 64 0-302 MACHINERY/EQUIPMENT
0.00
0.00
0.00
0.0%
594 20 63 0-302 City Hall Building
20,000.00
0.00
20,000.00
0.0%
594 2141 0-302 PROFESSIONAL SERVICES
0.00
0.00
0.00
0.0%
594 2141 1-302 Investment Grade Energy Audit
0.00
0.00
0.00
0.0%
594 21 41 2-302 Implement Energy Savings Plan (Phase 2)
0.00
0.00
0.00
0.0%
594 73 48 1-302 COMMUNITY CENTER - O&M
0.00
0.00
0.00
0.0%
594 76 10 0-302 CONSTRUCTION PROJECT -
0.00
0.00
0.00
0.0%
SALARIES
594 76 30 0-302 CONSTRUCTION PROJECT - SUPPLIES
0.00
0.00
0.00
0.0%
& MATERIALS
594 76 60 6-302 DOG PARK & WRF
175,000.00
2,115.62
172,884.38
1.2%
ACCESS -CONSTRUCTION
594 76 62 4-302 YELM PRAIRIE LINE TRAIL
150,000.00
0.00
150,000.00
0.0%
594 76 62 6-302 Longmire Feasibility Study
70,000.00
0.00
70,000.00
0.0%
594 76 63 0-302 CONSTRUCTION PROJECT - VENDOR
0.00
0.00
0.00
0.0%
INSTALLATIONS
594 76 63 3-302 Yelm Parks - 20 Year CIP
0.00
0.00
0.00
0.0%
594 76 63 4-302 BIKE PUMP PARK
0.00
0.00
0.00
0.0%
594 76 63 5-302 Yelm City Park Playgrnd Equip
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
43
302 Municipal Building Fund
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
594 CAPITAL EXPENSES
594 79 63 0-302 CAPITAL IMPROVEMENTS MUSEUM
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
415,000.00
2,115.62
412,884.38
0.5%
597 TRANSFERS OUT
597 18 64 0-302 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 62 2-302 T/O TO 200 PSB DEBT SVC
0.00
0.00
0.00
0.0%
597 21 62 3-302 Transfers -Out - To 316 Road & Street
0.00
0.00
0.00
0.0%
Construction
597 21 64 0-302 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 48 00 0-302 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-302 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 31 00 0-302 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
415,000.00
2,115.62
412,884.38
0.5%
2021 BUDGET POSITION
City Of Yelm
2,016.00
Time: 15:40:06 Date: 06/14/2021
(20,429.70)
1113.4%
369 91 00 0-316 MISCELLANEOUS OTHER
Page:
44
316 Road & Street Construction
0.0%
360 MISCELLANEOUS REVENUES
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
381 10 00 0-316 INTERFUND LOAN FROM 001
0.00
308 31 00 0-316 BEGINNING CASH - RESTRICTED
2,360,980.00
115,485.84
2,245,494.16
4.9%
308 BEGINNING CASH
2,360,980.00
115,485.84
2,245,494.16
4.9%
310 TAXES
395 10 00 0-316 PROCEEDS - LAND - EASEMENT
0.00
318 35 00 0-316 REAL ESTATE EXCISE TAX
305,250.00
112,016.06
193,233.94
36.7%
310 TAXES
305,250.00
112,016.06
193,233.94
36.7%
330 INTERGOVERNMENTAL
397 42 00 0-316 T/I From 001
0.00
333 20 20 0-316 FHWA CONST GRANTS (MOSMAN PH
634,608.00
310,029.44
324,578.56
48.9%
2)
0.00
0.0%
397 95 60 7-316 T/I FROM 102
100,000.00
333 20 20 1-316 FT. STEVENS PEDESTRIAN PROJECT
0.00
10,272.65
(10,272.65)
0.0%
CLOSEOUT
0.00
0.0%
397 95 62 2-316 T/I From 302
0.00
333 20 30 3-316 SR2S GRANT(FOR 2ND ST SIDEWALK)
0.00
0.00
0.00
0.0%
334 03 81 3-316 TIB-MOSMAN REALIGNMENT
0.00
0.00
0.00
0.0%
334 03 81 6-316 TIB CONST GRANT (MOSMAN PH 2)
(630,392.00)
0.00
(630,392.00)
0.0%
334 03 81 8-316 TIB MILL ROAD SIDEWALK PROJECT
0.00
454,496.32
(454,496.32)
0.0%
330 INTERGOVERNMENTAL
4,216.00
774,798.41
(770,582.41)
******%
360 MISCELLANEOUS REVENUES
361 11 00 0-316 INVESTMENT INTEREST
2,016.00
22,445.70
(20,429.70)
1113.4%
369 91 00 0-316 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
2,016.00
22,445.70
(20,429.70)
1113.4%
380 NON -REVENUES
381 10 00 0-316 INTERFUND LOAN FROM 001
0.00
0.00
0.00
0.0%
380 NON -REVENUES
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
395 10 00 0-316 PROCEEDS - LAND - EASEMENT
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 42 00 0-316 T/I From 001
0.00
0.00
0.00
0.0%
397 95 60 6-316 T/I From 101
0.00
0.00
0.00
0.0%
397 95 60 7-316 T/I FROM 102
100,000.00
0.00
100,000.00
0.0%
397 95 60 8-316 T/I FROM 120
0.00
0.00
0.00
0.0%
397 95 62 2-316 T/I From 302
0.00
0.00
0.00
0.0%
397 95 62 3-316 T/I FRFOM FUND 400 (FOR MILL RD
200,000.00
0.00
200,000.00
0.0%
WALK)
397 95 62 4-316 T/I FROM FUND 404 (FOR MOSMAN
0.00
0.00
0.00
0.0%
2/COATES)
397 95 62 6-316 T/I FROM FUN 413 (FOR
0.00
0.00
0.00
0.0%
MOSSMAN2/COATES)
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
597 21 64 0-316 T/O To Fund 502 ER&R
0.00
Page:
45
316 Road & Street Construction
597 42 00 0-316 TRANSFER TO 001
0.00
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
0.00
397 TRANSFERS IN
0.0%
597 76 63 4-316 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
397 TRANSFERS IN
300,000.00
0.00
300,000.00
0.0%
Fund Revenues:
2,972,462.00
1,024,746.01
1,947,715.99
34.5%
Expenditures
Amt Budgeted
Expenditures
Remaining
594 CAPITAL EXPENSES
508 31 00 0-316 ENDING CASH - RESTRICTED
0.00
0.00
595 10 40 0-316 GENERAL SIDEWALK
50,000.00
0.00
50,000.00
0.0%
CONSTRUCTION
595 10 40 4-316 DESIGN ENGINEERING BURNETT
0.00
0.00
0.00
0.0%
93RD SIG
595 10 40 6-316 DESIGN ENGINEERING - MILL RD
0.00
4,123.10
(4,123.10)
0.0%
SIDEWALKS
595 10 61 0-316 ENGINEERING & ENVIRONMENTAL
265,000.00
0.00
265,000.00
0.0%
(MOSMAN PH 2)
595 20 614-316 MOSMAN ROW - CONSULTANT
10,000.00
39,907.58
(29,907.58)
399.1%
595 20 61 5-316 MOSMAN ROW - PURCHASE
0.00
0.00
0.00
0.0%
595 30 63 4-316 MOSMAN PHASE 2 CONSTRUCTION
1,231,000.00
1,010.00
1,229,990.00
0.1%
595 30 63 5-316 CONSTRUCTION - MILL RD
0.00
611.12
(611.12)
0.0%
SIDEWALK
595 30 63 6-316 COCHRANE PARK
0.00
0.00
0.00
0.0%
PATH -CONSTRUCTION
595 30 63 7-316 CONSTRUCTION - 2ND ST SIDEWALK
0.00
0.00
0.00
0.0%
595 30 63 8-316 SMALL WORKS PROJECTS
0.00
0.00
0.00
0.0%
PRIORITIZED ANNUAL
595 40 63 0-316 ANNUAL PAVEMENT
355,000.00
84,709.39
270,290.61
23.9%
PRESERVATION -CONST
595 40 63 1-316 PMS City Wide Evalutaion
0.00
0.00
0.00
0.0%
595 61 60 0-316 2ND ST SIDEWALK -ENGINEERING
0.00
0.00
0.00
0.0%
595 61 63 6-316 ADA COMPLIANCE - SIDEWALK
110,000.00
72,126.41
37,873.59
65.6%
RAMP
595 61 63 8-316 FT. STEVENS ELEM. SCHOOL -
0.00
38.91
(38.91)
0.0%
PEDESTR - CONSTRUCTION
ENGINEERING REVIEW SERVICES
594 CAPITAL EXPENSES
2,021,000.00
202,526.51
1,818,473.49
10.0%
597 TRANSFERS OUT
597 18 64 0-316 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-316 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 42 00 0-316 TRANSFER TO 001
0.00
0.00
0.00
0.0%
597 48 00 0-316 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-316 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 95 63 6-316 T/O TO 102 ARTIERIAL STREETS
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 31 00 0-316 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 46
316 Road & Street Construction Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
999 ENDING CASH
999 ENDING CASH 0.00 0.00 0.00 0.0%
Fund Expenditures: 2,021,000.00 202,526.51 1,818,473.49 10.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
47
400 Stormwater Utility Fund
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-400 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-400 BEGINNING CASH - ASSIGNED
356,466.00
323,903.56
32,562.44
90.9%
308 91 00 0-400 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
356,466.00
323,903.56
32,562.44
90.9%
330 INTERGOVERNMENTAL
334 03 11 0-400 DOE GRANT - STORMWATER
0.00
50,077.03
(50,077.03)
0.0%
MAPPING
330 INTERGOVERNMENTAL
0.00
50,077.03
(50,077.03)
0.0%
340 CHARGES - GOODS/SERVICES
343 83 00 0-400 STORMWATER FEES
430,746.00
178,344.54
252,401.46
41.4%
340 CHARGES - GOODS/SERVICES
430,746.00
178,344.54
252,401.46
41.4%
360 MISCELLANEOUS REVENUES
361 11 00 0-400 INVESTMENT INTEREST
1,000.00
3,032.76
(2,032.76)
303.3%
360 MISCELLANEOUS REVENUES
1,000.00
3,032.76
(2,032.76)
303.3%
380 NON -REVENUES
387 00 00 2-400 PROGRAM STARTUP FUNDING
0.00
0.00
0.00
0.0%
380 NON -REVENUES
0.00
0.00
0.00
0.0%
Fund Revenues:
788,212.00
555,357.89
232,854.11
70.5%
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 30 48 1-400 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
531 POLLUTION CONTROL
531 10 41 0-400 BALD HILLS ROAD FEASIBILITY
0.00
0.00
0.00
0.0%
STUDY
531 10 41 1-400 STORM DRAINAGE - PROFESSIONAL
0.00
40.81
(40.81)
0.0%
SERVICES
531 POLLUTION CONTROL
0.00
40.81
(40.81)
0.0%
538 OTHER UTILITIES
531 30 48 0-400 REPAIRS/MAINTENANCE
0.00
0.00
0.00
0.0%
538 30 10 0-400 SALARIES/WAGES
136,149.00
55,891.73
80,257.27
41.1%
538 30 11 0-400 ACCRUED VAC/HOL/SL Cashout
0.00
0.00
0.00
0.0%
538 30 12 0-400 OVERTIME
219.00
0.00
219.00
0.0%
538 30 20 0-400 F.LC.A.
10,390.00
4,260.75
6,129.25
41.0%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 48
400 Stormwater Utility Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
538 OTHER UTILITIES
538 30 21 0-400 RETIREMENT
15,768.00
7,321.46
8,446.54
46.4%
538 30 22 0-400 INDUSTRIAL INSURANCE
2,203.00
955.73
1,247.27
43.4%
538 30 23 0-400 UNEMPLOYMENT INSURANCE
471.00
211.98
259.02
45.0%
538 30 24 0-400 MEDICAL INSURANCE
39,004.00
11,314.68
27,689.32
29.0%
538 30 25 0-400 UNIFORMS
2,700.00
782.06
1,917.94
29.0%
538 30 31 0-400 SUPPLIES
4,500.00
1,974.47
2,525.53
43.9%
538 30 42 0-400 COMMUNICATIONS/PHONE/POST
0.00
1,333.68
(1,333.68)
0.0%
538 30 43 0-400 TRAVEL/TRAINING/DUES
3,500.00
0.00
3,500.00
0.0%
538 30 45 1-400 OP ALLOC- IT FUND
15,655.00
0.00
15,655.00
0.0%
538 30 46 0-400 LIABILITY INSURANCE
5,600.00
5,591.90
8.10
99.9%
538 30 48 0-400 REPAIRS/MAINTENANCE
20,000.00
2,591.62
17,408.38
13.0%
538 30 49 1-400 PRINTING
3,500.00
1,333.69
2,166.31
38.1%
538 3149 1-400 CITY UTILITY TAX
28,257.00
0.00
28,257.00
0.0%
538 31 54 1-400 UTILITY EXCISE TAX
4,200.00
14,085.42
(9,885.42)
335.4%
538 85 41 0-400 Computer and Software O&M
0.00
0.00
0.00
0.0%
538 OTHER UTILITIES 292,116.00 107,649.17 184,466.83 36.9%
591 DEBT SERVICE
592 31 00 0-400 STORMWATER INT LOAN
0.00
0.00
0.00
0.0%
REPAYMENT
591 DEBT SERVICE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 31 60 0-400 GIS STORMWATER MAPPING
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
597 95 62 0-400 T/O ROAD STEEET CONSTRUCTION
200,000.00
0.00
200,000.00
0.0%
597 TRANSFERS OUT
200,000.00
0.00
200,000.00
0.0%
999 ENDING CASH
508 41 00 0-400 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-400 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-400 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures: 492,116.00 107,689.98 384,426.02 21.9%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
49
401 Municipal Water Utility Fund
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-401 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-401 BEGINNING CASH - ASSIGNED
6,142,303.00
6,151,303.97
(9,000.97)
100.1%
308 91 00 0-401 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
6,142,303.00
6,151,303.97
(9,000.97)
100.1%
330 INTERGOVERNMENTAL
334 04 90 0-401 STATE GRANT- DEPT OF HEALTH
0.00
0.00
0.00
0.0%
330 INTERGOVERNMENTAL
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
343 40 00 0-401 WATER SALES
3,014,477.00
1,183,789.31
1,830,687.69
39.3%
343 80 00 0-401 OTHER UTILITY CHARGES
5,000.00
190.22
4,809.78
3.8%
343 80 01 0-401 WATER METER FEE
19,000.00
900.00
18,100.00
4.7%
343 80 02 0-401 WATER ERU FEES
0.00
0.00
0.00
0.0%
343 80 03 0-401 HYDRANT LOCKS
0.00
750.00
(750.00)
0.0%
343 80 04 0-401 LATECOMERS AGRMNT FEES
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
3,038,477.00
1,185,629.53
1,852,847.47
39.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-401 INVESTMENT INTEREST
20,000.00
7,746.55
12,253.45
38.7%
36140 00 0-401 OTHER INTEREST
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
20,000.00
7,746.55
12,253.45
38.7%
380 NON -REVENUES
38120 00 0-401 INTERFUND LOAN PMT FROM 400
0.00
0.00
0.00
0.0%
380 NON -REVENUES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 34 63 2-401 T/I FROM 404
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
9,200,780.00
7,344,680.05
1,856,099.95
79.8%
Expenditures
Amt Budgeted
Expenditures
Remaining
514 FINANCE & ADMINISTRATION
514 23 41 1-401 PROFESSIONAL SERVICES BANKING
0.00
0.00
0.00
0.0%
514 FINANCE & ADMINISTRATION
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
518 30 48 1-401 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 50
401 Municipal Water Utility Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
518 CENTRAL SERVICE
518 CENTRAL SERVICE 0.00 0.00 0.00 0.0%
531 POLLUTION CONTROL
53117 49 0-401 WATER CONSERVATION PROGRAM 0.00 0.00 0.00 0.0%
531 POLLUTION CONTROL
534 WATER UTILITIES
0.00
0.00
0.00
0.0%
534 10 10 0-401
SALARIES/WAGES
748,860.00
314,950.23
433,909.77
42.1%
534 10 11 0-401
ACCRUED VACATION/HOLIDAY/SIC
0.00
0.00
0.00
0.0%
534 10 12 0-401
OVERTIME
2,210.00
123.75
2,086.25
5.6%
534 10 13 0-401
STANDBY PAY
10,400.00
4,400.00
6,000.00
42.3%
534 10 20 0-401
F.LC.A.
57,475.00
24,176.45
33,298.55
42.1%
534 10 21 0-401
RETIREMENT
87,199.00
40,673.27
46,525.73
46.6%
534 10 22 0-401
INDUSTRIAL INSURANCE
12,053.00
5,297.87
6,755.13
44.0%
534 10 23 0-401
UNEMPLOYMENT INSURANCE
2,601.00
1,192.08
1,408.92
45.8%
534 10 24 0-401
MEDICAL INSURANCE
162,475.00
51,539.84
110,935.16
31.7%
534 10 25 0-401
UNIFORMS/SAFETY EQUIPMENT
4,000.00
2,353.53
1,646.47
58.8%
534 10 31 0-401
GEN SVC OFFICE/OPR SUPPLIES
100,000.00
9,374.17
90,625.83
9.4%
534 10 35 0-401
GEN SVCS TOOLS/EQUIPMENT
10,000.00
2,684.75
7,315.25
26.8%
534 10 42 1-401
COMMUNICATIONS: PHONE
250.00
162.03
87.97
64.8%
534 10 42 2-401
COMMUNICATIONS: POSTAGE
8,500.00
2,667.36
5,832.64
31.4%
534 10 42 3-401
COMMUNICATIONS: COPIER
0.00
0.00
0.00
0.0%
534 10 43 0-401
TRAVEL/TRAINING
3,000.00
1,276.99
1,723.01
42.6%
534 10 44 0-401
PRINTING/ADVERTISING
6,000.00
2,667.36
3,332.64
44.5%
534 10 45 1-401
OP ALLOC - IT FUND
77,560.00
0.00
77,560.00
0.0%
534 10 46 0-401
PROPERTY/CASUALTY/LIABILI
55,000.00
54,384.93
615.07
98.9%
534 10 47 0-401
PUBLIC UTILITIES SERVICES
50,000.00
23,750.31
26,249.69
47.5%
534 10 49 0-401
MISCELLANEOUS
13,500.00
5,860.63
7,639.37
43.4%
534 10 49 1-401
UTILITY EXCISE TAX
195,000.00
133,775.23
61,224.77
68.6%
534 10 49 2-401
CITY UTILITY TAX
225,000.00
0.00
225,000.00
0.0%
534 20 00 0-401
WELLHEAD PROTECTION PROGRAM
0.00
0.00
0.00
0.0%
534 20 41 0-401
ENGINEERING PLANS & SERVICES
100,000.00
35,639.58
64,360.42
35.6%
534 20 41 1-401
BROOKDALE SETTLEMENT
0.00
0.00
0.00
0.0%
534 30 41 0-401
LOBBIST CONTRACT SVCS
5,000.00
0.00
5,000.00
0.0%
534 39 00 0-401
REALLOCATE CUSTODIAN
0.00
0.00
0.00
0.0%
534 48 40 0-001
OPERATING ALLOCATION - ER&R 502
24,700.00
0.00
24,700.00
0.0%
534 50 35 0-401
BLDG MAINT/SUPPLIES
1,000.00
46.88
953.12
4.7%
534 50 41 0-401
CUSTODIAL CLEANING/SUPPLIES
1,000.00
0.00
1,000.00
0.0%
534 50 41 1-401
SOFTWARE MAINT
0.00
0.00
0.00
0.0%
534 50 48 0-401
SYSTEM GEN REPAIRS/MTCE
110,000.00
34,143.85
75,856.15
31.0%
534 50 48 1-401
VEHICLE REPAIRS/MTCE
5,000.00
31.42
4,968.58
0.6%
534 70 48 0-401
CROSS CONNECTION CONTROL PRO
0.00
0.00
0.00
0.0%
534 80 32 0-401
FUEL/OIL CONSUMED
6,000.00
2,844.79
3,155.21
47.4%
534 80 47 0-401
UTILITY LOCATES/LEAK CHECKS
750.00
553.33
196.67
73.8%
534 80 47 1-401
LEAK DETECTION
0.00
0.00
0.00
0.0%
534 80 48 0-401
WATER SAMPLING FEES
10,000.00
1,820.00
8,180.00
18.2%
534 80 49 0-401
ANNUAL/WAIVER FEES
6,500.00
422.00
6,078.00
6.5%
534 85 41 0-401
Computer & Software O&M
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
51
401 Municipal Water Utility Fund
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
534 WATER UTILITIES
534 WATER UTILITIES
2,101,033.00
756,812.63
1,344,220.37
36.0%
597 TRANSFERS OUT
597 34 63 2-401 T/O 404 WATER/SYSTEM PLAN
4,200,000.00
0.00
4,200,000.00
0.0%
UPDATE
597 48 00 0-401 T/O TO FUND 502 ER&R
24,700.00
0.00
24,700.00
0.0%
597 80 72 0-401 Transfers -Out - 405 Revenue Bonds
175,263.00
0.00
175,263.00
0.0%
597 80 72 1-401 Transfers -Out - DWSRF Revenue Debt
9,072.00
0.00
9,072.00
0.0%
597 80 72 2-401 Transfers -Out - DOE Reclaimed Water
51,857.00
0.00
51,857.00
0.0%
597 80 72 5-401 Transfers -Out - Water Revenue Bond Debt
538,000.00
0.00
538,000.00
0.0%
597 TRANSFERS OUT
4,998,892.00
0.00
4,998,892.00
0.0%
999 ENDING CASH
508 41 00 0-401 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-401 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-401 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
7,099,925.00
756,812.63
6,343,112.37
10.7%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
52
402 Utility Consumer Deposits
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 31 00 0-402 BEGINNING CASH - RESTRICTED
95,931.00
2,506.00
93,425.00
2.6%
308 51 00 0-402 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
308 91 00 0-402 BEGINNING CASH - UNASSIGNED
0.00
90,600.85
(90,600.85)
0.0%
308 BEGINNING CASH
95,931.00
93,106.85
2,824.15
97.1%
340 CHARGES - GOODS/SERVICES
341 69 00 0-402 Charge for Copies
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-402 INTEREST
0.00
31.90
(31.90)
0.0%
369 91 00 0-402 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
0.00
31.90
(31.90)
0.0%
380 NON -REVENUES
389 01 00 0-402 SEWER - CONSUMER DEPOSITS
0.00
0.00
0.00
0.0%
389 30 00 0-402 WATER CONSUMER DEPOSITS
5,000.00
4,000.00
1,000.00
80.0%
380 NON -REVENUES
5,000.00
4,000.00
1,000.00
80.0%
Fund Revenues:
100,931.00
97,138.75
3,792.25
96.2%
Expenditures
Amt Budgeted
Expenditures
Remaining
580 NON -EXPENDITURES
589 01 00 0-402 REFUND/APPLY SEWER DEPOSIT
0.00
0.00
0.00
0.0%
589 30 00 0-402 CONSUMER DEPOSITS NON-EXPENS
5,000.00
1,883.15
3,116.85
37.7%
580 NON -EXPENDITURES
5,000.00
1,883.15
3,116.85
37.7%
999 ENDING CASH
508 31 00 0-402 ENDING CASH - RESTRICTED
0.00
0.00
0.00
0.0%
508 51 00 0-402 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-402 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
5,000.00
1,883.15
3,116.85
37.7%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
53
404 Water Capital Improvements
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-404 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-404 BEGINNING CASH - ASSIGNED
3,061,271.00
3,101,152.77
(39,881.77)
101.3%
308 91 00 0-404 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
3,061,271.00
3,101,152.77
(39,881.77)
101.3%
340 CHARGES - GOODS/SERVICES
343 80 34 1-404 SYSTEM DEVELOPMENT CHARGES
403,504.00
90,725.91
312,778.09
22.5%
340 CHARGES - GOODS/SERVICES
403,504.00
90,725.91
312,778.09
22.5%
360 MISCELLANEOUS REVENUES
361 11 00 0-404 INVESTMENT INTEREST
5,000.00
2,265.69
2,734.31
45.3%
360 MISCELLANEOUS REVENUES
5,000.00
2,265.69
2,734.31
45.3%
390 OTHER FINANCING SOURCES
391 80 00 0-404 PWB RVL LOAN PR -18-96103-058
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 34 63 1-404 T/I FROM 401 WTR SYS INVEST
4,200,000.00
0.00
4,200,000.00
0.0%
397 34 63 2-404 T/I FROM 312 TO CLOSE FUND
0.00
0.00
0.00
0.0%
397 34 63 3-404 T/I WaterSystemPlan Update
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
4,200,000.00
0.00
4,200,000.00
0.0%
Fund Revenues:
7,669,775.00
3,194,144.37
4,475,630.63
41.6%
Expenditures
Amt Budgeted
Expenditures
Remaining
514 FINANCE & ADMINISTRATION
514 23 41 1-404 PROFESSIONAL SERVICES BANKING
0.00
0.00
0.00
0.0%
514 FINANCE & ADMINISTRATION
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
518 30 48 1-404 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
534 WATER UTILITIES
534 10 41 0-404 WATER COMP PLAN
0.00
0.00
0.00
0.0%
534 WATER UTILITIES
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
542 62 48 0-404 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 54
404 Water Capital Improvements Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
542 ROAD/STREET MAINTENANCE
542 ROAD/STREET MAINTENANCE 0.00 0.00 0.00 0.0%
575 CULTURE RECREATION
575 50 10 0-404 Salaries/Wages
575 50 20 0-404 F.I.C.A
575 50 22 0-404 INDUSTRIAL INSURANCE
575 50 23 0-404 UNEMPLOYMENT INSURANCE
575 CULTURE RECREATION
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.00
0.0%
0.0%
0.0%
0.0%
0.0%
594 10 45 1-404 IT Operating Allocation
0.00
0.00
0.00
0.0%
594 21 62 0-404 Buildings/Structures/Grou
2,380,000.00
0.00
2,380,000.00
0.0%
594 34 41 0-404 WATER RIGHTS -PROFESSIONAL
20,000.00
1,701.25
18,298.75
8.5%
594 34 41 3-404 WATER COMPREHENSIVE PLAN
0.00
0.00
0.00
0.0%
594 34 414-404 DESCHUTES WTR RIGHT
0.00
0.00
0.00
0.0%
594 34 61 0-404 WATER RIGHTS ACQUISITION
0.00
0.00
0.00
0.0%
594 34 63 0-404 AC WTRMAIN REPLACE -
0.00
65,846.23
(65,846.23)
0.0%
ENGINEERING
594 34 63 1-404 WATER CONSERVATION PROGRAM
0.00
49,072.56
(49,072.56)
0.0%
594 34 63 2-404 DISTRIBUTION LINE REPLACEMEN
0.00
0.00
0.00
0.0%
594 34 63 3-404 HYDRANT LOCK PROGRAM
0.00
0.00
0.00
0.0%
594 34 63 4-404 WATER MAIN
1,720,000.00
618,926.57
1,101,073.43
36.0%
IMPVTS-CONSTRUCTION
594 34 63 5-404 WATER MAIN IMPVTS-ENGINEERING
175,000.00
4,030.98
170,969.02
2.3%
594 34 63 7-404 AC WTRMIAN REPLACE - MOSMAN
0.00
0.00
0.00
0.0%
594 34 63 8-400 SE RESERVOIR - CONSTRUCTION
0.00
0.00
0.00
0.0%
594 34 63 9-404 SE RESERVOIR -LAND ACQUISITION
74,768.00
269.44
74,498.56
0.4%
594 34 64 2-404 MACH & EQ SOFTWARE/RADIO
0.00
0.00
0.00
0.0%
594 34 65 1-404 WATER MAIN IMPVTS-CONST INSP
88,500.00
7,842.50
80,657.50
8.9%
594 34 65 2-404 2019 AC WATERMAIN EXTENSION -
0.00
0.00
0.00
0.0%
CONSTRUCTION
594 34 65 3-404 SE RESERVOIR -PIPE CONSTRUCTION
543,750.00
0.00
543,750.00
0.0%
594 34 65 5-404 SE RESERVOIR -SITING &
185,000.00
21,948.74
163,051.26
11.9%
ENGINEERING
594 CAPITAL EXPENSES
5,187,018.00
769,638.27
4,417,379.73
14.8%
597 TRANSFERS OUT
597 18 64 0-404 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-404 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 34 63 2-404 T/O 401 WTR UTILITY
0.00
0.00
0.00
0.0%
597 34 63 3-404 T/O TO 431
0.00
0.00
0.00
0.0%
597 34 63 4-404 T/O TO FUND 316 ROAD STREET
0.00
0.00
0.00
0.0%
CONSTUCTION
597 48 00 0-404 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 0-404 T/O TO 302
0.00
0.00
0.00
0.0%
597 76 63 4-404 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT 0.00 0.00 0.00 0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
55
404 Water Capital Improvements
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
999 ENDING CASH
508 41 00 0-404 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-404 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-404 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
5,187,018.00
769,638.27
4,417,379.73
14.8%
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
390 OTHER FINANCING SOURCES
0.00
Page: 56
405 Water Revenue Debt Redemption
0.0%
397 TRANSFERS IN
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
0.00
175,263.00
0.0%
308 41 00 0-405 BEGINNING CASH - COMMITTED
1,178.00
97,547.30
(96,369.30) 8280.8%
308 51 00 0-405 BEGINNING CASH - ASSIGNED
0.00
8,428.00
(8,428.00) 0.0%
308 BEGINNING CASH
1,178.00
105,975.30
(104,797.30) 8996.2%
340 CHARGES - GOODS/SERVICES
538,000.00
0.0%
397 TRANSFERS IN
341 69 00 0-405 Charge for Copies
0.00
0.00
0.00 0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00 0.0%
360 MISCELLANEOUS REVENUES
0.00
10,063.00
0.0%
361 11 00 0-405 INTEREST
2,500.00
142.40
2,357.60 5.7%
369 91 00 0-405 MISCELLANEOUS OTHER
0.00
0.00
0.00 0.0%
360 MISCELLANEOUS REVENUES
2,500.00
142.40
2,357.60 5.7%
390 OTHER FINANCING SOURCES
39120 00 0-405 2003 BOND PROCEEDS
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
397 80 72 0-405 T/I FROM 401 for 2003 WTR BOND
175,263.00
0.00
175,263.00
0.0%
397 80 72 1-405 T/I FROM 401 for DWSRL DEBT
9,072.00
0.00
9,072.00
0.0%
397 80 72 2-405 T/I FROM 401 for DOE RCLMD WTR
51,857.00
0.00
51,857.00
0.0%
397 80 72 5-405 T/I FROM 401 For 2010 WTR BOND
538,000.00
0.00
538,000.00
0.0%
397 TRANSFERS IN
774,192.00
0.00
774,192.00
0.0%
Fund Revenues:
Expenditures
777,870.00
Amt Budgeted
106,117.70
Expenditures
671,752.30
Remaining
13.6%
580 NON -EXPENDITURES
591 34 72 1-405
DOE RECLAIM WTR - PRINCIPAL
48,293.00
24,055.94
582 34 83 3-405 2010 WATER REV BOND DEBT (P)
0.00
0.00
0.00
0.0%
582 34 86 2-405 WELL 41 REHAB DWSRF COSTS
0.00
0.00
0.00
0.0%
580 NON -EXPENDITURES
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
591 34 72 0-405
2003 WTR REV BOND - PRIN
165,000.00
0.00
165,000.00
0.0%
591 34 72 1-405
DOE RECLAIM WTR - PRINCIPAL
48,293.00
24,055.94
24,237.06
49.8%
591 34 72 2-405
2020 WATER REV BOND REFI OF 2010
275,000.00
0.00
275,000.00
0.0%
BONDS (PRINCIPLE)
591 34 75 0-405
WELL 41 REHAB DWSRF PRIM
8,681.00
0.00
8,681.00
0.0%
592 34 72 3-405
2020 WATER REV BOND REFI OF 2010
0.00
0.00
0.00
0.0%
BONDS ADMINISTRATION FEE
592 34 83 0-405
2003 WTR REV BOND - INT
10,063.00
0.00
10,063.00
0.0%
592 34 83 1-405
DOE RECLAIM WTR - INTEREST
3,564.00
1,872.36
1,691.64
52.5%
592 34 83 2-405
WELL 41 REHAB DWSRF INT
391.00
0.00
391.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
57
405 Water Revenue Debt Redemption
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
591 DEBT SERVICE
592 34 83 3-405 2020 WATER REV BOND REFI OF 2010
263,000.00
0.00
263,000.00
0.0%
BONDS (INTEREST)
592 34 84 0-405 '03 WtrRev Bond/13 Refi Costs
300.00
0.00
300.00
0.0%
591 DEBT SERVICE
774,292.00
25,928.30
748,363.70
3.3%
594 CAPITAL EXPENSES
594 34 00 0-405 WATER DEBT RESERVE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 41 00 0-405 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
774,292.00
25,928.30
748,363.70
3.3%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
58
406 Water Capital Inprovements
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-406 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-406 BEGINNING CASH - ASSIGNED
1,665,507.00
982,500.80
683,006.20
59.0%
308 91 00 0-406 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
1,665,507.00
982,500.80
683,006.20
59.0%
340 CHARGES - GOODS/SERVICES
341 69 00 0-406 Charge for Copies
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-406 INVESTMENT INTEREST
1,383.00
335.36
1,047.64
24.2%
369 91 00 0-406 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
1,383.00
335.36
1,047.64
24.2%
Fund Revenues:
1,666,890.00
982,836.16
684,053.84
59.0%
Expenditures
Amt Budgeted
Expenditures
Remaining
999 ENDING CASH
508 41 00 0-406 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-406 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-406 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
59
412 Sewer Utility Fund
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-412 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-412 BEGINNING CASH - ASSIGNED
2,566,521.00
2,419,143.28
147,377.72
94.3%
308 91 00 0-412 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
2,566,521.00
2,419,143.28
147,377.72
94.3%
330 INTERGOVERNMENTAL
334 01 80 0-412 2012 STORM ASSISTANCE
0.00
0.00
0.00
0.0%
330 INTERGOVERNMENTAL
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
343 50 00 0-412 SEWER SERVICE SALES
3,079,937.00
1,282,409.64
1,797,527.36
41.6%
343 50 01 0-412 SEWER ERU FEES
0.00
0.00
0.00
0.0%
343 50 02 0-412 SALE OF RECLAIMED WATER
60,000.00
2,781.06
57,218.94
4.6%
343 50 03 0-412 F.O.G TESTING SERVICES CHARGE
0.00
0.00
0.00
0.0%
343 80 00 0-412 SEWER PERMIT FEES
7,500.00
145.00
7,355.00
1.9%
340 CHARGES - GOODS/SERVICES
3,147,437.00
1,285,335.70
1,862,101.30
40.8%
360 MISCELLANEOUS REVENUES
361 11 00 0-412 INVESTMENT INTEREST
5,500.00
4,504.46
995.54
81.9%
369 10 00 0-412 SALE OF SCRAP/JUNK
0.00
0.00
0.00
0.0%
369 90 00 0-412 OTHER MISCELLANEOUS REVENUE
1,037,978.00
0.00
1,037,978.00
0.0%
360 MISCELLANEOUS REVENUES
1,043,478.00
4,504.46
1,038,973.54
0.4%
390 OTHER FINANCING SOURCES
395 20 00 0-412 COMP FOR LOSS OF CAPITAL ASSET
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 35 00 0-412 T/I FROM 413 for SWR CAP IMPV
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
6,757,436.00
3,708,983.44
3,048,452.56
54.9%
Expenditures
Amt Budgeted
Expenditures
Remaining
514 FINANCE & ADMINISTRATION
514 23 41 1-412 PROFESSIONAL SERVICES BANKING
0.00
0.00
0.00
0.0%
514 FINANCE & ADMINISTRATION
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
518 30 48 1-412 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm Time: 15:40:06 Date: 06/14/2021
Page: 60
412 Sewer Utility Fund Months: 01 To: 05
Expenditures Amt Budgeted Expenditures Remaining
518 CENTRAL SERVICE
518 CENTRAL SERVICE 0.00 0.00 0.00 0.0%
535 SEWER UTILITIES
535 10 10 0-412 SALARIES/WAGES
672,751.00
286,427.69
386,323.31
42.6%
535 10 11 0-412 ACCRUED VACATION/HOLIDAY/SIC
0.00
0.00
0.00
0.0%
535 10 12 0-412 OVERTIME
5,912.00
282.89
5,629.11
4.8%
535 10 13 0-412 STANDBY PAY
10,400.00
4,600.00
5,800.00
44.2%
535 10 20 0-412 F.LC.A.
51,918.00
22,258.18
29,659.82
42.9%
535 1021 0-412 RETIREMENT
78,793.00
36,839.48
41,953.52
46.8%
535 10 22 0-412 INDUSTRIAL INSURANCE
13,420.00
5,650.58
7,769.42
42.1%
535 10 23 0-412 UNEMPLOYMENT INSURANCE
2,355.00
1,115.75
1,239.25
47.4%
535 10 24 0-412 MEDICAL INSURANCE
154,161.00
55,008.78
99,152.22
35.7%
535 10 25 0-412 UNIFORMS
5,500.00
2,597.36
2,902.64
47.2%
535 1031 0-412 OFFICE SUPPLIES
5,000.00
375.21
4,624.79
7.5%
535 10 35 0-412 SMALL TOOLS/MINOR EQUIPMENT
15,000.00
999.57
14,000.43
6.7%
535 10 42 1-412 COMMUNICATIONS: PHONE
550.00
55.26
494.74
10.0%
535 10 42 2-412 COMMUNICATIONS: POSTAGE
8,000.00
2,667.36
5,332.64
33.3%
535 10 42 3-412 COMMUNICATIONS: COPIER
0.00
0.00
0.00
0.0%
535 10 43 0-412 TRAVEL/TRAINING
5,000.00
2,969.99
2,030.01
59.4%
535 10 44 0-412 PRINTING/ADVERTISING
13,500.00
2,667.36
10,832.64
19.8%
535 10 45 1-412 OP ALLOC - IT FUND
83,440.00
0.00
83,440.00
0.0%
535 10 46 0-412 PROPERTY/CASUALTY/LIABILI
56,000.00
55,919.00
81.00
99.9%
535 10 47 0-412 PUBLIC UTILITIES SERVICES
90,000.00
41,556.85
48,443.15
46.2%
535 10 49 0-412 MISCELLANEOUS/DUES/FEES
22,000.00
8,647.63
13,352.37
39.3%
535 10 49 1-412 PYMTS. ON LATECOMERS FEES
0.00
0.00
0.00
0.0%
535 10 49 2-412 UTILITY EXCISE TAX
80,000.00
114,461.03
(34,461.03)
143.1%
535 10 49 3-412 CITY UTILITY TAX
122,450.00
0.00
122,450.00
0.0%
535 20 41 0-412 ENGINEER/PROFESSIONAL SERVIC
50,000.00
4,596.25
45,403.75
9.2%
535 50 35 0-412 BLDG MAINT/SUPPLIES
4,000.00
2,965.47
1,034.53
74.1%
535 50 41 0-412 CUSTODIAL CLEANING/SUPPLIES
600.00
0.00
600.00
0.0%
535 50 41 1-412 SOFTWARE MAINT
0.00
0.00
0.00
0.0%
535 50 48 0-412 TRMT. PLANT MTCE
150,000.00
18,878.32
131,121.68
12.6%
535 50 48 1-412 SYSTEM TESTING/OUTSIDE LAB
5,547.00
55.00
5,492.00
1.0%
535 50 48 2-412 EQUIP/VEH REPAIRS & MTCE
6,500.00
2,609.30
3,890.70
40.1%
535 50 48 3-412 CONTRACTED REPAIRS/MAINT
0.00
0.00
0.00
0.0%
535 50 49 0-412 MISCELLANEOUS MAINTENANCE
0.00
0.00
0.00
0.0%
535 80 31 0-412 OPERATING SUPPLIES/LAB ETC.
100,000.00
53,660.40
46,339.60
53.7%
535 80 32 0-412 FUEL CONSUMED
5,000.00
1,320.76
3,679.24
26.4%
535 80 47 0-412 UTILITY LOCATES
300.00
0.00
300.00
0.0%
535 80 48 0-412 COLLECTION REPAIRS/MAINT/SPT
50,000.00
23,132.16
26,867.84
46.3%
535 80 48 1-412 REUSE FACILITIES MTCE.
0.00
0.00
0.00
0.0%
535 80 48 2-412 WASTE ACTIVATED SLUDGE DISPO
200,000.00
48,967.85
151,032.15
24.5%
535 80 48 3-412 SEPTAGE DISPOSAL
271,600.00
136,865.68
134,734.32
50.4%
535 85 41 0-412 Computer & Software O&M
10,000.00
0.00
10,000.00
0.0%
535 90 40 0-412 CENTRALIA POWER AND LIGHT
50,000.00
31,909.60
18,090.40
63.8%
535 SEWER UTILITIES 2,399,697.00 970,060.76 1,429,636.24 40.4%
542 ROAD/STREET MAINTENANCE
542 62 48 0-412 Repairs and Maint - Rail Line 0.00 0.00 0.00 0.0%
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
508 51 00 0-412 ENDING CASH - ASSIGNED
0.00
Page:
61
412 Sewer Utility Fund
508 91 00 0-412 ENDING CASH - UNASSIGNED
0.00
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
0.00
542 ROAD/STREET MAINTENANCE
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
575 50 10 0-412 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-412 F.I.C.A
0.00
0.00
0.00
0.0%
575 50 22 0-412 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-412 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
592 35 89 0-412 OTHER DEBT SERVICE COSTS
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 21 62 0-412 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
594 35 63 0-412 O & M RESERVE
0.00
0.00
0.00
0.0%
594 35 64 0-412 MACHINERY & EQUIPMENT
0.00
0.00
0.00
0.0%
594 35 64 1-412 MACH & EQ SOFTWARE
0.00
0.00
0.00
0.0%
594 35 64 2-412 MACH & EQ SOFTWARE RADIO
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
595 48 00 0-412 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 00 00 0-412 TRANSFER TO SEWER CAPITAL
1,390,000.00
0.00
1,390,000.00
0.0%
597 18 64 0-412 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 19 62 3-412 T/O TO 302 BLDG FUND
0.00
0.00
0.00
0.0%
597 21 64 0-412 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 35 00 0-412 T/O TO 420
0.00
0.00
0.00
0.0%
597 35 63 0-412 T/O TO 413
0.00
0.00
0.00
0.0%
597 35 70 1-412 T/O TO 415
97,101.00
0.00
97,101.00
0.0%
597 48 00 0-412 T/O To Fund 502 ER&R
56,500.00
0.00
56,500.00
0.0%
597 76 63 4-412 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 80 72 0-412 T/O TO 203
173,026.00
0.00
173,026.00
0.0%
597 TRANSFERS OUT
1,716,627.00
0.00
1,716,627.00
0.0%
999 ENDING CASH
508 41 00 0-412 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-412 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-412 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures: 4,116,324.00 970,060.76 3,146,263.24 23.6%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page: 62
412 Sewer Utility Fund Months: 01 To: 05
2021 BUDGET POSITION
City Of Yelm
15,375.00
Time: 15:40:06 Date: 06/14/2021
14,937.47
2.8%
369 91 00 0-413 MISCELLANEOUS OTHER
Page:
63
413 Sewer/Reuse Capital Reserve
0.0%
360 MISCELLANEOUS REVENUES
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
38120 00 0-413 KILLION RD OF LOAN REPAYMENT
0.00
308 41 00 0-413 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-413 BEGINNING CASH - ASSIGNED
1,693,271.00
1,685,062.25
8,208.75
99.5%
308 91 00 0-413 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
1,693,271.00
1,685,062.25
8,208.75
99.5%
330 INTERGOVERNMENTAL
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
334 03 10 0-413 DEPT. OF ECOLOGY - STATE GRANT
0.00
0.00
0.00
0.0%
334 03 10 1-413 DEPT. OF ECOLOGY LOAN
0.00
0.00
0.00
0.0%
330 INTERGOVERNMENTAL
0.00
0.00
0.00
0.0%
340 CHARGES - GOODS/SERVICES
0.00
0.0%
397 TRANSFERS IN
1,390,000.00
343 41 00 0-413 WRF SURCHARGE
1,107,000.00
0.00
1,107,000.00
0.0%
343 80 35 1-413 SYSTEM DEVELOPMENT CHARGES
251,965.00
91,401.00
160,564.00
36.3%
340 CHARGES - GOODS/SERVICES
1,358,965.00
91,401.00
1,267,564.00
6.7%
350 FINES AND PENALTIES
334 01 10 0-413 GRANT DEPT OF ECOLOGY (WRF
17,700,000.00
0.00
17,700,000.00
0.0%
PHASE 2.)
356 30 11 0-413 EQW BASIN FACILITY MOD
0.00
0.00
0.00
0.0%
350 FINES AND PENALTIES
17,700,000.00
0.00
17,700,000.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-413 INVESTMENT INTEREST
15,375.00
437.53
14,937.47
2.8%
369 91 00 0-413 MISCELLANEOUS OTHER
0.00
5,083.00
(5,083.00)
0.0%
360 MISCELLANEOUS REVENUES
15,375.00
5,520.53
9,854.47
35.9%
380 NON -REVENUES
38120 00 0-413 KILLION RD OF LOAN REPAYMENT
0.00
0.00
0.00
0.0%
380 NON -REVENUES
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
391 80 19 1-413 DEPT OF ECOLOGY CWSRF LOAN
0.00
0.00
0.00
0.0%
391 80 19 2-413 PUBLIC WORKS TRUST FUND LOAN
0.00
0.00
0.00
0.0%
390 OTHER FINANCING SOURCES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 35 63 0-413 T/I FROM SEWER 412
1,390,000.00
0.00
1,390,000.00
0.0%
397 95 63 0-413 T/I FROM 120
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
1,390,000.00
0.00
1,390,000.00
0.0%
Fund Revenues: 22,157,611.00 1,781,983.78 20,375,627.22 8.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
64
413 Sewer/Reuse Capital Reserve
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 30 48 1-413 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 81 10 0-413 SAL DUE - IT FUND
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
542 62 48 0-413 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
575 50 10 0-413 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-413 F.LC.A
0.00
0.00
0.00
0.0%
575 50 22 0-413 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-413 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 21 62 0-413 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
594 35 41 0-413 COCHRANE PARK -REBUILD RIBS,
455,000.00
75,692.35
379,307.65
16.6%
PONDS
594 35 41 1-413 SEWER FACILITIES PLAN
0.00
0.00
0.00
0.0%
594 35 412-413 COCHRANE PARK RIBS -
80,000.00
87,688.06
(7,688.06)
109.6%
ENGINEERING
594 35 48 0-413 SYSTEM O&M
0.00
0.00
0.00
0.0%
594 35 48 1-413 COLLECTION SYSTEM
0.00
0.00
0.00
0.0%
IMPR-CONSTRUCTION
594 35 60 0-413 COLLECTION SYSTEM
0.00
0.00
0.00
0.0%
IMPR-ENGINEERING
594 35 63 0-413 WRF SHORT TERM IMPROVEMENTS
0.00
0.00
0.00
0.0%
594 35 63 1-413 EQ BASIN FACILITY MOD
0.00
0.00
0.00
0.0%
594 35 63 2-413 WRF OFFICE/LUNCH ROOM
0.00
0.00
0.00
0.0%
ADDITION
594 35 63 3-413 COCHRANE PARK RIBS - ENGR
60,000.00
8,231.73
51,768.27
13.7%
INSPECTION
594 35 63 4-413 WRF PHASE 2 UPGRADES -
960,000.00
352,452.82
607,547.18
36.7%
ENGINEERING
594 35 63 5-413 LONGMIRE - REMOVE RECLAIM
0.00
0.00
0.00
0.0%
TANKS
594 39 60 0-413 WRF PHASE 2
4,800,000.00
0.00
4,800,000.00
0.0%
UPGRADES -EQUIPMENT
594 39 60 1-413 WRF PHASE 2
11,500,000.00
0.00
11,500,000.00
0.0%
UPGRADES -CONSTRUCTION
594 39 60 2-413 WRF PHASE 2 UPGRADES -CONST
3,300,000.00
0.00
3,300,000.00
0.0%
INSP
594 CAPITAL EXPENSES
21,155,000.00
524,064.96
20,630,935.04
2.5%
597 TRANSFERS OUT
597 18 64 0-413 T/O To Fund 501
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06 Date: 06/14/2021
Page:
65
413 Sewer/Reuse Capital Reserve
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
597 TRANSFERS OUT
597 21 64 0-413 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 35 00 0-413 T/O TO 412
0.00
0.00
0.00
0.0%
597 48 00 0-413 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 0-413 T/O TO 302
0.00
0.00
0.00
0.0%
597 76 63 4-413 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 95 62 6-413 T/O TO FUND 316
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 41 00 0-413 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-413 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-413 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
21,155,000.00
524,064.96
20,630,935.04
2.5%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
66
415 Sewer Bond Refi & Reserve
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-415 BEGINNING CASH - COMMITTED
0.00
0.00
0.00
0.0%
308 51 00 0-415 BEGINNING CASH - ASSIGNED
153,413.00
129,196.73
24,216.27
84.2%
308 91 00 0-415 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
153,413.00
129,196.73
24,216.27
84.2%
360 MISCELLANEOUS REVENUES
361 11 00 0-415 INTEREST EARNED
350.00
25.45
324.55
7.3%
369 91 00 0-415 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
350.00
25.45
324.55
7.3%
397 TRANSFERS IN
397 35 70 0-415 T/I FROM 412 For Swr Debt
97,101.00
0.00
97,101.00
0.0%
397 TRANSFERS IN
97,101.00
0.00
97,101.00
0.0%
Fund Revenues:
250,864.00
129,222.18
121,641.82
51.5%
Expenditures
Amt Budgeted
Expenditures
Remaining
591 DEBT SERVICE
591 35 72 0-415 DOE - SEWER BOND REFI 2003 (P)
94,587.00
47,116.28
47,470.72
49.8%
592 35 83 0-415 DOE - SEWER BOND REFI (I)
2,514.00
1,433.99
1,080.01
57.0%
591 DEBT SERVICE
97,101.00
48,550.27
48,550.73
50.0%
594 CAPITAL EXPENSES
594 35 78 0-415 SRL LOAN RESERVE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 41 00 0-415 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-415 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-415 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
97,101.00
48,550.27
48,550.73
50.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
67
430 Shortline Railroad
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 51 00 0-430 BEGINNING CASH - ASSIGNED
452.00
439.02
12.98
97.1%
308 91 00 0-430 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
452.00
439.02
12.98
97.1%
360 MISCELLANEOUS REVENUES
361 11 00 0-430 INVESTMENT INTEREST
60.00
0.39
59.61
0.7%
369 91 00 0-430 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
60.00
0.39
59.61
0.7%
397 TRANSFERS IN
397 47 00 1-430 T/I From 001
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
512.00
439.41
72.59
85.8%
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 30 48 1-430 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
542 62 48 0-430 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
547 RAILROADS & TRANSIT
547 20 41 0-430 RR PLANNING & CONSERVATION
0.00
0.00
0.00
0.0%
547 50 48 0-430 RR REPAIRS & MTCE.
0.00
0.00
0.00
0.0%
547 RAILROADS & TRANSIT
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
575 50 10 0-430 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-430 F.LC.A
0.00
0.00
0.00
0.0%
575 50 22 0-430 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-430 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 21 62 0-430 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
68
430 Shortline Railroad
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
597 TRANSFERS OUT
597 18 64 0-430 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-430 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 48 00 0-430 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-430 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 51 00 0-430 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-430 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
0.00
Time: 15:40:06
Date: 06/14/2021
0.0%
386 00 34 0-431 CONSTRUCTION RETAINAGE
0.00
Page:
69
431 Water Construction Fund
380 NON -REVENUES
0.00
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
397 00 00 0-431 T/I FROM 404
0.00
0.00
308 51 00 0-431 BEGINNING CASH - ASSIGNED
0.00
774.99
(774.99)
0.0%
308 91 00 0-431 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
0.00
774.99
(774.99)
0.0%
360 MISCELLANEOUS REVENUES
0.0%
Fund Revenues:
0.00
776.63
361 11 00 0-431 INVESTMENT INTEREST
0.00
1.64
(1.64)
0.0%
369 91 00 0-431 MISCELLANEOUS OTHER
0.00
0.00
0.00
0.0%
360 MISCELLANEOUS REVENUES
0.00
1.64
(1.64)
0.0%
380 NON -REVENUES
382 20 00 1-431 2010 WTR REV BOND PROCEEDS
0.00
0.00
0.00
0.0%
386 00 34 0-431 CONSTRUCTION RETAINAGE
0.00
0.00
0.00
0.0%
380 NON -REVENUES
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
397 00 00 0-431 T/I FROM 404
0.00
0.00
0.00
0.0%
397 34 62 0-431 T/I FROM 197
0.00
0.00
0.00
0.0%
397 34 63 0-431 T/I FROM 401
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
0.00
0.00
0.00
0.0%
Fund Revenues:
0.00
776.63
(776.63)
0.0%
Expenditures
Amt Budgeted
Expenditures
Remaining
514 FINANCE & ADMINISTRATION
514 23 41 1-431 PROFESSIONAL SERVICES BANKING
0.00
0.00
0.00
0.0%
514 FINANCE & ADMINISTRATION
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
518 30 48 1-431 BLDG MAINT/REPAIRS - CITY HALL
0.00
0.00
0.00
0.0%
518 CENTRAL SERVICE
0.00
0.00
0.00
0.0%
534 WATER UTILITIES
534 10 31 0-431 OFFICE/OPERATING SUPPLIES
0.00
0.00
0.00
0.0%
534 20 41 0-431 PROFESSIONAL SVCS/ENGINEERIN
0.00
0.00
0.00
0.0%
534 20 41 1-431 DT WELL -DESIGN ENG
0.00
0.00
0.00
0.0%
534 20 412-431 DT WELL -HYDRO GEO ENG
0.00
0.00
0.00
0.0%
534 20 41 3-431 DT WELL-CONSTR ENG
0.00
0.00
0.00
0.0%
534 20 414-431 SW WELL lA-HYD GEO ENG
0.00
0.00
0.00
0.0%
534 20 41 5-431 SW WELL lA-WELL DRILLING
0.00
0.00
0.00
0.0%
534 20 41 6-431 SW WELL IA-ENG/TREATMENT
0.00
0.00
0.00
0.0%
534 20 41 7-431 SW WELL IA -CONST ENG
0.00
0.00
0.00
0.0%
534 20 41 8-431 SCADA
0.00
0.00
0.00
0.0%
534 20 41 9-431 DT WELL CONST
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
70
431 Water Construction Fund
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
534 WATER UTILITIES
534 20 42 0-431 SW WELL IA TREATMENT CONST
0.00
0.00
0.00
0.0%
534 20 42 1-431 SW WELL IA RESEVIOR ENG
0.00
0.00
0.00
0.0%
534 20 42 2-431 WATER RIGHTS MITIGATION PROJ
0.00
0.00
0.00
0.0%
534 20 42 3-431 SW WELL IA SITE ACQUISITION
0.00
0.00
0.00
0.0%
534 40 21 1-431 MITIGATION PLAN UPDATE
0.00
0.00
0.00
0.0%
534 WATER UTILITIES
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
542 62 48 0-431 Repairs and Maint - Rail Line
0.00
0.00
0.00
0.0%
542 ROAD/STREET MAINTENANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
575 50 10 0-431 Salaries/Wages
0.00
0.00
0.00
0.0%
575 50 20 0-431 F.LC.A
0.00
0.00
0.00
0.0%
575 50 22 0-431 INDUSTRIAL INSURANCE
0.00
0.00
0.00
0.0%
575 50 23 0-431 UNEMPLOYMENT INSURANCE
0.00
0.00
0.00
0.0%
575 CULTURE RECREATION
0.00
0.00
0.00
0.0%
580 NON -EXPENDITURES
589 00 00 0-431 RETAINAGE RELEASED
0.00
0.00
0.00
0.0%
580 NON -EXPENDITURES
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
592 34 84 0-431 DEBT ISSUE COSTS
0.00
0.00
0.00
0.0%
591 DEBT SERVICE
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
594 21 62 0-431 Buildings/Structures/Grou
0.00
0.00
0.00
0.0%
594 34 60 0-431 CAPITAL RESERVE
0.00
0.00
0.00
0.0%
594 34 61 1-431 WATER RIGHTS ACQUISITION
0.00
0.00
0.00
0.0%
594 34 63 1-431 DT WELL CONSTRUCTION
0.00
0.00
0.00
0.0%
594 34 63 2-431 SW WELL lA-AC LINE
0.00
0.00
0.00
0.0%
REPLACEMENT
594 34 63 3-431 SW YELM WELL I PRELIM ENG
0.00
0.00
0.00
0.0%
594 34 63 6-431 SW YELM WELL I CONST ENG
0.00
0.00
0.00
0.0%
594 34 63 7-431 SW YELM WELL I CONSTRUCT
0.00
0.00
0.00
0.0%
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
597 TRANSFERS OUT
597 18 64 0-431 T/O To Fund 501
0.00
0.00
0.00
0.0%
597 21 64 0-431 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 34 63 4-431 T/O To Fund 404
0.00
0.00
0.00
0.0%
597 48 00 0-431 T/O To Fund 502 ER&R
0.00
0.00
0.00
0.0%
597 76 63 4-431 T/O to Fund 302 Muni Bldg Fund
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page: 71
431 Water Construction Fund
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
597 TRANSFERS OUT
597 TRANSFERS OUT
0.00
0.00
0.00 0.0%
999 ENDING CASH
508 51 00 0-431 ENDING CASH - ASSIGNED
0.00
0.00
0.00 0.0%
508 91 00 0-431 ENDING CASH - UNASSIGNED
0.00
0.00
0.00 0.0%
999 ENDING CASH
0.00
0.00
0.00 0.0%
Fund Expenditures:
0.00
0.00
0.00 0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
72
501 IT Equipment Rental & Repair
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-501 BEGINNING CASH - COMMITTED
332,725.00
364,827.05
(32,102.05)
109.6%
308 51 00 0-501 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
308 91 00 0-501 BEGINNING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
332,725.00
364,827.05
(32,102.05)
109.6%
340 CHARGES - GOODS/SERVICES
348 80 00 1-501 OPERATING ALLOCATION CHARGES
362,077.00
0.00
362,077.00
0.0%
340 CHARGES - GOODS/SERVICES
362,077.00
0.00
362,077.00
0.0%
360 MISCELLANEOUS REVENUES
361 11 00 0-501 INTEREST INCOME
0.00
0.00
0.00
0.0%
36111 00 1-501 INVESTMENT INTEREST
0.00
73.83
(73.83)
0.0%
362 10 00 1-501 REPLACEMENT CHARGES
14,062.00
0.00
14,062.00
0.0%
365 10 02 0-501 RENTAL CHARGES
0.00
0.00
0.00
0.0%
365 10 02 1-501 CELL PHONE CHARGES
27,797.00
0.00
27,797.00
0.0%
365 10 02 2-501 COPIER CHARGES
13,483.00
0.00
13,483.00
0.0%
360 MISCELLANEOUS REVENUES
55,342.00
73.83
55,268.17
0.1%
Fund Revenues:
750,144.00
364,900.88
385,243.12
48.6%
Expenditures
Amt Budgeted
Expenditures
Remaining
518 CENTRAL SERVICE
518 81 10 0-501 SALARIES DUE
199,782.00
79,140.63
120,641.37
39.6%
518 81 12 0-501 OVERTIME
6,620.00
665.45
5,954.55
10.1%
518 8120 0-501 FICA
15,790.00
6,090.39
9,699.61
38.6%
518 8121 0-501 RETIREMENT
23,963.00
10,350.82
13,612.18
43.2%
518 8122 0-501 IND INSURANCE
578.00
232.41
345.59
40.2%
518 8123 0-501 UNEMPLOYMENT INS
717.00
308.98
408.02
43.1%
518 8124 0-501 MEDICAL INSURANCE
15,505.00
6,024.69
9,480.31
38.9%
518 81 31 0-501 OPERATING SUPPLIES
4,000.00
1,506.65
2,493.35
37.7%
518 8142 1-501 COMMUNICATION: PHONES
64,000.00
24,384.49
39,615.51
38.1%
518 8142 3-501 COMMUNICATIONS: COPIERS
23,000.00
7,870.04
15,129.96
34.2%
518 8142 4-501 NETWORK
30,000.00
982.96
29,017.04
3.3%
518 8143 0-501 TRAINING
4,000.00
380.00
3,620.00
9.5%
518 85 35 0-501 IT INFRASTRUCTURE
10,000.00
390.01
9,609.99
3.9%
518 85 35 1-501 EQUIPMENT REPLACEMENT
13,500.00
1,297.60
12,202.40
9.6%
518 85 41 0-501 SOFTWARE MAINT
57,500.00
64,827.84
(7,327.84)
112.7%
518 CENTRAL SERVICE
468,955.00
204,452.96
264,502.04
43.6%
594 CAPITAL EXPENSES
594 35 30 0-501 MACHINERY AND EQUIPMENT -
0.00
0.00
0.00
0.0%
SEWER
594 48 30 0-501 MACHINERY AND EQUIPMENT -
0.00
0.00
0.00
0.0%
PUBLIC WORKS
594 CAPITAL EXPENSES
0.00
0.00
0.00
0.0%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page: 73
501 IT Equipment Rental & Repair
Months: 01 To: 05
Expenditures
Amt Budgeted
Expenditures
Remaining
999 ENDING CASH
508 41 00 0-501 ENDING CASH - COMMITTED
0.00
0.00
0.00 0.0%
508 51 00 0-501 ENDING CASH - ASSIGNED
0.00
0.00
0.00 0.0%
508 91 00 0-501 ENDING CASH - UNASSIGNED
0.00
0.00
0.00 0.0%
999 ENDING CASH
0.00
0.00
0.00 0.0%
Fund Expenditures:
468,955.00
204,452.96
264,502.04 43.6%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
74
502 Equipment Rental & Repair
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 41 00 0-502 BEGINNING CASH - COMMITTED
1,202,743.00
1,441,565.06
(238,822.06)
119.9%
308 51 00 0-502 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
308 91 00 0-502 BEGINNING CASH -UNASSIGNED
0.00
0.00
0.00
0.0%
308 BEGINNING CASH
1,202,743.00
1,441,565.06
(238,822.06)
119.9%
360 MISCELLANEOUS REVENUES
361 11 00 0-502 INVESTMENT INTEREST
0.00
517.94
(517.94)
0.0%
362 10 01 0-502 REPLACEMENT CHARGES
198,933.00
0.00
198,933.00
0.0%
362 10 02 0-502 RENTAL CHARGES
0.00
784.89
(784.89)
0.0%
360 MISCELLANEOUS REVENUES
198,933.00
1,302.83
197,630.17
0.7%
397 TRANSFERS IN
397 48 00 0-502 T/I FROM 412
56,500.00
0.00
56,500.00
0.0%
397 76 63 4-502 T/I FROM 413
0.00
0.00
0.00
0.0%
397 95 63 0-501 T/I FROM 101
23,266.00
0.00
23,266.00
0.0%
397 95 63 0-502 OPERATION ALLOCATION - ER&R
0.00
0.00
0.00
0.0%
397 TRANSFERS IN
79,766.00
0.00
79,766.00
0.0%
Fund Revenues:
1,481,442.00
1,442,867.89
38,574.11
97.4%
Expenditures
Amt Budgeted
Expenditures
Remaining
594 CAPITAL EXPENSES
594 18 64 0-502 CAPITAL EQUIPMENT - ADMIN
9,562.00
65.70
9,496.30
0.7%
594 21 64 0-502 CAPITAL EQUIPMENT - POLICE
120,000.00
83,919.78
36,080.22
69.9%
594 34 64 0-502 CAPITAL EQUIPMENT - WATER
11,458.00
109.50
11,348.50
1.0%
594 35 64 0-502 CAPITAL EQUIPMENT - SEWER
20,008.00
15,539.09
4,468.91
77.7%
594 44 64 0-502 CAPITAL EQUIPMENT - STREETS
11,458.00
43.80
11,414.20
0.4%
594 58 64 0-502 CAPITAL EQUIPMENT - COMM DEV
0.00
0.00
0.00
0.0%
594 76 64 0-502 CAPITAL EQUIPMENT - PARKS
11,458.00
87.60
11,370.40
0.8%
594 CAPITAL EXPENSES
183,944.00
99,765.47
84,178.53
54.2%
999 ENDING CASH
508 41 00 0-502 ENDING CASH - COMMITTED
0.00
0.00
0.00
0.0%
508 51 00 0-502 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-502 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures: 183,944.00 99,765.47 84,178.53 54.2%
2021 BUDGET POSITION
City Of Yelm
Time: 15:40:06
Date: 06/14/2021
Page:
75
630 Project Performance Assurance Trust
Months: 01 To: 05
Revenues
Amt Budgeted
Revenues
Remaining
308 BEGINNING CASH
308 51 00 0-630 BEGINNING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
308 91 00 0-630 BEGINNING CASH - UNASSIGNED
0.00
(0.38)
0.38
0.0%
308 BEGINNING CASH
0.00
(0.38)
0.38
0.0%
Fund Revenues:
0.00
(0.38)
0.38
0.0%
Expenditures
Amt Budgeted
Expenditures
Remaining
580 NON -EXPENDITURES
589 40 00 0-630 CUSTODIAL DISBURSEMENT
0.00
0.00
0.00
0.0%
580 NON -EXPENDITURES
0.00
0.00
0.00
0.0%
999 ENDING CASH
508 51 00 0-630 ENDING CASH - ASSIGNED
0.00
0.00
0.00
0.0%
508 91 00 0-630 ENDING CASH - UNASSIGNED
0.00
0.00
0.00
0.0%
999 ENDING CASH
0.00
0.00
0.00
0.0%
Fund Expenditures:
0.00
0.00
0.00
0.0%
EARNING ITEM SUMMARY
City Of Yelm Time 15:33:07 Date: 06/14/2021
05/01/2021 To: 05/31/2021 Page: 1
Community Devel
> Pay Item Date Flours
munity Devel OT Time and a h 05/05/2021 1.50
OT Time and a h 0.50
TOTAL COMMUNITY DEVEL
Finance
2.00 107.20
Group
Pay Item
Date
Hours
Pay
Finance
JOTTimeandahl
05/05/2021
13.001
154.98
TOTAL FINANCE
Police
3.00 154.98
Group Pay Item Date
Hours
Pay
Police OT Time and a hi 05/05/2021
12.67
804.93
OT Time and a h
18.00
1,132.74
OT Time and a h
0.50
30.71
TOTAL POLICE
TOTAL
31.17 1,968.38
36.17 2,230.56
ADULT PROBATION CLERK
SERVICES AGREEMENT
WHEREAS, The City of Yelm has established a municipal court under the provisions of
RCW 3.50; and
WHEREAS, Kasandra Bouvia is an experienced in probation services and is DV MRT
(Domestic Violence Moral Reconation Treatment) certified and who has been selected to
perform the services of Adult Probation Clerk under contract with the City;
NOW THEREFORE, this ADULT PROBATION CLERK SERVICES AGREEMENT
("Agreement") is entered into by and between the City of Yelm ("City"), a Washington State
Municipal Corporation and its Municipal Court ("Municipal Court"); and Kasandra Bouvia
("Probation Clerk").
IN CONSIDERATION OF THE MUTUAL TERMS AND PROVISIONS HEREIN,
it is agreed as follows:
Scope of Services. The Probation Clerk hereby agrees to provide supervised
probation, monitored probation, deferred prosecution monitoring and any other
monitoring to the degree permitted by law and ordered by the Yelm Municipal
Court ("Court"). The Probation Clerk will provide Jail Alternative Services as
ordered by the Court, including day reporting, community work, and electronic
home detention and will attend review calendars at the Court as needed each
month. The Probation Clerk shall will assist the Court Administrator in
developing a policy and procedure manual for Yelm Probation.
Under this Agreement, the Municipal Court agrees to provide access to
appropriate meeting space for the Probation Clerk to use as well as a PC/laptop
where any case management system or software can be accessed for use on
probation services.
2. Compensation. The City shall pay to the Adult Probation Clerk for services
rendered under this Agreement the amount of thirty-five dollars ($35.00) per hour
up to sixteen (16) hours per month unless otherwise authorized and approved by a
modified agreement. The Probation Clerk shall submit a monthly invoice to Yelm
Municipal Court for all probation services. Such invoice should include a detailed
list of case numbers and defendants names.
Preauthorized Non -Routine Expenses. Non -routine case expenses shall be paid by
the City so long as the same have been requested by Probation Clerk and
preauthorized by order of the Municipal Court. Non -routine expenses include,
but are not limited to interpreter services for languages not commonly spoke in
the City.
Term. This Agreement shall take effect on July 1, 2021 and shall remain in
effect through July 1, 2022.
Either party may terminate this contract without cause within sixty (60) days of
notice to the other party. Notice shall be in writing and shall not be effective until
received by other party, either through regular mail or through hand delivery.
Nondiscrimination. Neither the Probation Clerk nor any person acting on behalf
of the Probation Clerk, shall, by reason of race, creed, color, national origin, sex,
sexual orientation, honorably discharged doctrine or military status or the
presence of any sensory, mental, or physical disability or the use of a trained
guide dog or service animal by a person with a disability, discriminate against any
person who is qualified and available to perform the work to which the
employment relates, or in the provision of services under this Agreement.
4. Independent Contractor. This Agreement shall not constitute, create, or
otherwise imply an employment, joint venture, partnership, agency or similar
contractor. No social security, state disability and/or retirement benefits shall be
deducted from payments.
5. Indemnification. The Probation Clerk shall indemnify and hold harmless City of
Yelm and its officers, agents and employees or any of them from any all claims,
actions, suits, liability, loss, costs, expenses and damages of any nature
whatsoever, by any reason of or arising out of negligent act or omission of the
Probation Clerk, its officers, agents an employees, or any of them relating to or
arising out of the performance of this Agreement.
Modification. No waiver, alteration or modification of any of the provisions of
this Agreement shall be binding unless in writing and signed by the duly
authorized representatives of the City, Court and Probation Clerk.
6. Written Notice. All communications regarding this Agreement shall be sent to
the parties at the addresses listed below, unless notified to the contrary. Any
written notice hereunder shall become effective as of the date of mailing and shall
be deemed sufficiently give if sent to the addressee at the address stated in the
Agreement or such other address as may be hereinafter specified in writing:
City of Yelm Municipal Court
C/o Court Administrator
206 McKenzie Ave SE
Yelm, WA 98597
Kasandra Bouvia
1224 Central Ave E
Tenino, WA 98589
2
Completed W9 provided with this Agreement on , 2021.
IN WITNESS WHEREOF, the parties have executed this Agreement on the day
of June, 2021.
CITY:
JW Foster
Mayor
Kasandra Bouvia
ATTEST:
Kathy Linnemeyer
City Clerk
Approved as to Form:
Brent F. Dille
City Attorney
MUNICIPAL COURT:
Thomas L. Meyer, Presiding Judge
Sonia S. Ramirez, Court Administrator
3
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arra tiro
EST. 1924
Meeting Date: June 22, 2021
CITY COUNCIL AGENDA SUMMARY
City of Yelm, Washington
AGENDA ITEM: APPROVAL OF PROFESSIONAL SERVICES AGREEMENT
PROPOSED MOTION:
Motion to authorize Mayor Foster to sign a Professional Services Agreement with Skillings, Inc.
in the not to exceed amount of $139,984.00 for design engineering services for a proposed WRF
Access Road and site grading.
KEY FACTS AND INFORMATION SUMMARY:
The City of Yelm Public Services Department proposes development of an access road off Rhoton
Road SE to the west property line of the City's existing Water Reclamation Facility (WRF). The
access road will be built on a parcel of land recently purchased by the City, and will be designed
to accommodate construction access for proposed upgrades to the City's WRF. Public Services
has requested that Skillings, Inc. (Skillings) develop a Scope of Work and estimated fee for design
of the access road and site grading for future amenities adjacent to this access road. Civil site
design for future amenities will include stormwater treatment, a new prefabricated restroom,
two prefabricated shelters, potable water service connection, Reclaimed Water service, STEP
sewer connection, landscaping, and security fencing.
ATTACHMENTS:
• 2021-06-22 - PSA (Skillings) - WRF Access Road and Site Grading
Respectfully Submitted:, ✓�
Patrick T. Hughes, P.E.
City Engineer
1I Page
m _T. 1924
WASHINGTON
PROFESSIONAL SERVICES AGREEMENT
FOR
DESIGN ENGINEERING SERVICES
WRF ACCESS ROAD AND SITE GRADING
This Professional Services Agreement ("Agreement") is made between the City of Yelm, a Washington
municipal corporation ("City"), and Skillings, Inc., a Washington corporation ("Consultant"). The City
and Consultant (together "Parties") are located and do business at the below addresses which shall be
valid for any notice required under this Agreement:
SKILLINGS, INC.
CITY OF YELM
Tom Skillings
JW Foster, Mayor
P.O. Box 5080
106 Second Street SE
Lacey, WA 98509
Yelm, WA 98597
(360) 491-3399 (telephone)
(360) 458-3244
(360) 491-3857 (facsimile)
(360) 458-4348
tskillin s skillin s.com
jwf elmwa. ov
The Parties agree as follows:
1. TERM. The term of this Agreement shall commence upon the effective date of this Agreement, which
shall be the date of mutual execution, and shall continue until the completion of the Work, but in any
event no later than December 31, 2022 ("Term"). This Agreement may be extended for additional
periods of time upon the mutual written agreement of the City and the Consultant.
2. SERVICES. The Consultant shall perform the services more specifically described in EXHIBIT A,
SCOPE OF WORK, WRF ACCESS ROAD AND SITE GRADING, attached hereto and incorporated
by this reference ("Services"), in a manner consistent with the accepted professional practices for other
similar services within the Puget Sound region in effect at the time those services are performed,
performed to the City's satisfaction, within the time period prescribed by the City and pursuant to the
direction of the Mayor or his or her designee. The Consultant warrants that it has the requisite training,
skill, and experience necessary to provide the Services and is appropriately accredited and licensed by
all applicable agencies and governmental entities, including but not limited to obtaining a City of Yelm
business registration. Services shall begin immediately upon the effective date of this Agreement.
Services shall be subject, at all times, to inspection by and approval of the City, but the making (or
failure or delay in making) such inspection or approval shall not relieve Consultant of responsibility for
performance of the Services in accordance with this Agreement, notwithstanding the City's knowledge
of defective or non -complying performance, its substantiality or the ease of its discovery.
3. TERMINATION. Either party may terminate this Agreement, with or without cause, upon providing
the other party thirty (30) days written notice at its address set forth above. The City may terminate this
Agreement immediately if the Consultant fails to maintain required insurance policies, breaches
confidentiality, or materially violates Section 12; and such may result in ineligibility for further City
agreements.
4. COMPENSATION.
4.1 Amount. In return for the Services, the City shall pay the Consultant an amount not to exceed
One Hundred Thirty Nine Thousand Nine Hundred Eighty Four Dollars ($139,984.00) as outlined in
EXHIBIT B-2 (Consultant Cost Computation), attached hereto and incorporated by this reference. The
Consultant agrees that any hourly or flat rate charged by it for its services contracted for herein shall
remain locked at the negotiated rate(s) for the Term. Except as otherwise provided in EXHIBIT B-1,
B-2 and B-3, the Consultant shall be solely responsible for the payment of any taxes imposed by any
lawful jurisdiction as a result of the performance and payment of this Agreement.
4.2 Method of Payment. On a monthly basis, the Consultant shall submit a voucher or invoice in the
form specified by the City, including a description of what Services have been performed, the name of
the personnel performing such Services, and any hourly labor charge rate for such personnel. The
Consultant shall also submit a final bill upon completion of all Services. Payment shall be made on a
monthly basis by the City only after the Services have been performed and within thirty (30) days after
receipt and approval by the appropriate City representative of the voucher or invoice. If the Services do
not meet the requirements of this Agreement, the Consultant will correct or modify the work to comply
with the Agreement. The City may withhold payment for such work until the work meets the
requirements of the Agreement.
4.3 Non -Appropriation of Funds. If sufficient funds are not appropriated or allocated for payment
under this Agreement for any future fiscal period, the City will not be obligated to make payments for
Services or amounts incurred after the end of the current fiscal period, and this Agreement will
terminate upon the completion of all remaining Services for which funds are allocated. No penalty or
expense shall accrue to the City in the event this provision applies.
5. INDEMNIFICATION.
5.1 Consultant Indemnification. The Consultant agrees to release, indemnify, defend, and hold the
City, its elected officials, officers, employees, agents, representatives, insurers, attorneys, and
volunteers harmless from any and all claims, demands, actions, suits, causes of action, arbitrations,
mediations, proceedings, judgments, awards, injuries, damages, liabilities, taxes, losses, fines, fees,
penalties expenses, attorney's fees, costs, and/or litigation expenses to or by any and all persons or
entities, including, without limitation, their respective agents, licensees, or representatives; arising from,
resulting from, or in connection with this Agreement or the negligent acts, errors or omissions of the
Consultant in performance of this Agreement, except for that portion of the claims caused by the City's
sole negligence. Should a court of competent jurisdiction determine that this Agreement is subject to
RCW 4.24.115, then, in the event of liability for damages arising out of bodily injury to persons or
damages to property caused by or resulting from the concurrent negligence of the Consultant and the
City, the Consultant's liability, including the duty and cost to defend, hereunder shall be only to the
extent of the Consultant's negligence. Consultant shall ensure that each sub -Consultant shall agree to
defend and indemnify the City, its elected officials, officers, employees, agents, representatives,
insurers, attorneys, and volunteers to the extent and on the same terms and conditions as the Consultant
pursuant to this paragraph. The City's inspection or acceptance of any of Consultant's work when
completed shall not be grounds to avoid any of these covenants of indemnification.
5.2 Industrial Insurance Act Waiver. It is specifically and expressly understood that the Consultant
waives any immunity that may be granted to it under the Washington State industrial insurance act,
Title 51 RCW, solely for the purposes of this indemnification. Consultant's indemnification shall not be
limited in any way by any limitation on the amount of damages, compensation or benefits payable to or
by any third parry under workers' compensation acts, disability benefit acts or any other benefits acts or
programs. The Parties acknowledge that they have mutually negotiated this waiver.
5.3 City Indemnification. The City agrees to release, indemnify, defend and hold the Consultant, its
officers, directors, shareholders, partners, employees, agents, representatives, and sub -Consultants
harmless from any and all claims, demands, actions, suits, causes of action, arbitrations, mediations,
proceedings, judgments, awards, injuries, damages, liabilities, losses, fines, fees, penalties expenses,
attorney's fees, costs, and/or litigation expenses to or by any and all persons or entities, including
without limitation, their respective agents, licensees, or representatives, arising from, resulting from or
connected with this Agreement to the extent solely caused by the negligent acts, errors, or omissions of
the City.
5.4 Survival. The provisions of this Section shall survive the expiration or termination of this
Agreement with respect to any event occurring prior to such expiration or termination.
6. INSURANCE. The Consultant agrees to carry insurance for liability which may arise from or in
connection with the performance of the services or work by the Consultant, their agents,
representatives, employees or sub -consultants for the duration of the Agreement and thereafter with
respect to any event occurring prior to such expiration or termination as follows:
6.1 Minimum Limits. The Consultant agrees to carry as a minimum, the following insurance, in such
forms and with such carriers who have a rating that is satisfactory to the City:
a. Commercial general liability insurance shall be written on ISO occurrence form CG 00 01 and
shall cover liability arising from premises, operations, independent Consultants, products -
completed operations, stop gap liability, personal injury, bodily injury, death, property
damage, products liability, advertising injury, and liability assumed under an insured contract
with limits no less than $1,000,000 for each occurrence and $2,000,000 general aggregate.
b. Workers' compensation and employer's liability insurance in amounts sufficient pursuant to
the laws of the State of Washington;
c. Automobile liability insurance covering all owned, non -owned, hired and leased vehicles with a
minimum combined single combined single limit for bodily injury and property damage of
$1,000,000 per accident. Coverage shall be written on Insurance Services Office (ISO) form
CA 00 01 or a substitute form providing equivalent liability coverage. If necessary, the policy
shall be endorsed to provide contractual liability coverage.
d. Professional liability insurance with limits no less than $2,000,000 per claim and $2,000,000
policy aggregate for damages sustained by reason of or in the course of operation under this
Agreement, whether occurring by reason of acts, errors or omissions of the Consultant.
6.2 No Limit of Liability. Consultant's maintenance of insurance as required by the agreement shall
not be construed to limit the liability of the Consultant to the coverage provided by such insurance, or
otherwise limit the City's recourse to any remedy available at law or in equity. The Consultant's
insurance coverage shall be primary insurance as respect the City. Any insurance, self-insurance, or
insurance pool coverage maintained by the City shall be excess of the Consultant's insurance and shall
not contribute with it.
6.3 Other Insurance Provisions. The insurance policies are to contain, or be endorsed to contain, the
following provisions for Automobile Liability, Professional Liability and Commercial General Liability
insurance:
a. Insurance coverage required hereunder shall be primary insurance as respect the City. Any
insurance, self-insurance, or insurance pool coverage maintained by the City shall be excess
of the Consultant's insurance and shall not contribute with it.
b. Insurance shall be endorsed to state that coverage shall not be cancelled by either parry,
except after thirty (30) days prior written notice by certified mail, return receipt requested,
has been given to the City.
6.4 Acceptability of Insurers. Insurance is to be placed with insurers with a current AM. Best rating
of not less than ANII.
6.5 Additional Insured, Verification. The City shall be named as additional insured on all
commercial general liability insurance policies. Concurrent with the execution of this Agreement,
Consultant shall provide certificates of insurance for all commercial general liability policies attached
hereto as EXHIBIT C and incorporated by this reference. At City's request, Consultant shall furnish
the City with copies of all insurance policies and with evidence of payment of premiums or fees of such
policies. If Consultant's insurance policies are "claims made," Consultant shall be required to maintain
tail coverage for a minimum period of three (3) years from the date this Agreement is actually
terminated or upon project completion and acceptance by the City.
6.6 Survival. The provisions of this Section shall survive the expiration or termination of this
Agreement.
7. CONFIDENTIALITY. All information regarding the City obtained by Consultant in performance of
this Agreement shall be considered confidential subject to applicable laws. Breach of confidentiality by
the Consultant may be grounds for immediate termination. All records submitted by the City to the
Consultant will be safeguarded by the Consultant. The Consultant will fully cooperate with the City in
identifying, assembling, and providing records in case of any public records disclosure request.
WORK PRODUCT. All originals and copies of work product, including plans, sketches, layouts,
designs, design specifications, records, files, computer disks, magnetic media or material which may be
produced or modified by Consultant while performing the Work shall belong to the City upon delivery.
The Consultant shall make such data, documents, and files available to the City and shall deliver all
needed or contracted for work product upon the City's request. At the expiration or termination of this
Agreement, all originals and copies of any such work product remaining in the possession of Consultant
shall be delivered to the City.
9. BOOKS AND RECORDS. The Consultant agrees to maintain books, records, and documents which
sufficiently and properly reflect all direct and indirect costs related to the performance of the Work and
maintain such accounting procedures and practices as may be deemed necessary by the City to assure
proper accounting of all funds paid pursuant to this Agreement. These records shall be subject, at all
reasonable times, to inspection, review or audit by the City, its authorized representative, the State
Auditor, or other governmental officials authorized by law to monitor this Agreement.
10. INDEPENDENT CONSULTANT. The Parties intend that the Consultant shall be an independent
Consultant and that the Consultant has the ability to control and direct the performance and details of its
work, the City being interested only in the results obtained under this Agreement. The City shall be
neither liable nor obligated to pay Consultant sick leave, vacation pay or any other benefit of
employment, nor to pay any social security or other tax which may arise as an incident of employment.
Consultant shall take all necessary precautions and shall be responsible for the safety of its employees,
agents, and sub -consultants in the performance of the contract work and shall utilize all protection
necessary for that purpose. All work shall be done at Consultant's own risk, and Consultant shall be
responsible for any loss of or damage to materials, tools, or other articles used or held for use in
connection with the work. The Consultant shall pay all income and other taxes due except as
specifically provided in Section 4. Industrial or any other insurance that is purchased for the benefit of
the City, regardless of whether such may provide a secondary or incidental benefit to the Consultant,
shall not be deemed to convert this Agreement to an employment contract. If the Consultant is a sole
proprietorship or if this Agreement is with an individual, the Consultant agrees to notify the City and
complete any required form if the Consultant retired under a State of Washington retirement system and
agrees to indemnify any losses the City may sustain through the Consultant's failure to do so.
11. CONFLICT OF INTEREST. It is recognized that Consultant may or will be performing professional
services during the Term for other parties; however, such performance of other services shall not
conflict with or interfere with Consultant's ability to perform the Services. Consultant agrees to resolve
any such conflicts of interest in favor of the City. Consultant confirms that Consultant does not have a
business interest or a close family relationship with any City officer or employee who was, is, or will be
involved in the Consultant's selection, negotiation, drafting, signing, administration, or evaluating the
Consultant's performance.
12. EQUAL OPPORTUNITY EMPLOYER. In all services, programs, activities, hiring, and
employment made possible by or resulting from this Agreement or any subcontract, there shall be no
discrimination by Consultant or its sub -consultants of any level, or any of those entities' employees,
agents, sub -consultants, or representatives against any person because of sex, age (except minimum age
and retirement provisions), race, color, religion, creed, national origin, marital status, or the presence of
any disability, including sensory, mental or physical handicaps, unless based upon a bona fide
occupational qualification in relationship to hiring and employment. This requirement shall apply, but
not be limited to the following: employment, advertising, layoff or termination, rates of pay or other
forms of compensation, and selection for training, including apprenticeship. Consultant shall comply
with and shall not violate any of the terms of Chapter 49.60 RCW, Title VI of the Civil Rights Act of
1964, the Americans With Disabilities Act, Section 504 of the Rehabilitation Act of 1973, 49 CFR Part
21, 21.5 and 26, or any other applicable federal, state, or local law or regulation regarding non-
discrimination.
13. GENERAL PROVISIONS.
13.1 Interpretation and Modification. This Agreement, together with any attached Exhibits, contains
all of the agreements of the Parties with respect to any matter covered or mentioned in this Agreement
and no prior statements or agreements, whether oral or written, shall be effective for any purpose.
Should any language in any Exhibits to this Agreement conflict with any language in this Agreement,
the terms of this Agreement shall prevail. The respective captions of the Sections of this Agreement are
inserted for convenience of reference only and shall not be deemed to modify or otherwise affect any of
the provisions of this Agreement. Any provision of this Agreement that is declared invalid, inoperative,
null and void, or illegal shall in no way affect or invalidate any other provision hereof and such other
provisions shall remain in full force and effect. Any act done by either Party prior to the effective date
of the Agreement that is consistent with the authority of the Agreement and compliant with the terms of
the Agreement, is hereby ratified as having been performed under the Agreement. No provision of this
Agreement, including this provision, may be amended, waived, or modified except by written
agreement signed by duly authorized representatives of the Parties.
13.2 Assignment and Beneficiaries. Neither the Consultant nor the City shall have the right to transfer
or assign, in whole or in part, any or all of its obligations and rights hereunder without the prior written
consent of the other Party. If the non -assigning party gives its consent to any assignment, the terms of
this Agreement shall continue in full force and effect and no further assignment shall be made without
additional written consent. Subject to the foregoing, the rights and obligations of the Parties shall inure
to the benefit of and be binding upon their respective successors in interest, heirs and assigns. This
Agreement is made and entered into for the sole protection and benefit of the Parties hereto. No other
person or entity shall have any right of action or interest in this Agreement based on any provision set
forth herein.
13.3 Compliance with Laws. The Consultant shall comply with and perform the Services in
accordance with all applicable federal, state, local, and city laws including, without limitation, all City
codes, ordinances, resolutions, regulations, rules, standards and policies, as now existing or hereafter
amended, adopted, or made effective. If a violation of the City's Ethics Resolution No. 91-54, as
amended, occurs as a result of the formation or performance of this Agreement, this Agreement may be
rendered null and void, at the City's option.
13.4 Enforcement. Time is of the essence of this Agreement and each and all of its provisions in
which performance is a factor. Adherence to completion dates set forth in the description of the
Services is essential to the Consultant's performance of this Agreement. Any notices required to be
given by the Parties shall be delivered at the addresses set forth at the beginning of this Agreement. Any
notices may be delivered personally to the addressee of the notice or may be deposited in the United
States mail, postage prepaid, to the address set forth above. Any notice so posted in the United States
mail shall be deemed received three (3) days after the date of mailing. Any remedies provided for under
the terms of this Agreement are not intended to be exclusive, but shall be cumulative with all other
remedies available to the City at law, in equity or by statute. The failure of the City to insist upon strict
performance of any of the covenants and agreements contained in this Agreement, or to exercise any
option conferred by this Agreement in one or more instances shall not be construed to be a waiver or
relinquishment of those covenants, agreements or options, and the same shall be and remain in full
force and effect. Failure or delay of the City to declare any breach or default immediately upon
occurrence shall not waive such breach or default. Failure of the City to declare one breach or default
does not act as a waiver of the City's right to declare another breach or default. This Agreement shall be
made in, governed by, and interpreted in accordance with the laws of the State of Washington. If the
Parties are unable to settle any dispute, difference or claim arising from this Agreement, the exclusive
means of resolving that dispute, difference, or claim, shall be by filing suit under the venue, rules and
jurisdiction of the Thurston County Superior Court, Thurston County, Washington, unless the parties
agree in writing to an alternative process. If the Thurston County Superior Court does not have
jurisdiction over such a suit, then suit may be filed in any other appropriate court in Thurston County,
Washington. Each party consents to the personal jurisdiction of the state and federal courts in Thurston
County, Washington and waives any objection that such courts are an inconvenient forum. If either
Party brings any claim or lawsuit arising from this Agreement, each Party shall pay all its legal costs
and attorney's fees and expenses incurred in defending or bringing such claim or lawsuit, including all
appeals, in addition to any other recovery or award provided by law; provided, however, however
nothing in this paragraph shall be construed to limit the Parties' rights to indemnification under Section
5 of this Agreement.
13.5 Execution. Each individual executing this Agreement on behalf of the City and Consultant
represents and warrants that such individual is duly authorized to execute and deliver this Agreement.
This Agreement may be executed in any number of counterparts, each of which shall be deemed an
original and with the same effect as if all Parties hereto had signed the same document. All such
counterparts shall be construed together and shall constitute one instrument, but in making proof hereof
it shall only be necessary to produce one such counterpart. The signature and acknowledgment pages
from such counterparts may be assembled together to form a single instrument comprised of all pages
of this Agreement and a complete set of all signature and acknowledgment pages. The date upon which
the last of all of the Parties have executed a counterpart of this Agreement shall be the "date of mutual
execution" hereof.
[Signature page follows]
IN WITNESS, the Parties execute this Agreement below, effective the last date written below.
CITY OF YELM
ATTEST:
SKILLINGS, INC.
By:
Printed Name:
Title: President
Date:
Thomas E. Skillings, P.E.
STATE OF WASHINGTON)
) ss.
COUNTY OF THURSTON )
On this day personally appeared before me, Thomas E. Skillings, P.E., to me known to be the
individual described in and who executed the foregoing instrument, and on oath swore that
he/she/they executed the foregoing instrument as his free and voluntary act and deed for the
uses and purposes therein mentioned.
GIVEN my hand and official seal this day of , 20
(typed/printed name of notary)
Notary Public in and for the State of Washington.
My commission expires , 20
JW Foster, Mayor
City Clerk, Lori Lucas
DATE:
APPROVED AS TO FORM:
%sinature on flet
City Attorney, Brent Dille
SKILLINGS, INC.
By:
Printed Name:
Title: President
Date:
Thomas E. Skillings, P.E.
STATE OF WASHINGTON)
) ss.
COUNTY OF THURSTON )
On this day personally appeared before me, Thomas E. Skillings, P.E., to me known to be the
individual described in and who executed the foregoing instrument, and on oath swore that
he/she/they executed the foregoing instrument as his free and voluntary act and deed for the
uses and purposes therein mentioned.
GIVEN my hand and official seal this day of , 20
(typed/printed name of notary)
Notary Public in and for the State of Washington.
My commission expires , 20
EXHIBIT A
SCOPE OF WORK
Prepared for:
CITY OF YELM
WRF ACCESS ROAD AND SITE GRADING
June 8, 2021
Introduction
The City of Yelm (Client) proposes development of an access road off of Rhoton Road SE in Yelm,
Washington to the back side of the City's existing Water Reclamation Facility (WRF). Client has requested
that Skillings, Inc. (Skillings) develop full PS&E for design of the access road and site grading for future
amenities. Civil site design for future amenities will include stormwater treatment, a new prefabricated
restroom, two prefabricated shelters, potable water service connection, Reclaimed Water service, STEP
sewer connection, landscaping, security fencing, and environmental review. The access road will be
designed to accommodate construction access for proposed upgrades to the City's WRF. (See attached City
provided conceptual access road alignment.)
Project Assumptions:
• Client has completed a pre -submission conference with the City of Yelm Community Development
Department.
• Design will be completed based on the City of Yelm's Development Guideline Standards.
• The project site is located with the City's STEP sewer service area.
• The City did not request completion of a traffic Trip Generation forecast for the access road or
future amenities. Completion of traffic analysis is not included in this Scope or Work.
• The project site is located in an area with soils that are more preferred for habitat for the federally
listed Mazama Pocket Gopher. Client will complete survey for Mazama Pocket Gopher.
• The project area is within a mapped Critical Aquifer Recharge Area (CARA).
• Flood Insurance Rate Maps (FIRM) maps a portion of the project area within the 100 -year
floodplain for Yelm Creek. City has indicated that recent documentation of best available science
from FEMA indicates that the flood zone in this area should be removed from the FIRM. The City
anticipates that approval of construction in the area shown on the FIRM would be allowed based
on FEMA current findings.
Task 1 Project Management
Consultant will provide project management for the civil design services of this scope of work.
Task Description:
1. Prepare monthly Progress Reports and Invoices.
2. Provide project oversight and quality assurance.
3. Prepare for and attend bi-weekly progress meetings, via Teams video conference.
Deliverables:
• Bi -weekly meeting agenda and meeting minutes.
• Progress Report and Invoice
Skillings, Inc. Page 1 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
Task 2 Survey
Survey Assumptions:
• Available title records of the site are accurate, any deficiencies in title documents may require the
services of a title company, at the expense of the Client.
• Existing lot corners are in place, undisturbed and no encroachments exist along the lot lines. A
Record of Survey Map will not be required.
• Firm will have rights of entry to the site, as needed to complete the survey.
• The survey work will consist of mapping ground elevations to support 1 -foot contours, existing
gravel roads, abutting road frontage, substantial trees (greater than 6") and existing lot corners of
Thurston County Tax Parcels No 64300800304.
• Skillings will also provide topographic survey and identification of infrastructure within the City of
Yelm Water Reclamation Facility along the southwestern edge to facilitate connection of the access
road to the WRF.
• Utility locates will be required for service connection and to avoid conflicts with new infrastructure.
• Located utilities will be marked in the field and identified during topographic survey.
Task Description:
1. Research public / private survey and land title records for information necessary for boundary
determination.
2. Perform a field survey to locate survey control points.
3. Coordinate utility locates.
4. Verify lot corners are intact.
5. Topographic Survey of Thurston County Tax Parcels No's 64300800304, and City of Yelm Water
Reclamation Facility.
6. Prepare Topographic Survey Map.
7. QA/QC survey data and maps.
Deliverables:
• Existing lot corners flagged in the field.
• Topographic Survey map.
Task 3 Site Plan (30% Design)
Assumptions:
• The Site Plan acts as the Schematic Design of the proposed access road and layout of future
amenities (site grading, preliminary utility corridors, parking, restroom facility, and location of STEP
system tank, potable water, and reclaimed water service lines.
• The Site Plan will be used to develop the overall site layout with Client and for preliminary review
by the City of Yelm.
Task Description:
1. Develop preliminary site plan.
2. Review Site Plan with Client.
3. Incorporate Client comments, finalize Site Plan.
Deliverables:
• Preliminary Site Plan
• Final Site Plan
Skillings, Inc. Page 2 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
Task 4 SEPA Checklist
Assumptions:
• The City of Yelm requires compliance with the State Environmental Policy Act (SEPA) based on the
pre -submittal meeting notes.
• Consultant will complete a SEPA Checklist for review by the City of Yelm.
• SEPA Checklist will be completed after completion of Task 3 (Site Plan).
Task Description:
1. Conduct site visit.
2. Prepare SEPA Checklist.
Deliverables:
• SEPA Checklist
Task 5 Water and Sewer Utility Design
Assumptions:
• City of Yelm pre -submission conference notes indicated that a STEP (Septic Tank Effluent Pump)
sewer system would be required for sewer design.
• City desires to use reclaimed water for fire hydrant and public restroom.
• There is an existing 8 -inch water main located on the west side of Rhoton Road.
• There is an existing 4 -inch sewer main located on the east side of Rhoton Road.
• City of Yelm requires installation of a back-flow prevention device on all commercial buildings.
• Client does not propose food preparation as part of future amenities. Design for a grease
interceptor is not included in this scope of work.
Task Description:
1. Design potable water connection to City water main. Design extension of potable water service to
new restroom facility.
2. Design reclaimed water connection to City reclaimed water system. Design extension of reclaimed
water service to new restroom facility.
3. Design FDC, hydrant and PIV system.
4. Size Septic tank and Effluent pump, design connection to City sewer main.
5. Prepare design for back-flow prevention device.
6. Prepare water and sewer utility plan sheets with notes and details for the water and sewer
connections.
Deliverables:
• Potable water connection design.
• Reclaimed water connection design.
• FDC, hydrant, and PIV system design.
• STEP system design and connection
• Back-flow prevention devise design.
• Water, sewer, and reclaimed water utility plan sheets with notes and details for water connection,
reclaimed water connection, and sewer connection.
Skillings, Inc. Page 3 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
Task 6 Drainage Design
Assumptions:
• City of Yelm has adopted Ecology Stormwater Manual (2019).
• All stormwater must be treated and infiltrated on-site.
• Due to potential high groundwater, geotechnical investigation will be completed to support
stormwater infiltration.
• Materials Testing and Consulting (MTC) will complete geotechnical investigation as a subconsultant
to Skillings. Geotechnical evaluation will establish depth to groundwater and infiltration design
rate.
Tasks:
1. Coordinate geotechnical investigation.
2. Prepare narrative of proposed project, which explains the applicability of the minimum
requirements and how the project will comply with the applicable stormwater minimum
requirements.
3. Prepare design calculations for proposed stormwater Best Management Practices (BMPs) related to
sizing BMPs or conveyance systems, analyses of site or downstream conditions, etc.
4. Provide written justification for the proposed BMPs.
5. Complete and address all Minimum Requirements.
6. Prepare drawings of proposed drainage facilities and specifications sufficient for construction.
7. Prepare Construction Stormwater Pollution Prevention Plan (C-SWPPP).
Deliverables:
• Geotechnical Report
• Drainage Written Summary
• Drainage Plan
• C-SWPPP
• Plan and detail sheets showing drainage facilities and BMPs selected for construction.
Task 7 Prefabricated Building Design and Coordination
The City desires to install a permanent restroom facility that consist of two unisex restrooms. The City also
desires to install two prefabricated shelters as part of the project.
Assumptions:
• There is reclaimed water in the street.
• The new restroom facility will hook up to the City's STEP system.
• The facility will be designed to similar to the PRC (Public Restroom Company) restrooms provided at
Cochrane Park.
• Shelters design will utilize prefabricated structures.
Work Tasks Description
1. Meet with City to review project needs, location, and size of new picnic shelters.
2. Meet with City Community Development on requirements for the building permit.
Skillings, Inc. Page 4 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
3. Prepare schematic design of restrooms and shelters and submit to the City for review. Make
revisions per City comments.
4. Coordinate with PRC.
5. Research prefabricated shelter designs.
6. Present catalog cuts of shelters for City review, comment, and approval.
7. Prepare conceptual elevation drawings for City review and approval.
8. Prepare preliminary site plan for restroom and shelters.
9. Prepare grading and drainage plan.
10. Update the Quantity Takeoff Notebook.
11. Prepare Engineer's Estimate of Probable Cost to Construct the restroom facilities and shelters.
12. Prepare preliminary specifications.
13. Update the Design Documentation Notebook.
14. Prepare Draft building permit application.
Deliverables:
• Schematic design of restroom facility
• Schematic design of shelters
• Preliminary design for restroom and shelters site plan
• Grading and drainage plan
• Catalog cuts of fixtures and equipment
• Preliminary building elevations
• Preliminary Engineer's Estimate of Probable Cost to Construct
• Preliminary Specifications
Task 8 60% PS&E
Assumptions:
• 60% design will be based on approval of the Site Plan from Client.
• 60% PS&E will incorporate design aspects for utilities design and connection, drainage design, and
prefabricated structures.
Task Description:
1. Prepare the following design drawings:
a. Cover sheet
b. Clearing, demolition, and site erosion control plan (Stormwater Pollution Prevention Plan (SWPPP))
c. Erosion control details and notes
d. Site grading, paving and drainage plan.
e. Paving and Drainage details and notes
f. Site utility plan for sewer and water (plan will also show route for electrical conduits from nearby
transformer to proposed building)
g. Water details and notes (including vault for PIV, FDC and double check assembly).
h. Sewer details and notes
i. Striping and signage plan
j. Striping and signage details and notes
k. Security fencing plan and details
2. Submit plans to Client for review.
3. Prepare preliminary project specifications.
Skillings, Inc. Page 5 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
4. Prepare preliminary Engineer's Estimate of Probable Cost to Construct.
5. Prepare Design Documentation Notebook
6. Prepare Quantities Notebook.
Deliverables:
• Design Development Drawings (60%)
• Preliminary Project Specifications
• Preliminary Engineer's Estimate of Probable Cost to Construct
Task 9 Electrical Design
Development of site amenities will require electrical engineering design to provide power service, irrigation
control, service meter, and illumination.
Assumptions:
Electrical engineering design will be provided by Hultz BHU (Hultz) as a subconsultant to Skillings.
Tasks:
1. Provide subconsultant management of Hultz.
Task 10 90% PS&E
Assumptions:
• Preliminary Construction Documents will be based on Client review comments on the 60%
submittal.
Task Description:
1. Revise the following design drawings:
• Cover sheet
• Clearing, demolition and site erosion control plan (Stormwater Pollution Prevention Plan
(SWPPP))
• Erosion control details and notes
• site grading, paving and drainage plan
• Paving and Drainage details and notes
• Site utility plan for sewer and water (plan will also show route for electrical conduits from
nearby transformer to proposed building)
• Water details and notes (including vault for PIV, FDC and double check assembly).
• Sewer details and notes
• Striping and signage plan
• Striping and signage details and notes
2. Submit plans to Client for review.
3. Update Engineer's Estimate of Probable Cost to Construct.
4. Update Design Documentation Notebook
5. Update Quantities Notebook.
6. Revise project specification.
Skillings, Inc. Page 6 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
Deliverables
• 90% Plans
• 90% Specifications
• 90% Engineer's Estimate of Probable Cost to Construct
Task 11100% PS&E
Assumptions:
• Client has reviewed 90% design and provided final comment.
• Client will provide front end documentation for specification package.
Task Description:
1. Revise the following Design Development drawings:
• Cover sheet
• Clearing, demolition and site erosion control plan (Stormwater Pollution Prevention Plan
(SWPPP))
• Erosion control details and notes
• Final site grading, paving and drainage plan
• Paving and Drainage details and notes
• Site utility plan for sewer and water (plan will also show route for electrical conduits from
nearby transformer to proposed building)
• Water details and notes (including vault for PIV, FDC and double check assembly).
• Sewer details and notes
• Striping and signage plan
• Striping and signage details and notes
2. Submit plans to Client for review.
3. Finalize Engineer's Estimate of Probable Cost to Construct.
4. Prepare final specification package.
5. Finalize Design Documentation notebook
6. Finalize Quantities Notebook.
Deliverables
• 100% Plans
• 100% Specifications
• 100% Engineer's Estimate of Probable Cost to Construct
• Design Documentation Notebook
• Quantities Notebook.
Task 12 Bid Advertisement and Award Support
The City will advertise the project for competitive bids for construction. Skillings will provide the following
support to the City during the Bid Advertisement and Award.
Assumptions:
• City will advertise the project.
• City will host the bid opening.
• Skillings will provide assistance to the City through bidding and award
Skillings, Inc. Page 7 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
Tasks:
1. Prepare draft advertisement for the project.
2. Prepare Advertisement for Bids.
3. Provide Bid Documents and addenda to Builders Exchange for distribution.
4. Responding to bidder's questions or requests for information (RFI).
5. Prepare addenda to advertisement up to the level of effort shown in fee estimate.
6. Attend Bid Opening.
7. Prepare and review Bid Tabulation.
8. Prepare draft Notice of Award.
Deliverables:
• Draft Advertisement
• Final Advertisement
• RFI response
• Bid addenda
• Bid Tabulation
• Draft Notice of Award
END SCOPE OF WORK
Skillings, Inc. Page 8 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
EXHIBIT B-1
CONSULTANT COST COMPUTATION — MAN-HOURS
PROJECT NO. 21085
CITY OF YELM
Z
5
WRIF ACCESS ROAD AND SITE GRADING
0
C
Fiii
TASK #
TASK DESCRIPTION
I
PROJECT MANAGEMENT
Prepare monthly Progress Reports and
1
2
4
8
Prepare for and attend bi-weekly progress
3
meetings, via Teams video conference.
12
12
12
4
2
SURVEY
records for information necessary for
1
boundary determination.
2
2
control poi nts.
3
Coordinate utility locates.
4
Topographic Survey ofThurston County tas
5
Parcels Nos 64300800304. and City oifYelm
4
24
Water Reclamation Facility.
6
Prepare Topographic Survey Map.
2
4
2
3
SITE PLAN (30% DESIGN)
1
Conduct site visit.
4
S
WATER AND SEWER UTILITY DESIGN
Design potable water connection to City
water service to new restroom facility.
Design reclaimed water connection to City
reclaimed water system. Design extension of
2
reclaimed water service to new restroom
2
8
3
Design FDC, hydrant and PIV system.
4
16
Size Septic tank and Effluent pump, design
4
4
24
connection to City sewer main.
Prepare design for back-flow prevention
5
1
4
Prepare water and sewer urility plan sheets
6
with notes and details for the water and
4
24
16
Skillings, Inc. Page oof14 Project No. P21085
City ofYe|m
vvnFAccess Road and Site Grading
PROJECT NO. 21085
WRIF ACCESS ROAD AND SITE GRADING
0
TASK #
TASK DESCRIPTION
6
DRAINAGE DESIGN
1
Coordinate geotechnical investigation.
4
Prepare narrative of proposed project, which
explains the applicability of the minimum
2
requirements and how the project will
2
comply with the applicable stormwater
Prepare design calculations for proposed
stormwater Best Management Practices
3
(BMPs) related to sizing BMPs or conveyance
4
24
systems, analyses ofsite or downstream
conditions, etc.
Provide written justification for the proposed
4
4
Complete and address all Minimum
5
4
32
Prevention Plan (C-SWPPP).
PREFABRICATED BUILDING DESIGN AND
7
COORDINATION
Meetwith City to review project needs,
1
locations, and size of new picnic shelters.
1
Meet with City Community Development on
2
requirements for the building permit.
1
Prepare schematic design of restrooms and
shelters and submit to the City for review.
2
8
Make revisions per City comments.
5
Research prefabricated shelter designs.
8
Present catalog custs of shelters for City
6
review, comment, and approval.
1
Prepare conceptual elevations drawings for
7
City review and approval.
2
Prepare preliminary site plan for restroom
8
.and shelters.
12
9
ading and drainage plan.
8
24
10
Update the QuantityTakeoff Notebook.
4
Prepare Engineer's Estimate of Probable Cost
11
to Constructthe restroom facilities and
1
4
12
Prepare preliminary specifications.
4
4
13
Update the Design Documentation Notebook.
2
14
JPrepare Draft building permit application.
2
Skillings, Inc. Page noof14 Project No. P21085
City ofYe|m
vvnFAccess Road and Site Grading
PROJECT NO. 21085
CITY OF YELM
5
WRIF ACCESS ROAD AND SITE GRADING
0
11-11-5
z
C
n
TASK # TASK DESCRIPTION
a Cover Sheet
2
.Prevention Plan (SWPPP)).
c Erosion control details and notes.
2
4
4
d Site Grading, Paving, and Drainage Plan.
2
4
8
e Paving and Drainage Details and Notes.
1
2
4
Site Utility Plan for sewer and water (plan
f will also show route for electrical conduits
2
from nearby transformer to proposed
1
12
Details and Notes (including vault for
glWater
PIV, FDC, and double check assembly).
1
2
4
j Striping and Signage Details and Notes.
4
5
Prepare Design Documentation Notebook.
8
6
Prepare Quantities Notebook.
8
9
ELECTRICAL DESIGN
a Cover Sheet
1
Prevention Plan (SWPPP)).
c Erosion control details and notes.
1
d Site Grading, Paving, and Drainage Plan.
1
e Paving and Drainage Details and Notes.
Site Utility Plan for sewer and water (plan
f will also show route for electrical conduits
8
12
from nearby transformer to proposed
g Water Details and Notes (including vault for
1
2
h Sewer Details and Notes.
1
2
i Striping and Signage Plan.
2
2
Submit plans to Clientfor review.
1
3
Update Engineer's Estimate of Probable Cost
1
4
4
Update Design Documentation Notebook.
4
5
Update Quantities Notebook.
4
Skillings, Inc. Page uof14 Project No. P21085
City ofYe|m
vvnFAccess Road and Site Grading
PROJECT NO. 21085
CITY OF YELM
5
WRIF ACCESS ROAD AND SITE GRADING
0
11-11-5
Z
C
n
TASK # TASK DESCRIPTION
11
100% PS&E
a Cover Sheet
1
.Prevention Plan (SWPPP)).
c Erosion control details and notes.
2
2
d Final Site Grading, Paving, and Drainage
2
2
e Paving and Drainage Details and Notes.
2
2
Site Utility Plan for sewer and water (plan
f will also show route for electrical conduits
2
from nearby transformer to proposed
4
Details and Notes (including vault for
glWater
PIV, FDC, and double check assembly).
2
1
hISewer Details and Notes.
2
i Striping and Signage Plan.
2
2
Submit plans to Clientfor review.
1
3
Finalize Engineer's Estimate of Probable Cost
2
4
4
Prepare Final Specification Package.
2
4
5
Finalize Design Documentation Notebook.
2
2
12
BID ADVERTISEMENT AN D AWARD SUPPORT
1
Prepare draft advertisement for the project.
2
2
Prepare Advertisement for Bids.
2
Provide Bid Documents and addenda to
3
2
Builders Exchange for distribution.
Responding to bidder's questions or requests
4
for information (RFI).
8
Prepare addenda to advertisement up to the
5
ilevel of effort shown in fee estimate.
8
7
Prepare and review Bid Tabulation.
1
2
HOURS PER DISCIPLINE
1 10
1 51
123
1 401
6
28
101
12
12
Skillings, Inc. Page zzof14 Project No. P21085
City ofYe|m
vvnFAccess Road and Site Grading
EXHIBIT B-2
CONSULTANT COST COMPUTATION — SUMMARY
.....................................................................................
.....................................................................................
:: NEGOTIATEO HI3UR11' RATS{NNR)::::::::::::::::::::::::::::::::::::::::::::::::
Classification
Man Hours
X
Rate
= Cost
PRINCIPAL -IN -CHARGE
10
x
$264.36
= $2,643.56
SENIOR PROJECT MANAGER
51
X
$255.12
= $13,011.34
PROJECT ENGINEER
123
X
$171.20
= $21,057.83
ENGINEER
401
x
$144.35
= $57,883.03
ENVIRONMENTAL MANAGER
6
X
$151.06
= $906.36
STAFF SCIENTIST
28
X
$80.57
= $2,255.84
TECHNICIAN
101
x
$140.99
= $14,239.97
SURVEYMANAGER
12
X
$203.09
= $2,437.11
SURVEY PARTY CHIEF
12
x
$137.63
= $1,651.59
SURVEYOR
4
X
$137.63
= $550.53
1 MAN SURVEYCREW
24
x
$137.63
= $3,303.19
SURVEYDRAFTER
24
X
$80.57
= $1,933.57
PROJECT ADMINISTRATOR
8
X
$151.06
= $1,208.48
Total Hours=
804
Total NHR= "m
.....................................................................................
.....................................................................................
REtIVIBURSA6LES::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::.
Mileage
200
X
$0.560
= $112.00
Miscellaneous Expenses
$400.00
X
10%
_ $440.00
Total Expenses=
.....................................................................................
SUBCONSULTANT:COST.15ee: Exhibit E�:::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::
........................................................
:
Geotechnical
$8,000.00
X
15%
_ $9,200.00
Electrica I Subconsultant
$6,500.00
X
10%
_ $7,150.00
Total Subconsultants=
.....................................................................................
.....................................................................................
SUa-TOTAL (NHR:+:REIMBU3t8AK-ES:+:SUBCONSULTANTS):::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::
Sub Total
.....................................................................................
IF/IANAGEM£NT3tESERV£:FUN:D::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::::
.....................................................................................
SUBTOTAL=
$139,984.42
x
= MRF=
.....................................................................................
.....................................................................................
::GR1kND TC►TAL::::::::::..........................
:
GRANDTOTAL
= 1 $139,984
Skillings, Inc. Page 13 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
EXHIBIT B-3
CONSULTANT COST COMPUTATION — EXPENSES
Item
Description
Basis
Quantity
Rate
Total
1
Telephone
Month
$0.00
2
Auto Rental
Each
$0.00
3
Lodging
Day
$0.00
4
Per Diem -Meal
Day
$0.00
5
Photocopies - Blk & White
Each
$0.10
$0.00
6
Photocopies - Color
Each
$0.35
$0.00
7
Half Sized Prints
Each
$0.50
$0.00
8
Full Sized Prints
Each
$6.00
$0.00-
9
Postage
Month
$0.00
10
Shipping
Month
$0.00
11
FAXs
Each
$0.00
12
Miscellaneous Project Costs
Month
1
$200.00
$200.00
13
Miscellaneous Survey Costs
Estimated
1
$200.00
$200.00
14
Traffic Control
Estimated
$0.00
Total Miscellaneous Expenses
$400.00
Mileage
Per Mile
200
0.560
$112.00
Total Expenses 1
$512.00
Assumptions
1
Telephone
Estimated
2
Auto Rental
Estimated trips
3
Mileage
Estimated miles
4
Lodging
5
Per Diem -Meal
6
Photocopies - Blk & White
Estimated
7
Photocopies - Colored
Estimated
8
Half Sized Prints
9
Full Sized Prints
10
Postage
Estimated
11
Shipping
Estimated
12
FAXs
Estimated
13
Miscellaneous Project Costs
Estimated
14
Miscellaneous Survey Costs
Estimated
15
Purchase Order
Estimated
Prepared by: Patrick E. Skillings, PMP
June 8, 2021
Skillings, Inc. Page 14 of 14 Project No. P21085
City of Yelm
WRF Access Road and Site Grading
EXHIBIT C
CERTIFICATE OF INSURANCE
/ I
��Pplm>~�vo�dt r(�/n. GP4,!r+v (/r u�uwtad(w" ,a���i r��F�ro �lxYlYlfEb!p x,�xrr XG//r7J l % v�mror
w EST. 1924
Meeting Date: June 22, 2021
CITY COUNCIL AGENDA SUMMARY
City of Yelm, Washington
AGENDA ITEM: 2021 BUDGET AMENDMENT ORDINANCE, NO. 1074
ACTION REQUESTED (OR) PROPOSED MOTION:
Move to old business for second reading at the next Council meeting or move to adopt the
2021 Budget Amendment, Ordinance No. 1074.
KEY FACTS AND INFORMATION SUMMARY:
Ending Fund Balance Requirement Achieved: The Ending Fund Balance reserve requirement to
maintain 15% of Operating Expenditures is achieved consistent with the City of Yelm's Financial
Policies after incorporating all the amendments as outline in this ordinance and related
documents. The 2021 Ending Fund Balance exceeds the 15% of Operating Expenditure policy
and the 2022 Ending Fund Balance is less than the 15% of Operating Expenditure policy,
however the two balance out over the course of the biennium.
Lodging Tax: The total amount of funds being allocated from the Lodging Tax fund for 2021 is
$45,600, which includes $25,600 to be made available for grants to Lodging Tax fund applicants
and $20,000 of unspent funds carried forward from previously allocated funds for the
wayfinding sign project which is still in progress and will direct visitors to key sites in the City,
such as parks, trails, the library and historic areas.
Since the inception of the Lodging Tax Advisory Committee re-established by Mayor Foster and
the City Council, the committee has been intentional about saving 20% of the projected
revenue to continue to build up reserves for a potential significant project or investment to be
determined in the future. They have consistently awarded the remainder of the annual lodging
tax revenue as grant awards to eligible applicants. The annual Lodging Tax revenue is
approximately $16,000. 20% is $3,200 for a total potential award up to $25,600 to account for
2020 and 2021, since no funds were awarded in 2020 due to the pandemic.
1I Page
Personnel:
Five retirements are anticipated in the 21-22 Biennium, including two Department Directors
and three Police Officers. This budget amendment includes front -loading the hiring of an
additional lateral Police Officer position from August to December 2021 (5 months) to maintain
levels of service for public safety as retirements start to occur.
In anticipation of the August 2021 retirement of Grant Beck, who serves as our Community
Development Director and IT Director, the City of Yelm evaluated and implemented
organizational changes that would fill the gap from Grant's anticipated departure while also
integrating and aligning the operations and departments to increase operational efficiency for
all of our employees and customers in a manner consistent with our organizational values and
our culture of continuous improvement. The overall impact to the General Fund is estimated to
be $30,000 cost savings for the 2021-2022 biennium.
As a result of the ongoing analysis of Department Directors and the conversations they have
been having with employees, we have created three departments focused on: public service
operations, internal services, and external services. To better integrate our confidential systems
and access requirements of information technology, the IT Department has been combined
with Human Resources to form a new Administrative Services Department, which will be led by
Lori Lucas.
To better serve businesses applying for permits and integrate the planning and construction of
essential infrastructure, the Community Development Department has been combined with the
Public Works Department to form a new Public Services Department, which will be led by Cody
Colt. A Planning and Building Manager position has been established in lieu of Grant Beck's
previous position to maintain a continuity of services and expertise.
To integrate the significantly improved processes for supporting City of Yelm advisory boards
and commissions, the responsibilities of the City Clerk have been transferred to Kathy
Linnemeyer who will now be providing support to the Mayor and Council for facilitating City
Council meetings as the City Clerk & Community Services Manager. The Communications
Specialist position has also been moved to this team as they continue to collectively provide
support to all departments and exceptional customer service to residents and businesses as our
most forward facing team. As part of the reorganization, this group will form the Community
Services Department, which will continue to be led by Kathy.
Fund 316: A projected shortfall in the Road and Street Construction, Fund (316), has been
identified and staff is working on resolving the issue.
Fund Transfers: Other changes considered 'housekeeping' include inter fund transfers that
should have been made in the Biennial Budget adopted by Council in December 2020.
21 Pag((
Next Steps: All of the proposed budget amendments are included in the attached documents. A
second round of Budget amendments will occur Aug -September, and then the mid -biennium
update in December, as required by the Washington State Revised Code of Washington.
ATTACHMENTS:
• 2021 Budget Amendment Ordinance No. 1074
• 2021 Budget Change Summary
Respectfully Submitted:
Stepha*Vu Dices
Stephanie Dice, Finance Director
31 Pag((^
ORDINANCE NO. 1074
AN ORDINANCE OF THE CITY OF YELM, WASHINGTON, AMENDING ORDINANCE
NO. 1071, AN ORDINANCE OF THE CITY OF YELM ADOPTING THE YELM
MUNICIPAL BUDGET AND SALARY SCHEDULE FOR THE 2021-2022 BIENNIUM
WHEREAS, the City of Yelm adopted the 2021-2022 Biennial Budget with Ordinance No.
1071 in accordance with RCW 35A.34.130; and
WHEREAS, the City Council finds that the proposed adjustments to the 2021-2022
Biennial Budget Amendment for 2021-2022 reflect revenues and expenditures that are
intended to ensure the provisions of vital municipal services at acceptable levels.
NOW, THEREFORE, BE IT ORDAINED BY THE CITY COUNCIL OF THE CITY OF YELM:
Section 1. The June 2021 Amendment of the 2021-2022 Biennial for 2021 as set forth in
Exhibit A is hereby adopted.
Section 2.This Ordinance shall be in force and take effect following passage, approval,
and publication.
Section 3: Ratify and Confirmation Clause — Any action taken pursuant to this ordinance
but prior to the effective date is hereby ratified and confirmed.
Adopted by the Yelm City Council at the regular meeting this 22nd day of June,
2021.
JW Foster, Mayor
ATTEST:
Kathy Linnemeyer, City Clerk
Fiscal Year 2021
Actual
492,116
Beg. Fund
FUND
Balance
General Fund
2,109,856
City of Yelm General Fund (001)
1,660,684
Total for General Fund
1,660,684
Utility Enterprise Funds
16,575,489
Stormwater Enterprise Fund (400)
323,904
Water Enterprise Fund (401)
6,151,304
Wastewater Enterprise Fund (412)
2,419,143
Total for Enterprise Funds
8,894,351
Special Purpose Funds
1,493,557
City Streets (101)
100,318
Arterial Streets (102)
56,100
Tourism Promotion (107)
324,763
YPD School Resource Officer (109)
67,413
Transportation Facilities (120)
(44,300)
Rail Line Fund (430)
439
Amended Amended
Amended Total Amended End. Fund
+ Revenues = Resources - Expenditures = Balance
7,156,875 8,817,559 7,661,376 1,156,182
7,156,875 8,817,559 7,661,376 1,156,182
431,746
755,650
492,116
263,534
3,058,477
9,209,781
7,099,925
2,109,856
4,190,915
6,610,058
4,169,325
2,440,733
7,681,138
16,575,489
11,761,366
4,814,123
490,601
590,919
542,112
48,807
86,540
142,640
120,000
22,640
16,808
341,571
45,600
295,971
20,000
87,413
20,000
67,413
91,820
47,520
8,486
39,034
Total Special Purpose Funds
504,734
705,829
1,210,563
736,198
474,365
ER&R Funds
-
-
IT Services ER&R (501)
364,827
417,419
782,246
525,955
256,291
Capital Equipment ER&R (502)
1,441,565
303,399
1,744,964
251,407
1,493,557
Total ER&R Funds
1,806,392
720,818
2,527,210
777,362
1,749,848
Capital Projects Funds
-
-
Municipal Building Projects (302)
374,184
362,441
736,625
530,000
206,625
Road & Street Construction (316)
115,486
1,376,007
1,491,493
2,066,000
(574,507)
Water Improvements (404)
3,101,153
4,608,504
7,709,657
5,235,493
2,474,164
Sewer/Reuse Improvements (413)
1,685,062
20,464,340
22,149,402
21,305,000
844,402
Total Capital Projects Funds
5,275,885
26,811,292
32,087,177
29,136,493
2,950,684
Debt Service Funds
-
-
LTGO Bond Fund (200)
(23,134)
517,912
494,778
493,778
1,000
Killion LID (202)
592,974
349,810
942,784
446,539
496,245
Sewer Debt Service (203)
105,952
173,275
279,227
173,026
106,201
Sewer Debt Service Reserve (204)
451,042
1,000
452,042
-
452,042
Water Revenue Bond Debt Service (405)
105,975
776,692
882,667
774,292
108,375
Water Debt Service Reserve (406)
982,501
1,383
983,884
-
983,884
Sewer Bond Debt Service and Reserve (415)
129,197
97,451
226,648
97,101
129,547
Total Debt Service Funds
2,344,507
1,917,523
4,262,030
1,984,736
2,277,294
Reserve Funds
-
-
Cumulative Reserve (104)
355,145
30,000
385,145
-
385,145
Park Reserve (105)
942
-
942
942
Deposits & Retainage (119)
8,507
-
8,507
-
8,507
Utility Consumer Deposits (402)
93,107
5,000
98,107
5,000
93,107
Total Reserve Funds
457,701
35,000
492,701
5,000
487,701
Totals
20,944,254
45,028,475
65,972,729
52,062,531
13,910,197
Fiscal Year 2022
Amended
Amended
Beg. Fund
Amended
Total
Amended
End. Fund
FUND
Balance +
Revenues =
Resources -
Expenditures =
Balance
General Fund
City of Yelm General Fund (001)
1,156,182
7,256,440
8,412,622
7,372,709
1,039,913
Total for General Fund
1,156,182
7,256,440
8,412,622
7,372,709
1,039,913
Utility Enterprise Funds
Stormwater Enterprise Fund (400)
263,534
436,053
699,587
296,775
402,812
Water Enterprise Fund (401)
2,109,856
3,088,622
5,198,478
2,944,140
2,254,338
Wastewater Enterprise Fund (412)
2,440,733
4,214,598
6,655,331
4,242,699
2,412,632
Total for Enterprise Funds
4,814,123
7,739,273
12,553,396
7,483,614
5,069,782
Special Purpose Funds
-
-
-
City Streets (101)
48,807
480,469
529,276
529,024
252
Arterial Streets (102)
22,640
84,085
106,725
110,000
(3,275)
Tourism Promotion (107)
295,971
16,808
312,779
80,000
232,779
YPD School Resource Officer (109)
67,413
87,000
154,413
87,000
67,413
Transportation Facilities (120)
39,034
91,820
130,854
8,486
122,368
Rail Line Fund (430)
499
60
559
-
559
Total Special Purpose Funds
474,365
760,242
1,234,607
814,510
420,097
ER&R Funds
-
-
-
IT Services ER&R (501)
256,291
417,419
673,710
471,797
201,913
Capital Equipment ER&R (502)
1,493,557
278,699
1,772,256
132,382
1,639,874
Total ER&R Funds
1,749,848
696,118
2,445,966
604,179
1,841,787
Capital Projects Funds
-
-
-
Municipal Building Projects (302)
206,625
328,546
535,171
220,000
315,171
Road & Street Construction (316)
(574,507)
1,643,763
1,069,256
751,000
318,256
Water Improvements (404)
2,474,164
408,504
2,882,668
2,292,500
590,168
Sewer/Reuse Improvements (413)
844,402
7,819,340
8,663,742
7,405,000
1,258,742
Total Capital Projects Funds
2,950,684
10,200,153
13,150,837
10,668,500
2,482,337
Debt Service Funds
-
-
-
LTGO Bond Fund (200)
1,000
465,495
466,495
463,995
2,500
Killion LID (202)
496,245
349,810
846,055
431,318
414,737
Sewer Debt Service (203)
106,201
173,275
279,476
168,026
111,450
Sewer Debt Service Reserve (204)
452,042
1,000
453,042
-
453,042
Water Revenue Bond Debt Service (405)
108,375
778,311
886,686
775,911
110,775
Water Debt Service Reserve (406)
983,884
1,383
985,267
-
985,267
Sewer Bond Debt Service and Reserve (415)
129,547
97,451
226,998
97,100
129,898
Total Debt Service Funds
2,277,294
1,866,725
4,144,019
1,936,350
2,207,669
Reserve Funds
-
-
-
Cumulative Reserve (104)
385,145
30,000
415,145
-
415,145
Park Reserve (105)
942
-
942
942
Deposits & Retainage (119)
8,507
-
8,507
-
8,507
Utility Consumer Deposits (402)
93,107
5,000
98,107
5,000
93,107
Total Reserve Funds
487,701
35,000
522,701
5,000
517,701
Totals
13,910,197
28,553,951
42,464,148
28,884,862
13,579,286
Line #
Fund
Rev/Expd
Amount
Item
Comments/Reference
1
General Fund
Expenditure
2,500
Increase to Civil Service salary and benefits
Requested by T. Stancil
Bounty for Families Contribution to Community
2
General Fund
Revenue
6,000
Garden
Requested by C. Colt
Parks overtime ($1,000) not included in original
budget, Community Garden ($6,000 -
3
General Fund
Expenditure
7,980
reimbursement rec'd above ) & Unifirst Service
($980) cost for service that City had expected to
cancel.
Requested by C. Colt
Transfer out to Limited Tax General Obligation
Bond Fund #200 to correct negative fund balance
4
General Fund
Expenditure
48,939
at beginning of 2021, 2020 revenues were $35,000
less than debt payments and reserves weren't
adequate to cover difference. In addition, one
interest payment was not budgeted for.
Requested by S. Dice
LTGO Bond
Transfer in from GF above to correct negative fund
5
Fund
Revenue
48,939
balance and cover interest payment
Requested by S. Dice
LTGO General
6
Expenditure
24,805
PSB Bond Interest Payment
Obligation
Requested by S. Dice
7
General Fund
Expenditure
3,000
Yelm museum utilities
Requested by S. Dice
8
General Fund
Expenditure
95,000
Pending retirement payouts for five employees
Requested by M. Grayum
9
General Fund
Expenditure
50,000
Police Officer over hire in advance of retirements
Requested by M. Grayum
Transfer out to Street Fund to cover overtime
10
General Fund
Expenditure
6,450
($750) and ($5,700) stand by payroll costs
Requested by C. Colt
Transfer in from General Fund to cover overtime
11
Street Fund
Revenue
6,450
($750) and ($5,700) stand by payroll costs
Requested by C. Colt
12
Street Fund
Expenditure
6,450
Overtime ($750) and ($5,700) stand by payroll costs
Requested by C. Colt
13
General Fund
Expenditure
(25,038)
Salary Savings from Re-organization
Requested by M. Grayum
14
IT Services
Expenditure
57,000
Carryover Fiber Optic Project
ER&R
Requested by G. Beck
Municipal Bldg
Port of Olympia $10K and National Fitness
15
Fund
Revenue
40,000
Campaign $30K
Requested by C. Colt
Municipal Bldg
16
Expenditure
40,000
National Fitness Campaign Sport Court
Fund
Requested by C. Colt
Water Reclamation Facility access road due to
Municipal Bldg
17
Expenditure
75,000
updated estimate of enginieering and construction
Fund
costs
Requested by C. Colt
Road & Street
Mosman right-of-way, last 2 temporary
18
Construction
Expenditure
45,000
Fund
construction easements
Requested by C. Colt
Road &Street
Grant reimbursements expected in 2020 but not
19
Construction
Revenue
764,525
received until 2021
Fund
Requested by S. Dice
Sewer Capital
Cochrane Park rapid infiltration system basin
20
Imprvt Fund
Expenditure
40,000
I
engineering based on Skillings estimate
Requested by C. Colt
Line #
Fund
Rev/Expd
Amount
Item
Comments/Reference
Sewer Capital
Cochrane Park rapid infiltration system basin
21
Imprvt Fund
Expenditure
20,000
engineering Inspection
Requested by C. Colt
Sewer Capital
Water reclamation facility Phase 2 Upgrades based
22
Imprvt Fund
Expenditure
90,000
on Parametrix
Requested by C. Colt
Sewer Utility
23
Fund
Expenditure
50,000
Step Tank Repairs
Requested by C. Colt
Expenditures for planned 2021 equipment
Capital
purchases that were not budgeted correctly.
24
Equipment
Expenditure
67,463
Increases include $10,438 Administration, $8,550
ER&R Fund
Water Fund, $32,000 Sewer Fund, $16,475 Parks.
Requested by C. Colt,
$20,000 of unspent funds carried forward from
previously allocated funds for the wayfinding sign
projects which is still in progress. The Committee
Tourism
allocated up to $25,600 in additional funds for
25
Promotion
Expenditure
(34,400)
2021, which may be dispersed among the
Fund
reduction
applicants. The total proposed budgeted amount
will be $45,600. Placeholder in the 2021 budget of
$80,000 will be reduced by $34,400 so that
budgeted expenditures equal $45,600
Requested by M. Grayum
Prothman Recruitment for Planning & Building
26
General Fund
Expenditure
12,300
Manager
Requested by C. Colt
Water Main Improvements - Engineering based on
27
Water Cap
Expenditure
48,475
Parametrix fee per Professional Service Agreement
Imprvt Fund
Requested by C. Colt
Housekeeping Items 2021
Transfer In was not included in adopted budet
Municipal Bid
1
Revenue
15,000
(related transfer out from General Fund was
Fund
included)
Requested by S.Dice
Transfer in should have been $30,000 but was
Cumulative
entered as $15,000 from the General Fund. This
2
Reserve
Revenue
15,000
entry will make the transfer out and transfer equal
amounts of $30,000
Requested by S.Dice
Transfer In was not included in adopted budet
Capital ER&R
3
Revenue
24,700
(related transfer out from Water Fund was
Fund
included)
Requested by S.Dice
Housekeeping Items 2022
Transfer In was not included in adopted budet
Municipal Bid
1
Revenue
15,000
(related transfer out from General Fund was
Fund
included)
Requested by S.Dice
Transfer in should have been $30,000 but was
Cumulative
entered as $15,000 from the General Fund. This
2
Reserve
Revenue
15,000
entry will make the transfer out and transfer equal
amounts of $30,000
Requested by S.Dice