Title 3
REVENUE AND FINANCE

Chapters:

3.04    Arterial Street Fund

3.06    Municipal Art Fund

3.08    CETA Title VI Fund

3.16    Federal Revenue Sharing Trust Fund

3.20    Park and Recreation Fund

3.24    Park Reserve Fund

3.32    Retail Sales and Use Tax

3.33    Retail Sales and Use Tax for Affordable Housing

3.34    Real Estate Excise Tax

3.35    Additional Real Estate Excise Tax

3.36    Urban Arterial Board Fund

3.37    Landfill Closure Reserve Fund

3.38    Hotel-Motel Tax Fund

3.39    Craig Road and State Route Highway 2 Impact Fee Fund

3.40    Admissions Tax

3.41    Capital Projects Construction Fund

3.42    Equipment Replacement Fund

3.43    Equipment Repair Fund

3.44    Disposal of City Surplus Property

3.46    Investment of Funds

3.48    Contingency Fund

3.51    Community Services Fund

3.52    Police Reserve Fund

3.56    Street Reserve Fund

3.58    Water Equipment Reserve Fund

3.59    Public Works Trust Fund

3.60    Finance Reserve Fund

3.61    Aquatic and Fitness Center Debt Service Fund, 2016

3.62    Aquatic and Fitness Center Construction Fund, 2016

3.64    Disbursal of City Funds

3.68    Litigation Fund

3.72    Water/Sewer Fund

3.73    Water and Sewer Revenue Bonds Reserve Fund

3.74    Advanced Water Reclamation Facility Construction Fund

3.75    Wastewater Debt Sinking Fund

3.76    Fire Equipment Reserve Fund

3.77    Water and Sewer Revenue Bonds USDA Reserve Fund

3.78    Short-Lived Asset Reserve Fund

3.84    Executive Reserve Fund

3.88    Criminal Justice Fund

3.92    Casino Impact Reserve Fund

3.93    Kalispel Impact Mitigation Fund

3.95    Transportation Benefit District Fund

3.97    ARPA Recovery Fund

3.100    Public Safety Building Safety Purchase and Remodel Fund, 2023

3.101    Public Safety Building Debt Service Fund, 2023