Title 3
REVENUE AND FINANCE

Chapters:

3.08    Sales or Use Tax

3.12    Additional Sales or Use Tax

3.14    Natural Gas Use Tax

3.15    Collection Fees

3.16    Local Improvements—Special Assessments

3.18    Segregation of Local Improvement District Assessments

3.20    Foreclosing Sewer Assessment Liens

3.22    Registration of Bonds and Obligations

3.23    Payment of Claims, Demands and Vouchers

3.24    Sewer Cumulative Reserve Fund

3.28    Petty Cash Fund

3.32    Federal Revenue Sharing Fund

3.34    Emergency Medical Services Fund

3.36    Park and Recreational Fund

3.38    Arts Commission Fund

3.40    Emergency Aid Vehicle Fund

3.44    Sewer Planning and Engineering Fund

3.48    Unemployment Compensation Reserve Fund

3.52    Claims Fund

3.56    Payroll Fund

3.64    Real Estate Excise Tax (Capital Improvement Fund)

3.68    Equipment Rental Reserve Fund

3.72    Equipment Rental Fund

3.74    Employee Health Benefit Self Insurance Fund

3.76    Cumulative Reserve Fund for Self‑Insurance

3.80    Police Revolving Fund

3.84    Bidding Procedure

3.88    Parking Fund

3.90    Technology Replacement Fund

3.92    Advance Travel Revolving Fund

3.93    Finance Department Change Fund

3.94    Police Department Change Fund

3.96    Hearing Officer and Review Conference Fees

3.98    Rosehill Community Center Change Fund

3.100    School Impact Fees

3.105    Park Impact Mitigation

3.107    Transportation Impact Fees

3.109    Paine Field Emergency Reserve Fund

3.110    Municipal Facilities Maintenance Fund

3.112    LEOFF I Reserve Fund

3.114    Interfund Loans Program

3.116    Transportation Impact Fees Fund

3.117    Transportation Improvement Fund

3.118    Drug Enforcement Fund

3.120    CAMP Fund