Title 3
REVENUE AND FINANCE*

Chapters:

3.04    Delinquent LID Assessments

3.08    Form of LID Bonds

3.12    Public Improvements Contracts

3.13    Small Works Roster

3.14    Agency Fund Trust Account

3.16    Local Improvement Guaranty Fund

3.18    Grant Award Trust Fund

3.19    National Night Out Fund

3.20    Emergency Medical Services (EMS) Fund

3.21    Community Enhancement Project Fund

3.22    Swimming Pool Reserve Fund

3.23    Employee Benefits Reserve Fund

3.24    Sewer Equipment Reserve Fund

3.25    Victim’s Rights Coordination Fund

3.26    Sewer Line Reserve Fund

3.28    Sewer Reserve Fund

3.30    Public Works Trust Fund Loans – Sewer Fund

3.32    Sewer Plant Construction

3.34    Vehicle Replacement Fund

3.36    Street Department Fund

3.40    Bond Registration

3.44    Fire Truck and Equipment Fund

3.48    Municipal Building and Swimming Pool Fund

3.52    Urban Arterial Street Fund

3.56    Sales or Use Tax

3.57    Additional Sales and Use Tax

3.58    Natural or Manufactured Gas Use Tax

3.59    Additional Sales and Use Tax

3.60    Sanitation Equipment Reserve Fund

3.64    Riverside Sewer Relocation Fund

3.68    Advance Travel Expense Revolving Fund

3.70    Library Levy Fund

3.72    Leasehold Excise Tax

3.76    Lodging Excise Tax

3.78    Special Sewer Utility Tax

3.79    Delinquent Account Control

3.80    Rescue Unit One Fund

3.84    Cumulative Reserve Fund for Housing Rehabilitation

3.86    Real Estate Excise Tax

3.88    Repealed

3.92    Rental Rehabilitation Program Administration Fund

3.96    Investment of City Funds

3.104    Claims Clearing Fund

3.108    Payroll Clearing Fund

3.110    Drug Enforcement Fund

3.112    City Change Fund

3.116    Petty Cash Fund

3.120    Payment of City Obligations

*    For statutory provisions regarding reserve funds, see RCW 35.21.070 and 35.21.080.