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The council adopted the City’s fiscal year 2026-27 operating and capital budget by a 6-1 vote, with one councilmember dissenting. It also approved separate health insurance and workers compensation financial plans unanimously, plus a $9,609,485 natural gas infrastructure and safety grant budget.
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The approved budget sets the City’s operating and capital spending plan for fiscal year 2026-27. Council also adjusted the Natural Gas Fund by $1,000,000 to cover higher resale costs and allocated $10,000 to the Gateway Trail. Separately, the council approved a commercial rezoning, revised sidewalk standards, and advanced a proposed closure of an unused 10-foot paper alley while preserving utility access.
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