Loading...
HomeMy WebLinkAbout2026/07/28 City Council Agenda Packet"We Care for Our Residents by Working Together to Build a Better Community for Today and Tomorrow." CITY OF ROHNERT PARK ROHNERT PARK CITY COUNCIL, ROHNERT PARK FINANCING AUTHORITY (RPFA), SUCCESSOR AGENCY TO THE COMMUNITY DEVELOPMENT COMMISSION REGULAR MEETING AGENDA Tuesday, July 28, 2026 Open Session: 5:30 pm MEETING LOCATION: CITY HALL - COUNCIL CHAMBER 130 Avram Avenue, Rohnert Park, California PUBLIC PARTICIPATION: The Rohnert Park City Council welcomes your attendance, interest and participation at its regular meetings scheduled on the second and fourth Tuesdays of each month at 5:30 p.m. in the Council Chambers. Members of the public may participate in the meeting by: 1. Attending in person at 130 Avram Avenue, Rohnert Park, CA 94928. 2. Participating via Zoom Webinar by either: a) Visiting www.zoom.com and entering Webinar ID: 899 1755 2866 and Passcode: 438222; or b) Dialing in at 1-669-900-6833 and entering the same Webinar ID and Passcode stated above. Members of the public may also observe the meeting on Cable Channel 27, by visiting www.rpcity.ca.gov/MeetingCentral and selecting the "In Progress" link, or on the City’s YouTube channel at www.youtube.com/CityofRohnertPark City Council/RPFA agendas and minutes may be viewed at the City's website: www.rpcity.ca.gov/MeetingCentral. PUBLIC COMMENTS: Public comments on matters not listed on this agenda, but which are within the subject matter jurisdiction of the Council may be provided at the scheduled time. Members of the public may address the City Council on any item listed on the agenda when the item is called for consideration. Public Comments are limited to three minutes per appearance, with time limits subject to modification by the City Council in accordance with the adopted City Council Protocols. In-Person Public Comments Speakers present at the meeting are encouraged to complete a Public Comment card and submit it to the Clerk at the time of the meeting. This helps ensure an orderly and efficient meeting, but it is not required. Live Remote Public Comments Zoom participants must use the following features to participate: “Raise your hand” or Press * 9 (dialing in) to request to speak when the agenda item you wish to speak to is called. If you no longer would like to speak, dial *9 to "lower your hand". Unmute or Press * 6 (dialing in) to speak when your username or the last 4-digits of your phone # are called. 1.CITY COUNCIL/RPFA/SUCCESSOR AGENCY JOINT REGULAR MEETING - CALL TO ORDER/ROLL CALL 2.READING OF THE LAND ACKNOWLEDGMENT City Staff does not provide technical support to users accessing the meeting by telephone/Zoom. Written Public Comments To submit a written comment to the Council, visit www.rpcity.ca.gov/PublicComment and follow the prompts. Comments are requested by 5:00 p.m. on the day before the meeting. Submitted comments must identify the Meeting Date and Agenda Item Number. Public comments received by the deadline will be distributed to City Council members and available on Meeting Central prior to the start of the meeting. Public comments received after the deadline will be distributed after the meeting. Written comments will not be read for the record but will became part of the agenda packet. All comments sent to the City Council are considered public records and subject to disclosure under the California Public Records Act. PUBLIC HEARINGS: Council/RPFA may discuss and/or take action on any or all of the items listed on this agenda. If you challenge decisions of the City Council or the Rohnert Park Financing Authority of the City of Rohnert Park in court, you may be limited to raising only those issues you or someone else raised at public hearing(s) described in this agenda, or in written correspondence delivered to the City of Rohnert Park at, or prior to the public hearing(s). RIGHT TO APPEAL: Judicial review of any city administrative decision pursuant to Code of Civil Procedure Section 1094.5 may be had only if a petition is filed with the court no later than the deadlines specified in Section 1094.6 of the California Code of Civil Procedure, which generally limits the time within which the decision may be challenged to the 90th day following the date that the decision becomes final. SIMULTANEOUS MEETING COMPENSATION DISCLOSURE (Government Code Section 54952.3): Members of the City Council receive no additional compensation as a result of convening this joint meeting of the City Council and the Rohnert Park Financing Authority. CITY COUNCIL GOALS: On May 14, 2024, the Rohnert Park City Council adopted the following multi-year broad goals (listed below in no particular order): 1. Long Term Financial Sustainability 2. Community Quality of Life 3. Planning and Infrastructure 4. Organization Well Being THE CITY OF ROHNERT PARK WANTS TO CONNECT WITH YOU! Our cross-departmental communications team works together on media relations, social media, internal and external communications, stakeholder relations, the City's website, branding, media, and communications support to the City as a whole. Please visit https://www.rpcity.org/546/Connect to stay connected and informed. (Adams_____Giudice______Rodriguez_____Elward_____Sanborn______) The City of Rohnert Park acknowledges Indigenous Peoples as the traditional stewards of the land. Let it be acknowledged that the City of Rohnert Park is located within the traditional homelands of the Federated Indians of Graton Rancheria, comprised of Coast Miwok and Southern Pomo peoples. 3.PLEDGE OF ALLEGIANCE 4.PRESENTATIONS 4.A Mayor's Recognition: Recognizing North Coast Builders Exchange for their Participation on the Rohnert Park Girl Scout Hut Renovation Project 4.B Mayor's Proclamation: Proclaiming August 2-8, 2026, as National Health Center Week in the City of Rohnert Park 5.DEPARTMENT HEAD BRIEFINGS 5.A Update regarding Completion of the Scout Hut Siding Renovation Project with North Bay Construction Corps by Public Works Director Mark Hendersen and General Services Operations Manager Amanda Bunte 6.PUBLIC COMMENTS 6.A Supplemental Materials Received at Meeting 7.CONSENT CALENDAR 7.A Acceptance of Reports from Finance Department (This is not a project under California Environmental Quality Act (CEQA)) 1. City Bills/Demands for Payment dated June 30, 2026 through July 13, 2026 2. Successor Agency- Cash Report as of June 30, 2026 3. City- Cash Report as of June 30, 2026 7.B Approve City Council/RPFA/Successor Agency Joint Regular Meeting Minutes for July 14, 2026 (This is not a project under California Environmental Quality Act (CEQA)) 7.C Receive Progress Report on the Status of the Emergency Public Safety Antenna and Radio System Replacement Project (CIP2412), as required by the Public Contract Code and by Item 4.A. Attachment Item 4.B. Attachment Item 5.A. Presentation Persons wishing to address the Council on any Consent Calendar item or on City business not listed on the Agenda may do so at this time. Each speaker will be allotted three minutes. Those wishing to address the Council should refer to Page 1 for information on how to submit public comments. Item 6.A. Attachment All items on the Consent Calendar will be considered together by one or more action(s) of the City Council and/or the Rohnert Park Financing Authority and Successor Agency to the Community Development Commission, whichever is applicable, unless any Council Member or anyone else interested in a consent calendar item has a question about the item. Council Motion/Vote: (Adams_____Giudice______Rodriguez_____Elward_____Sanborn______) Item 7.A.1. Attachment Item 7.A.2. Attachment Item 7.A.3. Attachment Item 7.B. Attachment Minute Order, authorize the continuation of Resolution 2024-051 until the emergency action is completed (This action is not a Project under the California Environmental Quality Act (CEQA)) 7.D By Minute Order, Authorize Councilmember Rodriguez Out of State Training and Travel Consistent with City Council Expense Reimbursement Policy (Resolution No. 2015-151) (This is not a project under California Environmental Quality Act (CEQA)) 8.REGULAR ITEMS 8.A Receive an Informational Update Regarding the City of Rohnert Park Brand Refresh and Domain Update to comply with AB 1637 (This is not a project under California Environmental Quality Act (CEQA)) Presented by Management I-PIO Analyst Desiree McGunagle, and Information Technology Manager Paul Cotter 8.B Conduct a Public Hearing, Consider Adopting Resolution 2026-061 Approving the Engineer ’s Report, Confirming Diagram and Assessment, Ordering Levy of Assessment for the “Landscape and Lighting District 2024-01 (Westside Residential)” Assessment District for Fiscal year 2026-2027, and Finding that the Actions authorized by this Resolution are Exempt under the California Environmental Quality Act (CEQA) Guidelines Section 15378(b)(4) (No Potential Significant Physical Impact on the Environment) and Section 15301 (existing facilities) Presented by Public Works Director Mark Hendersen, and Deputy City Engineer Justin Brandt 8.C Consider Adopting Resolution 2026-062 Submitting to the Electors a Ballot Measure Establishing a Transactions and Use Tax at the Rate of 0.5% (1/2 Cent); Approving the Related Ordinance; Requesting that the Sonoma County Board of Supervisors Consent to the Consolidation of such Ballot Measure on the Ballot for the City’s General Municipal Election which is Consolidated with the Statewide General Election to be held on Tuesday, November 3, 2026, and Direct the Sonoma County Registrar of Voters to Conduct the Election on the City’s Behalf and to provide Election Services; Directing the City Attorney to Prepare an Impartial Analysis; and Establishing Requirements Regarding Ballot Arguments (This is not a project under California Environmental Quality Act (CEQA)) Presented by City Manager Marcela Piedra and Finance Director Betsy Howze Item 7.C. Attachment Item 7.D. Attachment Item 8.A. Staff Report Item 8.A. Presentation Item 8.B. Staff Report Item 8.B. Presentation Item 8.C. Staff Report Item 8.C. Presentation Item 8.C. Supplemental Presentation Item 8.C. Supplemental Public Comment 9.COMMITTEE / LIAISON / OTHER REPORTS 10.COMMUNICATIONS 11.ADDING AGENDA ITEMS TO A FUTURE CITY COUNCIL MEETING AGENDA 12.ADJOURNMENT This time is set aside to allow Council members serving on Council committees or on regional boards, commissions or committees to present a verbal report on the activities of the respective boards, commissions or committees on which they serve. Per Government Code Section 53232.3(d), Councilmembers shall provide brief reports on meetings attended at the expense of the City. No action may be taken. Copies of communications have been provided to Council for review prior to this meeting. Council Members desiring to read or discuss any communication may do so at this time. No action may be taken except to place a particular item on a future agenda for Council consideration. At this time, any Councilmember may request the City Manager or Designee to add an item to a future agenda. Pursuant to the City Council Protocols, a concurrence of two Councilmembers is needed for the City Manager to consider the request. In accordance with the Brown Act, Councilmembers may only discuss whether the item should be placed on a subsequent agenda for deliberation and action. The City Manager will be responsible for placement of requested items on the agenda after evaluation of all requests for, among other things, time-sensitivity, and number of items already agendized. NOTE: Time shown for any particular matter on the agenda is an estimate only. Matters may be considered earlier or later than the time indicated depending on the pace at which the meeting proceeds. If you wish to speak on an item under discussion by the Council which appears on this agenda, please refer to page 1 for more details on submitting a public comment. Any item raised by a member of the public which is not on the agenda and may require Council action shall be automatically referred to staff for investigation and disposition which may include placing on a future agenda. If the item is deemed to be an emergency or the need to take action arose after posting of the agenda within the meaning of Government Code Section 54954.2(b), Council is entitled to discuss the matter to determine if it is an emergency item under said Government Code and may take action thereon. AGENDA REPORTS & DOCUMENTS: A paper copy of all staff reports and documents subject to disclosure that relate to each item of business referred to on the agenda are available for public inspection at City Hall, 130 Avram Avenue, Rohnert Park, California 94928. Electronic copies of all staff reports and documents subject to disclosure that relate to each item of business referred to on the agenda are available for public inspection on www.rpcity.ca.gov/MeetingCentral. Any writings or documents subject to disclosure that are provided to all, or a majority of all, of the members of the City Council regarding any item on this agenda after the agenda has been distributed will be made available for inspection at City Hall and on our website at the same time. Any writings or documents subject to disclosure that are provided to the City Council during the meeting will be made available for public inspection during meeting and on our website following the meeting. AMERICAN DISABILITY ACT ACCOMMODATION: Any member of the public who needs accommodations should email the ADA Coordinator at ADACoordinator@rpcity.org or by calling 707- 588-2224. Notification at least 72 hours prior to the meeting will enable the ADA Coordinator to use her best efforts to provide reasonable accommodations to provide as much accessibility as possible while also maintaining public safety in accordance with the City procedure for resolving reasonable accommodation requests. Information about reasonable accommodations is available on the City website at www.rpcity.ca.gov/ADACoordinator. CERTIFICATION OF POSTING OF AGENDA I, Sylvia Lopez Cuevas, for the City of Rohnert Park, declare that the foregoing agenda was posted and available for review on July 23, 2026, at Rohnert Park City Hall, 130 Avram Avenue, Rohnert Park, California 94928. The agenda is also available on the City web site at www.rpcity.ca.gov. Executed this 23 day of July, 2026 at Rohnert Park, California. Sylvia Lopez Cuevas Office of the City Clerk Honoring NORTH COAST BUILDERS EXCHANGE The Rohnert Park City Council proudly recognizes the North Coast Builders Exchange for its outstanding generosity, commitment to strengthening our community, and dedication to improving local spaces for future generations through the renovation of the Rohnert Park Girl Scout Hut. Working in partnership with the North Bay Construction Corps, local contractors, skilled trades professionals, and generous sponsors, the North Coast Builders Exchange helped transform the Girl Scout Hut into a safe, welcoming, and revitalized space where generations of Girl Scouts can continue to learn, lead, and serve. The involvement of the North Bay Construction Corps provided students with valuable hands-on experience working alongside industry professionals, demonstrating the importance of mentorship, workforce development, and community service. Their participation not only enhanced the renovation project but also inspired the next generation of skilled tradespeople. On behalf of the City Council and all Rohnert Park residents, we are deeply grateful for the dedication, craftsmanship, and collaborative spirit demonstrated throughout this project. Your investment of time, talent, and resources has created a lasting impact on our community and serves as an outstanding example of what can be accomplished through partnership and service. Signed this July 28th, 2026. CITY OF ROHNERT PARK Emily Sanborn, MAYOR THE CITY COUNCIL OF THE CITY OF ROHNERT PARK Proclaims A UGUST 2-8, 2026 AS N ATIONAL H EALTH C ENTER W EEK IN THE C ITY OF R OHNERT P ARK Whereas, National Health Center Week, with the 2026 theme "Building Innovative Care Where It Matters Most," recognizes Community Health Centers as a cornerstone of the nation's healthcare safety net for more than 60 years; and Whereas, eight Community Health Centers serve Sonoma County—Santa Rosa Community Health, Petaluma Health Center, Sonoma Valley Community Health Center, West County Health Centers, Alexander Valley Healthcare, Jewish Community Free Clinic, Alliance Medical Center, and Sonoma County Indian Health Project, Inc.— providing care to 23% of county residents and delivering 486,444 patient visits in 2025; and Whereas, these Community Health Centers provide comprehensive medical, dental, behavioral health, preventive, and supportive services throughout Sonoma County, including Rohnert Park, expanding access to care for children, families, older adults, people experiencing homelessness, and other underserved populations; and Whereas, Community Health Centers partner with the Sonoma County Department of Health Services, hospitals, schools, and community-based organizations to advance health equity, promote prevention, coordinate care, and improve community health; and Whereas, Community Health Centers continue to help patients navigate changes to Medi-Cal eligibility, enrollment, and coverage while maintaining access to essential healthcare services; and Whereas, physicians, dentists, nurses, behavioral health professionals, community health workers, support staff, volunteers, and governing board members work every day to improve the health and well-being of Sonoma County residents; and Whereas, Community Health Centers continue to expand access through innovations such as telehealth while connecting patients with food, housing, and other essential resources. Now, Therefore, be it Proclaimed that I, Emily Sanborn, as Mayor and on behalf of the City Council, do hereby proclaim July 2-8, 2026 as National Health Center Week in the City of Rohnert Park and recognizes the outstanding contributions of Santa Rosa Community Health, Petaluma Health Center, Sonoma Valley Community Health Center, West County Health Centers, Alexander Valley Healthcare, Jewish Community Free Clinic, Alliance Medical Center, Sonoma County Indian Health Project, Inc., and their regional consortium, Aliados Health, for expanding access to high-quality, affordable healthcare and improving the health and well-being of Rohnert Park and Sonoma County residents.. Duly and Regularly Proclaimed this 28th day of July 2026. CITY OF ROHNERT PARK Emily Sanborn, MAYOR Scout Hut Residing Project Overview Presented by Amanda Bunte, General Services Operations Manager & Mark Hendersen, Public Works Director Agenda 2 Preserving a Community Asset Why the Scout Hut? Project Selection About North Bay Construction Corps Community Partnerships Construction in Action 02 03 04 05 01 Special Thanks06 3 Preserving a Community Asset Why this Project? •The Girl Scout Hut at Alicia Park has served the Rohnert Park community for decades as a gathering place for youth programs and community organizations. •Over time, the exterior siding had deteriorated and was reaching the end of its useful life. Public Works began looking for an opportunity to rehabilitate the building while maximizing community value. •Rather than completing the project through a traditional construction contract, the City partnered with the North Bay Construction Corps to transform the project into both a facility improvement and a workforce development opportunity. 4 How was the Scout Hut Project Selected? •Public Works Staff applied to the NCBE/NBCC Boot Camp in March 2026 •This project was attractive for this years selection because it was multi-disciplinary, larger scale and could accommodate several students, could accommodate the construction schedule, provided a lasting benefit to the community •Project was selected April 29, 2026 5 About North Bay Construction Corps •North Bay Construction Corps (NBCC), a program of the North Coast Builders Exchange, is a three-month construction workforce development program for high school seniors interested in careers in the skilled trades. •Every year, nearly all Corps members who want to work in construction are able to gain employment post program. NCBE actively works to connect students with companies in the trades who are hiring entry level employees. •20 Students •4 Project Coordinators Who worked on this project? 6 Preparing for Construction •Public Works Staff worked closely with NCBE staff to get a contract in place, put together materials lists for procurement, schedule deliveries, etc. •Staff coordinated with the Girl Scout Organization to close the building for construction and temporarily relocate items away from the windows and work zone. •Staff also collected lead and asbestos sampling. 7 Project Partners •NCBE – solicited donors and discounts •NBCC – Student volunteers and Project Coordinators who executed the work •MEAD CLARK – offered materials at-cost •SHERWIN WILLIAMS – donated exterior paint •KENWOOD FENCE CO – donated temporary fencing •RECOLOGY – donated dumpster and portable restroom •GIRL SCOUTS – cleaned and prepped the sign •PUBLIC WORKS FACILITIES STAFF – ran errands for materials, picked up windows and doors, and finished installing doors and trim. 8 Construction in Action! •Students gained hands-on experience in demolition, building wrap installation, siding installation, trim, painting, jobsite safety, teamwork, coordination, and having a building inspector assess their work! •Real-world construction experience while improving a public facility 9 Before & After Transforming a Community Landmark to continue serving the RP Girl Scouts 10 Special Recognition NBCC Class of 2026 Students! Jonathan, Wyatt, Kekoa, Jacob, Jorge, Emanual, Bear, Nico, Danilo, Diego, Bryan, Emily, Alexander, Andres, Angel, Yurem, Aaron, Paulina, Lily, Esteban Project Coordinators Joe Maloney, Cole Smith, Clay Pafford, JJ Arseneau North Coast Builders Exchange/ North Bay Construction Corps Lisa Wittke Schaffner, Nicollette Weinzveg, Mackenzie Smith City of Rohnert Park Staff Amanda Bunte, Randy Cadwell, Tom Browne, Alex Richter, Steve Daubs Thank you! Rohnert Park July 2026 Year of the Firehorse Prophetic events surrounding us all as a matter of Course .... OK ... so where's Waldo ? Waldo Emerson Rohnert whose__j;on Frederich panned Gold right out of dirt JUST LIKE Luther Burbank, Frederich opposed the slaughterhouse bleed in FAVOR of sustainable Seed Horticulturalists at the top of their Game ... such Spiritual Growers and Seed Sowers success & Fame The finest Natural Therapy to be found in gardens soil certainly proferred than soldiers warring over oil ..... Thee Firehorse inflamed Racing worldwide lighting Fires .... To CEASE the ongoing Horse slaughter in FAVOR of Loving Equine Freedom Desires ... Horse Rescue Ranches like Trees ever growing branches .... are in need young volunteers in tending these traumatized babies ... are there such young Warriors w merits, who might also bring some apples & carrots ... I hear someone in the Peanuts Gang Gallery Vallin, "What about those delicious Crane melons" ......... so too ABSOLUTELY by Golly .... we surely must include IMWALLES w Grandpa Joe ... Let us NOW Together connect these 4 at the Core w 4000 gardens so too Living Cactus fences as America's Promise Commences into Victory gardens ... Aho Buffalo Soldier Warriors Cornerstone Both Prominent professionals Militarily Competent Many if even Most Hell bent & Heaven Sent The American Spirit thru their bloodline Courses certainly back then as Today upon Almighty Horses Now more than ever as unbeatable Forces They hear the unwritten Command within the bible Calling for the Action as Almighty Faction unto the AMERICAN REVIVAL They have seen the worst they've been the Best ... thru the Buffalo Campaign here in the Wild West All Time is NOW as NOW is the Time Uniting Freedom Fighters all Strength Honor & Love supported Absolutely from Beyond & Above Fulfill Your Oaths to the Constitution and the Living Lord in the Spirit of CRAZY HORSE Uniting as Rolling Thunder united we shred by Paws w Claws all Dark strongholds Asunder By Authority of the Lion of Judah w the Lion's ROAR of brother Buddha, the Jaguar the Panther the Great Bear emerging Warriors thru Emerald Fire In Honoring all Departed we NOW finish what's long been started into the Gardens of Liberty & Victory I Item 7A1 Type text here • CITY BILLS/DEMANDS FOR PAYMENT July 28, 2026 Check Number: 600022 45 1 -600022745 1,350 ,265.31 Dated : June 30 , 2026 -July 13, 2026 TOTAL $1 ,350 ,265.31 CITY BILLS DEMANDS FOR PAYMENT DATED JUN 30 2026 T HROUGH JUL 13 202 6 CHECK NUMBER CHECK DATE VENDOR NAME FUND ACCOUNT AM OUNT 600022451 07/01/2026 PETALUMA COMMUNITY ACCESS General Fund Contract -Outside Services 975.00 600022452 07/01/2026 VICTORIA SUEMNICHT Genera l Fund Unearned-Refd Outsi de Evnt 22 ,156.00 600022452 07/01/2026 VICTOR IA SUEMN ICHT Ge ne ral Fund Re nts -Faci l ities 1 50.00 600022452 07/01/2026 VICTOR IA SUEMN ICHT Gener a l Fund Program Revenue-Box Office (2,215 .60) 600022453 06/30/2026 ABM SERVICES INC Gener al Fu nd Maintenance-Janitorial 1,788.74 600022453 06/30/2026 ABM SERVICES I NC General Fu nd Maintenance-Janitorial 5,844.10 600022453 06/30/2026 ABM SERV ICES I NC General Fu nd Mai ntenance-Janitorial 1,111.49 600022453 06/30/2026 ABM SERV ICES INC Ge neral Fund Maintenance-Janitorial 1,445.59 600022453 06/30/2026 ABM SERV ICES I NC General Fu nd Maintenance-Janitoria l 4 ,498.08 600022453 06/30/2026 ABM SERV ICES I NC General Fund Maintenance-Janitorial 2,790.66 600022453 06/30/2026 ABM SERV ICES INC General Fu nd Contract -Outside Services 900.00 600022454 06/30/2026 ALLIANT INSU RANCE SERVICES INC General Liabi lity ISF General Liabi lity Premium 1,186.00 6000224 55 06/30/2026 ALLQUIP UNIVERS AL I NC General Fund Othr Accrued Liab.-Sa les Tax (0.84) 600022455 06/30/2026 ALLQU IP UNI VERSA L INC Fleet Services ISF Fleet Veh Repairs for Parks 0.84 600022455 06/30/2026 ALLQUIP UNIVERSAL INC Fleet Services ISF Fleet Veh Repa irs for Parks 111.15 600022456 06/30/202 6 AMSNET LLC Information Technology ISF Software Saa s Clou d Based 7,570.37 600022457 06/30/2026 HARO LD A. STEUBER INC General Fund Special Dept Expense 87.91 600022457 06/30/2026 HAROLD A. STEU BER IN C General Fund Special Dept Expense 131.95 600022457 06/30/2026 HA ROLD A. STEUB ER INC General Fu nd Specia l Dept Expense 142.20 600022458 06/30/2026 AT&T Gener al Fu nd Communication-Phone 30.57 600022459 06/30/2026 AT&T General Fu nd Int ernet & Broadband 61.15 600022460 06/30/2026 AT&T General Fu n d Communication-Ph one 162.22 600022461 06/30/2026 AT&T General Fu nd Communication-Phone 94.13 6 00022462 06/30/2026 AT&T General Fu nd Communication-Ph one 61.85 600022463 06/30/2026 CALMAT W ater Utility Fu nd Other Exp-Re pair System 297.68 600022464 06/30/2026 CAPTIONS UN LI M ITED OF NEVADA INC General Fund Contract -Outsi de Services 472.50 600022464 06/30/2026 CAPTIONS UN LIMITED OF NEVADA I NC General Fund Contract -Outside Servi ces 540.00 600022465 06/30/2026 CASTINO RESTAURANT EQU IPMENT & SUPP LY INC General Fund Repair & Maintenance 7.63 600022466 06/30/2026 MILLER DOBBINS FAMILY I NC General Fund Repa ir & Maintenance 2,440.00 600022467 06/30/2026 COMCAST General Fu nd Internet & Broadband 221.80 6000224 68 06/30/2026 CO MCAST General Fund Contract -Outside Services 230.07 600022469 06/30/2026 COMCAST General Fund Internet & Broadband 169.53 600022470 06/30/2026 COMCAST Ge neral Fu nd Internet & Broadband 37.86 600022471 06/30/2026 COMCAST General Fund Internet & Broadband 195.64 600022472 06/30/2026 COMCAST BUS INESS General Fund Internet & Broadband 547.88 600022472 06/30/2026 COMCAST BUS INE SS General Fu nd Internet & Broa d band 148.38 600022472 06/30/2026 COMCAST BUSI NESS Informat ion Technology ISF Internet & Broadband 879.79 600022473 06/30/2026 COR E & MAIN LP Water Ut ility Fund Other Exp-Repair System 122.29 Page 1 of 15 CHECK NUMBER CHECK DATE VENDOR NAME FUND ACCOUNT AMOUNT 600022474 06/30/2026 CREAMS HEAVY DUTY TOWING Fleet Services ISF Fleet Veh Repairs for Police 150.00 600022475 06/30/2026 DAI LEY WELLS COMMUN ICATIONS INC General Fund Capital Asset-Vehicles 45,442.63 600022476 06/30/2026 DATA TICKET INC General Fund Contract -Outside Services 1,402.05 600022476 06/30/2026 DATA TICK ET IN C Gen e r al Fund Contract -Outside Services 1,315.90 600022477 06/30/2026 DAVID V ROBIN SON SR Measure M Parks Other Exp-Special Event s 2,100.00 600022478 06/30/2026 DC ELECTRIC GROUP INC Water Utility Fund Contract -Outside Services 5,985.00 600022479 06/30/2026 FR IEDMAN'S HOME I MPROVEMENT INC General Fund Repa i r & Maintenance 900.22 600022479 06/30/2026 FRIEDMAN 'S HOME I M PR OVEMENT INC Sewer Ut ility Fund Repair & Maintenance 13.62 600022479 06/30/2026 FRIEDMAN 'S HOME I MPROVEMENT IN C Sewer Utility Fund Re p air & Maintenance 7.02 600022479 06/30/2026 FR IEDMAN'S HOME IMPROVEMENT INC Water Utility Fund Other Exp -Repair System 53.35 600022480 06/30/2026 FROG POWER EQUIPMENT LLC Fleet Services ISF Fleet Veh Repairs for WTR 62.40 600022480 06/30/2026 FROG POWER EQU IPMENT LLC Fleet Services ISF Fleet Veh Repa irs for Police 407.58 600022480 06/30/2026 FROG POWER EQUIPMENT LLC General Fund Special Dept Expense 40.20 600022480 06/30/2026 FROG POWER EQU IPMENT LLC General Fund Sp ecia I Dept Expense 2,473.68 600022480 06/30/2026 FROG POWER EQUI PM ENT LLC General Fund Special Dept Expense (62.60) 600022480 06/30/2026 FROG POWER EQUIPM ENT LLC General Fund Special Dept Expen se 3,020.81 600022481 06/30/2026 GRAINGER INC Water Utility Fund Equipment Small Office & Tool 34.94 600022481 06/30/2026 GRAINGER IN C W at er Utility Fund Equipment Small Office & Tool 89.25 600022481 06/30/2026 GRAINGER INC Water Utility Fund Equipment Small Office & Tool 23 .13 600022481 06/30/2026 GRAINGER INC Water Uti lity Fund Equipment Small Office & Tool 96.99 600022481 06/30/2026 GRAINGER INC Water Util ity Fund Equipment Small Office & Tool 90.42 600022481 06/30/2026 GRAINGER IN C Water Utility Fund Equipment Small Office & Tool 114.50 600022481 06/30/2026 GRAI NGER INC Water Utility Fund Equ ipment Small Office & Tool 94.88 600022481 06/30/2026 GRAINGER IN C Water Utility Fund Equ ipment Small Office & Tool 153.84 600022481 06/30/2026 GRAINGER IN C General Fu nd Specia l Dept Expense 184.59 600022482 06/30/2026 MARK PIP PI N General Fu nd Uniform Purchase 316.08 600022483 06/30/2026 ROBERT J ITO General Fund Contract Services-Instructors 409.50 600022484 06/30/2026 GREGO RY JAM ES FOLEY Sewer Uti lity Fund Contract -Outside Services 5,300.00 600022485 06/30/2026 JUSTFOIA INC General Fund Softwar e Lie. & Subscriptions 13,008.71 600022 486 06/30/2026 KATHERINE L WAKI General Liability ISF General Liab Self l nsur'd Loss 425.00 600022487 06/30/2026 NATIONAL ACADEMY OF ATH LETICS General Fund Contract Services-I nstructors 2,284.80 600022488 06/30/202 6 NICK BARBI ERI TRUCK ING LLC General Fund Inventories -Diesel 227.79 600022488 06/30/2026 NICK BARBI ERI TRUCKING LLC General Fu nd Inventories -Diesel 312.37 600022488 06/30/2026 NICK BA RBI ERI TRUCKI N G LLC General Fu nd Inventories -Unleaded 1,185.74 600022488 06/30/2026 NICK BARBI ERI TRUCKING LLC General Fu nd Inventories -Unleaded 318.47 600022488 06/30/2026 NICK BARBI ERI TRUCKIN G LLC General Fund Inventories -Unleaded 133.48 600022488 06/30/2026 NI CK BARBI ERI TRUCK ING LLC General Fund Inventories -Unleaded 993.64 600022488 06/30/2026 NICK BA RBI ERI TRUCK IN G LLC General Fund Inventories -Unleaded 1,154.97 600022488 06/30/2026 NICK BARBI ERI TRUCKING LLC General Fund Inventories -Unleaded 298.46 600022488 06/30/2026 NICK BA RBIER I TRUCK ING LLC General Fund Inventories -Unleaded 354 .86 600022488 06/30/2026 NICK BARBI ER I TRUCK ING LLC General Fund Inventories -Unleaded 1,325.60 600022488 06/30/2026 NICK BARBI ER I TRUCK I NG LLC General Fund Inventories -Unleaded 1,239.06 600022488 06/30/2026 NICK BARBIERI TRUCK ING LLC General Fund Inventories -Unleaded 210.70 600022488 06/30/2026 NICK BARBIERI TRUCKING LLC General Fund Invento ries -Unleaded 394.06 600022488 06/30/2026 NICK BARBIERI TRUCK IN G LLC General Fund Inventories -Unleaded 307.53 Page 2 of 15 CHEC K NUM BER CHECK DATE VEN DOR NAME FUND A CCOU NT AM OUNT 600022488 06/30/2026 NICK BARBI ER I TRUCK I NG LLC Water Utility Fu nd Fu el 192.94 600022489 06/30/2026 MARTIN AVILA Fleet Services ISF Uniform Pu rchase 164.25- 600022490 06/30/2026 Santa Rosa Police Department General Fund Travel and Training 500.00 600022491 06/30/2026 ADAM MATTHEW Water Utility Fund A R-UB Residential 3.85 600022492 06/30/2026 Alice E Stowe Water Utility Fund AR -U B Res i dential 35.60 600022493 06/30/2026 Allegro Student Ho u sing-Coin Op Genera l Fund AR -Business Lic ense 66.34 600022494 06/30/2026 Allegro Student Housing-Coin Op General Fund AR-Bu siness License 181.11 600022495 06/30/2026 Anna Young Water Utility Fund AR-UB Residential 29.68 600022496 06/30/2026 Campbell Patricia General Fund AR -Business License 66.50 600022497 06/30/2026 Clark B Plummer Water Utility Fund AR -U B Residential 32.64 600022498 06/30/2026 Consuelo Paz Water Ut i lity Fund AR -U B Res idential 5.10 600022499 06/30/2026 DAVID M I NTZ Water Utility Fund AR-UB Residential 13.31 600022500 06/30/2026 Deanna Beerman Water Ut ility Fund AR-UB Res idential 10.17 600022501 06/30/2026 EMMA GUZY Water Utility Fund AR-UB Resident ial 43.91 60 0022S02 06/30/2026 Gary J Merritt W ater Util ity Fu nd AR-UB Residential 60.50 600022503 06/30/2026 Gary Lund Water Ut ility Fu nd AR -UB Residential 52.48 600022504 06/30/2026 HAYLEY E SAPIEKA Water Utility Fund A R-UB Residential 69.47 600022505 06/30/2026 IAN GIRARD Water Utility Fund A R-UB Residential 3.73 600022506 06/30/2026 JAMES SHEALS Water Utility Fund A R-UB Resident ia l 48.06 600022507 06/30/2026 JEFFREY TURNBULL Water Utility Fund A R-UB Resident ia l 74.42 600022508 06/30/2026 KATHERINE A FREER Water Utility Fund AR -UB Residential 59.59 600022509 06/30/2026 Lui s Gonzalez General Fund Othr Accrued Liab.-PrkRec Rfnd 800.00 600022510 06/30/2026 MARY ANNE KENNIGER Water Utility Fund AR -UB Resident ial 62.75 600022511 06/30/2026 MARYANNE KENNIGER Water Utility Fund AR -UB Residential 9.09 600022512 06/30/2026 Matt Madrigali Water Utility Fund AR -UB Re sidential 45.29 600022513 06/30/2026 Myrna H Wills Water Utility Fund AR-UB Re sidential 9.09 600022514 06/30/2026 PACIFIC PROPERTIES Water Ut ilit y Fund AR -UB Re sidential 85.56 600022515 06/30/2026 Ran da Farragher Water Utility Fund AR -UB Re si dential 81.67 600022516 06/30/2026 Richard Macaraeg Water Utility Fun d AR-UB Resi d ential 13.27 600022517 06/30/2026 RM SPORTS LL C General Fund AR-Business License 120.00 600022518 06/30/2026 Ronald Botelho Water Utility Fund AR-UB Res i dential 65.60 600022519 06/30/2026 RUOXUNWANG Water Uti lity Fund AR -UB Res i dential 25.40 600022520 06/30/2026 SAL DAY Water Uti lity Fund AR -UB Res i dential 5 .21 600022521 06/30/2026 Sa ra Freedman Water Uti lity Fund AR-UB Res i dential 19.89 600022522 06/30/2026 SHIRLE Y LING Water Util ity Fund AR-UB Res idential 5 .08 600022523 06/30/2026 SOMO LIVING LL C Water Util ity Fund AR-UB Res idential 57.91 600022524 06/30/2026 SOMO VI LLAGE MASTER HOA Wa t er Utility Fund AR-UB -Fi re Hydrant 1,945.89 600022525 06/30/2026 URBINA PROPERTY MANAGMENT W at e r Util ity Fund AR -UB Residential 71.90 600022526 06/30/2026 VERONICA PLASENCIA Wate r Util ity Fund AR-U B Residential 17.06 600022527 06/30/2026 Wendy Alvarado Water Utility Fund AR-UB Residential 46.16 600022528 06/30/2026 PACE SUPPLY Water Utility Fund Repai r & Mai ntenance {3 .08) 600022528 06/30/2026 PACE SUPP LY Water Utility Fun d Repair & Maintenance 154.00 600022528 06/30/2026 PACE SU PPLY Water Utility Fu nd Other Exp -Repair Sy stem (0.73) 600022528 06/30/2026 PACE SUP PLY Water Utility Fu nd Other Exp -Repair System 36.58 600022528 06/30/2026 PACE SUPPLY Water Uti lity Fu nd Other Exp -Repa ir System {4 .64) Page 3 of 15 CHECK NUMBER CHECK DATE VENDOR NAME FUND ACCOUNT A M OUNT 600022528 06/30/2026 PACE SUPP LY Water Utility Fund Other Exp-Repair System 232.10 600022529 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Utili ty-Electric 12,292.73 600022529 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Utility-Electric 942.93 600022529 06/30/2026 PACIFIC GAS & ELECTRI C General Fund Utility-Electric 353.74 600022529 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Utility-Electric 1 ,059.69 600022529 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Utility-Electric 3,118.93 600022529 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Debt-Pr incipal 3,505.36 600022530 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Utility-Electric 7,404.73 600022531 06/30/2026 PACIFIC GAS & ELECTR IC General Fu nd Utility-Electric 316.75 600022531 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Utility-Electric 358.86 600022531 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Utility-Electric 1,206.50 600022531 06/30/2026 PACIFIC GAS & ELECTRIC General Fund Uti lity-Electric 2,028.39 600022532 06/30/2026 PREC ISION SOUND CRAFT Measure M Parks Other Exp-Special Events 4,975.00 600022533 06/30/2026 REDWOOD LOCK I NC Water Utility Fund Repair & Maintenance 27.44 600022534 06/30/2026 SAFETY -KLEEN SYSTEMS INC General Fund Hazard Materials 236.51 600022534 06/30/2026 SAFETY-KLEEN SYSTEMS INC Fleet Services ISF Hazard Materials 735.20 600022535 06/30/2026 SANTA ROSA JUNIOR COLLEGE General Fund Travel and Training 1,890.00 600022536 06/30/2026 SANTA ROSA UNI FORM & CAREER APPAREL General Fu nd Uniform Purchase 229.05 600022537 06/30/2026 SMOTHERS Fleet Services ISF Fleet Veh Repairs for Police 80.79 600022538 06/30/2026 NICHOLE ANNE ROLLE-CHU General Fund Contract Services-Instructors 2,340.0 0 600022539 06/30/2026 SO I LAND CO INC Water Utility Fund Other Exp-Repa ir System 105.60 600022540 06/30/2026 SONOMA COUNTY DEPT OF HEALTH SERVICES Gener al Fund Contract Services-SA Exams 2,400.00 60002254 1 06/30/2026 SONOM A COU NTY WATER AGENCY Water Util ity Fund Water Purchase 319,079.88 600022542 06/30/2026 SOUTHERN TIRE MART LLC Fl eet Services ISF Fleet Veh Repairs for Police 707.14 600022542 06/30/2026 SOUTHERN TIRE MART LLC Fl eet Services ISF Fleet Veh Repa i rs for Parks 666.11 600022543 06/30/2026 SUSAN KAY STUBBLEBINE General Fu nd Contract Services-Instructors 91.00 600022544 06/30/2026 SYAR I NDUS TRI ES INC Sewer Util ity Fu nd Special Dept Expense 128.30 600022544 06/30/2026 SYAR I NDUSTR I ES INC Water Utility Fund Other Exp-Repair System 128.30 600022545 06/30/2026 TRIPEPI, SM ITH AND ASSOCIATES INC PEG Fees-DIVCA AB2987 Contract -Outside Services 30,000.00 600022546 06/30/2026 VSS INTE RNATIONAL I NC Government CIP Re t ention Payable 11,142.90 600022546 06/30/2026 VSS INTER NATIONAL INC Government CIP Retention Payable 1,880.00 600022546 06/30/2026 VSS INTERNATIONA L I NC Government CIP Retention Payable 40,110.54 600022546 06/30/2026 VSS INTERNATIONAL INC Government CIP Retention Payable 18,796.31 600022546 06/30/2026 VSS INTERNATIONA L INC Government CIP Retenti on Payable 10,321.04 600022S47 07/01/2026 ASTRO JUMP EVENTS INC Measure M Parks Other Exp-Special Eve nts 10,991.00 600022S48 07/01/2026 BURKE W ILLIAMS & SORENSEN LLP General Fund Deposits-Developer 4 ,288.92 600022548 07/01/2026 BURKE W I LLIAMS & SORENSEN LLP General Fund Deposits -Deve lo p er Downt own 2,024.88 600022548 07/01/2026 BURKE WILLIAMS & SORENSEN LLP General Fund Other Rev-Developer Deposit (2,024.88) 600022548 07/01/2026 BURKE WI LLIAMS & SORENSEN LLP General Fund Other Re v -Developer Deposit (4,288 .92) 600022548 07/01/2026 BURKE WILLIAMS & SORENSEN LLP General Fund Developer Deposit Expense 4,288 .92 600022548 07/01/2026 BURKE W I LLI AMS & SORENSEN LLP General Fu nd Professiona I Lega I Fees 2,024 .88 600022548 07/01/2026 BURKE WILLIAMS & SORENSEN LLP RDA -Housi ng Project Professi ona I Lega I Fees 1,440.67 600022549 07/01/2026 DIAN BARKAN MSW LCSW General Fund Contract -Outside Services 1,800.00 600022550 07/01/2026 DISCOUNTCELL LLC Information Technology ISF Equ ipment Small Office & Tool 98.73 600022551 07/01/2026 ECOLAB INC General Fund Contract -Outside Services 188.75 Page 4 of 15 CHECK NUMBER CHECK DATE VENDOR NAME FUND ACCOUN T AMOUNT 600022551 07/01/2026 ECOLAB INC Genera l Fund Contract -Outside Services 362.50 600022552 07/01/2026 EUREKA OXYGEN COMPANY INC General Fund Chemicals Aquatic 130.00- 600022552 07/01/2026 EUREKA OXYGEN COMPANY INC General Fund Chem icals Aquat ic 264 .00 600022552 07/01/2026 EUREKA OXYGEN COMPANY INC General Fund Chem icals Aquatic 264.00 600022552 07/01/2026 EUREKA OX YG EN COMPANY INC Genera l Fund Chemical s Aquatic 264 .00 600022552 07/01/2026 EUREKA OXYGEN COM PANY INC General Fund Chemical s Aquatic 502.21 600022553 07/01/2026 FASTENAL Genera l Fund Suppl ies-J an itorial Svs 383 .02 600022553 07/01/2026 FASTENAL General Fund Suppl ies-Janitorial Svs 665.43 600022553 07/01/2026 FASTENAL Genera l Fund Supplies-Jan itorial Svs 73.20 600022553 07/01/2026 FASTENAL General Fund Suppl ies -Janitorial Sv s 890.84 600022554 07/01/2026 FIRST ALARM SECURITIES SERVICES General Fund Contract -Outside Services 463 .77 600022554 07/01/2026 FIR ST ALARM SECU RI TIES SERVICES General Fund Contract -Outside Services 561.25 600022554 07/01/2026 FIRST ALARM SECUR ITIES SERVICES General Fund Contra ct -Outside Services 231 .25 600022554 07/01/2026 FIRST ALARM SEC URITIES SERVICES General Fund Contract -Outside Services 1,005 .09 600022554 07/01/2026 FIRST ALARM SECURITI ES SERVICES General Fund Contract -Outside Services 351.45 600022554 07/01/2026 FIRST ALARM SECURITI ES SERVICES General Fund Contract -Outside Services 259.44 600022554 07/01/2026 FIRST ALARM SECURITI ES SERVICES Gene ra l Fund Contra ct -Outside Services 231.25 600022554 07/01/2026 FIRST ALARM SECUR ITIES SERV ICE S Genera l Fund Contra ct -Outsi de Services 75 .81 600022554 07/01/2026 FIRST ALARM SECUR ITIES SERVICES General Fund Contract -Outside Services 313 .75 600022554 07/01/2026 FIRST ALARM SECU RITIES SERVICES Ge neral Fund Contract -Outside Services 272.50 600022554 07/01/2026 FIRST ALARM SECU RITIES SERVICES General Fund Contract -Outside Services 211.50 600022554 07/01/2026 FIRST ALARM SECURITIES SERVICES General Fund Contract -Outside Serv ices 365.46 600022554 07/01/2026 FIRST ALARM SECU RITIE S SE RVICES General Fund Contract -Outside Services 148.50 600022554 07/01/2026 FIRST ALARM SECURITIES SERVICES General Fund Contract -Outside Services 113 .67 600022554 07/01/2026 FIRST ALARM SECURITIES SERVICES General Fund Contract -Outs ide Services 113.67 600022554 0 7/01/2026 FIRST ALARM SECU RI TIES SERVICES General Fund Contract -Outs ide Services 259.44 600022554 07/01/2026 FI RST ALARM SECURITIES SER VICES General Fund Contract -Outsi de Services 437 .50 600022554 07/01/2026 FIRST ALARM SECURITIES SERVICES General Fund Contract -Outside Services 231.25 600022554 07/01/2026 FIRST ALARM SECURITIES SERVICES General Fund Repair & Maintenance 190.00 600022555 07/01/2026 FRI EDMAN 'S HOME IMPROVE MENT INC General Fund Rep ai r & Maintenance 147.08 600022555 07/01/2026 FR IEDMAN 'S HOME IMPROVEMENT INC General Fund Repa ir & Maintenan ce 68 .87 600022556 07/01/2026 THEA TORGERSEN General Fund Contract Services-Instructors 643.50 600022557 07/01/2026 GRAINGER IN C Genera l Fund Repair & Maintenance 76.71 6000225 58 07/01/2026 JAMES LIEBI CH Ge neral Fund Contract Services-Instructors 1,248.00 600022559 07/01/2026 KAYLA SCHETTLER General Fund Contract Services-Instructors 1,067 .95 600022560 07/01/2026 OCCU PAT IONAL HEALTH CE NTERS OF CALIFORNIA Ge neral Fund Recru itment 324.00 600022561 07/01/2026 BRIAN FALK General Fund Uniform Purchase 159.50 600022562 07/01/2026 DES IREE MCGUNAG LE General Fund Special Dept Expense 518.95 600022563 07/01/2026 EDUARDO PEREZ General Fun d Uniform Purchase 780.21 600022564 07/01 /2026 JOAN HOPKINS General Fund Accounts Payable-Stale Checks 997.66 600022565 07/01/2026 JULIE DIL LI NGHAM Gen eral Fund Travel and Tra ining 390.00 600022566 07/01/2026 LUIS GUZMAN GONZALEZ General Fund Uniform Purchase 150.00 600022567 07/01/2026 MATTHEW SNODGRASS General Fund Benefit s-Vision 150.00 600022568 07/01/2026 NICOLE LITZIE General Fund Benefits-Vision 150.00 600022569 07/01/2026 Jody Neeson General Fund Othr Accrued Liab .-Pr kRec Rfnd 807.00 Page 5 of 15 CH ECK NUMBER CHECK DATE V ENDOR NAME FUND ACCOUNT AMOUNT 600022570 07/01/2026 Munselle Civil Engineering General Fund Permit Building Plan Check 137.00 600022571 07/01/2026 ROB SIMMONS Measure M Parks Other Exp-Special Events 700.00 600022572 07/01/2026 SYAR INDUSTRIES INC General Fund Special Dept Expense 277.77 600022573 07/01/2026 MICHAEL SUTLIFF Measure M Parks Other Exp-Special Events 500.00 600022 574 07/01/2026 THEATR ICAL RIGHTS WORLDW IDE General Fund Other Exp -PAC Production 1,515.00 600022575 07/02/2026 KEN RICHARD FIELDER Measure M Parks Other Exp -Special Events 350.00 600022576 07/06/2026 15000 INC Government CI P Non-Capital Projects 585.00 600022576 07/06/2026 15000 INC Government CI P Non-Capital Projects 675.00 600022577 07/06/2026 ANGEL ARMOR LLC General Fund Uniform BVP Purchase 1,007.93 600022577 07/06/2026 ANGEL ARMOR LLC General Fund Uniform BVP Purchase 1,007.93 600022577 07/06/2026 ANGEL ARMOR LLC General Fund Uniform BVP Purcha se 1,007.93 600022577 07/06/2026 ANGEL ARMOR LLC General Fund Uniform BVP Purchase 690.00 600022577 07/06/2026 ANGE L ARMOR LLC General Fund Uniform BVP Purcha se 690.00 600022577 07/06/2026 ANGEL ARMOR LLC General Fund Uniform BVP Purcha se 690.00 600022578 07/06/2026 ARGONAUT CONSTRUCTORS Government CIP Capital Projects 227,478.54 600022579 07/06/2026 AT&T Information Technology ISF Internet & Broadband 780.30 600022580 07/06/2026 AT&T General Fu nd Communication-Phone 62.72 600022581 07/06/2026 AT&T Gene r al Fund Communication-Phone 184.75 600022582 07/06/2026 AT&T General Fund Communication -Phon e 1,390.95 600022583 07/06/2026 AT&T General Fund Communication-Ph one 154.45 600022584 07/06/2026 AT&T General Fund Communication-Phone 377.82 600022585 07/06/2026 AT&T General Fund Communication-Phone 91.71 600022586 07/06/2026 AT&T Gene ra l Fu n d Communication-Phone 307.33 600022587 07/06/2026 AT&T General Fund Communication-Phone 62.72 600022588 07/06/2026 AT&T General Fund Com m unication-Ph one 59.31 600022589 07/06/2026 AT&T Information Technology ISF Communication-Phone 91.73 600022590 07/06/2026 AT&T General Fund Communication-Phone 30.57 600022591 07/06/2026 AT&T Water Utility Fund Communica tion-Phone 32.14 600022592 07/06/2026 AT&T Water Utility Fu nd Communication-Phone 63.51 600022593 07/06/2026 AT&T General Fund Communication-Phone 62.74 600022594 07/06/2026 AT&T General Fund Communication-Phone 32.14 600022595 07/06/2026 AT&T General Fu nd Communication-Pho ne 93.29 600022596 07/06/2026 AT&T General Fund Communication-Phone 32.17 600022597 07/06/2026 AT&T General Fund Communication-Phone 62.72 600022598 07/06/2026 AT&T General Fund Communication-Phone 62.72 600022599 07/06/2026 AT&T General Fund Communication-Phone 43.88 600022600 07/06/2026 BARRY M ILLER GOVT Non Capital Projects Non-Capital Proje cts 4,640.00 600022601 07/06/2026 BURKE WILLIAMS & SORENSEN LL P RDA-Hous ing Project Pr ofessional Legal Fees 2,282.28 600022601 07/06/2026 BURKE WILLI AMS & SORENSEN LLP GOVT Non Capital Projects Non-Capital Projects 2,882.88 600022602 07/06/2026 CELLCO PARTNER SHIP General Fund Communication-Phone 139.48 600022602 07/06/2026 CE LLCO PARTN ERSH IP General Fund Communication-Phone 101.10 600022602 07/06/2026 CELLCO PARTNERSH IP Gener al Fund Communication-Phone 20.22 600022602 07/06/2026 CELLCO PARTNERSHIP General Fund Communication-Phone 58.23 600022602 07/06/2026 CEL LCO PARTNERSH IP General Fund Communication-Phone 40.44 600022602 07/06/2026 CELLCO PARTNERSH IP General Fund Communication-Phone 177.49 Page 6 of 15 CHE CK NUMBER CHECK DATE VENDOR NAME FUND ACCOUNT AMOUNT 600022602 07/06/2026 CELLCO PARTNERSH I P General Fund Communication-Phone 20.22 600022602 07/06/2026 CELLCO PARTNERSHIP Information Technology ISF Communication-Phone 122.23- 600022602 07/06/2026 CELLCO PARTNERSH I P Fleet Services ISF Communication-Phone 38.38 600022602 07/06/2026 CELLCO PARTNERSHIP Sewer Utility Fund Communication-Phone 6 .74 600022602 07/06/2026 CEL LCO PARTNERSH IP Sewer Utility Fund Communication-Phone 114.40 600022602 07/06/2026 CE LLCO PARTNERSHIP Water Utility Fund Communication-Phone 6.74 600022602 07/06/2026 CE LLCO PARTNERSHI P Water Utility Fund Communication-Phone 287.77 600022602 07/06/2026 CE LLCO PARTNERSH IP Recycled Water Utility Fu nd Communication-Phone 6 .74 600022603 07/06/2026 COMCAST General Fund Internet & Broadband 575.31 600022604 07/06/2026 COMCAST General Fund Internet & Broadband 203 .52 600022605 07/06/2026 COMPLETE WELDERS SUPP LY Fleet Services ISF Equipment Small Office & Tool 2,657.51 600022606 07/06/2026 HELEN CROSBY General Fund Deferred Inflows 200.00 600022606 07/06/2026 HELEN CROSBY General Fu nd Grants -Other (200.00) 600022606 07/06/2026 HELEN CROSBY Gen eral Fund Contract Services-Instructors 200.00 600022607 07/06/2026 DIESEL EXHAU ST SERV ICES LLC Fleet Services ISF Fleet Veh Repairs for Parks 1,251.50 600022608 07/06/2026 FASTENAL General Fund Special Dept Expense 23.50 600022609 07/06/2026 FI RST ALARM SECURITIES SERVICES General Fund Contract • Outside Services 1,740.69 600022610 07/06/2026 FRIEDMAN 'S HOME IMPROVEMENT INC General Fund Equi pment Small Office & Tool 545.16 600022610 07/06/2026 FRIEDMAN 'S HOME IMPROVEMENT INC General Fund Repa ir & Maintenance (158.19) 600022610 07/06/2026 FRIEDMAN'S HOME IMPROVEMENT INC General Fund Special Dept Exp ense 266.54 600022611 07/06/2026 GRAINGER IN C Fleet Services ISF Equipment Small Office & Tool 405.13 600022611 07/06/2026 GRAINGER INC General Fund Repa ir & Maintenance (200.18) 600022611 07/06/2026 GRAINGER IN C General Fu nd Repair & Maintenance (200.18) 600022611 07/06/2026 GRAINGER IN C General Fund Repair & Maintenance (16.68) 600022611 07/06/2026 GRAINGER INC Genera l Fund Repair & Maintenance (94.35) 600022611 07/06/2026 GRAINGER INC General Fund Repair & Maintenance (69.73) 600022611 07/06/2026 GRAINGER INC General Fund Repa ir & Maintenance (24.69) 600022611 07/06/2026 GRAINGER INC General Fund Repair & Maintenance (128.34) 600022611 07/06/2026 GRAIN GER INC General Fu nd Special Dept Expense 199.41 600022611 07/06/2026 GRAINGER IN C General Fund Special Dept Expense 3 18.07 600022611 07/06/2026 GRA INGER INC General Fun d Special De pt Expen se 53.41 600022611 07/06/2026 GRAINGER INC General Fund Special Dept Expense 47.41 600022611 07/06/2026 GRAINGER INC Fleet Services ISF Special Dept Expen se 25.29 600022611 07/06/2026 GRAINGER INC Government CIP Capital Projects 303.79 600022611 07/06/2026 GRAINGER INC Government CIP Capital Projects 396.20 600022611 0 7/06/2026 GRAINGER INC Government CIP Capit al Projects 61.59 600022611 07/06/2026 GRAINGER INC Government CIP Capital Projects 434 .02 600022611 07/06/2026 GRAINGER I NC Government CIP Capita l Projects 1,183.42 600022612 07/06/2026 HORIZON DISTR IBUTORS IN C General Fund Special Dept Expense 748.96 600022612 07/06/2026 HORIZON DISTR IBUTORS I NC General Fund Special Dept Expense 295 .77 600022612 07/06/2026 HORIZON DISTR IBUTORS I NC General Fund Special Dept Expense 131.36 600022613 07/06/2026 IDEXX DISTRI BUTION INC Ge neral Fund Animal Clinic Non-Eligible 8.65 600022614 07/06/2026 JOEL DYER General Fund Recruitment 160.00 60002261S 07/06/2026 KOEFRAN INDUSTRIES General Fund Private Cr emations 587.00 600022615 07/06/2026 KOEFRAN INDUSTRIES General Fu n d Private Cr emations 400.00 Page 7 of 15 CHE CK NUMBER CH ECK DATE VENDOR NAM E FU N D AC COUNT A MOUNT 600022615 07/06/2026 KOEFRAN INDUSTRIES General Fund Private Cremations 115.00 600022616 07/06/2026 LIFE ASSIST I NC General Fund Other Exp-First Aid Supplies 101.52 600022616 07/06/2026 LIFE ASSIST I NC General Fund Other Exp-First A id Supplies 876.90 600022617 07/06/2026 LA KE PARTS INC Fleet Services ISF Equipment Small Office & Tool 384.11 600022617 07/06/2026 LAKE PARTS INC Fleet Services ISF Specia I Dept Expense 179.06 600022618 07/06/2026 NICK BARBIERI TRUCKING LLC General Fund Fuel 913.43 600022618 07/06/2026 NICK BARBIERI TRUCKI NG LLC General Fund Fuel 770.57 600022618 07/06/2026 NICK BARBIER I T RUCKI NG LLC General Fund Fuel 952.05 600022618 07/06/2026 NIC K BARB I ER I T RUCKI NG LLC General Fund Fuel 855.80 600022618 07/06/2026 NICK BARBIERI TRUCKING LLC General Fund Fuel 400.34 600022618 07/06/2026 NICK BARBI ERI TRUCKING LLC General Fund Fuel 661.17 600022618 07/06/2026 NICK BARBIERI TRUCKING LLC General Fund Fuel 105.30 600022618 07/06/2026 NICK BARBI ER I TRUCKI NG LLC General Fund Fuel 282.72 600022618 07/06/2026 NICK BARBI ERI TRUC KI NG LLC General Fu nd Fuel 1,169.15 600022618 07/06/2026 NICK BARBIERI TRUCKING LLC General Fund Fuel 549.93 600022619 07/06/2026 NORTH COAST BUILDERS EXCHANGE General Fund Rep air & Maintenance 10,400.00 600022620 07/06/2026 OFF ICE DEPOT General Fu nd Office Expense 332 .05 600022621 07/06/2026 CECE LI A HAM I L TON -LEE General Fu nd Office Expense 60.93 600022622 07/06/2026 DACK THOMPSON General Fund Travel and Training 295.55 600022623 07/06/2026 ASHLEY HESKAMP General Fund Deposi t s-Animal Shelter 95.00 600022624 07/06/2026 JONATHAN BEARD General Fund Deposits-Animal Shelter 95.00 600022625 07/06/2026 PACIFI C GAS & ELECTR IC General Fund Ut ility-Electric 12.53 600022626 07/06/2026 PACIFI C GAS & ELECTR IC General Fun d Ut ility-Electric 1,502.82 600022626 07/06/2026 PACIFI C GAS & ELECTR IC Gener al Fund Utility-Electric 1,502.83 600022626 07/06/2026 PAC IFIC GAS & ELECTRIC Sewer Utility Fund Utility-Electric 11,076.09 600022626 07/06/2026 PAC IFIC GAS & ELECTRIC Water Utility Fund Utility-Electric 39,675.36 600022627 07/06/2026 PAC IFIC GAS & ELECTRIC General Fu nd Utility-E lectric 5,199.91 600022628 07/06/2026 PACIF IC GAS & ELECT RIC General Fund Utility-Electric 12,046.73 600022629 07/06/2026 ROHNERT PARK SWIM CLUB City of Rohnert Park Foundatin Grants-Small Grants Program 3,170.13 600022630 07/06/2026 SONOMA COUNTY SAFE & SOBER PROJ GRAD City of Rohnert Park Foundati n Grants-Small Grants Program 3,275.00 600022631 07/06/2026 REDWOOD LOCK INC General Fund Repair & Maint Vehicles 251.48 600022632 07/06/2026 RE LI AB LE HARDWARE & STEE L CO Fleet Services ISF Specia l Dept Expense 6.91 600022633 07/06/2026 SONOMA COUNTY CLERK RECORDER ASSESSOR Government CIP Capital Projects 50.00 600022634 07/06/2026 SONOMA COUNTY DEPT OF HEALTH SERVICES General Fund Contract Services-SA Exams 4,800.00 600022635 07/06/2026 TROPE GROUP I NC General Fund Special Dept Expense 192.00 600022635 07/06/2026 TROPE GROUP I NC General Fu nd Special Dept Expense 192.00 600022636 07/06/2026 MONARCH LANDSCAP E HOLD INGS LLC General Fu nd Contract -Outside Services 6,000.00 600022636 07/06/2026 MONARCH LANDSCAPE HOLD INGS LLC General Fund Contract -Outside Services 3,250.00 600022637 07/08/2026 16500 1NC Government CIP Capital Projects 6,681.00 600022638 07/08/2026 PROFESSIONAL POLICE SUPPLY I NC General Fund Other Exp-PS-Amory 71.34 600022639 07/08/2026 CARDI O PARTNERS I NC General Fu nd Other Expense -Safety 284.42 600022639 07/08/2026 CARDI O PARTNERS INC General Fu nd Other Expense -Safety 284.42 600022639 07/08/2026 CARDIO PARTNERS I NC General Fund Other Expense -Safety 284.42 600022639 07/08/2026 CARDIO PARTNERS I NC General Fund Other Expense -Safety 568.84 600022640 07/08/2026 AL LI ANT INSURANCE SERVICES I NC General Liability ISF General Liability Premium 3,296.00 Page 8 of 15 CHEC K NUMBER CHECK DATE VENDOR NAME FUND ACCOUN T AMOUNT 600022641 07/08/2026 ALPHA ANALYTICAL LABORATORIES INC Water Utility Fund Contract -Outsid e Services 312.00 600022641 07/08/2026 ALPHA ANALYTICAL LABORATORIES INC Water Utility Fund Contract -Outside Services 28.00· 600022641 07/08/2026 ALPHA ANALYTICAL LABORATORIES INC Water U t ility Fund Contract -Outside Services 312.00 600022641 07/08/2026 ALPHA ANALYTI CAL LABORATORIES INC Water Utility Fund Contract -Outside Services 364.00 600022 641 07/08/2026 ALPHA ANALYTICA L LABORATORIES INC Water Utility Fund Contract -Outside Services 364.00 600022642 07/08/2026 HAROLD A. STEUBER I NC Sewer Utility Fund Specia l Dept Expense 63.40 600022642 07/08/2026 HAROLD A. STEUBER I NC Water Utility Fund Special Dept Expense 63.40 600022643 07/08/2026 BADGER METER INC Water Utility Fu nd Meter & Supplies Exi sting 34.76 600022644 07/08/2026 BOEHRI NGER INGELHEIM ANIMAL HEALTH USA INC General Fund Animal Cl inic Non-El igible 478.51 600022645 07/08/2026 BRELJE & RACE CONSULTING ENG INEERS Water Utility Fund Contract -Outside Services 2,226.25 600022645 07/08/2026 BRELJE & RACE CONSULTING ENGINEERS Water Utility Fund Contract -Outside Services 4,800.00 600022646 07/08/2026 CITY OF SAN TA ROSA Re cycled Water Utility Fund Water Pu rchase 20,799.36 600022647 07/08/2026 ADB ENTERPRIS E LLC General Fund Contract -Outside Services 1,087.60 600022648 07/08/2026 COAR DESIGN GROUP Sewer CI P Capital Projects 6,377.15 600022648 07/08/2026 COAR DES IGN GROUP Water CIP Capital Projects 6,377 .15 600022649 07/08/2026 COGGINS FENCE & SUPPLY IN C General Fund Rental-Equipment 427.18 600022649 07/08/2026 COGGINS FENCE & SUPPLY IN C General Fun d Contract -Outside Services 2,571.31 600022650 07/08/2026 COMPLETE WE LDERS SUPPLY General Fund Other Exp -First Aid Supplies 229.53 600022651 07/08/2026 CU LLIGAN General Fund Special De pt Expense 92.00 6000226 51 07/08/2026 CULLIGAN General Fund Specia l Dept Expense 95 .00 600022652 07/08/2026 DAVEY RESOURCE GROUP INC General Fund Contract -Outside Services 9,275 .00 600022653 07/08/2026 DC ELECTR IC GROUP INC Water Utility Fund Contract -Outside Services 192 .51 600022653 07/08/2026 DC ELECTR IC GROUP INC Water Utility Fund Contract -Outside Services 385.02 600022653 07/08/2026 DC ELECTR IC GROUP INC General Fund Repa ir & Maintenance 6,960.00 600022654 07/08/2026 DEPT OF INDUSTRIAL RELATION S General Fund Repa ir & Maintenance 225.00 600022655 07/08/2026 DUDEK Graton JEPA Wilfred Contract -Outsi d e Services 3,445.40 600022656 07/08/2026 ECONOLINE SIGNS INC General Fund Printing 537.26 600022657 07/08/2026 ELLIS FLOOR ING INC Sports Ctr Capitl Fa ciliy Rsrv Retention Payable 748.37 600022658 07/08/2026 ETI ENNE A EVANS Sewer Utility Fund Repair & Maintena nce 40.00 600022659 07/08/2026 FERGUSON US HOLDINGS IN C General Fund Repair & Maintenance 50.78 600022660 07/08/2026 FRIEDMAN 'S HOME IMPROVEMENT INC General Fu nd Repa ir & Maintenance 360.32 600022660 07/08/2026 FRIEDMAN 'S HOME IMPROVEMENT IN C General Fund Rep ai r & Maintenance 13.48 600022660 07/08/2026 FRIEDMAN'S HOME IMPROVEMENT I NC General Fund Repa i r & Maintenance 218.20 600022660 07/08/2026 FRIEDMAN'S HOME IMPROVEMENT I NC Sewer Utility Fund Repa ir & Maintenance 80.38 600022660 07/08/2026 FRIEDMAN 'S HOME IMPROVEMENT INC Sewer Uti lity Fund Special Dept Expense 86.27 600022661 07/08/2026 GRAINGER INC General Fund Equi pment Small Office & Tool 703.88 600022661 07/08/2026 GRAINGER INC General Fund Equi pment Small Office & Tool 186.32 600022661 07/08/2026 GRA INGER INC General Fund Equipment Small Office & Tool 93.15 600022661 07/08/2026 GR A INGER INC General Fund Repair & Mai ntenance 180.18 600022661 07/08/2026 GRA INGER INC General Fu nd Repai r & Maintenance 107.45 600022661 07/08/2026 GRA INGER INC General Fund Repair & Maintenance 106.41 600022661 07/08/2026 GRAINGER IN C General Fund Repair & Maintenance 431.21 600022661 07/08/2026 GRAINGER IN C General Fund Rep air & Maintenance 1,084 .54 600022661 07/08/2026 GRAINGER IN C General Fund Repair & Mai ntenance 200.18 600022661 07/08/2026 GRAINGER INC General Fund Re pa ir & Maintenance 776.66 Page 9 of 15 CH ECK NUMBER CH ECK DATE V ENDOR NAME FUND AC COUNT AMOUNT 600022661 07/08/2026 GRA INGE R INC General Fund Repa i r & Maintenance 304.71 600022661 07/08/2026 GRA INGE R INC General Fund Repa i r & Maintenance 120.86 600022661 07/08/2026 GRAING ER INC General Fund Repair & Maintenance 162.32 600022661 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 117.19 600022661 07/08/2026 GRAING ER INC General Fund Repair & Maintenance 94.35 600022661 07/08/2026 GRAINGER INC General Fund Repa ir & Maintenance 153.76 600022661 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 97.60 600022661 07/08/2026 GRAINGER INC Ge n eral Fund Repair & Maintenance 87.77 600022661 07/08/2026 GRAINGER I NC General Fund Repair & Maintenance 87.77 600022661 07/08/2026 GRAINGER INC Genera l Fund Repair & Maintenance 965 .37 600022661 07/08/2026 GRAINGER INC General Fund Repa ir & Maintenance 1,053.39 600022661 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 1,266.81 600022661 07/08/2026 GRAINGER INC General Fund Rep air & Maintenance 138.51 600022661 07/08/2026 GRAINGER I NC General Fund Repair & Maintenance 128.34 600022661 07/08/2026 GRAINGER INC Sewer Utility Fund Special Dept Expense 877.06 600022662 07/08/2026 GRAIN GER INC General Fund Equipment Small Office & Tool 71.95 600022662 07/08/2026 GRAING ER INC General Fu nd Equ ipment Small Office & Tool 53.05 600022662 07/08/2026 GRAINGER INC Gene r al Fund Repair & Maintenance 27.64 600022662 07/08/2026 GRAINGER INC Gene r al Fu nd Repai r & Maintenance 77 .14 600022662 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 70.95 600022662 07/08/2026 GRA INGER INC General Fund Repai r & Maintenance 46.40 600022662 07/08/2026 GRAINGER INC General Fu nd Repair & Maintenance 82.14 600022662 07/08/2026 GRAINGER IN C General Fu nd Repai r & Mainten ance 58.78 600022662 07/08/2026 GRAINGER INC General Fund Repair & Maint enance 43.47 600022662 07/08/2026 GRAINGER INC General Fund Repair & Maint enance 33.55 600022662 07/08/2026 GRAI NGE R INC General Fund Rep air & Maintenance 32.44 60 0022662 07/08/2026 GRA INGER INC General Fund Rep air & M aint enance 33.78 600022662 07/08/2026 GRA INGER IN C General Fu nd Rep air & Maint enance 54.57 600022662 07/08/2026 GRA INGER INC General Fund Repair & Maintenance 69 .73 600022662 07/08/2026 GRA ING ER INC General Fund Repair & Maintenance 79.78 600022662 07/08/2026 GRAINGER INC General Fund Repa ir & Maintenance 32.30 600022662 07/08/2026 GRA INGER INC Ge neral Fund Repair & Maintenance 32 .20 600022662 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 32.30 600022662 07/08/2026 GRAINGER INC General Fund Repa i r & Maintenance 55.35 600022662 07/08/2026 GRAINGER I NC Gen eral Fund Repa ir & Maintenance 83.73 600022662 07/08/2026 GRAIN GE R INC General Fun d Repair & Maintenance 84.02 600022662 07/08/2026 GRAINGER INC General Fun d Repair & Maintenance 61.03 600022662 07/08/2026 GRAINGER INC Gene r al Fu nd Repair & Maintenance 58.80 600022662 07/08/2026 GRAINGER INC General Fu nd Supplies-Janitoria l Svs 38.08 600022662 07/08/2026 GRAINGER INC Ge neral Fu nd Supplies-Janitorial Svs 61.23 600022663 07/08/2026 GRA INGER INC Ge nera l Fund Repair & Maintenance 27.64 600022663 07/08/2026 GRA INGER INC Ge neral Fund Repair & Maintenance 15.56 600022663 07/08/2026 GRAINGER INC General Fund Rep air & Maintenance 16.68 600022663 07/08/2026 GRAINGER INC General Fu nd Repa ir & Maintenance 25.94 600022663 07/08/2026 GRAINGER INC General Fund Repa i r & Maintenance 20.55 Page 10 of 15 CHEC K NUMBER CHECK DATE V ENDOR NAME FU N D ACCO U NT AMOU NT 600022663 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 24.26 600022663 07/08/2026 GRA INGER INC General Fund Repair & Maintenance 13.75 ' 600022663 07/08/2026 GRA INGER INC General Fund Repair & Maintenance 17.72 600022663 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 14.40 600022663 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 15.10 600022663 07/08/2026 GRAINGER INC General Fund Repair & Maintenance 8.15 600022663 07/08/2026 GRAING ER INC General Fund Repair & Maintenance 4 .16 600022663 07/08/2026 GRAINGER INC General Fund Repai r & Maintenance 8 .70 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease -Equipment 40.92 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease-Equi pment 40.92 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease -Equipment 930.53 600022664 07/08/2026 KBA DOCUMEN T SOLUTIONS, LLC General Fund Lease-Equ i pment 930.53 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lea se-Equipment 601.86 600022664 07/08/2026 KBA DOCUMENT SO LUTIONS, LLC General Fund Lease -Equipment 601.86 600022664 07/08/2026 KBA DO CUME NT SO LUTIONS, LLC Genera l Fund Lease -Equipment 895.58 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC Genera l Fund Lease -Equipment 895.58 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease-Equipment 2,009.37 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease -Equipment 2,009.37 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease -Equipment 400.19 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease -Equipment 400.19 600022664 07/08/2026 KBA DO CUME NT SOLUT ION S, LLC General Fund Lease-Eq uipment 264.37 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease-Equipment 264.37 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease-Equipment 400.19 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease-Equipment 400.19 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease-E qu ipment 496.76 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fu nd Lease-E qu ipment 496.76 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease -Equipment 400.19 600022664 07/08/2026 KBA DOCUMENT SOLUTION S, LLC General Fund Lease -Equipment 400.19 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease-Equipment 400.19 600022664 07/08/2026 KBA DOCUMENT SOLUTIONS, LLC General Fund Lease-Equ ipment 400.19 600022665 07/08/2026 KELLER SUPPLY COMPANY General Fund Repa ir & Maintena nce 101.50 600022665 07/08/2026 KELLER SUPPLY COM PANY Genera l Fund Repair & Maintenance (1 5.78) 600022666 07/08/2026 MCCROMETER IN C Water Utility Fund Repa ir & Maintenance 1,418.51 600022667 07/08/2026 MOONLIGHT BPO LLC Sewer Utility Fu nd Postage & Shippi ng 10.99 600022667 07/08/2026 MOONLIGHT BPO LLC Water Utility Fund Postage & Shippi ng 10.98 600022668 07/08/2026 LAKE PARTS IN C Fleet Services ISF Fleet Veh Repa irs for WTR 100.13 600022668 07/08/2026 LAKE PARTS INC Fleet Services ISF Fleet Veh Repa irs for Police 543.03 600022668 07/08/2026 LAKE PARTS INC Fleet Services ISF Specia l Dept Expense 337.73 600022668 07/08/2026 LAKE PARTS INC Fleet Services ISF Spec ial Dept Expen se 53.37 600022668 07/08/2026 LAKE PAR TS INC Fleet Services ISF Specia l Dept Expen se 57.82 600022668 07/08/2026 LAKE PARTS INC Fleet Services ISF Special Dept Expe nse (476.38) 600022669 07/08/2026 ROLANDO GARCIA Fl eet Serv ices ISF Uniform Purchase 435.38 600022670 07/08/2026 GRACE MCDONALD General Fund An i mal Shelter Fees 100.00 600022671 07/08/2026 PACE SUPPLY General Fund Repa ir & Maintenance (10.60) 600022671 07/08/2026 PACE SUPPLY General Fund Repair & Maintenance 530.11 Page 11 of 15 CHECK NUMBER CH ECK DATE VENDOR NAME FUND ACCO UNT AMOUNT 600022671 07/08/202 6 PACE SU PPLY General Fund Repair & Maintenance (4 55.40) 600022671 07/08/202 6 PACE SU PPLY General Fu nd Repair & Maintenance (1 .77) 600022671 07/08/2026 PA CE SUPPLY General Fund Repair & Maintenance 88.51 600022671 07/08/2026 PA CE SUPP LY Genera l Fund Spe ci al Dept Expense (2 .03) 600022671 07/08/2026 PACE SUPPLY General Fund Special Dept Exp ense 101.42 600022672 07/08/2026 PET ERSON MECHANICA L INC General Fu nd Repai r & Maintenance 9,168.00 600022672 07/08/2026 PETERSON MECHAN ICAL INC General Fund Rep ai r & Maintenance 2,890.00 600022673 07/08/2026 PLATINUM CHEVROLET Fleet Services ISF Fleet Veh Repa i r s for Po lice 30.00 600022673 07/08/2026 PLATINUM CHEVROLET Fleet Services ISF Special Dept Expense 71 .71 600022674 07/08/2026 POWERPLAN Fleet Services ISF Fle e t Veh Repa irs for Parks 93 .74 600022674 07/08/2026 POWERPLAN Fleet Services ISF Fl eet Veh Repairs for Parks 120.20 600022675 07/08/2026 R3 CONSULTING GROUP General Fund Con tract -Outside Services 3,300.00 600022676 07/08/2026 REDWOOD LOCK INC General Fund Repair & Maintena n ce 47 .19 600022676 07/08/2026 REDWOOD LOCK INC Genera l Fund Repair & Maintenance 167.50 600022676 07/08/2026 REDWOOD LOCK INC Gene ra l Fund Repair & Maintenance 1,279 .34 600022676 07/08/2026 REDWOOD LOC K INC General Fund Repa ir & Maintenance 146.25 600022676 07/08/2026 REDWOOD LOCK INC General Fund Repair & Maintenance 724.39 600022676 07/08/2026 REDWOOD LOCK INC General Fu nd Repair & Mai ntenance 85.44 600022676 07/08/2026 REDWOOD LOCK INC General Fund Repair & Mai ntenance 167.50 600022676 07/08/2026 REDWOOD LOCK INC General Fund Specia l Dept Expense 167.50 600022677 07/08/2026 REFRIGERATION SUPPLIES DISTRIBUTOR General Fu nd Rep air & Maintenance 3 63 .01 600022678 07/08/2026 FMA INC Water Utility Fund Rep ai r & Maintenance 325.00 600022679 07/08/2026 RELI ABLE HA RDWARE & STEEL CO General Fu nd Special Dept Expense 233.88 600022679 07/08/2026 RELI ABL E HA RDWARE & STEEL CO Government CI P Capital Projects 287.40 600022680 07/08/2026 RGH GEOTECHNICAL & EN V IRONMENTAL CONSU LTAN TS INC Sewer CIP Cap ital Projects 8,467.50 600022681 07/08/2026 CLIFFORD LEE HILL General Fund Co ntract -Outside Services 2,790.00 600022682 07/08/2026 STEVEN GROVER AND ASSOC IATES Government CI P Capita l Pr ojects 20,752 .22 600022683 07/08/2026 CO LLEEN HOLLY HUNT General Fu nd Contract -Outside Services 4 15 .00 600022684 07/08/2026 SUZANNE BONTEMPO General Fund Co ntr ac t -Outside Services 656.95 600022685 07/08/2026 SWIFT BIOLOG ICAL CONSULTING LLC General Fund Contract -Outside Services 2,641.60 600022686 07/08/2026 TAMARA GROSE Genera l Fund Unearned-Refd Outside Evnt 12,656.0 0 600022686 07/08/2026 TAMARA GROSE Genera l Fund Pro gram Revenue-Box Office (1,265 .60) 600022687 07/08/2026 US BANK Genera l Fund Othr Accrued Liab-P Card 8,30 8 .50 600022688 07/08/2026 WATER ONE INDUSTRIES INC General Fund Repair & Maintenance 275.00 600022688 07/08/2026 WATER ONE INDUSTRI ES INC General Fund Repair & Maintenance 131 .70 600022688 07/08/2026 WATER ONE INDUST RIES INC General Fund Repai r & Maintenance 275.00 600022689 07/08/2026 WES TERN EXTERM I NATOR General Fund Con tract -Outside Se rvices 168.41 600022689 07/08/2026 WESTERN EXT ERMINATOR General Fund Contract -Outside Services 168.4 1 600022689 07/08/2026 WESTERN EXTERMINATOR General Fu nd Contract • Out side Services 92.42 600022689 07/08/2026 WESTERN EXTERMINATOR General Fund Contract -Outside Services 87.58 600022689 07/08/2026 WESTE RN EXTERM INATOR Genera l Fu nd Con t ract -Out si d e Services 168.41 600022689 07/08/2026 WESTERN EXTERM INATOR General Fu nd Contract -Outside Services 79.55 600022689 07/08/2026 WESTERN EXTERM INATOR General Fu nd Contract -Outside Services 98.52 600022689 07/08/2026 WESTERN EXTERM INATOR General Fund Contract -Outside Services 168.41 60002 2689 07/08/2026 WESTERN EXTER MINATOR Ge n eral Fund Contract -Outside Services 79.55 Page 12 of 15 CHEC K NUMBER CHECK DATE VENDOR NAME FUND AC COUNT AMOUNT 600022689 07/08/2026 WESTERN EXTERMINATOR Gene ral Fund Contract -Outside Services 98.52 600022689 07/08/2026 WESTERN EXTERMINATOR General Fund Contract -Outside Services 115.56' 600022689 07/08/2026 WESTERN EXTERMINATOR Gene ral Fund Contract -Outside Se rvices 98.61 600022689 07/08/2026 WESTERN EXTERMINATOR General Fund Contract -Outside Services 224.54 600022689 07/08/2026 WESTERN EXTERM INATOR Ge neral Fund Contract -Outside Services 115.56 600022689 07/08/2026 WESTERN EXTERMINATOR Sewer Utility Fu nd Contract -Outside Services 205.12 600022690 07/08/2026 WYATT IRRIGATION CO General Fund Special Dept Expense 826 .82 600022690 07/08/2026 WYATT IRRIGATION CO Measure M Parks Special Dept Expense 1,908.54 600022691 07/10/2026 ACCESS CIG LL C General Fund Contract -Outside Services 29.65 600022691 07/10/2026 ACCESS CIG LL C General Fund Contract -Outside Services 115.41 600022691 07/10/2026 ACCESS CIG LLC General Fund Contract -Outsi de Services 23 .72 600022691 07/10/2026 ACCESS CIG LLC General Fund Contract -Outside Services 28.17 600022691 07/10/2026 ACCESS CIG LLC General Fund Co ntract -Outside Services 66.72 600022692 07/10/2026 BARTLEY PUMP PM LLC M easure M Parks Special Dept Expense 4,199.88 600022693 07/10/2026 BURKE W ILLIAMS & SORENSEN LLP Genera l Fund Professional Legal Fe es 800.80 600022694 07/10/2026 CELLCO PARTNERSH IP W ater Util ity Fund Communication-Ph one 227.98 600022694 07/10/2026 CELLCO PARTNERSHIP Recycled W ater Utility Fund Co mmunication-Phone 37.99 600022695 07/10/2026 COMPLETE WE LDERS SU PPLY General Fu nd Other Exp -First Aid Supplies 222.40 600022695 07/10/2026 COMPLETE WELDERS SUP PLY General Fund Animal Cli n ic Non-Eligible 51.10 600022695 07/10/2026 COMPLETE WELDERS SUPPLY General Fund Animal Cli nic Non-Eligible 52.52 600022696 07/10/2026 BUTLER AN IMAL HEALTH HOLDIN G COMPANY LLC General Fund Ani m al Clinic Non-Eligible 469.42 600022696 07/10/2026 BUTLER ANIMAL HEALTH HOLDIN G COMPANY LLC Genera l Fund A nim al Cl i n ic Non-Eligible 115.54 600022696 07/10/2026 BUTLER ANI MAL HEAL TH HOLDIN G COMPA NY LLC General Fund Animal Clinic Non-Eligible 279.35 600022696 07/10/2026 BU TLER ANIMAL HEAL TH HO LDING COMPANY LLC General Fund Animal Clinic Non-Eligible 742.45 600022696 07/10/2026 BUTLER ANIM AL HE ALTH HOLDING COMPAN Y LLC General Fund Animal Cl inic Non-Eligible 126.88 600022697 07/10/2026 CREAMS HEAVY DUTY TOWING General Fund Travel and T raini ng 870.00 600022697 07/10/2026 CREAMS HEAVY DUTY TOWING Fleet Services ISF Fleet Veh Repairs for Po l ice 150.00 600022697 07/10/2026 CREAMS HEAVY DUTY TOWING Fleet Services ISF Fleet Veh Repairs for Police 150.00 600022698 07/10/2026 REDACTED RETIREE General Fund Benefit Medical Reimb 311.00 600022699 07/10/2026 DC ELECTR IC GROUP INC General Fun d Contract -Outside Services 192.51 600022700 07/10/2026 DEPT OF GENERAL SE RV ICES CA Disability Act Fee Othr Accrued Liab .CDA-581186 1,055.66 600022700 07/10/2026 DEPT OF GENERAL SERVICES CA Disability Act Fee Cal Disability 581186 Revenue (950.09) 600022701 07/10/2026 DONN IE FRANK General Fund Co ntract -Outside Se rvices 1,250.00 600022702 07/10/2026 DUDEK Graton JEPA Wilfred Contract -Outside Services 4 62.50 600022703 07/10/2026 GRAIN GER IN C General Fund Special Dept Expense 326.72 600022704 07/10/2026 HANSEL FO RD I NC Fleet Services ISF Fleet Veh Repairs for Pol ice 202.40 60002270 4 07/10/2026 HANSEL FORD INC Fleet Services ISF Fleet Veh Repairs for Police 483 .36 600022704 07/10/2026 HANSEL FORD I NC Fleet Services ISF Fl eet Veh Repairs for Police 251.47 600022704 07/10/2026 HANSEL FORD I NC Fleet Services ISF Fl eet Veh Repairs for Police 1,146.93 600022705 07/10/2026 HORIZON DI STRIBUTORS INC Ge neral Fund Special Dept Expense 210.66 600022706 07/10/2026 MARK PIPPIN Fleet Services ISF Uniform Purchase 276.57 600022707 07/10/2026 JOHN DEERE FIN ANCIA L Fleet Services ISF Fleet Veh Repairs for Parks 1,198.55 600022707 07/10/2026 JOHN DEERE FIN ANCIA L General Fu nd Special Dept Expense 397 .88 600022708 07/10/2026 MES I ACQU ISITION INC General Fund Other Exp-Structural Fi re PPE 181.58 600022709 07/10/2026 REDACTED RE TIREE General Fund Benefit Medical Re im b 1,175.80 Page 13 of 15 CH ECK NUMBER CHECK DATE VE NDOR N AME FUND ACCO UNT AMOUNT 600022710 07/10/2026 MOONLIGHT BPO LLC Sewer Utility Fund Po stage & Shipping 152.51 600022710 07/10/2026 MOON LIGHT BPO LLC Water Utility Fund Postage & Shipping 152.50 600022711 07/10/2026 MWI VETER INARY SUPPLY CO General Fund Animal Cl inic Non-Eligible 893.30 600022711 07/10/2026 MWI VETER INARY SUPPLY CO Genera l Fund Anim al Cl inic Non-Elig ible 378.30 600022712 07/10/2026 LAKE PARTS INC Fleet Services ISF Fleet Veh Repairs for SWR 237 .64 600022712 07/10/2026 LAKE PARTS INC Fleet Services ISF Special Dept Expense 159.36 600022713 07/10/2026 NICK BARBIERI TRUCK ING LLC General Fund Inventories -Diesel 616.47 600022713 07/10/2026 NICK BARB IERI TRUCKING LL C General Fund Inventories -Unleaded 400.76 600022713 07/10/2026 NICK BARB IERI TRUCK ING LL C General Fund Inve ntories -Unlead ed 1,117.66 600 022713 07/10/2026 NICK BARBIERI TRUCK ING LL C General Fund Inventories -Unleaded 1,5 62.81 600022713 07/10/2026 NICK BARB IERI TRUCK ING LL C General Fund Fuel 1,101.70 600022713 07/10/2026 NICK BARB IERI TRUCKING LL C General Fund Fue l 425.50 600022713 07/10/2026 NICK BARB IERI TRUCK IN G LLC General Fund Fue l 388.46 600022713 07/10/2026 NICK BARB IERI TRUCK I NG LL C General Fund Fue l 515.89 600022713 07/10/2026 NICK BARBIERI TRUCKING LLC General Fund Fu el 1,367.99 600022713 07/10/2026 NICK BARBIERI TRUCKING LLC General Fund Fue l 451.71 600022713 07/10/2026 NICK BARBIERI TRUC KING LLC General Fund Fuel 134.94 600022713 07/10/2026 NI CK BARBIER I TRUCKING LLC General Fund Fuel 479.55 600022713 07/10/2026 NICK BARBIER I TRUCKING LLC General Fund Fuel 629.60 600022714 07/10/2026 NON STOP TOWING General Fund Contract -Outside Services 1,500.00 600022715 07/10/2026 NORTHGATES IN MOTION INC General Fund Repair & Maintenance 240.00 600022716 07/10/2026 BENCHMARK CIVIL CONSTRUCTION General Fund Permit Fire Plan Check 200.00 600022717 07/10/2026 BRIAN CARRENO General Fund Animal Shelter Fees 50.00 600022717 07/10/2026 BRIAN CARRENO General Fund Donations Revenue 9.85 600022717 07/10/2026 BRIAN CARRENO General Fund License & Permi ts -AS 18.00 600022718 07/10/2026 PACE SUPPLY General Fund Repair & Maintenance (3.43) 600022718 07/10/2026 PACE SUPPLY General Fu nd Repair & Maintenance 171.71 600022718 07/10/2026 PACE SUPPLY General Fund Repair & Maintenance (28.50) 600022718 07/10/2026 PACE SUPPLY Gene r al Fund Repair & Maintenance 1,425.24 600022718 07/10/2026 PACE SUPPLY General Fund Repair & Maintenance {1.57) 600022718 07/10/2026 PACE SUPPLY General Fund Repa ir & Maintenance 78 .39 600022718 07/10/2026 PACE SUPPLY General Fund Repair & Maintenance {3.85) 600022718 07/10/2026 PACE SUPPLY General Fund Repair & Maintenance 192.56 600022718 07/10/2026 PACE SUPPLY General Fund Repair & Maintenance (12.46) 600022718 07/10/2026 PACE SUPPLY General Fund Repair & Maintenance 622 .84 600022718 07/10/2026 PACE SUPPLY Sewer Utility Fund Repair & Maintenance 17.44 600022718 07/10/2026 PACE SUPPLY Sewer Utility Fund Repair & Maintenance 58.06 600022719 07/10/2026 PACIF IC GAS & ELECTRIC General Fund Utility-Electric 67.03 600022720 07/10/2026 PACIF IC GAS & ELECT RIC General Fund Utility-Electric 13.82 600022721 07/10/2026 PACIFIC GAS & ELECTRIC General Fund Utility-Electric 5,232.21 600022722 07/10/2026 PACIF IC GAS & ELECTRIC General Fund Utility-Electric 16,934.59 600022722 07/10/2026 PACIF IC GAS & ELECTRIC Graton JEPA Wilfred Utility-Elec tric 192.12 600022722 07 /10/2026 PACIFIC GAS & ELECTRIC General Fund Debt-Principal 5,456.87 600022723 07/10/2026 PACIFIC GAS & ELECTRIC General Fund Utility-Electric 64.30 600022724 07/10/2026 DAV IDE RAU Measure M Parks Other Exp-Special Events 500.00 Page 14 of 15 CHECK NUMBER CHECK DATE V ENDOR N AME FUND ACCOUNT AMOUNT 600022725 07/10/2026 REDWING BUS INESS ADVANTAGE ACCOUNT General Fund Uniform Purchase 329.39 600022726 07/10/2026 REDWOOD LOCK INC Sewer Utility Fund Repair & M aintenance 301.78 ' 600022727 07/10/2026 REXEL USA INC Sewer Utility Fu nd Repair & Maintenance 209.22 600022728 07/10/2026 SANTA ROSA JUN IOR CO LLE GE General Fund Travel and Training 10,302.00 600022729 07/10/2026 SANTA ROSA UNIFORM & CAREER APPAREL General Fund Uniform Pu rchase 1,108.55 600022729 07/10/2026 SANTA ROSA UNI FORM & CAREER APPAREL General Fund Uniform Purchase 101.04 600022729 07/10/2026 SANTA ROSA UNIFORM & CAREER APPAREL General Fund Uniform Purchase 707.47 600022729 07/10/2026 SANTA ROSA UNIFOR M & CAREER APPAREL General Fund Uniform Purchase 679.97 600022730 07/10/2026 SHERW IN W I LLIAMS General Fund Repair & Maintenance 22 .85 600022731 07/10/2026 SOILAND CO INC Water Util ity Fund Other Exp-Repair System 184.80 600022732 07/10/2026 COLLE EN HOLLY HUNT General Fund Contract -Outside Services 26 ,758.40 600022733 07/10/2026 SYA R INDUST RIES I NC Water Utility Fund Other Exp-Repa ir System 199.84 600022734 07/10/2026 T-MOBILE General Fund Contract -Outside Services 50.00 600022735 07/10/2026 MICHAEL SUTLIFF Sewer Utility Fund Rental-Equipment 1,853.62 600022736 07/10/2026 TRANSUN ION General Fund Contract -Outside Services 207.80 600022737 07/10/2026 TRENTMAN CO RP General Fund Special Dept Expense 455 .32 600022738 07/10/2026 TRI -TECH FORENSICS I NC General Fund Special Dept Expense 840.73 600022739 07/10/2026 UCPNB General Fund Contract -Outside Services 3,500.00 600022740 07/10/2026 UNITED RENTALS NORTH AMERICAN INC General Fund Special Dept Expense 76 .32 600022741 07/10/2026 HD SUPPLY INC Water Util ity Fund Speci al Dept Expense 53.02 600022742 07/10/2026 WERLE ENTERPR ISE LL C Sewer Utility Fund Office Expense 526 .00 600022742 07/10/2026 WERLE EN TERPR ISE LLC Water Utilit y Fund Office Expense 526 .00 600022743 07/10/2026 WEST COUNTY TOOL & EQUIPMENT Fleet Services ISF Equipment Small Office & Tool 812.19 600022743 07/10/2026 WEST COUNTY TOOL & EQUIPMENT Fleet Services ISF Specia I Dept Expense 628.51 600022744 07/10/2026 GCP WW HOLDCO LLC Water Utility Fund Uniform Purchase 142.97 600022745 07/10/2026 ZOETIS General Fund Ani mal Clinic Non-Eligible 69 .69 600022745 07/10/2026 ZOETIS General Fund Animal Cl inic Non-Eligibl e 124.84 600022745 07/10/2026 ZOETIS General Fund Animal Clinic Non-El igible 120.73 600022745 0 7/10/2026 ZOETIS General Fund Ani ma l Cli nic Non-Eligible 209.07 1,350,265.31 Page 15 of 15 Item 7.A.2. City of Rohnert Park Cash Report As of June 30 , 2026 To : The Honorable Mayor & Members of the City Council Marcela Piedra , City Manager From : Betsy Howze rn V Finance Director vft'\ Prepa red By : Angela Hellma n .summary of.General .. Fu.nd .. Cash ................................................................................................................................................................................................................. . . Tota l.Gene ra l .. Fund .. Cash .................................................................................................................................................................................. $ .......... 22 ,402 ,298 .4 1 ... . . Restrict ed .. (Ext ernalt .................................................................................................................................. $ .............. 1.,495 ,597 .. 1.0 .. . . Assigned ................................................................................................................................................................................. 1.8 ,265 ,957 .22 ............................................................. . ..... Subtota.1. (not .. avail a.ble .to .. spend )....................................................................................................................................................... 19 ,761 ,55 4 .32 Un assigned $ 2,640,744.09 Restricted Detail : .......... , ......................................................................................................................................................................................................................................... . . Refundabl e .. De posits .................................................................................................................................... $ ................... 84 1. ,52.3.2 1 ... . . P.~.~·~···qg~~r.i.~.~~i?.~ ... T..ry~t..................................................................................................................... 6 54 ,073 .89 $ 1,495,597 .10 .Assig.ned .. Detail.: .................................................................................................................................................................................................... . . Contin gen.cy.Reserv e ................................................................................................................................. $ .............. 3_. 101.,003 .. 97 ... . . O peratin g Reserve ....................................................................................................................................................... 1.0 ,544,682 .. 39 .. . . Retireme nt .. Reserve ....................................................................................................................................................... 2., 98 1. ,0 13 .60 ... . . Se lf-ln su red .. Losses .. Reserve ............................................................................................................................... 1.,083 ,685.66 ... . . Retiree .H.ealth . Savi ngs .Reserve .......................................................................................................................... 389 , 1.88 .. 59 ... . . Assigned .. FMV.Gain/Loss................................................................................................................. 166,383 .01 $ 18,265,957.22 .Enterprise .. Fund .............................................................................................................................................................................................................................................................. . . Water . Util ity .. Operati ons .. F un.d .......................................................................................................................... ··········································$···········1·0 ,563 ,556 .39 .. . . Wat er .Capacity Fu.nd ............................................................................................................................................................................................................... 2 ,658 ,068 .. 1.2 .. . . capit al .. Prese rvatio n . Wat er .. F un d ......................................................................................................................................................................... 1.1. ,2 17 ,6 03 .26 .. . . Wat er . Cap ital .. Fu nd ...................................................................................................................................................................................................................... (1.65 ,.939 .99) .Recycle .Wat er .. Non-Capita l .. Fund ................................................................................................................................................................................. (14 ,.000 .00) .Wat er . Development .. lm provement .Fund ..................................................................................................................................................................... 18 ,446 .89 .. . . Sewer .Uti li ty Operat io ns .. Fund ................................................................................................................................................................................... 22 ,1.89,993 .99 .. . . Capi t al .. Preservation .Sewer.Fund .......................................................................................................................................................................... },76 1.,.1.55 .7 9 .. . . sewer.Ca pi ta.1 .. Fu.nd ...................................................................................................................................................................................................................... (3 49,.780 .. 1.5) . . Sew er .Non-Capi t al .. Fu nd .............................................................................................................................................................................................................. (5,493 .83) .J EPA .Deposit .-.wastewater .Fund .................................................................................................................................................................................. 550,639 .81 ... . . Recycled .Water .Operat io n .. Fund ............................................................................................................................................................................... 1 ... 334,.375 .03 .. . . Capi ta.I .. Preservat ion .. Recycled .. Water . Fund ....................................................................................................................................................... 1. 04 , 904 . 09 .. . Golf Co urse E nte rprise Fund 1,288,991 .89 Total Enterprise Funds $ 53 ,152 ,521.29 1 of 3 Item 7.A.3. Internal Service Fund Cash City of Rohnert Park Cash Report Continued As of June 30, 2026 Information Technolog_y...:.F..:u::..:n.::.d ____________________ __=.$ __ ...:5:..:.7...:.1,::,2:.::0.::.6·:.::8.::_9 Vehicle/Eq1,1_if.lment Replacement Fund 10,842,834.68 General LiabilitY....:.F..:u::..:nd=----------------------------'-1 "',2:.::62=•c:.7.::.03::.:·.::.6::::_3 Fleet Services Fund 624,824.45 Total Internal Service Funds $ 13,301,569.65 _Special Revenue Funds DIVCA AB2987/PEG Fees Fund $ 704,030.78 General Plan Maintenance Fee Revenue Fund 379,363.80 Traffic Safety Fund 625,289.09 Affordable Housing Linka1,,g::,.e-'-F.::,.ee,c,,..F.:::.uc::nd._ ____________________ ...!1.!..7l!:,0~8::!.4.:.!.7..!....1 Affordable Housing Residential Fee Fund 77,249.07 Homeless Fund (637,604.41) Explorer Program Fund 18,638.55 CA Disability Act Fund 117,946.70 Tree in Lieu Fund 67,625.90 Park in Lieu Fee Fund 1,189,182.65 UDSP Maintenance Annuity Fund 4,473,428.09 Public Facilities Finance Fee Fund 11,645,756.95 Public Facilities Finance Admin Fund 211,350.69 SOMO Regional Traffic Fee Fund 627,673.71 SOMO Climate Action Fee Fund 47,747.25 SOMO Additional Personnel Fee Fund 120,462.37 SOMO Pavement Maintenance/Repavement Fund 38,435.52 SOMO Public Service Fee Fund 199,976.36 CFO Southeast Fund 1,891,321.77 CFO Westside Fund 147,056.19 CFO Bristol Fund 240 489.60 CFO SOMO Fund 216,792.94 CFO Redwood Crossing 32,623.14 Westside LLD Fund 110,809.45 SESP Regional Traffic Fee Fund 1,549,721.61 SESP Valley House Mitigation Fund 381,884.73 SESP Add'I PS Personnel Fund 31 707.81 Rent Appeals Board Fund 256,270.57 Alcohol Beverage Sales Fund 39,840.08 Vehicle Abatement Fund 91,995.62 SLESF Fund 374,393.81 Measure M Parks Fund 1,546,274.44 Enhanced Local Fire Protection Tax Act (Measure H) Fund 3,935,419.55 Measure M Fire Fund 1,071,452.99 Measure M Traffic Fund Go Sonoma Fund Federal Asset Forfeiture Special Revenue Fund State Asset Forfeiture Special Revenue Fund _Spay and Neuter Fee Special Revenue Fund Gas Tax Funds: Sec. 2107 Maint/Const Fund Gas Tax Funds: Sec. 2031 RMRA Fund 2 of 3 1,526,772.57 644,918.22 10.16 56,955.91 15,814.28 3,780,966.29 3,149,096.93 _Special Revenue Funds Continued _Regional Traffic Fee Fund Community Services Facility Fee Fund PAC Capital Reserve Fee Fund _Sport Center Capital Facility Fee Fund Sunrise Park Fee Fund Senior Center Fund Graton Mitigation Fund Graton Supplemental Fund City of Rohnert Park Cash Report Continued As of June 30, 2026 Casino Neighborhood Upgrade Workforce Housing .f.i.!Y. of Rohnert Park Foundation Fund 6.6.2-Wilfred JEPA Fund $ 95,486.07 114,784.91 239,692.93 248,597.37 423,863.67 237,597.11 3,886,718.31 4,933,449.40 4,284,709.25 3,725,683.10 2,099,821.28 381,148.71 Cal Home Loan Housing Proj~e~ct'-F'-u~n-'d~--------------------~=~ RDA Housing Project Fund Total Special Revenue Funds $ 732,996.86 62,420,775.41 _Capital Proj~ec"'-t'-F_u'-n_d_s ___________________________ _ Casino Infrastructure Funding ______________________ --'"---== $ 19,627,814.19 General Fund Infrastructure Funding .fI!Y. Capital Projects Fund Non Capital Project Govt. Fund 2007 R Bond Proceeds Fund Total Capital Projects Funds Permanent Funds Spreckles Donations Fund ·oorothy Spreckels Endowment Fund !ll Total Permanent Funds 17,417,515.18 (~,687,590.02). (41,391.71) 3,317,694.70 $ 36,634,042.34 $ 553,547.79 340,000.00 $ 893,547.79 Trust & Agency-'F-'u""n"'d""s __________________________ _ Federal Seized Assets Fund State Seized Assets Fund Total Trust & Agency Funds Total Cash -All City Funds $ $ $ 353,782.34 108,919.47 462,701.81 189,267,456.70 (1) Per the 1st amendment to the Dorothy Spreckels 1999 Trust, Section 3.4.1; $500,000 is nto be held as an endowment fund. The income of the fund (but no part of the principal or appreciation thereof, realized or unrealized) shall be used for the general charitable purposes of the City of Rohnert Park's Dorothy Rohnert Spreckels Preforming Arts Center." September 1, 2017 Dorothy Spreckels Endowment funds were loaned to the Water Fund at 3% interest. 3 of 3 CITY OF ROHNERT PARK-SCHEDULE OF INVESTMENTS AS OF: June 30, 2026 Maturity Investment Investment Valuation Bank Name T~ee Date % Int. Par Value Market Value Source Exchange Bank Operating Checking Ckg NIA 0.150% $ 7,667,655.67 $ 7,667,655.67 Note (1) Exchange Bank Payroll Checking Ckg NIA 0.000% 732,191.32 732,191.32 Note (1) Exchange Bank Money Market Checking Ckg NIA 3.350% 20,952,244.62 20,952,244.62 Note (1) Exchange Bank FSA Checking Ckg NIA 0.000% 1,907.34 1,907.34 Note (1) Total Business Checking Accounts 2.430% $ 29,353,998.95 $ 29,353,998.95 Cash Drawers Cash NIA 0.000% $ 1,920.25 $ 1,920.25 Note (2) 0.000% $ 1,920.25 $ 1,920.25 Multi-Bank Securities, Inc. Cash and Money Funds NIA 0.000% $ 150,526.84 $ 150,526.84 Note (3) Total MBS Money Funds 0.000% $ 150,526.84 $ 150,526.84 First State Bank CD 07107/26 4.600% $ 249,000.00 $ 249,029.88 Note (3) Maine Community Bank CD 07/07/26 4.600% 249,000.00 249,029.88 Note (3) Connexus Credit Union CD 07113126 5.000% 248,000.00 248,089.28 Note (3) Toyota FinanCi8JSavings Bank CD 07/29/26 0.950% 245,000.00 244,397.30 Note (3) Medallion Bank CD 08131/26 0.850% 245,000.00 243,721.10 Note (3) Connectone Bank CD 09/24/26 0.800% 235,000.00 233,256.30 Note (3) Pentagon Federal Credit Union CD 09/29/26 0.900% 245,000.00 243,135.55 Note (3) First National Bank of America CD 09/30/26 0.850% 245,000.00 243,084.10 Note (3) United Fidelity Bank FBS CD 12/29/26 4.600% 249,000.00 249,734.55 Note (3) Fahey Bank Co CD 12/30/26 4.600% 249,000.00 249,761.94 Note (3) Farmers & Merchants Bank CD 12/30/26 4.600% 249,000.00 249,737.04 Note (3) CIBC Bank USA CD 06/30/27 4.550% 244,000.00 244,993.08 Note (3) New Orleans Firemans Federal Credit Union CD 06/30/27 4.700% 249,000.00 250,389.42 Note (3) St Louis Bank CD 06/30/27 4.550% 249,000.00 250,023.39 Note (3) Enterprise Bank CD 07/12/27 4.550% 249,000.00 250,048.29 Note (3) 1st Financial Bank USA CD 08/02/27 3.300% 245,000.00 242,836.65 Note (3) Capital One National Association CD 08/03/27 3.550% 245,000.00 243,439.35 Note (3) Capital One Bank USA National Association CD 08/03/27 3.550% 245,000.00 243,439.35 Note (3) Capital One National Association (was Discover CD 08/16/27 3.400% 245,000.00 242,260.90 Note (3) US Alliance Federal Credit Union CD 08/26/27 3.450% 245,000.00 243,079.20 Note (3) Highland Bank CD 12/29/27 4.400% 249,000.00 252,852.03 Note (3) Liberty First Credit Union CD 01/17/28 4.400% 246,000.00 246,804.42 Note (3) Signature Federal Credit Union CD 01/31128 4.400% 247,000.00 247,797.81 Note (3) Celtic Bank CD 06/20/28 4.000% 249,000.00 247,929.30 Note (3) Bank of Utah CD 06/27/28 4.000% 245,000.00 243,850.95 Note (3) Citizens State Bank CD 06/30/28 4.350% 249,000.00 253,601.52 Note (3) Farmers & Merchants Bank CD 06/30/28 4.350% 249,000.00 252,294.27 Note (3) First Bank CD 06/30/28 4.400% 249,000.00 252,774.84 Note (3) Global Federal Credit Union CD 06130/28 4.200% 248,000.00 247,856.16 Note (3) Oort Financial Credit Union CD 07/11/28 4.600% 247,000.00 252,048.68 Note (3) Leaders Credit Union CD 10/30/28 5.100% 245,000.00 249,659.90 Note (3) San Francisco· Federal Credit Union CD 11/27/28 4.250% 249,000.00 248,995.02 Note (3) Wells Fargo Bank CD 02113/29 4.100% 247,000.00 246,014.47 Note (3) UBS Bank USA CD 02/14/29 4.100% 245,000.00 244,020.00 Note (3) Beal Bank USA CD 04111/29 4.200% 244,000.00 243,514.44 Note (3) Texas Exchange Bk Crowley CTF CD 07/03/29 3.950% 248,000.00 245,688.64 Note (3) Utah First Fed Credit Union CD 07/16/29 3.900% 249,000.00 246,280.92 Note (3) Covantage Credit Union CD 07/17/29 3.900% 247,000.00 244,278.06 Note (3) Merrick Bank South Jordan Utah CD 09/12/29 3.800% 245,000.00 241,383.80 Note (3) Numerica Credit Union CD 11/26/29 4.150% 247,000.00 245,760.06 Note (3) USF Federal Credit Union CD 11/29/29 4.200% 247,000.00 246,145.38 Note (3) Morgan Stanley Bank CD 05/28/30 4.250% 244,000.00 243,060.60 Note (3) Morgan Stanley Private Bank National CD 05/28/30 4.250% 244,000.00 243,060.60 Note (3) BNY Mellon N.A. lnstl CO Program CD 07/09/30 3.900% 245,000.00 240,940.35 Note (3) Sallie Mae Bank CD 07109/30 4.050% 245,000.00 242,282.95 Note (3) First Community Bank CD 07/16/30 3.800% 248,000.00 242,950.72 Note (3) Optium Bank CD 07/23/30 4.000% 245,000.00 241,805.20 Note (3) Poppy Bank CD 07/31/30 4.000% 245,000.00 241,785.60 Note (3) Bonanza Bank CD 09/30/30 3.650% 245,000.00 238,372.75 Note (3) Greenwood Credit Union CD 10/10/30 3.600% 249,000.00 241,729.20 Note (3) Third Federal Savings & Loan CD 12/19/30 3.750% 245,000.00 238,997.50 Note (3) First National Bank of America CD 12/23/30 3.700% 249,000.00 242,421.42 Note (3) Ocean Air Federal Credit Union CD 01/02/31 3.650% 245,000.00 238,024.85 Note (3) Customer's Bank CD 03/31/31 3.850% 244,000.00 238,712.52 Note (3) Goldman Sachs Bank CD 05/19/31 4.050% 245,000.00 241,672.90 Note (3) State Bank India CD 06/16/31 4.300% 244,000.00 243,416.84 Note (3) Total CD Investments 3.853% $ 13,797,000.00 $ 13,732,271.22 CITY OF ROHNERT PARK-SCHEDULE OF INVESTMENTS AS OF: June 30, 2026 (Cont.) Maturity investment 1nvesunent va1uat1on Bank Name T:tee Date % Int. Par Value Market Value Source United States Treasury Bill U.S. GVT Bonds 01/31128 3.500% $ 1.979,956.52 $ 1,979,920.00 Note (3) United States Treasury Bill U.S. GVT Bonds 02129128 4.000% 6,711,416.54 6.618.677.90 Note (3) United States Treasury Bill U.S. GVT Bonds 01131129 4.000% 2,996,610.73 2,988,180.00 Note (3) United States Treasury Bill U.S. GVT Bonds 02128129 4.000% 6.701.519.92 6,565.851.00 Note (3) United States Treasury Bill U.S. GVT Bonds 12131129 4.375% 3,226,402.07 3,267,422.95 Note (3) United States Treasury Bill U.S. GVT Bonds 02128130 4.000% 6, 713.231.25 6.563.634.00 Note (3) United States Treasury Bill U.S. GVT Bonds 01/31131 4.000% 6,814,685.16 6,646,333.00 Note (3) Total U.S. Treasury Securities 4.006% $ 35,143,822.19 $ 34,630,018.85 MBS Federal Home Ln BKS CONs BD ( C) U.S. GVT Bonds 09115126 0.900% $ 735,000.00 $ 730,450.35 Note (3) MBS Federal Home Ln BKS CONs BD ( C) U.S. GVT Bonds 10114126 1.125% 740,000.00 733,858.00 Note (3) MBS Federal Home Ln BKS CONs BD ( C) U.S. GVT Bonds 08128130 4.300% 980.000.00 968,455.60 Note (3) Total U.S Government Bonds 2.325% $ 2,455,000.00 $ 2,432,763.95 MBS-Municipal Bond. SF City & Cly Rdvlpmt Ag Municipal Bond 08101130 4.221% $ 440.285.25 $ 430,958.85 Note (3) Total Munlclpal Bonds 4.221% $ 440,285.25 $ 430,958.85 MBS-Medium Term Bonds JP Morgan ( C) Corporate Bond 12111130 4.100% $ 2,500,000.00 $ 2,445,975.00 Note (3) MBS -Medium Term Bonds Toyota Motor Corp Corporate Bond 01110/31 4.200% 454.500.00 442,246.50 Note (3) MBS-Medium Tenm Bonds Apollo Global ( C) Corporate Bond 01115131 4.600% 508,500.00 494,350.00 Note (3) MBS-Medium Term Bonds Toyota Motor Corp Corporate Bond 05114131 4.550% 1.004.280.00 992,480.00 Note (3) Total Corporate Bonds 4.268% $ 4,467,280.00 $ 4,375,051.50 Stale of Calif.-LAIF Pooled NIA 3.816% $ 34,823.430.15 $ 34,823,430.15 Note (4) So. Co. lnvestmt. Pool Pooled NIA 4.087% 45,011.535.89 45,011,535.89 Note (5) Rohnert Park Managed Portfolio Pooled NIA 3.950% 22.377.332.11 22.389.003.80 Note (6) Total Managed Pools 3.965% $ 102,212,298.15 $ 102,223,969.84 Subtotal City Investment Portfolios 3.708% $ 188,022,131.63 $ 187,331,480.25 Wilfred Widening Construction Dep Ckg NIA 3.350% $ 106.281.54 $ 106,281.54 Note (7) JEPA Deposit Ckg NIA 3.350% 550,639.81 550.639.81 Note (8) Subtotal Dedicated Portfolios 3.350% $ 656,921.35 $ 656,921.35 Total Pooled Investments $ 188,679,052.98 $ 187,988,401.60 PARS Cash Contribution Trust NIA 4.768% $ 588.403.72 $ 654.073.89 Note (9) Tqtal Pooled Investments & PARS Trust $ 189,267,456.70 $ 188,642,475.49 Note (1) Business Checking Accounts. Note (2) Petty/Cash drawers at each City cash collection site. Note (3) Investments in Certificates of Deposits, T-Bill and Government Bonds Note (4) These are funds Invested in the Local Agency Investment Fund, State of California. Current Market Value and Par Value are typically equal. Interest is received quarterly. Note (5) These are funds invested in the Sonoma County Investment Pool. Current Market Value and Par Value are typically equal. Interest is received quarter1y. Note (6) These funds are managed by Chandler Asset Management. Note (7) These funds are held as a deposit from Graton Tribe for Wilfred Widening project. Note (8) These funds are held as a deposit per section 6.1.1 of the Graton Wastewater JEPA. Note (9) These are funds held U.S. Bank Trustee for Public Agency Retirement Seiv!ces (PARS). POOLED INVESTMENT SUMMARY BY TYPE June 30, 2026 # of ¾of Avg. Average Days Investment T;tee Investments Portfolio YTM Par Value Market Value Until Maturl!;t Business Checking 4 15.56% 2.430% $ 29.353.998.95 $ 29.353.998.95 NA Cash Drawers 0 0.00% 0.000% 1,920.25 1,920.25 NA MBS Money Funds 1 0.08% 0.000% 150,526.84 150.526.84 NA MBS CD Investments 56 7.31% 3.853% 13.797.000.00 13,732,271.22 831 MBS U.S. Treasury Securities 7 18.63% 4.006% 35,143,822.19 34,630,018.85 955 MBS U.S. Government Bonds 3 1.30% 2.325% 2,455,000.00 2,432,763.95 568 MBS Municipal Bonds 1 0.23% 4.221% 440,285.25 430,958.85 1,493 MBS Medium Term Bonds 4 2.38% 4.268% 4,467,280.00 4,375,051.50 1,643 Managed Pools (LAIF/SCIPIRPMP) 3 54.17% 3.965% 102,212,298.15 102,223,969.84 NA Dedicated Portfolios 2 0.35% 3.350% 656,921.35 656.921.35 NA Total Pooled Investments* 8~ ~DO.DD~o $ 188,i:17!:i,052.98 $ 187,988 1;JDi.60 • Does not Include PARS Cash Contribution MINUTES OF THE JOINT REGULAR MEETING OF THE CITY OF ROHNERT PARK City Council Rohnert Park Financing Authority Successor Agency to the Community Development Commission Tuesday, July 14, 2026 1. CITY COUNCIL/RPFA/SUCCESSOR AGENCY TO THE CDC JOINT REGULAR MEETING - CALL TO ORDER/ROLL CALL Mayor Sanborn called the joint regular meeting to order at 5:30 p.m., which was legally noticed on July 9, 2026. Council Present: Emily Sanborn, Mayor Jackie Elward, Vice Mayor Susan H. Adams, Councilmember Gerard Giudice, Councilmember Samantha Rodriguez, Councilmember Staff present: City Manager Piedra, City Attorney Kenyon, Interim Director of Public Safety Mattos, Director of Public Works Hendersen, Director of Human Resources Rankin, Senior Planner Pickett, Assistant Planner Sherpa, General Services Operations Manager Bunte, Information Systems Operations Analyst Son, Assistant City Clerk Machado and City Clerk Lopez Cuevas. 2. READING OF THE LAND ACKNOWLEDGMENT Read by Mayor Sanborn. 3. PLEDGE OF ALLEGIANCE Led by Mayor Sanborn. 4. PRESENTATIONS A. Introduction and Pinning Ceremony for New Public Safety Officers Roberto Balandran, CJ Engelstad, and Tyler Rowlands. Interim Chief Mattos introduced each one of the new officers and each one of them received their new badge, which was pinned onto the officer's uniform by their family members. 5. DEPARTMENT HEAD BRIEFINGS None. 6. PUBLIC COMMENTS Peter Alexander spoke about provocative poetry and horses. Item 7.B. City of Rohnert Park Joint Regular Meeting Minutes for City Council July 14, 2026 RPFA/CDC Successor Agency Page 2 of 3 7. CONSENT CALENDAR 7.A Acceptance of City Bills/Demands for Payment dated June 5, 2026 through June 29, 2026 Report from Finance Department 7.B Approve City Council Meeting Minutes 1. City Council/RPFA/Successor Agency Joint Regular Meeting Minutes for June 23, 2026 2. City Council Closed Session Meeting Minutes for June 23, 2026 7.C Receive Progress Report on the Status of the Emergency Public Safety Antenna and Radio System Replacement Project (CIP2412), as required by the Public Contract Code and by Minute Order, authorize the continuation of Resolution 2024-051 until the emergency action is completed 7.D Waive the Second Reading of, and Adopt Ordinance No. 996, an Ordinance Making Revisions to Rohnert Park Municipal Code Chapter 17.10 to Increase the Minimum Density on Certain Low-Income Housing Element Sites to Ensure Consistency with the Housing Element and Comply with State Housing Law (CEQA Status: Consistent with the Negative Declaration for the Housing Element; Exempt from CEQA under CEQA Guidelines Section 15061(b)(3); Exempt from CEQA under Public Resources Code Section 21080.085) 7.E Waive the Second Reading of, and Adopt Ordinance No. 997, an Ordinance Amending Group Home Regulations in the Rohnert Park Municipal Code to Implement Housing Element Program HO-2.C Zoning for a Variety of Housing Types and to ensure consistency with State Housing and Fair Housing Law including Minor Technical Amendments and Clarifications (CEQA Status: Consistent with the Negative Declaration for the Housing Element; Exempt from CEQA under CEQA Guidelines Section 15061(b)(3); Exempt from CEQA under Public Resources Code Section 21080.085) 7.F Adopt Resolution 2026-059 Authorizing and Accepting the State of California Office of Traffic Safety (OTS) Selective Traffic Enforcement Program (STEP) Grant Agreement and Amending the FY 2026-27 Operating Budget in the Amount of $63,700 7.G Adopt Resolution 2026-060 Amending the City Council Protocols (the Established Procedural Rules for the Conduct of City Council Meetings and Council Business Policy Number 1.02.001) Councilmember Rodriguez stated that she would abstain from voting on item 7.B. because she was not present at the June 23, 2026, meeting. ACTION: Moved/seconded (Giudice/Rodriguez) to approve the consent calendar. Items 7.A., 7.C., 7.D., 7.E., 7.F., and 7.G. were adopted the following unanimous 5-0-0-0 roll call vote: AYES: Adams, Giudice, Rodriguez, Elward, and Sanborn, NOES: None, ABSENT: None, ABSTAINS: None. City of Rohnert Park Joint Regular Meeting Minutes for City Council July 14, 2026 RPFA/CDC Successor Agency Page 3 of 3 Items 7.B. was adopted the following 4-0-0-1 roll call vote: AYES: Adams, Giudice, Elward, and Sanborn, NOES: None, ABSENT: None, ABSTAINS: Rodriguez. 8.REGULAR ITEMS None. 9.COMMITTEE / LIAISON/ OTHER REPORTS Councilmembers reported on their participation in City Standing Committees, Council Liaison Assignments, Outside Agency activities, and Mayor and Councilmember appointments, including reports provided pursuant to Government Code Section 53232.3(d). 10.COMMUNICATIONS Councilmember Rodriguez shared information on the Hahn Outdoor Ed golf tournament fundraiser opportunities. 11.ADDING AGENDA ITEMS TO A FUTURE CITY COUNCIL MEETING AGENDA Councilmember Rodriguez requested an item be added to a future agenda to discuss Flock Cameras. The request was supported by Vice Mayor Elward. 12.PUBLIC COMMENT Steve Keith read a poem named “Beat Up Canoe.” 13.ADJOURNMENT Mayor Sanborn adjourned the meeting at 6:00 p.m. _______________________________________________________________________ Sylvia Lopez Cuevas, City Clerk Emily Sanborn, Mayor City of Rohnert Park City of Rohnert Park ITEM NO. 7.C. 1 Meeting Date: July 28, 2026 Department: Public Safety Submitted By: Tim Mattos, Director of Public Safety tmattos@rpcity.org 707-584-2650 Agenda Title: Receive Progress Report on the Status of the Emergency Public Safety Antenna and Radio System Replacement Project (CIP2412), as required by the Public Contract Code and by Minute Order, authorize the continuation of Resolution 2024-051 until the emergency action is completed. (Item presented by Director of Public Safety Tim Mattos) RECOMMENDED ACTIONS: 1. Receive Progress Report on the Status of the Emergency Public Safety Antenna and Radio System Replacement Project (CIP2412), as required by the Public Contract Code and 2. By Minute Order, authorize the continuation of Resolution 2024-051 until the emergency action is completed. BACKGROUND AND ANALYSIS: On June 25, 2024, the Rohnert Park City Council adopted Resolution 2024-051 Declaring an Emergency Project Pursuant to Public Contract Code Sections 20168 and 22050, Amending the Fiscal Year (FY) 2023-24 Capital Improvement Plan to Add the Public Safety Antenna and Radio System Replacement Project (CIP2412) with a project budget of $1,500,000, Approving a budget Amendment to Transfer $1,500,000 from Non-Departmental Operating Fund, Equipment Over $5,000 to the new CIP2412 Project, and award the Construction Contract to Dailey-Wells. The City Council is required to review the status of this emergency project at each regular meeting of the City Council and vote to authorize the continuation of Resolution 2024-051 until the emergency action is completed. Staff previously reported that electrical upgrades were needed at all the City radio antenna sites. The City contracted with CM Taylor, Inc. to complete the electrical work and with Dailey & Wells to reinforce the cell tower base at Magnolia Park due to a structural issue. Building permits for this work were secured, and the electrical upgrades at the Pump Station, Fire Station No. 2, and Magnolia Park are now complete. The structural modifications at Magnolia Park have also been successfully finished. The radio antenna replacement and microwave dish installation have been completed; however, staff and Dailey & Wells have been monitoring and troubleshooting various issues with coverage and interference throughout the City. Regarding coverage, with the help of officers reporting issues in the field, Dailey &Wells mapped out the existing radio coverage in the City and found a lack of radio coverage spanning from A Mission Statement “We Care for Our Residents by Working Together to Build a Better Community for Today and Tomorrow.” CITY OF ROHNERT PARK CITY COUNCIL AGENDA REPORT ITEM NO. 7.C. 2 Section to K Section, crossing over Public Safety Main, and all along the eastern boundary of the City. For both the safety of the officers, and residents of Rohnert Park, staff have continued to work with Dailey & Wells to find solutions to the coverage issues and has recommended that the City install two (2) additional radio antenna sites to increase coverage over the City. The first location is on the roof of Public Safety Main. The second proposed location is at the City’s Water Tank 8 Site and was specifically identified due to coverage needs along the eastern boundary of the City. This site is the tallest point in the City, and will greatly broaden the needed coverage throughout the K and W sections, today, and as development continues. The following are updates on items reported to the Council on July 14, 2026: • Interference - the Federal Communications Commission (FCC) conducted a site visit and confirmed the interference, however, they could not locate the source without needing additional tools and equipment. Staff held an additional meeting with the FCC to scope out where the equipment will be temporarily placed. It was determined on the roof at the Public Works Corporation Yard (Corp Yard) would be the best option given the height and location of the building. This, along with the FCC’s ability to utilize other equipment in the County, will allow them to track and triangulate where the interference is coming from. Mounting of the equipment at the Corp Yard was completed on May 8th and the removal of the equipment was completed on July 2, 2026. Staff is waiting to meet with the FCC to hear of their findings. • Public Safety Main Roof Radio Antenna Replacement - the tower guide wires were replaced the week of May 4th, and the antenna replacement on the roof was completed the week of May 18th. The contractor also completed installing antennas inside the building to better radio communications throughout the facility in mid-June. Rack equipment install inside the server room is scheduled for July 23rd. • Phase 2 of this Project - the work at the Tank 8 location, staff continues to work with Dailey Wells on the project feasibility and scope. Staff has reached out to a consultant to assist in environmental requirements for the project. ENVIRONMENTAL ANALYSIS: This action is exempt from the California Environmental Quality Act (“CEQA”) because it does not qualify as a “project” pursuant to Public Resource Code Section 21065 and CEQA Guidelines Sections 15320, 15378 and 15061(b)(3), because it can be seen with certainty that there is no possibility the City’s action would cause either a direct physical change in the environment or a reasonably foreseeable indirect physical change in the environment. Public Safety Antenna and Radio System Replacement Project (CIP2412) involves replacement of existing equipment and is categorically exempt from the requirements CEQA pursuant CEQA Guidelines sections 15301 (Existing Facilities) and 15302 (Replacement or Reconstruction without an increase in use), (14 Cal. Code Regis. §§ 15301, 15302). STRATEGIC PLAN AND COUNCIL PRIORITIES ALIGNMENT: Presenting this progress report is consistent with the City’s values of communication and integrity and the City’s strategic priority Goal C “Ensure the effective delivery of public services.” ITEM NO. 7.C. 3 OPTIONS CONSIDERED: 1. Receive Progress Report on the Status of the Emergency Public Safety Antenna and Radio System Replacement Project (CIP2412), as required by the Public Contract Code and by Minute Order, authorize the continuation of Resolution 2024-051 until the emergency action is completed. 2. No other options were considered as this action is required by law and by Council Resolution 2024-051. FISCAL IMPACT: There is no fiscal impact associated with the progress report. Department Head Approval Date: 7/9/2026 City Attorney Approval Date: N/A Finance Director Approval Date: N/A Acting City Manager Approval Date: 7/10/2026 Attachments: 1. None. ITEM NO. 1 Meeting Date: July 28, 2026 Department: Administration Submitted By: Sylvia Lopez Cuevas, City Clerk Prepared By: Sylvia Lopez Cuevas, City Clerk cityclerk@rpcity.org 707-588-2227 Agenda Title: By Minute Order, Authorize Councilmember Rodriguez Out of State Training and Travel Consistent with City Council Expense Reimbursement Policy (Resolution No. 2015‑151) RECOMMENDED ACTION: By Minute Order, Authorize Councilmember Rodriguez Out of State Travel to 2026 NAACP in Chicago. BACKGROUND AND ANALYSIS: In accordance with the City Council Expense Reimbursement Policy (Resolution No. 2015‑151), Council approval is required for any out‑of‑state travel. Councilmember Rodriguez is requesting authorization to attend the 2026 NAACP Annual Conference to be held on July 15 through July 22, 2026, in Chicago. The event offers opportunities to engage with state and regional leaders, deepen policy expertise, and foster collaborative programs that directly benefit our community. All expenses will be charged to the Councilmember’s travel and training budget and will adhere to the City’s cost‑containment measures (e.g., use of the most economical transportation, lodging per government rates). Itemized receipts and documentation will be submitted within 30 days of each event. Should expenses exceed available funds, staff will return to Council for further authorization. As required by the City Council Protocols, Councilmembers who attend meetings or conferences at the expense of the City are required to provide a brief report on those activities. Accordingly, Councilmember Rodriguez will provide a brief report regarding her attendance at the conference during the July 28, 2026, City Council meeting. ENVIRONMENTAL ANALYSIS: This action is not a Project under the California Environmental Quality Act (“CEQA”). STRATEGIC PLAN AND COUNCIL PRIORITIES ALIGNMENT: This item aligns with the City’s core values of fiscal responsibility and integrity. Supporting Council training and business travel also reflects the City Council’s priority of Organizational Well-Being, by promoting professional development and informed leadership. Mission Statement “We Care for Our Residents by Working Together to Build a Better Community for Today and Tomorrow.” CITY OF ROHNERT PARK CITY COUNCIL AGENDA REPORT 7.D. ITEM NO. 7.D. 2 OPTIONS CONSIDERED: 1.Staff recommends the City Council approve out‑of‑state training and travel for Councilmember Rodriguez's request made under the City Council Expense Reimbursement Policy. 2. No other options were considered as this action is consistent with the City Council Expense Reimbursement Policy (Resolution No. 2015‑151). FISCAL IMPACT: There is no fiscal impact associated with this action, as each Councilmember has already been provided with a set budget for travel and training. These expenses will be charged to the Councilmember’s travel and training budget. Department Head Approval Date: 7/16/2026 City Attorney Approval Date: N/A Finance Director Approval Date: N/A City Manager Approval Date: 7/16/2026 Attachments: 1.City Council Expense Reimbursement Policy (Resolution No. 2015‑151) ROHNERT PARE CALIFORNIA SUBJECT/TITLE: EXPENSE REIMBURSEMENT FOR CITY COUNCIL CITY OF ROHNERT PARK CITY COUNCIL POLICY POLICY NO:DATE APPROVED:REVISION NUMBER: 1.02.004 9/8/2015 TABLE OF CONTENTS TABLE OF CONTENTS 1. PURPOSE 2.SCOPE 3. BACKGROUND 4. PROVISIONS.... 5. AUTHORIZED EXPENSES.. 1. Examples of Authorized Expenses 1 2 2 2 2 3 3 2. Expenses Requiring City Council Approval 3 3. Personal Expenses 3 6. COST CONTROL.4 1. Budgeting Practices 4 2. Mayor's Supplemental Budget 4 7.TRANSPORTATION 4 1. Airfare 4 2. Automobile 4 3. Car Rental 4. Taxis/Shuttles 8. LODGING. 9. MEALS. 10. TELEPHONE/FAX/CELLULAR 11. AIRPORT PARKING 12. ОТHER EXPENSES. 4 5 5 5 5 6 6 1. Baggage Handling Fees 6 2. Outside Agency Reimbursement 6 3. Parking Fees.6 4. Spreckels Performing Arts Center 6 13. CASH ADVANCES 6 14. CREDIT CARD USE 6 15. EXPENSE REPORT CONTENT AND SUBMISSION DEADLINE 6 16. AUDITS OF EXPENSE REPORTS.7 17. REPORTS TO GOVERNING BOARD 7 18. COMPLIANCE WITH LAWS 7 19. VIOLATION OF THIS POLICY 7 APPENDIX 7 Page 1 of 8 ROHNERT PARPARK CALIFORNIA CITY OF ROHNERT PARK CITY COUNCIL POLICY SUBJECT/TITLE: EXPENSE REIMBURSEMENT FOR CITY COUNCIL POLICY NO:DATE APPROVED:REVISION NUMBER: 1.02.004 1. PURPOSE To establish City of Rohnert Park ("City") policy and prescribe guidelines related to expenses incurred on behalf of, or reimbursed to, elected City Councilmembers. 2. SCOPE This policy applies to all elected City Councilmembers. 3. BACKGROUND Government Code section 36514.5 provides that City Councilmembers may be reimbursed for actual and necessary expenses incurred in the performance of official duties. Assembly Bill 1234, which took effect on January 1, 2006, adds Article 2, 3, commencing with Government Code section 53232, to the Government Code, addressing expense reimbursement to public officials. In addition, City of Rohnert Park Municipal Code Section 2.12.050 - Reimbursement, provides for reimbursement to councilmembers for actual and necessary expenses incurred during the performance of official City duties. 4. PROVISIONS The City takes its stewardship over the use of limited public resources seriously and acknowledges that public resources should only be used when there is substantial benefit to the City from those actions. Such benefits include: 1. The opportunity to discuss the community's concerns with state and federal officials; 2. Participating in regional, state and national organizations whose activities affect the City; 3. Attending educational seminars designed to improve officials' skill and information level; and 4. Promoting public service and morale by recognizing such service. Legislative and other local, regional, state and federal agency business is frequently conducted over meals; sharing a meal with regional, state and federal officials is frequently the best opportunity for a more extensive, focused and uninterrupted communication about the City's policy concerns; and each meal expenditure must comply with the limits and reporting requirements of local, state and federal law. This policy provides guidance to elected and appointed officials on the use and expenditure of City resources, as well as the standards against which those expenditures will be measured. This policy supplements the definition of actual and necessary expenses for purposes of state laws relating to permissible uses of public resources and supplements the definition of necessary and reasonable expenses for purposes of federal and state income tax law. This policy also applies to any councilmember-related charges made to a City credit card or other line of credit with the exception of expenses incurred for city- related event participation fees, and educational and/or training programs. Page 2 of 8 ROHNERT PARK 62 CALIFORNIA SUBJECT/TITLE: CITY OF ROHNERT PARK CITY COUNCIL POLICY POLICY NO:DATE APPROVED:REVISION NUMBER: EXPENSE REIMBURSEMENT FOR CITY COUNCIL 1.02.004 5. AUTHORIZED EXPENSES 1. Examples of Authorized Expenses City funds, equipment, supplies (including letterhead, note cards, and printer cartridges), and staff time must only be used for authorized City business. Any questions regarding the propriety of a particular type of expense should be resolved by the City Council before the expense is incurred. Expenses incurred in connection with the following types of activities generally constitute authorized expenses, as long as the other requirements of this policy are met: a. Communicating with representatives of local, regional, state and national government on City adopted policy positions; b. Attending educational seminars designed to improve officials' skill and information levels; c. Participating in local, regional, state and national organizations whose activities affect the City's interests; d. Recognizing service to the City (for example, thanking a longtime employee with a retirement gift or celebration of nominal value and cost); e. Attending City events; f. Implementing a City-approved strategy for attracting or retaining businesses to the City typically involving at least one staff member; and g. Other actual and necessary expenses incurred for city-related business. 2. Expenses Requiring City Council Approval 3. a. International and out-of-state travel; and b. Expenses which exceed the annual budget limits established for each City Councilmember. Personal Expenses - Examples of personal expenses that the City will not reimburse include, but are not limited to: a. The personal portion of any trip; b. Political or charitable contributions or events; c. Family expenses, including partner's expenses when accompanying official on agency-related business, as well as children or pet-related expenses; d. Entertainment expenses, including theater, movies (either in-room or at the theater), sporting events (including gym, massage and /or golf related expenses), or other cultural events; e. Non-mileage personal automobile expenses, including repairs, traffic citations, insurance or gasoline; and f. Personal losses incurred while on City business. Page 3 of 8 ITEM NO. 8.A. 1 Meeting Date: July 28, 2026 Department: Administration and Information Technologies (IT) Submitted By: Marcela Piedra, City Manager mpiedra@rpcity.org | (707) 588-2243 Prepared By: Desiree McGunagle, Management Analyst & Paul Cotter, IS Operations Manager Agenda Title: Receive an Informational Update Regarding the City of Rohnert Park Brand Refresh and Domain Update to comply with AB 1637 RECOMMENDED ACTION: Receive an informational update regarding the City of Rohnert Park Brand Refresh, including the phased implementation of the refreshed brand and the City’s transition to the rpcity.ca.gov domain in compliance with AB 1637. BACKGROUND: Over time, the City of Rohnert Park’s visual identity evolved in a fragmented manner, with multiple versions of the City logo, varying color palettes, and inconsistent design treatments appearing across departmental materials. This lack of standardization created challenges related to consistency, clarity, and accessibility, particularly as some materials no longer met current Americans with Disability Act (ADA) contrast and usability expectations. In response, the City issued a formal Request for Proposals (“RFP”) in 2025 to modernize the City’s visual identity while honoring its heritage, improving consistency across communication channels, and fostering community engagement. The RFP emphasized the need for a consultant with municipal branding experience and an understanding of public sector communication needs. Following the RFP process, the City selected and worked with RadiantBrands to develop a refreshed brand system, that would incorporate staff and resident feedback. The resulting work includes an updated logo system, revised color palette, typography standards, accessibility guidance, templates, and implementation tools intended to support citywide consistency. The refresh preserves recognizable elements of the City’s identity while creating a more unified, readable, and modern system for public communication. California Assembly Bill 1637 (AB 1637) signed into law in October 2023, mandates that all California cities and counties transition their public-facing websites and employee email addresses to a “.gov” or “.ca.gov” domain. Local agencies have until January 1, 2029, to achieve full compliance. As part of the City’s broader public-facing modernization efforts, brand refresh, and to comply with AB 1637, the City transitioned to rpcity.ca.gov effective July 1, 2026. Together, the brand refresh and domain transition represent a coordinated step toward a more consistent, accessible, and trusted public presence. The visual identity system establishes how the City Mission Statement “We Care for Our Residents by Working Together to Build a Better Community for Today and Tomorrow.” CITY OF ROHNERT PARK CITY COUNCIL AGENDA REPORT ITEM NO. 8.A. 2 looks and communicates, while the rpcity.ca.gov domain reinforces that official identity in the digital space and supports a clearer distinction between City communications and other non-government sources. The final Brand Style Guide, dated December 2025, establishes standards for how the City should present itself across print, digital, social, and internal communications. The guide describes the City’s voice and personality as approachable, clear, reliable, and welcoming, and is intended to help staff communicate in a way that is easier to recognize and easier to understand. The brand refresh and domain transition also support the City’s recently adopted 2040 General Plan. More specifically, Implementation Program ED-Q, City Branding, on page 5-19 directs the City to “invest in and evolve Rohnert Park’s Branding Program” as part of broader efforts to attract businesses, encourage tourism, and support regional collaboration. The General Plan emphasizes strengthening Rohnert Park’s community identity, improving access to City services and information, and using current technologies and outreach methods to facilitate communication between the City and the community. A consistent and accessible visual identity helps residents more easily recognize and understand official City information, while the rpcity.ca.gov domain strengthens the City’s digital infrastructure and clearly identifies its website and email communications as official government sources. Together, these efforts advance the General Plan’s goals for an inclusive, transparent, connected, and welcoming community. ANALYSIS: The proposed brand refresh is a practical operational improvement as much as it is a visual one. A municipal brand system is not limited to aesthetics. It functions as a citywide communications framework that helps residents quickly recognize official information, improves readability and public trust, and reduces inefficiencies caused by departments recreating materials without a shared standard. The adopted system is designed to support consistent communication across departments while remaining flexible enough for a variety of city uses. The refresh addresses several longstanding issues. First, it replaces inconsistent legacy logo and design uses with a unified logo family, including primary, horizontal, stacked, and icon formats for different applications. Second, it establishes a clear color system led by Rohnert Park Green and Spring Meadow, with supporting colors and accessibility guidance for print and web use. Third, it sets standards for typography, layout hierarchy, logo spacing, and appropriate use cases so that City materials are more legible, professional, and consistent. The brand refresh was informed by how residents see and experience Rohnert Park. Survey respondents consistently described the City as family-friendly, welcoming, peaceful, safe, and connected, with one resident characterizing it as a place where people can “build a family, make a home, and make memories.” Residents also strongly associated Rohnert Park with green, reflecting its parks, tree-lined streets, surrounding hills, and natural landscape. These community perspectives helped guide a color palette and visual identity that feel grounded in Rohnert Park’s established character while supporting a more vibrant and forward-looking image. The timing of implementation is also significant. As the City transitions to the rpcity.ca.gov domain, it has an opportunity to align its digital identity with its updated visual identity. Taken together, these changes help the City present a more cohesive and credible public image across its website, digital communications, printed materials, and outreach efforts. In practice, the domain transition and the brand refresh are mutually reinforcing: one modernizes the City’s official web presence, and the other ITEM NO. 8.A. 3 ensures the content and materials residents encounter within that space are visually consistent, accessible, and clearly identifiable as official City communications. The new style guide also provides implementation value. It gives staff ready-to-use standards for documents, presentations, social media, flyers, and digital communication, reducing guesswork and improving quality control across the organization. This is particularly important in a municipal environment, where departments routinely produce public-facing materials under tight timelines and with varying levels of design expertise. A shared, ADA-conscious template system promotes both efficiency and consistency. Staff recommends a phased rollout rather than immediate replacement of all existing materials. This approach is fiscally responsible and operationally practical. Existing printed materials may continue to be used until reorder points are reached, while new materials and digital communications transition to the updated standards over time. All Departments will receive guidance, templates, and support as implementation proceeds. This same phased approach is appropriate as the City aligns the refreshed brand with the rollout of the rpcity.ca.gov domain and related public-facing platforms. Officially, the City’s email and website domain will become rpcity.ca.gov. To maintain reliable communications and consistent access, all rpcity.org email and website addresses will continue to be available for a period of not less than two-years. This report provides the City Council with an overview of the brand refresh, which establish the City's new visual and communications standards and support a coordinated public rollout alongside the City's updated government-affiliated domain name. ENVIRONMENTAL ANALYSIS: This action does not qualify as a “project” pursuant to Public Resource Code Section 21065. This action is exempt from the California Environmental Quality Act (“CEQA”) because it does not qualify as a “project” pursuant to CEQA Guidelines Sections 15320, 15378 and 15061(b)(3), and because it can be seen with certainty that there is no possibility the City’s action would cause either a direct physical change in the environment or a reasonably foreseeable indirect physical change in the environment. STRATEGIC PLAN AND COUNCIL GOALS/PRIORITIES ALIGNMENT: This item advances the Council’s multi-year goal of Organization Well Being by providing staff with a unified, practical, and accessible communications system that reduces guesswork, improves internal consistency, and equips departments with clear standards and ready-to-use tools. The refreshed brand supports more efficient day-to-day operations and helps staff communicate with the public in a way that is clear, professional, and dependable. This item also advances Community Quality of Life by improving the clarity, accessibility, and recognizability of official City communications. Residents benefit when public information is easier to identify, easier to understand, and more consistent across departments and platforms. A modern, accessible brand system helps strengthen trust in City communications and supports a more user- friendly experience for the community. In addition, this item supports Planning and Infrastructure through the coordinated implementation of the refreshed visual identity with the City’s transition from rpcity.org to rpcity.ca.gov. While the brand refresh is primarily a communications initiative, the domain transition is part of the City’s broader public-facing digital infrastructure and modernization effort. Together, these actions create a more cohesive, credible, and future-ready civic presence. ITEM NO. 8.A. 4 This item also aligns with the Council’s FY 2025/26 top priority to focus on infrastructure and beautification. The brand refresh improves the visual consistency and quality of the City’s public- facing materials, while the rpcity.ca.gov transition strengthens the City’s official digital presence. Collectively, these efforts support a more polished and unified presentation of City services and information. OPTIONS CONSIDERED: 1. Recommended Action: Receive an Informational Report regarding the City of Rohnert Park Brand as the City’s official brand system for use across City communications, outreach materials, digital platforms, presentations, signage, and related public-facing materials; and authorize phased implementation of the refreshed brand, including alignment with the City’s transition to the rpcity.ca.gov domain as required by AB-1637 prior to January 1, 2029. 2. No other options were considered as the brand refresh has been completed with community input by the Consultant and the City must update its domain to be in compliance with AB 1637. FISCAL IMPACT/FUNDING SOURCE: The brand refresh project was funded through the City’s Communications Budget. The total consultant cost for development of the refreshed brand system was $34,555. Implementation of the updated brand will occur on a phased basis in order to reduce immediate replacement costs and allow existing printed materials to be used through normal inventory and reorder cycles. Future costs associated with ongoing implementation, including updates to public-facing materials and alignment with the City’s transition to the rpcity.ca.gov domain, are expected to be absorbed within normal departmental communications, website, printing, and material replacement budgets, unless otherwise brought forward for Council consideration. Code Compliance Approval Date: N/A Department Head Approval Date: N/A Finance Approval Date: N/A Human Resources/Risk Manager Approval Date: N/A City Attorney Approval Date: N/A City Manager Approval Date: 7/20/2026 Attachments: 1. Community Feedback Mood Board 2. Power Point Presentation Central Family Good Friends good mood friendly City Brand Refresh & Domain Update Informational Update to City Council — July 28, 2026 C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m Agenda 1 Updated Branding with Suggested Edits How Community Feedback Shaped the Refresh What Is Changing: Brand and Domain Implementation & Next Steps 02 03 04 01 C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 2 Background The City’s visual identity evolved in a fragmented manner over time, creating inconsistency and accessibility gaps. •The current City logo was introduced in the early 2000s and no longer supported the City’s full range of modern communication needs •Multiple logo versions and color palettes appeared across City materials •Some materials no longer met ADA contrast and usability standards •In 2025, the City issued an RFP and selected RadiantBrands to lead the refresh A Refresh, Not a Redesign A Redesign Would Have Meant •Starting from a blank page •Losing existing recognition •Higher cost and risk A Refresh Instead Means •Keeping what residents know •Modernizing for accessibility •Less cost •One unified system C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 3 From the beginning, the City’s goal was evolution over reinvention, a direction RadiantBrands fully supported. Here’s why. Rohnert Park’s iconic City sign The existing mark already worked. RadiantBrands found the current logo already had strong recall, in large part because of its tie to the City’s famous “Rohnert Park — The Friendly City” sign. A full overhaul risked throwing away that recognition. Shaped by Resident Feedback C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 4 RadiantBrands conducted a community survey to ground the refresh in how residents actually see Rohnert Park. •Residents described the City as welcoming, calm, organized, green, family-focused, and easy to navigate •Green was the clear color of choice — tying directly to the City’s parks, trees, and trails •RadiantBrands refined that feedback into the final primary and secondary color palette Meeting the Standard C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 5 In April 2024, the U.S. Department of Justice finalized a rule under Title II of the Americans with Disabilities Act requiring state and local governments to make their websites, mobile apps, and digital content accessible. The technical standard is WCAG 2.1 Level AA. Our updated brand colors meet WCAG 2.1 Level AA accessibility standards for digital content. https://webaim.org/resources/contrastchecker/ C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 6 What’s Changing: The Brand A new brand style gives the City one consistent, accessible visual system. •Unified logo system in multiple formats •New color palette led by Rohnert Park Green •Typography & accessibility standards citywide •Ready-to-use templates for staff C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 7 Before & After Resident feedback noted the “P” inside the “R” was hard to spot — here’s how the designer responded. BEFORE AFTER The New Logo System One primary mark, with approved variations for every use case. C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 8 The Brand in Action C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 8 What’s Changing: The Domain C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 9 State law (AB 1637) requires CA cities to move public sites and email to a .gov domain by January 1, 2029. •rpcity.ca.gov went live on July 1, 2026 — more than two years ahead of the state deadline •rpcity.org stays active for a minimum of two years for a smooth transition •Reinforces trust by clearly marking official City communications online C i t y o f R o h n e r t P a r k — C i t y C o u n c i l A g e n d a I t e m 12 Implementation & Next Steps •Existing printed materials stay in use until normal reorder points •New and digital materials adopt refreshed standards now •All Departments get guidance, templates, and support •Hold a post-launch training with RadiantBrands to help staff confidently apply the new brand standards, templates, colors and logo system across City communications Questions ITEM NO. 8.B. 1 Meeting Date: July 28, 2026 Department: Public Works Submitted By: Mark Hendersen, Public Works Director, mhendersen@rpcity.org, (707) 588-3316 Prepared By: Justin Brandt, Deputy City Engineer, and Julian DeAnda, City Engineer Agenda Title: Conduct a Public Hearing, Adopt a Resolution Approving the Engineer’s Report, Confirming Diagram and Assessment, Ordering Levy of Assessment for the “Landscape and Lighting District 2024-01 (Westside Residential)” Assessment District for Fiscal Year 2026-2027, and Finding that the Actions Authorized by this Resolution are Exempt Under the California Environmental Quality Act (CEQA) Guidelines Section 15378(b)(4) (No Potential Significant Physical Impact on the Environment) and Section 15301 (Existing Facilities) RECOMMENDED ACTION: 1. Conduct a Public Hearing; 2. Adopt a Resolution approving the Engineer’s Report, confirming diagram and assessment, ordering levy of assessment for the “Landscape and Lighting District 2024-01 (Westside Residential)” assessment district for fiscal year 2026-2027, and finding that the actions authorized by this Resolution are exempt under the California Environmental Quality Act (CEQA) Guidelines Section 15378(b)(4) (no potential significant physical impact on the environment) and Section 15301 (existing facilities). BACKGROUND: On January 24, 2017, the City Council adopted Ordinance Number 903, approving a Development Agreement with Stadium RP Development Partners, LLC for the Residences at Five Creek, a mixed- use project consisting of three main components; a hotel, a 135-unit family residential development (Adega I); and a commercial and retail development. On March 10, 2020, City Council adopted Ordinance Number 946 approving the first amendment to the Development Agreement, which provided for rezoning a portion of the site from commercial to residential to allow for the development of 74 additional multi-family residential units (Adega II). Public Service Payment: In Section 6.5 of the Development Agreement between the City of Rohnert Park and Stadium RP Development Partners, LLC the developer is required to provide a Public Service Payment. On September 10, 2024 by Resolution No. 2024-081, the City Council authorized the establishment of the “Landscape and Lighting District 2024-01 (Westside Residential)” (“Westside LLD”). The LLD has one benefitting property, the site of the Adega II project with 74 units, that levied the Fiscal Year 2024-2025 assessment of $1,002/unit in Fiscal Year 2025-26, totaling $74,148. The Westside LLD Mission Statement “We Care for Our Residents by Working Together to Build a Better Community for Today and Tomorrow.” CITY OF ROHNERT PARK CITY COUNCIL AGENDA REPORT ITEM NO. 8.B. 2 was formed in accordance with the requirements of Proposition 218 (California Constitution Article XIII D, Section 6) and the Landscape and Lighting District Act of 1972 (Streets and Highways Code Sections 22500 – 22679) (1972 Act). ANALYSIS: For the Westside LLD, every year the City Council is required to take the necessary actions to receive the Engineer’s Report, hold a Public Hearing, and levy the assessment. This year’s Engineer’s Report, is for Fiscal Year 2026-27. Approving the Engineer’s Report: The Engineer’s Report, which is Exhibit A to the resolution contains all of the information about the improvements to be maintained, the cost of the maintenance work, the unique special benefit received by property in the District to be funded by assessment revenue, and any financial contributions that will be made from non-assessment revenue for “general benefits” to property outside the District. The Engineer’s Report from September 1, 2024 was prepared in accordance with the 1972 Act (Sections 22565 – 22574) and Proposition 218. The 2024 Engineer’s Report calculated the assessment of $1,002.00 per unit for the Westside LLD for Fiscal Year 2025-2026. Per Resolution 2024-081 the City has the ability to adjust the assessment consistent with increases in the Consumer Price Index for Northern California (San Francisco-Oakland-Hayward) to cover the cost of services provided. This Engineer’s Report for Fiscal Year 2026-2027 has adjusted the assessment of each unit to $1,040.08 per unit, totaling $76,965.62 for the 74 units. This is the maximum allowable assessment for Fiscal Year 2026-2027 for the Westside LLD. The Westside LLD assessment includes maintenance of the westside park, streetscape and sidewalk frontage adjacent to the Adega II development, the stormwater system serving the Adega II development, the streetlighting adjacent to the Adega II development and an allowance for reserves and District administration. The services funded by the Westside LLD have not been amended since its initial formation in 2024. Notice of Public Hearing: On June 23, 2026, City Council adopted Resolution No. 2026-058, which set the time and place of the Public Hearing as 5:30 p.m. on July 28, 2026, at the regularly scheduled City Council Meeting. The Notice of Public Hearing was processed pursuant to provisions of Section 22626(a) of the Streets and Highways Code. The notice was published once in the local paper at least ten (10) days before the date of hearing. ENVIRONMENTAL ANALYSIS: Adoption of the proposed resolution is not a “project” under California Environmental Quality Act (CEQA) Guidelines Section 15378(b)(4) as a funding mechanism which does not involve any specific project with a potentially significant physical impact on the environment. Furthermore, to the extent the resolution authorizes a “project,” it is exempt from CEQA pursuant to CEQA Guidelines Section 15301 which exempts maintenance of existing facilities. STRATEGIC PLAN ALIGNMENT: This action is consistent with Strategic Priority – of Community Quality of Life, as it assures long term maintenance plans are established. OPTIONS CONSIDERED: None. The recommended action is necessary to satisfy the requirements of the Development Agreement as amended. ITEM NO. 8.B. 3 FISCAL IMPACT/FUNDING SOURCE: Upon approval of the assessment the City will work with the County of Sonoma to place the assessment of $76,965.62 on the County tax roll for collection. An estimate of this assessment and associated projected expenditures was included in the FY 2026-27 Adopted Budget. This action by City Council will provide a funding source for ongoing maintenance, rehabilitation and repair activity in the Stadium Lands Master Plan Area as specified in the District formation documents and Engineer’s Report. Department Head Approval Date: 06/26/2026 Finance Approval Date: 06/18/2026 City Attorney Approval Date: 06/26/2026 City Manager Approval Date: 07/02/2026 Attachments: 1. Resolution Approving the Engineer’s Report, Confirming Diagram and Assessment, Ordering Levy of Assessment for the “Landscape and Lighting District 2024-01 (Westside Residential)” Assessment District for Fiscal Year 2026-27, and Determining that the Actions Authorized by this Resolution are Exempt from CEQA. a. Exhibit A –Engineer’s Report RESOLUTION NO. 2026-061 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ROHNERT PARK APPROVING THE ENGINEER’S REPORT, CONFIRMING DIAGRAM AND ASSESSMENT, ORDERING LEVY OF ASSESSMENT FOR THE LANDSCAPE AND LIGHTING DISTRICT 2024-01 (WESTSIDE RESIDENTIAL) ASSESSMENT DISTRICT FOR FISCAL YEAR 2026-2027, AND FINDING THAT THE ACTIONS AUTHORIZED BY THIS RESOLUTION ARE EXEMPT UNDER THE CALIFORNIA ENVIRONMENTAL QUALITY ACT (CEQA) GUIDELINES SECTION 15378(B)(4) (NO POTENTIAL SIGNFICANT PHYSICAL IMPACT ON THE ENVIRONMNET) AND SECTION 15301 (EXISTING FACILITIES) WHEREAS, on January 24, 2017, the City Council adopted Ordinance No. 903, approving a Development Agreement with Stadium RP Development Partners, LLC (“Stadium Lands Development Agreement”), for a mixed-use development including a hotel, 135 multi- family residential units and a commercial and retail center; and WHEREAS, among other things, the Stadium Lands Development Agreement required the establishment of a financing district that would fund public services for the residential portion of the development over the term of the development; and WHEREAS, on March 10, 2020, the City Council adopted Ordinance No. 946, approving the first amendment to the Stadium Lands Development Agreement, which supported the rezoning a portion of the site from retail commercial use to multi-family residential use allowing for 74 additional multi-family residential units; and WHEREAS, the first amendment to the Stadium Lands Development Agreement continues to require a financing district to fund services for the new residential portion of the development over the term of the development; and WHERAS, the City Council, pursuant to the provisions of the Landscape and Lighting Act of 1972, Part 2, Division 15 of the California Streets and Highways Code (commencing with Section 22500) (“1972 Act”), did by previous resolution, order the preparation of an Engineer’s Report (“Report”) for the proposed Consumer Price Index (“CPI”) adjustment to the assessment for the “Landscape and Lighting District 2024-01 (Westside Residential)” assessment district; and WHEREAS, the Report has now been presented to this City Council as required by Section 22623 of said Act, and is attached hereto as Exhibit “A” and on file in the office of the City Clerk, and WHEREAS, the City has carefully examined and reviewed the Report as presented and is satisfied with the proposed CPI adjustment to the assessment, each and all of the budget items and documents as set forth therein, and is satisfied that the proposed assessment amounts have been spread in accordance with the special benefit received from the improvements, operation, maintenance and services to be performed with the District, as set forth in said Report; and WHEREAS, by Resolution No. 2026-057, dated June 23, 2026, the City Council determined that the adoption of a maintenance assessment is categorically exempt from CEQA pursuant to CEQA Guidelines Section 15378(b)(4) as a funding mechanism which does not Resolution 2026-061 Page 2 of 3 involve any specific project with a potentially significant physical impact on the environment; and WHEREAS, by Resolution No.2026-058, dated June 23, 2026, the City Council declared its intention to levy and collect assessments within the District for Fiscal Year 2026-2027, and gave notice of public hearing to consider approval of the assessment; and WHEREAS, notice of the hearing was processed pursuant to provisions of Section 22626(a) of the Streets and Highways Code, duly noticed and published once in the local paper at least ten (10) days before the date of the hearing; and WHEREAS, the City Council has considered all information related to this matter, as presented at the public meetings of the City Council identified herein, including any supporting reports by City staff, and any information provided during public meetings; and WHEREAS, if adopted by the City Council, this Resolution will constitute the levy of an assessment for Fiscal Year 2026-2027, after which, the County will enter the levy on the county assessment roll for collection, pursuant to Streets and Highways Code Section 22645; and NOW, THEREFORE, BE IT RESOLVED, the City Council finds that the facts set forth in the recitals to this Resolution are and correct, and establish the factual basis for the City Council’s adoption of this Resolution. BE IT FURTHER RESOLVED the City Council of the City of Rohnert Park hereby determines that the actions authorized by this Resolution are exempt from California Environmental Quality Act (“CEQA”) pursuant to CEQA Guidelines Section 15378(b)(4) as a funding mechanism which does not involve any specific project with a potentially significant physical impact on the environment. Alternatively, the actions authorized by this Resolution are exempt from CEQA pursuant to CEQA Guidelines Section 15301 which exempts maintenance of existing facilities. BE IT FURTHER RESOLVED, the City Council hereby confirms the diagram and assessment set forth in the Report as presented and hereto attached as Exhibit “A,” and as set forth in the Street and Highways Code Section 22631, consisting of the following: 1. Description of Improvements and Proposed Assessments; 2. The Annual Budget (Costs and Expenses of Services, Operations and Maintenance); 3. The District Roll, containing the Fiscal Year 2026-2027 levy for the District, is hereby approved and ordered to be filed in the Office of the City Clerk as a permanent record and to remain open to public inspection. BE IT FURTHER RESOLVED, the City Council’s adoption of this Resolution shall constitute the levy of an assessment for Fiscal Year 2026-2027. BE IT FURTHER RESOLVED, that the City Clerk shall certify the passage and adoption of this Resolution and the minutes of this meeting shall so reflect the presentation of the Report. BE IT FURTHER RESOLVED the City Council of the City of Rohnert Park hereby finds this Resolution shall take affect immediately upon its adoption. Resolution 2026-061 Page 3 of 3 DULY AND REGULARLY ADOPTED BY THE CITY COUNCIL OF THE CITY OF ROHNERT PARK ON this 28th day of July, 2026. CITY OF ROHNERT PARK Emily Sanborn, Mayor ATTEST: Sylvia Lopez, City Clerk APPROVED AS TO FORM: ______________________________ Michelle M. Kenyon, City Attorney Attachments: Exhibit A ADAMS: ____ GIUDICE: ____ RODRIGUEZ ____ ELWARD: ____ SANBORN: ____ AYES: ( ) NOES: ( ) ABSENT: ( ) ABSTAIN: ( ) ENGINEER’S REPORT CITY OF ROHNERT PARK LANDSCAPE & LIGHTING DISTRICT 2024-01 (WESTSIDE SERVICES) FISCAL YEAR 2026-2027 PREPARED BY: JUSTIN BRANDT, DEPUTY CITY ENGINEER, CITY OF ROHNERT PARK APPROVED BY: JULIAN DEANDA, CITY ENGINEER, CITY OF ROHNERT PARK PUBLIC WORKS JULY 28, 2026 Table of Contents Introduction .................................................................................................................................................. 1 Plans & Specifications ................................................................................................................................... 3 General Overview and Definitions. ........................................................................................................... 4 Park and Streetscape Maintenance .......................................................................................................... 4 Storm Drainage Maintenance and Monitoring ......................................................................................... 4 Lighting Maintenance ...................................................................................................................... 5 Repair and Replacement Reserves ........................................................................................................... 5 District Administration .............................................................................................................................. 5 Fiscal Year 2025-26 Estimate of Cost and Budget ........................................................................................ 6 Assessment Rate Adjustment ....................................................................................................................... 6 Maximum Assessment Rates ........................................................................................................................ 7 Method of Assessment Apportionment ....................................................................................................... 7 Method of Assessment and Apportionment ............................................................................................ 7 Annual Cost Indexing ................................................................................................................................ 8 Duration of Assessment ............................................................................................................................ 8 Assessment Funds Expended on Benefitting Maintenance Activities ...................................................... 8 Oversite, Annual Review and Accountability ............................................................................................ 8 Assessment ................................................................................................................................................... 9 Assessment Diagram ................................................................................................................................... 11 Assessment Roll - FY 2026-27 ..................................................................................................................... 20 City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 1 Introduction The Residences at Five Creek is a mixed-use project within the Stadium Area Master Plan area on the west side of Rohnert Park. The project includes a hotel, a park and an apartment complex known as Adega. The apartment complex is being developed in two phases: a 135-unit first phase and a 74-unit second phase. The Residences at Five Creek project was developed under a Development Agreement (the “DA”) between City of Rohnert Park (the “City”) and Stadium RP Development Partners. Stadium Lands RP Development Partners subsequently assigned the DA to Rohnert Park 668 L.P. (the “Developer”), who is developing Adega. The DA, among other things, requires the Developer to pay a “Service Payment” to offset the additional cost of service created by residential development 1, consistent with the City’s General Plan polices and goals. For Fiscal Year 2026-27, the Service Payment is capped at $1,040.08/multi-family unit; however, the amount of the Service Payment is subject to annual adjustments on each July 1 based on the San Francisco Bay Area Consumer Price Index. In early 2020 at the Developer’s request, the City formed Community Facilities District 2019-01 – Westside Residential Services (“CFD 2019-01”) to satisfy the DA requirements for Adega Phase I. The Developer subsequently requested the formation of the proposed City of Rohnert Park Landscape and Lighting District 2024-01 (Westside Services) (the “District”) to satisfy the DA requirements for Adega Phase II. Following a public hearing on September 10, 2024, in compliance with the requirements of the Landscape and Lighting District Act of 1972 (the “Act”) and Proposition 218 (California State Constitution Article XIII D, Section 6), the City Council formed the District. This Engineer’s Report is being prepared to support the annual levy of assessments for the District for Fiscal Year 2026-27. Since the amount of the proposed annual assessment does not exceed the maximum assessment amount approved by City Council for the initial formation, including annual adjustments for inflation based on the Consumer Price Index, the annual levy is required to comply with the requirements of the Landscape and Lighting District Act of 1972 (the “Act”). Any increase in the proposed assessment beyond the maximum assessment would also be subject to the requirements of Proposition 218. As required by the Act, this Report includes plans and specifications of improvements (including maintenance) to be funded, an estimate of the costs of those improvements, a diagram or map of the District property boundaries, and a calculation of the proposed assessment (the “Assessments”) to be levied to cover the proportionate benefits received by property owners and tenants from the Improvements. The proposed assessment for Fiscal Year 2026-27 will not be used to support bonds or any other debt financing. As required by the Act, the City Council relies on the information and analysis set forth in this Engineer’s Report to identify the intention to levy the proposed Assessments by resolution (known as a “Resolution of Intention”). The Resolution of Intention accordingly relies on this Engineer’s Report and sets a date for a public hearing. 1 Development Agreement Section 6.5, Public Service Payment. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 2 At the appointed time and place, a public hearing will be held to allow public testimony about the proposed Assessments. At this hearing, the Council will hear public testimony and either approve or deny levying the assessment on the property. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 3 Plans & Specifications The District maintains landscaping, streetscaping, lighting and other improvements that directly benefit the property in the District. The work and improvements to be undertaken by the proposed District are described below and illustrated in Figure 1. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 4 General Overview and Definitions. The installation, maintenance, and servicing of public improvements and facilities, including but not limited to, landscaping, sprinkler systems, park grounds, park facilities, playground equipment, landscape corridors, sidewalks, curbs and gutters, storm drainage systems, public lighting facilities, frontage and retention walls, other landscaping facilities, and related labor, materials, supplies, utilities, equipment, and incidental expenses (collectively “Improvements”). Under the Act, “Installation” means the construction of Improvements, including, but not limited to, land preparation (such as grading, leveling, cutting, and filling), sod, landscaping, irrigation systems, sidewalks, walkways and drainage, lights, playground equipment, play courts, playing fields, recreational facilities, and public restrooms. Under the Act, “Maintenance” means the furnishing of services and materials for the ordinary and usual maintenance, operation and servicing of any improvement, including repair, removal or replacement of all or any part of any improvement; providing for the life, growth, health, and beauty of landscaping, including cultivation, irrigation, trimming, spraying, fertilizing, or treating for disease or injury; the removal of trimmings, rubbish, debris, and other solid waste, and the cleaning, sandblasting, and painting of walls and other improvements to remove or cover graffiti. Under the Act, “Servicing” means the furnishing of electric current, or energy, gas or other illuminating agent for any public lighting facilities or for the lighting or operation of any other improvements, or water for the irrigation of any landscaping, the operation of any fountains, or the maintenance of any other improvements. Under the Act, “Incidental Expenses” include all of the following: (a) The costs of preparation of the report, including plans, specifications, estimates, diagram, and assessment; (b) the costs of printing, advertising, and the giving of published, posted, and mailed notices; (c) compensation payable to the County for collection of assessments; (d) compensation of any engineer or attorney employed to render services in proceedings pursuant to this part; (e) any other expenses incidental to the construction, installation, or maintenance and servicing of the Improvements; (f) any expenses incidental to the issuance of bonds or notes pursuant to Streets & Highways Code Section 22662.5; and (g) costs associated with any elections held for the approval of a new or increased assessment (Streets & Highways Code §22526). Park and Streetscape Maintenance Includes maintenance, repair and replacement of a publicly owned park, including a playground, bocce courts, skate feature, turf, decorative landscape, irrigation facilities and water, a decorative gazebo, benches, tables, bike racks, fences, trash and recycling bins, decorative walls, and frontage curb, gutter and sidewalk along the park frontage and the Adega II development, together with all appurtenances and appurtenant work in connection with the foregoing improvements. Storm Drainage Maintenance and Monitoring Includes permitting, operation, maintenance, monitoring and repair of publicly owned drainage and storm water treatment systems that receive tributary flow from the Adega II development, together with all appurtenances and appurtenant work in connection with the foregoing improvements. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 5 Lighting Maintenance Includes the cost of power, maintenance services, electricity and an allowance for replacement of the 2 streetlights along the Adega II development frontage together with all required appurtenances and appurtenant work in connection with foregoing improvements. Repair and Replacement Reserves Dedicated funding, often referred to as “reserves,” will be used to support the cash flow needs of the District (because assessments are collected twice a year) and in the event improvements need to be replaced, outside of the budgeted replacement schedule, due to failure, damage, natural disaster etc. District Administration The annual administration activity which includes development of a budget, preparation of an annual report and coordination with County to place the assessment on the tax roll. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 6 Fiscal Year 2025-26 Estimate of Cost and Budget The Act provides that the total costs for providing the maintenance and servicing of the District Improvements and facilities can be recovered in the assessment spread including incidental expenses. The latter can include engineering fees, legal fees, printing, mailing, postage, publishing, and all other costs identified with the District proceedings. The initial Engineer’s Report that supported the City Council’s formation of the District on September 1, 2024, included an estimate of District costs for fiscal year 2025-26 for the maintenance and servicing of the Improvements, and is provided in Table A, below. Table A Assessment Rate Adjustment For each year after the base year (2025/26), the Maximum Assessment Rate per unit is adjusted by the percentage change in the U.S. Department of Labor, Bureau of labor Statistics, Consumer Price Index for all Urban Consumers (CPI-U) for the San Francisco-Oakland-Hayward area as of April. If the percentage Landscape & Lighting District 2024-01 (Westside Residential) Fiscal Year 2025-26 Budget Estimate Description U nit Unit Cost Total Park Maintenance Park & Streetscape Maintenace 3 person crew day*1,680.00$ 30 days/year 50,400.00$ Irrigation Water**LS 3,200.00$ 1 each 3,200.00$ Mulch Replacement (2 years)LS 6,741.95$ 1 each 6,741.95$ Bocce Court Material Replacement (2 years)LS 12,877.06$ 1 each 12,877.06$ Planting Replacement (10 years)LS 7,119.50$ 1 each 7,119.50$ Turf Replacement (10 years)LS 2,739.24$ 1 each 2,739.24$ Playground Fall Material Replacement (5 years)LS 5,281.70$ 1 each 5,281.70$ Playground Equipment Replacement (10 years)LS 1,404.57$ 1 each 1,404.57$ Gazebo Structure Replacement (25 years)LS 2,043.01$ 1 each 2,043.01$ Tables/Benches/ Bike Racks/Trash/Fence Replacement (15 years)LS 6,670.87$ 1 each 6,670.87$ Drinking Fountain Replacement (5 years)LS 4,086.03$ 1 each 4,086.03$ Underground Utilities Replacement (40 years)LS 1,113.39$ 1 each 1,113.39$ Park Pathway and Wall Replacement (50 years)LS 1,690.65$ 1 each 1,690.65$ Frontage Curb/Gutter Replacement (50 years)LF 85.00$ 379.22 LF 6,446.74$ Frontage Sidewalk Replacement (50 years)SF 10.00$ 4000.96 SF 8,001.91$ Subtotal Park Maintenance (rounded to nearest dollar)119,817.00$ Street Frontage Maintenance (Adega II only) Frontage Curb/Gutter Replacement (50 years)LF 85.00$ 838.82 LF 1,425.99$ Frontage Sidewalk Replacement (50 years)SF 10.00$ 4000.96 SF 800.19$ Storm Drainage Maintenace & Monitoring 3 person crew day*1,680.00$ 6 days/year 10,080.00$ Lighting Street Light Replacement each 5,000.00$ 1 5 years 1,000.00$ Street Light Electricity LS 500.00$ 1 each 500.00$ Total Maintenance and Operations Budget 133,623.00$ City Contribution for General Benefits to the Public LS (7,443.00)$ 1 each (7,443.00)$ General Benefit Contribution for Park Maintenance & Reserves LS (77,393.76)$ 1 each (77,394.00)$ Reserves (10% allowance)LS 13,362.00$ 1 each 13,362.00$ Annual Administration (benefit to LLD only)LS 12,000.00$ 1 each 12,000.00$ Budget to Assessment 74,148.00$ *Calculated at $70/hr($34/hr salary + benefits and overhead) **Calculated based on water use patterns of .65 acres of irrigated landscape @ 2.9 af/acre/year @ recycled water rates Quantity City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 7 change is negative, the Maximum Assessment Rate per unit remains the same as it was in the prior year. The Actual Assessment Rate per unit may be less than, but may not exceed the Maximum Assessment Rate per unit unless appropriate proceedings are conducted by the City to authorize such an adjustment. Maximum Assessment Rates Table B, below, shows the historical CPI adjustments, Maximum Assessment per unit and Actual Assessment per unit. Accordingly, the total assessment amount for all 74 units is $76,965.92. Table B Fiscal year CPI Adjustment (1) (2) Maximum Assessment Per Unit Actual Assessment Per Unit (3) 2025-2026 $1,002.00 $1,002.00 2026-2027 3.80% $1,040.08 $1,040.08 (1) The CPI adjustment, as displayed in this table, is a rounding of the actual CPI adjustment. The Maximum Assessment per Unit is calculated by using the actual CPI adjustment, not the rounding of the actual CPI adjustment. (2) As authorized by resolution No. 2024-081, the maximum assessment is subject to an annual adjustment based on the Northern California (San Francisco-Oakland-Hayward) Consumer Price Index-All Urban Consumers (“CPI”). The adjustment of the estimated costs from Fiscal Year 2025-26 (shown on Table A) to incorporate the CPI, as summarized above, is a reasonable estimate of the City’s costs of providing those services for Fiscal Year 2026-2027. Accordingly, each of the items identified on Table A will be adjusted by the CPI adjustment identified on Table B. Additionally, the CPI adjustment is near the approximate costs of increased labor and materials. Method of Assessment Apportionment This Engineer's Report for Fiscal Year 2026-27 relies on (and incorporates by reference) the analysis set forth in the previous Engineer’s Report of benefits to be derived from the Improvements and the methodology used to apportion the total assessment to properties within the District. The improvements funded by the District, and the corresponding benefits to properties within the District, have not changed since the City’s initial approval of the District. The District consists of Sonoma County Assessor’s Parcel Number 143-040-139, which contains the Adega II development of 74 multi-family units. The method used for apportioning the assessment is based upon the proportional special benefits derived by the properties in the District over and above general benefits conferred on real property or to the public at large. Method of Assessment and Apportionment As previously discussed, the proposed Assessments will fund maintenance services that clearly confer special benefits to the single parcel in the proposed District. Thus, there are no other parcels to which the assessment may be otherwise apportioned. The District consists entirely of a 74-unit apartment complex and each residential unit receives similar special benefit from the Improvements. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 8 Annual Cost Indexing In order to account for inflation, the Method of Assessment explicitly includes that provision that the maximum assessment rate within the District may adjust in future years based on the annual adjustment, if any, in the Northern California (San Francisco-Oakland-Hayward) Consumer Price Index-All Urban Consumers (the “CPI”), from May to May off each year. Duration of Assessment The Assessments will be continued every year, so long as the public Improvements need to be maintained and improved, and the City requires funding from the Assessments for these Improvements in the District. As noted previously, the Assessment can continue to be levied annually by the City Council with an updated Engineer’s Report. In addition, the City Council must hold an annual public hearing to continue the levying the Assessment. Assessment Funds Expended on Benefitting Maintenance Activities The net available Assessment funds, after incidental, administrative, financing, and other costs shall be expended exclusively for Improvements that provide special benefit to the property within the boundaries of the District as described herein, and appropriate incidental and administrative costs as defined in the Plans and Specifications section. Beyond the establishment of the District, authorized expenditures of Assessment funds shall be subsequently established in accordance with the requirements of the Act related to the levy of annual assessments (beginning at Streets and Highways Code Sections 22620) and Proposition 218. Oversite, Annual Review and Accountability The District, including its Assessment budget, Assessment rate, Assessment CPI adjustment, and Improvements are reviewed annually at a noticed public hearing. The Assessments cannot continue in subsequent years unless the City Council affirmatively approves, at a noticed public hearing, updated budgets based on an updated Engineer’s Report, costs and an updated Assessment roll listing all parcels and their Assessments. The updated annual assessments may not exceed the maximum assessment established in the original Engineer’s Report FY2025-26, adjusting for annual inflation by the CPI. At the annual public hearing, members of the public can provide input to the Council prior to the Council’s decision on ordering the Improvements and the Assessments for the next Fiscal Year. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 9 Assessment WHEREAS, the City Council of the City of Rohnert Park, County of Sonoma, State of California, pursuant to the provisions of the Landscaping and Lighting Act of 1972 and Article XIIID of the California Constitution (collectively “the Act”), adopted Resolution 2024-081 on September 10, 2024 established the “Landscape and Lighting District 2024-01 (Westside Residential)” (the “Assessment District”); WHEREAS, the Resolution Initiating Proceedings for a levy of assessments for Fiscal Year 2026-27 directed the undersigned Engineer of Work to prepare and file a report presenting a description of the Improvements, an estimate of the costs of the Improvements, a diagram for the Assessment District and an assessment of the estimated costs of the Improvements upon all assessable parcels within the Assessment District; WHEREAS, the undersigned Engineer of Work prepared this Engineer’s Report for the Assessment District in accordance with the Resolution Initiating Proceedings for Fiscal Year 2026-27. NOW, THEREFORE, the undersigned, by virtue of the power vested in me under the Act and the order of the City Council of the City of Rohnert Park, hereby assess the net amount upon the one assessable parcel of land within the District to cover the portion of the estimated cost of the Improvements, and the costs and expenses incidental thereto to be paid by the Assessment District. This assessment is subject to the City Council’s approval following its consideration of evidence at a duly noticed public hearing. The estimate of the total costs of the Improvements and related incidental expense to be paid from Assessment revenue from the District, as well as corresponding costs to be paid from sources other than the District, for the Fiscal Year 2026-27 is $76,965.62 (which includes 74 units at $1,040.08 per unit). Table C Description FY2025-26 Budgeted Cost (Contribution) FY2026-27 Budgeted Cost (Contribution) CPI 3.80% Adjustment Total Operation and Maintenance Budget $133,623.00 $138,700.67 City Contribution for General Benefits to the Public -$7,443.00 -$7,725.83 General Benefit Contribution for Parks & Streetscapes -$77,394.00 -$80,334.97 Reserves $13,362.00 $13,869.76 Annual Administration $12,000.00 $12,456.00 Total Budget to Assessment $74,148.00 $76,965.62 As required by the Act, the Assessment Diagram is hereto attached and made a part hereof showing the exterior boundaries of the District which includes one parcel. The distinctive number of the parcel of land in the Assessment District is its Assessor Parcel Number appearing on the Assessment Roll. As required by the Act, the Plans and Specifications for the Improvements showing and describing the general nature, location, and extent of the existing and proposed improvements are incorporated in this Engineer’s Report, and are hereto attached and made a part hereof. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 10 I do hereby assess and apportion the net amount of the cost and expenses of the Improvements, including the related incidental expenses, upon the single parcel of land within the District, in accordance with the special benefits to be received by that parcel, from the Improvements, and more particularly set forth in the Cost Estimate and Method of Assessment in the Report. The assessment is made upon the parcel of land within the District in proportion to the special benefits to be received by the parcel of land, from the Improvements. The Assessment is subject to an annual adjustments tied to the Consumer Price Index-All Urban Consumers for Northern California (San Francisco-Oakland-Hayward) as of December of each succeeding year (the “CPI”). The parcel of land is described in the Assessment Roll by reference to its parcel number as shown on the Assessor's Maps of the County of Sonoma for the Fiscal Year 2026-27. For a more particular description of the parcel, reference is hereby made to the deeds and maps on file and of record in the office of the County Recorder of Calaveras County. Dated: June 23, 2026 By Julian DeAnda PE, RCE: C82463 City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 11 Assessment Diagram The District Boundary and the parcels to be assessed in City of Rohnert Park Landscaping and Lighting District No 2024-01 (Westside Services) are displayed on the Assessment Diagram, which is on file with the City Clerk of the City of Rohnert Park. The following Assessment Diagram is for general location only and is not to be considered the official boundary map. The lines and dimensions of each lot or parcel within the District are those lines and dimensions as shown on the maps of the Assessor of the County of Sonoma for Fiscal Year 2026-27, and are incorporated herein by reference, and made a part of this Diagram and this Report. City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 19 City of Rohnert Park Landscape & Lighting District 2024-01 (Westside Residential) Engineer’s Report | July 2026 20 Assessment Roll - FY 2026-27 An Assessment Roll (a listing of all parcels assessed within the Assessment District and the amount of the assessment) is below. Each lot or parcel listed on the Assessment Roll is shown and illustrated on the latest County Assessor records and these records are, by reference made part of this Report. These records shall govern for all details concerning the description of the parcel. Assessment Roll City of Rohnert Park Landscape and Lighting District 2024-01 (Westside Services) Assessor’s Parcel Number Site Address Owner’s Name Multi- Family Residential Units Assessment per Unit Total Assessment 143-040-139 591-641 Carlson Ave 74 $1040.08 $76,965.62 Landscape and Lighting District 2024-01 (Westside Residential) Justin Brandt, P.E., Deputy City Engineer Mark Hendersen, Director of Public Works Agenda 2 Background Development Agreement –Section 6.5 Public Service Payment Renewal Process for the Landscape and Lighting District (LLD) Recommended Action 02 03 04 01 3 Background •On January 24, 2017, City Council adopted Ordinance No. 903 approving Development Agreement with Stadium RP Development Partners, LLC •On March 10, 2020, City Council adopted Ordinance No. 946 approving first amendment, for rezoning from commercial to 74 additional residential units (Adega II) 4 Development Agreement – Section 6.5 Public Service Payment On September 10, 2024 City Council adopted Resolution No. 2024-081 establishing the Landscape and Lighting District 2024-01 (Westside Residential) •Assessment can be increased annually by CPI •FY 2026-27 $76,965.62 total, $1,040.08 per unit 5 Renewal Process for the Landscape and Lighting District (LLD) Resolution to order City Engineer to Prepare and File Preliminary Engineer’s Report •June 23, 2026 Resolution of Intention to Levy and Collect Assessments based on the Preliminary Engineer’s Report, and Give Notice of Public Hearing •June 23, 2026 Public Hearing •Tonight 6 Recommended Action 1)Council Questions/comments 2)Adoption of Resolution 2026-061 Approving the Engineer ’s report, Confirming Diagram and Assessment, Ordering Levy of Assessment for the Landscape and Lighting District 2024-01 (Westside Residential) Assessment District for Fiscal Year 2026-2027, and Determining that the Actions Authorized by Resolution are Exempt CEQA Thank you! ITEM NO. 8.C. 4931-9451-7945 v9 1 Meeting Date: July 28, 2026 Department: City Manager Submitted By: Marcela Piedra, City Manager admin@rpcity.org 707-588-2227 Prepared By: Betsy Howze, Finance Director Agenda Title: Consider Adopting Resolution No. 2026-062 Submitting to the Electors a Ballot Measure Establishing a Transactions and Use Tax at the Rate of 0.5% (1/2 Cent); Approving the Related Ordinance; Requesting that the Sonoma County Board of Supervisors Consent to the Consolidation of such Ballot Measure on the Ballot for the City’s General Municipal Election which is Consolidated with the Statewide General Election to be held on Tuesday, November 3, 2026, and Direct the Sonoma County Registrar of Voters to Conduct the Election on the City’s Behalf and to provide Election Services; Directing the City Attorney to Prepare an Impartial Analysis; and Establishing Requirements Regarding Ballot Arguments RECOMMENDED ACTION: Adopt Resolution No. 2026-062 Submitting to the Electors a Ballot Measure Establishing a Transactions and Use Tax at the Rate of 0.5% (1/2 Cent); Approving the Related Ordinance; Requesting that the Sonoma County Board of Supervisors Consent to the Consolidation of such Ballot Measure on the Ballot for the City’s General Municipal Election which is Consolidated with the Statewide General Election to be held on Tuesday, November 3, 2026 and Direct the Sonoma County Registrar of Voters to Conduct the Election on the City’s Behalf and to provide Election Services; Directing the City Attorney to Prepare an Impartial Analysis; and Establishing Requirements Regarding Ballot Arguments. BACKGROUND: On June 9, 2026, the City Council adopted Resolution No. 2026-048, calling for a General Municipal Election to be held on Tuesday, November 3, 2026, for the purposes of electing one member of the City Council from District 2 and one member of the City Council for District 5, each for a term of 4 years, and requesting the Sonoma County Board of Supervisors to the consolidation of such General Municipal Election with the Statewide General Election to be held on the same date, and requesting the Sonoma County Registrar of Voters render specified services to the City relating to the conduct of the General Municipal Election. Mission Statement “We Care for Our Residents by Working Together to Build a Better Community for Today and Tomorrow.” CITY OF ROHNERT PARK CITY COUNCIL AGENDA REPORT ITEM NO. 8.C. 4931-9451-7945 v9 2 The attached Resolution, if adopted by the City Council by a 2/3 vote (4 out of 5 Councilmembers), would submit a ballot measure to the voters for their consideration at the November 3, 2026, General Municipal Election to establish a transactions and use tax at the rate of 0.5% (1/2¢). This proposed Transactions and Use Tax is a General Tax that requires a 2/3 majority vote of the entire City Council (4 out of 5 Councilmembers) to be placed on the ballot and a simple majority vote (50% + 1) of the voters to pass. Tonight's action by the City Council, if adopted, would place the proposed revenue measure before the voters of the City of Rohnert Park for their consideration. ANALYSIS: I. Budget The City has had a structural budget deficit for many years, meaning that our General Fund revenue (cash going into the bank) is not keeping up with the cost of providing services at a level expected and appreciated by our residents. The City has been able to bridge this gap due to the generous contributions from the Federated Indians of Graton Rancheria. Although this funding has thus far been sufficient to help the City mitigate the impacts of the Casino on the City, and provide essential services to our residents, costs and growing needs of the community are outpacing our income. As in our personal lives, our revenues or “paychecks” are not going as far as they used to, and we need to make some changes. Although the City has been managing with its current revenues and Tribe contributions, the long-term effects of growing costs and diminishing revenues have resulted in deferred maintenance of our roads, parks and buildings, and the loss of experienced staff to other employers that have better compensation packages. Beginning with the budget development of the General Fund in FY 2025-26, the City identified an initial budget shortfall of $10 million. The City Manager made service reductions of $4.5 million which included $1.4 million in contract services and $1.6 million in planned frozen positions (13 FT staff), defunded the Casino funded Pickleball Court Improvement Project by $2 million, and used those savings along with an additional $3.2 million dollars to initially balance the budget. After final adjustments to the budget and a last-minute commitment by the County to fund the SAFE program, the final use of Casino funds was $4.3 million. The FY 2026-27 budget development had a similar start. We again had an initial budget deficit of $10 million. The City Manager made service reductions of $3.3 million which resulted in five workforce reductions and 18 frozen positions which account for $2.9 million of the cost reductions. The budget was balanced with a combination of delaying a transfer of $1.5 million for roads projects and $5.2 million in Casino funds. The City has identified economic uncertainties that require our attention and are driving up the cost of providing service to our residents.  Revenue shortfalls, inflation on tax revenue, and instability in funding sources  Unfunded Mandates – require expenditures without providing necessary funding sources, for example, the implementation of SB 707 and other recently passed legislation.  Personnel costs – challenges related to pensions, healthcare costs, competitive wages, employee retention, and recruitment.  Rising Government Operational Costs – liability insurance, supplies, vehicles, contracts, etc.  Infrastructure Funding – deferred maintenance, capital improvement projects, and long-term sustainability of infrastructure investments ITEM NO. 8.C. 4931-9451-7945 v9 3  Unexpected Costs – emergency repairs, natural disasters, other unexpected financial crises In addition to the economic uncertainties, the General Fund has several known and unknown obligations including: Labath Landing $2.50M SAFE Program $1.07M Rohnert Park People Services $0.12M General Plan Implementation undetermined at this time Competitive Wages undetermined at this time Building Infrastructure Needs more than $40 million in deferred maintenance. Unfunded Mandates undetermined at this time In advance of the Fiscal Year 2025-26 budget adoption, the City prepared a 5-Year Financial Forecast. The chart below depicts the expected shortfall after the City Manager made reductions to the initial budgets submitted by the Departments. As you can see, FY 2026 projected a shortfall of approximately $7.9 million; however, the City Manager made further reductions during the development of the FY 2026-27 budget, reducing the initial shortfall to $6.7 million. The chart below depicts this same information graphically and additionally includes the comparison of the projected pre and post City Manager reduction shortfalls. ITEM NO. 8.C. 4931-9451-7945 v9 4 If the City continues experiencing declining revenues and core services such as the ones listed below are at risk of being reduced. Potential Core Service Reductions • Reduced police and fire protection/emergency response • Reduced infrastructure maintenance: - Parks/public areas - Roads/neighborhood streets, - Creeks, clean drinking water/water wells maintenance • Limited disaster preparedness services • Delayed response to reported issues. • Reduced access to recreational facilities and programs– Callinan Sports Center, Performing Arts Center, Senior Center, and pools. The chart below depicts the current breakdown of the Sales Tax Rate in Rohnert Park, and what voter approved Measures have increased the rate. It is important to highlight that for every $100 residents spend in Rohnert Park for taxable transactions, the City currently receives $2. ITEM NO. 8.C. 4931-9451-7945 v9 5 The following chart provides the current local Sales Taxes Rates in Sonoma County. Lastly, we want to inform residents of how the City generates the income that pays for City services. Below is a chart that shows the types of income (revenue) the City receives, who pays them, how the revenue amounts can be increased, and the estimated amount each source of revenue generates. Voter Approved Tax Measures Rate Government State Tax Rate 6.000%State Mandatory Local Rate (Bradley Burns)1.250%State Measure A RP Safety 0.500%Rohnert Park Measure H Fire 0.500%County Measure I Children's Initiative 0.250%County Measure F Open Space 0.250%County Measure M Parks 0.125%County Measure Y Library 0.125%County Measure O Mental 0.250%County Go Sonoma 0.250%County SMART Rail 0.250%County Total Sales Tax Rate 9.750% 9.25%Sonoma County 9.25%Windsor 9.75%Healdsburg 9.75%Rohnert Park 10.00%Cloverdale 10.00%Santa Rosa 10.25%Cotati 10.25%Petaluma 10.25%Sonoma 10.50%Sebastopol Local Sales Tax Rates ITEM NO. 8.C. 4931-9451-7945 v9 6 The City has taken various actions to minimize severe service impacts to our community. For instance, department operating budgets in certain cases have been reduced by 20%, there have been workforce reductions, and 18 positions have been frozen. Funding identified for capital improvements or to address deferred maintenance has been redirected to balance the City’s General Fund. We are actively pursuing various economic development initiatives, such as the development of a downtown; however, these actions will not eliminate the ongoing structural deficit between recurring revenues and expenditures. II. Transactions and Use (Sales) Tax The City currently receives 0.5% transactions and use tax pursuant to Chapter 3.21 of Title 3 of the Rohnert Park Municipal Code, which provides approximately $5,500,000 in annual revenue. Transactions and use taxes are commonly known as “sales taxes”. The proposed Transactions and Use Tax provided in the attached Resolution and Ordinance, if approved, would establish an additional/new transactions and use tax at the rate of 0.5% (1/2¢), which could generate approximately $5,500,000 per year. This proposed Transactions and Use Tax would also be a general tax, where the revenue is deposited in the City’s General Fund and could be used for any municipal purpose. For example, as a general tax, the tax revenue is not required to be spent on developing the City’s downtown area. III. Placing a General Revenue Measure on the Ballot Since the proposed Transactions and Use (Sales) Tax will be a general tax, it will require a 2/3 majority vote of the entire City Council (4 out of 5 Councilmembers) to be placed on the ballot and will require a simple majority vote (50% + 1) of the voters to pass. A General Tax may only be placed on the ballot when there is a City Council election, except in cases of emergency declared by a unanimous vote of the City Council (Cal. Const., art. XIIIC, Section 2(b).). For Rohnert Park, the next opportunity to place a General Tax on the ballot without a declaration of emergency is the upcoming General Municipal Election on November 3, 2026. If approved, the attached Resolution places this proposed Transactions and Use Tax on the ballot for the November 3, 2026, election. Revenue Type Who Pays Vote Required Estimated Revenue $ Property Taxes Property Owners Two-Thirds 13.8M Sales Tax Residents & Visitors Majority ( 50% + 1 )15.7M Transient Occupancy Tax Visitors Majority ( 50% + 1 )4.2M Franchise Fees Recology, PG&E, Phone&Cable No - Agreement 3.5M Community Service Fees Users of Service No - Fees 2.0M Licenses & Permits Residents & Developers No - Fees 1.8M Interest & Rents Lesees Rents 2.1M Charges for Services Departments Departments 2.0M Donation & Other Community Community 3.5M Cost Allocation plan Departments No 2.2M Fines & Penalties Violators No - Fees 0.1M Intergovernmental Other Governments No >.1M ITEM NO. 8.C. 4931-9451-7945 v9 7 IV. Community Input Like many cities throughout California and in Sonoma County, the City of Rohnert Park has faced significant budget challenges, necessitating painful budget cuts. To address these challenges, the City has engaged in a comprehensive Community Engagement process to hear directly from residents about their needs and priorities—to ensure that these perspectives are reflected in budget decision-making. Through two professionally conducted, quantitative community surveys and the City’s “Our Safety, Our Parks, Our Neighborhoods” interactive engagement program, approximately 1,700 Rohnert Park residents were engaged over the past year. The City is grateful for those residents who took the time to respond to a community survey or invitation to participate in the “Our Safety, Our Parks, Our Neighborhood’s discussion. Through all these efforts, residents identified the following priorities:  Maintaining 911 Emergency Response and Fire Protection services  Preventing cuts to public safety services, including any reduction of the number of neighborhood street patrols  Protecting local drinking water sources  Providing safe places for Rohnert Park children to play  Keeping public areas clean and safe In the most recent community survey conducted by FM3 Research, City staff were pleased to see a cumulative improvement in how residents view city government and our approach to working together to solve problems. We credit the community’s willingness to engage in this year-long conversation and the City’s commitment to this one-year conversation, to add value to our effort to address current financial and service delivery challenges. V. Proposed Rohnert Park Local Funding Measure As stated above, the Resolution (Attachment 1) places the Ordinance (Attachment 2) on the ballot for consideration by voters in the City of Rohnert Park. If adopted by the City Council, the voters would be presented with the following ballot question to consider the ordinance: Rohnert Park Financial Viability, Community Health/ Safety Measure. To maintain 911 response/ fire protection/wildfire preparedness; protect local drinking water; keep parks clean/safe; prevent property crime/burglary/public safety officer reductions; repair streets/potholes; and other general city services; shall the measure, establishing a half-cent local sales tax, providing approximately $5,500,000 annually for locally controlled funding that cannot be taken by the state, until ended by voters, requiring audits/ public spending disclosure, be adopted? As with previous measures, the full text of the ordinance submitted to the voters would be included in the voter information pamphlet. ITEM NO. 8.C. 4931-9451-7945 v9 8 If approved by voters, the ordinance would have the following key features: 1. It would enact a voter-approved, locally controlled transactions and use tax of 0.5% (half cent). 2. In accordance with state law, the City of Rohnert Park would be required to enter into a contract with the California Department of Tax and Fee Administration to collect and administer the tax. By law, no funds can be taken by county, state, or federal governments. All funds are required to be spent for the benefit of Rohnert Park residents. 3. Under the ordinance, the earliest the tax could begin become operative is at the beginning of the first calendar quarter that is at least 110 days after certification of the election results (slated for April 1, 2027) and would be in effect until ended by voters. 4. The ordinance requires that tax revenue be deposited into the City’s general fund and become subject to the same audit requirements as other general fund revenue. Any auditor’s report will include an accounting of the revenues received from the transactions and use tax and will be presented to the City Council and made available for public review. The deadline to file the request for consolidation with the Sonoma County Board of Supervisors is 88 days before the election, which is August 7, 2026. If approved, the City Clerk will file the resolution with the Sonoma County Elections Official and the Clerk of the Board of Supervisors for placement on the Board of Supervisor’s next Regular Meeting Agenda. VI. Elections Schedule and Ballot Arguments The proposed resolution sets requirements for the submission of ballot arguments in favor of or against the measure and rebuttals arguments, in accordance with statutory requirements. As part of the process, the City Clerk will be posting a notice to voters of schedule and procedures for the filing of ballot arguments. The dates below are in accordance with the November 3, 2026, election timeline set by the Sonoma County Registrar of Voters: July 28, 2026 Council adopts a resolution calling election August 7, 2026 Last date to file Resolution asking the Board of Supervisors to consolidate with the November 3, 2026, election. Local measure letter assignments (letters are assigned alphabetically in the order they are filed) August 11, 2026, at 1:00PM Due Date for Direct Arguments in favor of or against the measure (set by City Clerk and in accordance with County’s deadline) August 11, 2026, at 1:00PM Due Date for City Attorney Impartial Analysis (set by City Clerk and in accordance with County’s deadline) ITEM NO. 8.C. 4931-9451-7945 v9 9 August 12, 2026 Deadline to amend/withdraw measures August 21, 2026, at 1:00PM Due Date for Rebuttal deadline (only if opposing arguments are filed) (set by City Clerk and in accordance with County’s deadline) October 5, 2026 Voting by mail opens; first day Vote-by-Mail ballots can be picked up at Registrar of Voters Office October 19, 2026 Standard voter registration deadline November 3, 2026 Election Day November 10, 2026 Vote-by-Mail ballots which are postmarked on or before Election Day must be received by this date to be counted December 3, 2026 Deadline for ROV to certify election results ENVIRONMENTAL ANALYSIS: Adoption and approval of the attached Resolution submitting the measure to the ballot is not subject to the California Environmental Quality Act ("CEQA"), because it (1) does not constitute a “project” as defined by CEQA pursuant to California Code of Regulations, Title 14, Sections 15060(c)(3) and 15378; (2) will not result in a direct or reasonably foreseeable indirect physical change in the environment pursuant to California Code of Regulations, Title 14, Section 15060(c)(2); and (3) is covered by the general rule that CEQA applies only to projects which have the potential for causing a significant effect on the environment pursuant to California Code of Regulations, Title 14, Section 15061(b)(3). The Resolution submits a ballot measure that, if approved, would establish a transactions and use tax, provide for the creation of City funding mechanisms and City fiscal activities, include organizational or administrative activities of government which will not result in direct or indirect physical changes to the environment, and do not involve any commitment to any project which may result in a potentially significant physical impact on the environment. STRATEGIC PLAN ALIGNMENT: This item follows the Council’s broad goals of: • Long-Term Financial Sustainability, • Community Quality of Life, and • Organizational Well Being OPTIONS CONSIDERED: 1. Recommend adoption of Resolution No. 2026-062 Submitting to the Electors a Ballot Measure Establishing a Transactions and Use Tax at the Rate of 0.5% (1/2 Cent); Approving the Related Ordinance; Requesting that the Sonoma County Board of Supervisors Consent to the Consolidation of such Ballot Measure on the Ballot for the City’s General Municipal Election which is Consolidated with the Statewide General Election to be held on Tuesday, November 3, 2026 and Direct the Sonoma County Registrar of Voters to Conduct the Election on the City’s Behalf and to provide Election ITEM NO. 8.C. 4931-9451-7945 v9 10 Services; Directing the City Attorney to Prepare an Impartial Analysis; and Establishing Requirements Regarding Ballot Arguments. Approval will allow the residents of Rohnert Park to vote on the Transactions and Use (Sales) Tax Measure. 2. Alternative: Do not approve adoption. Measure will not go to the voters. FISCAL IMPACT/FUNDING SOURCE: The Sonoma County Registrar of Voters Office (ROV) estimates the cost of adding a measure to the City’s Municipal Election will range from $92,004 to $162,777 based on the current registration in the city of 28,309 as of May 2026. Like the other cities in Sonoma County, the City has contracted with the County of Sonoma to perform election services. If the City Council moves forward with a Transactions and Use (Sales) Tax Ordinance for the November 3, 2026, ballot and this Measure is approved by the voters, the proposed 0.5% (1/2¢) transactions and use tax will generate approximately $5,500,000 in additional annual revenue. Department Head Approval Date: 7/23/26 Finance Director Approval Date: 7/23/26 City Manager Approval Date: 7/23/26 City Attorney Approval Date: 7/23/26 Attachments: 1.Resolution submitting to the electors a ballot measure establishing a transaction and use tax at the rate of 0.5% (1/2 cent) 2.Ordinance adding a new Chapter 3.22 to Title 3 of the Rohnert Park Municipal Code which establishes a transaction and use tax at the rate of 0.5% 3.PowerPoint for Consideration of a General Revenue Measure RESOLUTION NO. 2026-062 A RESOLUTION OF THE CITY COUNCIL OF THE CITY OF ROHNERT PARK, CALIFORNIA, SUBMITTING TO THE ELECTORS A BALLOT MEASURE ESTABLISHING A TRANSACTIONS AND USE TAX AT THE RATE OF 0.5% (1/2 CENT); APPROVING THE RELATED ORDINANCE; REQUESTING THAT THE SONOMA COUNTY BOARD OF SUPERVISORS CONSENT TO THE CONSOLIDATION OF SUCH BALLOT MEASURE ON THE BALLOT FOR THE CITY’S GENERAL MUNICIPAL ELECTION WHICH IS CONSOLIDATED WITH THE STATEWIDE GENERAL ELECTION TO BE HELD ON TUESDAY, NOVEMBER 3, 2026 AND DIRECT THE SONOMA COUNTY REGISTRAR OF VOTERS TO CONDUCT THE ELECTION ON THE CITY’S BEHALF AND TO PROVIDE ELECTION SERVICES; DIRECTING THE CITY ATTORNEY TO PREPARE AN IMPARTIAL ANALYSIS; AND ESTABLISHING REQUIREMENTS REGARDING BALLOT ARGUMENTS WHEREAS, the City of Rohnert Park wishes to maintain quality neighborhood parks, safe and clean streets, schools, and neighborhoods; and WHEREAS, strengthening local property values maintains Rohnert Park as a desirable place to live, do business and raise a family; and WHEREAS, the City Council considered several options to address the City’s financial needs, including the transactions and use (sales) tax described in this Resolution and entitled the Rohnert Park Financial Viability, Community Health/Safety Measure; and WHEREAS, the Rohnert Park Financial Viability, Community Health/Safety Measure, if enacted by voters, would generate additional voter-approved, locally controlled funding to address priorities the community has identified, such as maintaining 911 emergency response/fire protection and preventing reduction of the number of public safety officers patrolling neighborhood streets; and WHEREAS, if enacted by voters, the Measure would help maintain Rohnert Park’s 28 parks and recreation areas, including repairing public bathrooms, landscaping, sports fields, and replacing aging gas, electrical, and sewer lines; and WHEREAS, providing children with safe places to play, keeping public areas safe and clean, and protecting local drinking water are additional priorities identified by Rohnert Park residents that would be addressed by the Measure; and WHEREAS, pursuant to Resolution No. 2026-048, the City Council of the City of Rohnert Park (“City Council”) called a General Municipal Election to be held on Tuesday, November 3, 2026, for the purpose of electing council members as provided therein and, pursuant to Resolution No. 2026-048, the City Council requested that the Sonoma County Board of Supervisors consent to the consolidation of such General Municipal Election with the Statewide General Election to be held on the same date; and WHEREAS, pursuant to Article XIIIC of the California Constitution, Section 53720 et seq. of the California Government Code, the City has the authority to levy a general tax, including, but not limited to, increasing an existing tax; and Resolution 2026-062 Page 2 of 8 WHEREAS, Article XIIIC, Section 2, of the California Constitution requires that the election at which a general tax increase is submitted to the electorate shall be consolidated with a regularly scheduled general election for members of the governing body of the local government, except in cases of emergency declared by a unanimous vote of the governing body; and WHEREAS, Part 1.6 (commencing with Section 7251) of Division 2 of the California Revenue and Taxation Code, and Section 7285.9 of the California Revenue and Taxation Code, authorizes a city to adopt a transactions and use tax ordinance, which shall be operative if a majority of the electors voting on the measure vote to approve the imposition of the tax at an election called for that purpose; and WHEREAS, Revenue and Taxation Code Section 7285.9 requires that any ballot measure/ordinance establishing or increasing a transactions and use tax must be approved by a two-thirds vote of all members of the City Council and by a majority vote of the qualified voters of the City voting on the ballot measure; and WHEREAS, pursuant to the laws of the State of California, including, but not limited to, Elections Code Sections 9222 and 10201, the City Council desires to submit to the voters at the consolidated General Municipal Election to be held on Tuesday, November 3, 2026, a question relating to a transactions and use (sales) tax, which will establish a transactions and use (sales) tax at the rate of 0.5% (1/2¢) that provides approximately $5,500,000 annually until ended by voters. NOW, THEREFORE, BE IT RESOLVED, by the City Council of the City of Rohnert Park that it does hereby resolve, declare, determine as follows: 1. Recitals. The recitals set forth above are true and correct and are incorporated herein by this reference. 2. Submission of Measure. Pursuant to the laws of the State of California, including, but not limited to, Elections Code Sections 9222 and 10201, the City Council, hereby orders the submission to the qualified voters of the City of Rohnert Park at the General Municipal Election to be held on Tuesday, November 3, 2026, a measure that, if approved, establishes a transactions and use (sales) tax at the rate of 0.5% (1/2¢), providing approximately $5,500,000 annually until ended by voters (“Measure”). The abbreviated form of the Measure to appear on the ballot is specified below in Section 3. 3. Ballot Language. The City Council, pursuant to its right and authority, does hereby order the following question submitted to the voters at the consolidated general municipal Resolution 2026-062 Page 3 of 8 election to be held on November 3, 2026: Rohnert Park Financial Viability, Community Health/Safety Measure. To maintain 911 response/fire protection/wildfire preparedness; protect local drinking water; keep parks clean/safe; prevent property crime/burglary/public safety officer reductions; repair streets/potholes; and other general city services; shall the measure, establishing a half-cent local sales tax, providing approximately $5,500,000 annually for locally controlled funding that cannot be taken by the state, until ended by voters, requiring audits/public spending disclosure, be adopted? YES NO 4. Text of Measure. The proposed complete text of the Measure to be submitted to the voters is attached as Exhibit A and incorporated herein by this reference. Pursuant to Revenue and Taxation Code Section 7285.9, the City Council hereby approves the proposed complete text of the Measure in the form as provided in Exhibit A and the submission thereof to the voters of the City at the General Municipal Election to be held on Tuesday, November 3, 2026. 5. Voter Approval Requirement. The vote requirement for the measure to pass is a majority (50% + 1) of the votes cast. 6. Form & Content of Ballots. The ballots to be used at the election shall be in form and content as required by law. 7. Coordination with County. The City Clerk, as the City’s elections official, is authorized, instructed and directed to coordinate with the County of Sonoma Registrar of Voters to procure and furnish any and all official ballots, notices, printed matter and all supplies, equipment and paraphernalia that may be necessary in order to properly and lawfully conduct the election. 8. Appropriation of Necessary Funds. The City of Rohnert Park recognizes that additional costs will be incurred for this election and agrees to reimburse the County for any costs. The City Manager or Designee is hereby authorized and directed to appropriate the necessary funds to pay for the City’s cost of placing the measure on the election ballot. 9. Election Held Pursuant to Law. In all particulars not recited in this Resolution, the Resolution 2026-062 Page 4 of 8 election shall be held and conducted as provided by law for holding municipal elections. 10. Request to Consolidate and Conduct Election and Canvass Returns. A. Pursuant to California Elections Code sections 10400 et seq., the election for the Measure, as described in this Resolution, shall be consolidated with the established election to be conducted on Tuesday, November 3, 2026. Pursuant to the requirements of Elections Code Section 10403, the Board of Supervisors of the County of Sonoma is hereby requested to consent and agree to the consolidation of the Measure on the ballot for the City’s General Municipal Election which is consolidated with the Statewide General Election to be held on Tuesday, November 3, 2026. B. The Sonoma County Elections Department is authorized to canvass the returns of the General Municipal Election to be held on Tuesday, November 3, 2026. The election shall be held in all respects as if there were only one election, and only one form of ballot shall be used. The election will be held and conducted in accordance with the provisions of law regulating the elections, including, but not limited to, Elections Code Section 10418. C. In accordance with California Elections Code 10002, the Board of Supervisors of the County of Sonoma permit the Registrar of Voters Office to render such election services, prepare all required notices and election materials of holding of the General Municipal Election, to give all such required notices and send to the City's registered voters all required election materials, conduct the General Municipal Election and canvass the vote received, and take all steps necessary and required for the holding of this election within the City of Rohnert Park. The County Registrar of Voters of Sonoma County is authorized to specify the location for the tally of ballots and certify the results to the City Council of the City of Rohnert Park. D. The City of Rohnert Park recognizes that additional costs will be incurred by the County of Sonoma by reason of this consolidation and agrees to reimburse the County of Sonoma for any costs. E. The City Clerk shall file a certified copy of this Resolution with the Sonoma County Board of Supervisors and Sonoma County Elections Department. F. At the next regular meeting of the City Council of the City of Rohnert Park occurring after the returns of the election for the measure set forth in Section 3 have been canvassed, and the results have been certified to the City Council, or at a special meeting called for such purpose if required by law, the City Council shall cause to be entered in its minutes a statement of the results of the election. 11. Submission of Ballot Arguments. A. Primary Argument. i. In accordance with Article 4, Chapter 3, Division 9 of the Elections Resolution 2026-062 Page 5 of 8 Code of the State of California, written argument(s) In Favor of or Against City measure(s) shall not exceed 300 words and shall be filed with the City Clerk, signed, with the printed name(s) and signature(s) of the author(s) submitting it, or if submitted on behalf of an organization, the name of the organization, and the printed name and signature of at least one of its principal officers who is the author of the argument. The arguments shall be accompanied by forms as provided by the City Clerk and shall be filed with City Clerk no later than the date and time fixed by the City Clerk. Further, the arguments may be changed or withdrawn until and including the date and time fixed by the City Clerk after which no arguments In Favor or Against the City measure may be submitted to the City Clerk. ii. In the event that more than one argument In Favor or Against the City measure is timely submitted, then consistent with Elections Code Section 9287, the City Clerk shall select the argument to be included with the ballot materials, giving preference and priority in the order set forth in Elections Code Section 9287. B. Rebuttal Arguments. i. Pursuant to Section 9285 of the Elections Code of the State of California, when the City Clerk has selected the arguments In Favor and Against the measure (not exceeding 300 words each) which will be printed and distributed to the voters, the City Clerk shall send a copy of an argument In Favor of the proposition to the authors of any argument Against the measure and a copy of an argument Against the measure to the authors of any argument In Favor of the measure immediately upon receiving the arguments. ii. The author or a majority of the authors of an argument relating to a City measure may prepare and submit a rebuttal argument not exceeding 250 words or may authorize in writing any other person or persons to prepare, submit, or sign the rebuttal argument. iii. A rebuttal argument may not be signed by more than five authors. iv. The rebuttal arguments shall be filed with the City Clerk, signed, with the printed name(s) and signature(s) of the author(s) submitting it, or if submitted on behalf of an organization, the name of the organization, and the printed name and signature of at least one of its principal officers, not more than 10 days after the final date for filing primary arguments. The rebuttal arguments shall be accompanied by forms provided by the City Clerk. v. Rebuttal arguments shall be printed in the same manner as the primary arguments. Each rebuttal argument shall immediately follow the primary argument which it seeks to rebut. Resolution 2026-062 Page 6 of 8 vi. All previous resolutions providing for the filing of rebuttal arguments for city measures are repealed, but only to the extent such resolutions conflict with this Resolution. vii. The provisions of this Section 11(B) shall apply only to the election to be held on November 3, 2026, and shall then be repealed. C. Submission of Impartial Analysis. i. The City Council directs the City Clerk to transmit a copy of the measure to the City Attorney. ii. The City Attorney shall prepare an impartial analysis of the measure not exceeding 500 words showing the effect of the measure on the existing law and the operation of the measure. iii. The analysis shall include a statement indicating whether the measure was placed on the ballot by a petition signed by the requisite number of voters or by the governing body of the City. iv. In the event the entire text of the measure is not printed on the ballot, nor in the voter information portion of the voter information guide, there shall be printed immediately below the impartial analysis, in no less than 10-point type, a statement in substantially the following form: "The above statement is an impartial analysis of Ordinance or Measure __. If you desire a copy of the ordinance or measure, please call the election official's office at 707-588-2227 and a copy will be mailed at no cost to you." v. The impartial analysis shall be filed by the date set by the City Clerk for the filing of primary arguments. D. Printing. The City Clerk shall cause the City Attorney’s impartial analysis, and duly selected arguments, to be printed and distributed to voters in accordance with State law regarding the same. 12. Notice of Election; Publication. Notice of the time and place of holding the election is given and the City Clerk is authorized, instructed, and directed to give further or additional notice of the election, in time, form, and manner as required by law. 13. Implementation. The City Clerk and City Manager are authorized to take all actions as necessary to effectuate the purposes of this Resolution and the election. The City Manager, subject to approval of the City Attorney, is authorized to make any typographical, clerical, and non-substantive corrections and such other revisions as may be required to this Resolution and its exhibits/attachments, including such typographical, clerical, and non-substantive corrections and/or such other revisions as may be required by the California Department of Fee and Tax Administration. 14. Environmental Compliance. The City Council finds the adoption and approval of this Resolution and the Measure are not subject to the California Environmental Quality Act ("CEQA"), because their adoption and approval (1) do not constitute a Resolution 2026-062 Page 7 of 8 “project” as defined by CEQA pursuant to California Code of Regulations, Title 14, Sections 15060(c)(3) and 15378; (2) will not result in a direct or reasonably foreseeable indirect physical change in the environment pursuant to California Code of Regulations, Title 14, Section 15060(c)(2); and (3) are covered by the general rule that CEQA applies only to projects which have the potential for causing a significant effect on the environment pursuant to California Code of Regulations, Title 14, Section 15061(b)(3). This Resolution and Measure, if approved by the voters, establish a transactions and use tax, provide for the creation of City funding mechanisms and City fiscal activities, include organizational or administrative activities of government which will not result in direct or indirect physical changes to the environment, and do not involve any commitment to any project which may result in a potentially significant physical impact on the environment. 15. Certification. The City Clerk shall certify to the passage and adoption of this Resolution. DULY AND REGULARLY ADOPTED this 28th day of July, 2026. CITY OF ROHNERT PARK By ______________________________ Emily Sanborn, Mayor ATTEST: By ______________________________ Sylvia Lopez Cuevas, City Clerk APPROVED AS TO FORM: By: ______________________________ Michelle Marchetta Kenyon, City Attorney Attachments: Exhibit A – Proposed Complete Text of the Measure ADAMS: ___ GIUDICE: ___ RODRIGUEZ: ___ ELWARD: ___ SANBORN: ___ AYES: ( ) NOES: ( ) ABSENT: ( ) ABSTAIN: ( ) Resolution 2026-062 Page 8 of 8 Exhibit A Proposed Complete Text of the Measure ORDINANCE NO. 998 AN ORDINANCE OF THE CITY COUNCIL OF THE CITY OF ROHNERT PARK, CALIFORNIA, ADDING A NEW CHAPTER 3.22 TO TITLE 3 OF THE ROHNERT PARK MUNICIPAL CODE WHICH ESTABLISHES A TRANSACTIONS AND USE TAX AT THE RATE OF 0.5% WHEREAS, pursuant to Article XIIIC of the California Constitution, Section 53720 et seq. of the California Government Code, the City has the authority to levy a general tax, including, but not limited to, increasing an existing general tax; and WHEREAS, Article XIIIC, Section 2, of the California Constitution requires that the election at which a general tax increase is submitted to the electorate shall be consolidated with a regularly scheduled general election for members of the governing body of the local government, except in cases of emergency declared by a unanimous vote of the governing body; and WHEREAS, Part 1.6 (commencing with Section 7251) of Division 2 of the California Revenue and Taxation Code, and Section 7285.9 of the California Revenue and Taxation Code, authorizes a city to adopt a transactions and use tax ordinance, which shall be operative if a majority of the electors voting on the measure vote to approve the imposition of the tax at an election called for that purpose; and WHEREAS, Revenue and Taxation Code Section 7285.9 requires that any ballot measure/ordinance establishing or increasing a transactions and use tax must be approved by a 2/3 vote of all members of the City Council and by a majority vote of the qualified voters of the City voting on the ballot measure; and WHEREAS, by Resolution No. 2026-062, the City Council approved this Ordinance by a two-thirds vote of all its members; and WHEREAS, Tuesday, November 3, 2026, is the date of the general municipal election, which has been consolidated with the statewide general election occurring on the same date, at which members of the City Council will be elected; WHEREAS, this Ordinance establishes a transactions and use tax at the rate of 0.5% by adding a new Chapter 3.22, entitled “Transactions and Use Tax of 2026”, to Title 3 of the Rohnert Park Municipal Code. NOW, THEREFORE, the People of the City of Rohnert Park, California, do hereby ordain as follows: Section 1. Recitals. The recitals set forth above are true and correct and are incorporated herein by this reference. Section 2. New Chapter. Chapter 3.22, entitled “Transactions and Use Tax of 2026”, is hereby added to Title 3 of the Rohnert Park Municipal Code as follows: Chapter 3.22. Transactions and Use Tax of 2026 Section 3.22.010. – Title. This chapter shall be known as the “Transactions and Use Tax of 2026”. The City of Rohnert Park hereinafter shall be called “City.” This chapter shall be applicable in the incorporated territory of the City. Section 3.22.020. – Operative Date. “Operative Date” means the first day of the first calendar quarter commencing more than 110 days after the adoption of this chapter. For purposes of Revenue and Taxation Code section 7265, this chapter shall be considered adopted on the Ordinance No. 998 Page 2 of 8 date of the election in which it is approved by the qualified voters of the City. Section 3.22.030. – Purpose. This chapter is adopted to achieve the following, among other purposes, and directs that the provisions hereof be interpreted in order to accomplish those purposes: A. To impose a retail transactions and use tax in accordance with the provisions of Part 1.6 (commencing with Section 7251) of Division 2 of the Revenue and Taxation Code and Section 7285.9 of Part 1.7 of Division 2 which authorizes the City to adopt this tax ordinance which shall be operative if a majority of the electors voting on the measure vote to approve the imposition of the tax at an election called for that purpose. B. To adopt a retail transactions and use tax ordinance that incorporates provisions identical to those of the Sales and Use Tax Law of the State of California insofar as those provisions are not inconsistent with the requirements and limitations contained in Part 1.6 of Division 2 of the Revenue and Taxation Code. C. To adopt a retail transactions and use tax ordinance that imposes a tax and provides a measure therefore that can be administered and collected by the California Department of Tax and Fee Administration in a manner that adapts itself as fully as practicable to, and requires the least possible deviation from, the existing statutory and administrative procedures followed by the California Department of Tax and Fee Administration in administering and collecting the California State Sales and Use Taxes. D. To adopt a retail transactions and use tax ordinance that can be administered in a manner that will be, to the greatest degree possible, consistent with the provisions of Part 1.6 of Division 2 of the Revenue and Taxation Code, minimize the cost of collecting the transactions and use taxes, and at the same time, minimize the burden of record keeping upon persons subject to taxation under the provisions of this chapter. Section 3.22.040. – Contract with State. Prior to the operative date, the City shall contract with the California Department of Tax and Fee Administration to perform all functions incident to the administration and operation of this transactions and use tax ordinance; provided, that if the City shall not have contracted with the California Department of Tax and Fee Administration prior to the operative date, it shall nevertheless so contract and in such a case the operative date shall be the first day of the first calendar quarter following the execution of such a contract. Section 3.22.050. – Transactions Tax Rate. For the privilege of selling tangible personal property at retail, a tax is hereby imposed upon all retailers in the incorporated territory of the City at the rate 0.5% of the gross receipts of any retailer from the sale of all tangible personal property sold at retail in said territory on and after the operative date of this chapter. Section 3.22.060. – Place of Sale. For the purposes of this chapter, all retail sales are consummated at the place of business of the retailer unless the tangible personal property sold is delivered by Ordinance No. 998 Page 3 of 8 the retailer or his agent to an out-of-state destination or to a common carrier for delivery to an out-of-state destination. The gross receipts from such sales shall include delivery charges, when such charges are subject to the state sales and use tax, regardless of the place to which delivery is made. In the event a retailer has no permanent place of business in the State or has more than one place of business, the place or places at which the retail sales are consummated shall be determined under rules and regulations to be prescribed and adopted by the California Department of Tax and Fee Administration. Section 3.22.070. – Use Tax Rate. An excise tax is hereby imposed on the storage, use or other consumption in the City of tangible personal property purchased from any retailer on and after the operative date of this chapter for storage, use or other consumption in said territory at the rate of 0.5% of the sales price of the property. The sales price shall include delivery charges when such charges are subject to state sales or use tax regardless of the place to which delivery is made. Section 3.22.080. – Adoption of Provisions of State Law. Except as otherwise provided in this chapter and except insofar as they are inconsistent with the provisions of Part 1.6 of Division 2 of the Revenue and Taxation Code, all of the provisions of Part 1 (commencing with Section 6001) of Division 2 of the Revenue and Taxation Code are hereby adopted and made a part of this chapter as though fully set forth herein. Section 3.22.090. – Limitations on Adoption of State Law and Collection of Use Taxes. In adopting the provisions of Part 1 of Division 2 of the Revenue and Taxation Code: A. Wherever the State of California is named or referred to as the taxing agency, the name of this City shall be substituted therefor. However, the substitution shall not be made when: 1. The word “State” is used as a part of the title of the State Controller, State Treasurer, State Treasury, or the Constitution of the State of California; 2. The result of that substitution would require action to be taken by or against this City or any agency, officer, or employee thereof rather than by or against the California Department of Tax and Fee Administration, in performing the functions incident to the administration or operation of this chapter. 3. In those sections, including, but not necessarily limited to sections referring to the exterior boundaries of the State of California, where the result of the substitution would be to: a. Provide an exemption from this tax with respect to certain sales, storage, use or other consumption of tangible personal property which would not otherwise be exempt from this tax while such sales, storage, use or other consumption remain subject to tax by the State under the provisions of Part 1 of Division 2 of the Revenue and Taxation Code, or; b. Impose this tax with respect to certain sales, Ordinance No. 998 Page 4 of 8 storage, use or other consumption of tangible personal property which would not be subject to tax by the state under the said provision of that code. 4. In Sections 6701, 6702 (except in the last sentence thereof), 6711, 6715, 6737, 6797 or 6828 of the Revenue and Taxation Code. B. The word “City” shall be substituted for the word “State” in the phrase “retailer engaged in business in this State” in Section 6203 and in the definition of that phrase in Section 6203. 1. “A retailer engaged in business in the District” shall also include any retailer that, in the preceding calendar year or the current calendar year, has total combined sales of tangible personal property in this state or for delivery in the State by the retailer and all persons related to the retailer that exceeds five hundred thousand dollars ($500,000). For purposes of this section, a person is related to another person if both persons are related to each other pursuant to Section 267(b) of Title 26 of the United States Code and the regulations thereunder. Section 3.22.100. – Permit Not Required. If a seller’s permit has been issued to a retailer under Section 6067 of the Revenue and Taxation Code, an additional transactor’s permit shall not be required by this chapter. Section 3.22.110. – Exemptions and Exclusions. A. There shall be excluded from the measure of the transactions tax and the use tax the amount of any sales tax or use tax imposed by the State of California or by any city, city and county, or county pursuant to the Bradley- Burns Uniform Local Sales and Use Tax Law or the amount of any state- administered transactions or use tax. B. There are exempted from the computation of the amount of transactions tax the gross receipts from: 1. Sales of tangible personal property, other than fuel or petroleum products, to operators of aircraft to be used or consumed principally outside the county in which the sale is made and directly and exclusively in the use of such aircraft as common carriers of persons or property under the authority of the laws of this State, the United States, or any foreign government. 2. Sales of property to be used outside the City which is shipped to a point outside the City, pursuant to the contract of sale, by delivery to such point by the retailer or his agent, or by delivery by the retailer to a carrier for shipment to a consignee at such point. For the purposes of this paragraph, delivery to a point outside the City shall be satisfied: a. With respect to vehicles (other than commercial vehicles) subject to registration pursuant to Chapter 1 (commencing with Section 4000) of Division 3 of the Vehicle Code, aircraft licensed in compliance with Section 21411 of the Public Utilities Code, and undocumented vessels registered under Division 3.5 (commencing with Section 9840) of the Vehicle Code by registration to an out-of-City address and by a declaration under penalty of perjury, signed by the buyer, stating that such address is, in fact, his or her principal place of residence; and Ordinance No. 998 Page 5 of 8 b. With respect to commercial vehicles, by registration to a place of business out-of-City and declaration under penalty of perjury, signed by the buyer, that the vehicle will be operated from that address. 3. The sale of tangible personal property if the seller is obligated to furnish the property for a fixed price pursuant to a contract entered into prior to the operative date of this chapter. 4. A lease of tangible personal property which is a continuing sale of such property, for any period of time for which the lessor is obligated to lease the property for an amount fixed by the lease prior to the operative date of this chapter. 5. For the purposes of subparagraphs (3) and (4) of this section, the sale or lease of tangible personal property shall be deemed not to be obligated pursuant to a contract or lease for any period of time for which any party to the contract or lease has the unconditional right to terminate the contract or lease upon notice, whether or not such right is exercised. C. There are exempted from the use tax imposed by this chapter, the storage, use or other consumption in this City of tangible personal property: 1. The gross receipts from the sale of which have been subject to a transactions tax under any state-administered transactions and use tax ordinance. 2. Other than fuel or petroleum products purchased by operators of aircraft and used or consumed by such operators directly and exclusively in the use of such aircraft as common carriers of persons or property for hire or compensation under a certificate of public convenience and necessity issued pursuant to the laws of this State, the United States, or any foreign government. This exemption is in addition to the exemptions provided in Sections 6366 and 6366.1 of the Revenue and Taxation Code of the State of California. 3. If the purchaser is obligated to purchase the property for a fixed price pursuant to a contract entered into prior to the operative date of this chapter. 4. If the possession of, or the exercise of any right or power over, the tangible personal property arises under a lease which is a continuing purchase of such property for any period of time for which the lessee is obligated to lease the property for an amount fixed by a lease prior to the operative date of this chapter. 5. For the purposes of subparagraphs (3) and (4) of this section, storage, use, or other consumption, or possession of, or exercise of any right or power over, tangible personal property shall be deemed not to be obligated pursuant to a contract or lease for any period of time for which any party to the contract or lease has the unconditional right to terminate the contract or lease upon notice, whether or not such right is exercised. 6. Except as provided in subparagraph (7), a retailer engaged in business in the City shall not be required to collect use tax from the purchaser of tangible personal property, unless the retailer ships or delivers the property into the City or participates within the City in making the sale of the property, Ordinance No. 998 Page 6 of 8 including, but not limited to, soliciting or receiving the order, either directly or indirectly, at a place of business of the retailer in the City or through any representative, agent, canvasser, solicitor, subsidiary, or person in the City under the authority of the retailer. 7. “A retailer engaged in business in the City” shall also include any retailer of any of the following: vehicles subject to registration pursuant to Chapter 1 (commencing with Section 4000) of Division 3 of the Vehicle Code, aircraft licensed in compliance with Section 21411 of the Public Utilities Code, or undocumented vessels registered under Division 3.5 (commencing with Section 9840) of the Vehicle Code. That retailer shall be required to collect use tax from any purchaser who registers or licenses the vehicle, vessel, or aircraft at an address in the City. D. Any person subject to use tax under this chapter may credit against that tax any transactions tax or reimbursement for transactions tax paid to a district imposing, or retailer liable for a transactions tax pursuant to Part 1.6 of Division 2 of the Revenue and Taxation Code with respect to the sale to the person of the property the storage, use or other consumption of which is subject to the use tax. Section 3.22.120. – Amendments. All amendments subsequent to the effective date of this chapter to Part 1 of Division 2 of the Revenue and Taxation Code relating to sales and use taxes and which are not inconsistent with Part 1.6 and Part 1.7 of Division 2 of the Revenue and Taxation Code, and all amendments to Part 1.6 and Part 1.7 of Division 2 of the Revenue and Taxation Code, shall automatically become a part of this chapter, provided however, that no such amendment shall operate so as to affect the rate of tax imposed by this chapter. Section 3.22.130. – Enjoining Collection Forbidden. No injunction or writ of mandate or other legal or equitable process shall issue in any suit, action or proceeding in any court against the State or the City, or against any officer of the State or the City, to prevent or enjoin the collection under this chapter, or Part 1.6 of Division 2 of the Revenue and Taxation Code, of any tax or any amount of tax required to be collected. Section 3.22.140. – Severability. If any provision of this chapter or the application thereof to any person or circumstance is held invalid, the remainder of the chapter and the application of such provision to other persons or circumstances shall not be affected thereby. Section 3.22.150. – Effective Date. Pursuant to Elections Code Section 9217, this chapter shall be considered adopted on the date that the City Council declares that the voters of the City of Rohnert Park have approved Ordinance No. 998 by a vote of no less than a majority of the votes cast by the electors voting at the election held on Tuesday, November 3, 2026, and shall go into effect ten (10) days thereafter. Section 3.22.160. – Termination Date. The tax imposed by this chapter shall remain in effect until ended by voters. Ordinance No. 998 Page 7 of 8 Section 3.22.170. – General Tax. The tax imposed by this chapter is a general tax. Accordingly, the proceeds from the tax imposed by this chapter shall be for unrestricted general revenue purposes of the City and shall be placed into the General Fund of the City. Section 3.22.180. – Amendment by City Council. Pursuant to Elections Code Section 9217, the City Council has the right and authority to amend this chapter, to further its purposes and intent (including but not limited to amendment for more efficient administration as determined by the City Council), in any manner that does not increase a tax rate, or otherwise constitute a tax increase for which voter approval is required by Article XIII C of the California Constitution. Section 3.22.190. – Annual Audit. The proceeds resulting from this transactions and use tax shall be subject to the same independent annual audit requirements as other general fund revenue. The independent auditor’s report, which shall include an accounting of the revenues received from and expenditures made from the transactions and use tax, will be presented annually to the City Council and made available for public review. Further, such independent auditor’s report and such presentation thereof to the City Council may be combined with the City’s annual financial audit. Section 3. Council Authority to Amend. Pursuant to Elections Code Section 9217, the City Council has the right and authority to amend this Ordinance, to further its purposes and intent (including but not limited to amendment for more efficient administration as determined by the City Council), in any manner that does not increase a tax rate, or otherwise constitute a tax increase for which voter approval is required by Article XIII C of the California Constitution. Section 4. Environmental Compliance. The City finds the adoption of this Ordinance is not subject to the California Environmental Quality Act ("CEQA"), because the enactment of this Ordinance: (1) does not constitute a “project” as defined by CEQA pursuant to California Code of Regulations, Title 14, Sections 15060(c)(3) and 15378; (2) will not result in a direct or reasonably foreseeable indirect physical change in the environment pursuant to California Code of Regulations, Title 14, Section 15060(c)(2); and (3) is covered by the general rule that CEQA applies only to projects which have the potential for causing a significant effect on the environment pursuant to California Code of Regulations, Title 14, Section 15061(b)(3). This Ordinance establishes a transactions and use tax, provides for the creation of City funding mechanisms and City fiscal activities, includes organizational or administrative activities of government which will not result in direct or indirect physical changes to the environment, and does not involve any commitment to any project which may result in a potentially significant physical impact on the environment. Section 5. Severability. Should any section, subsection, paragraph, sentence, clause, or phrase of this Ordinance be declared unconstitutional or invalid for any reason, such declaration shall not affect the validity of the remaining portions of this Ordinance. Section 6. Date of Adoption; Effective Date. Pursuant to Elections Code Section 9217, this Ordinance shall be considered adopted on the date that the City Council declares that the voters of the City of Rohnert Park have approved this Ordinance by a vote of no less than a majority of the votes cast by the electors voting at the General Municipal Election held on Tuesday, November 3, 2026, and shall go into effect ten (10) days thereafter. Section 7. Execution. The Mayor shall sign this Ordinance and the City Clerk shall attest Ordinance No. 998 Page 8 of 8 and certify to the passage and adoption of this Ordinance if a majority of the voters voting in the City’s general municipal election on November 3, 2026, approve it. Section 8. Publication. The City Clerk shall cause this Ordinance to be published in the manner required by law. PASSED, APPROVED AND ADOPTED BY THE PEOPLE OF THE CITY OF ROHNERT PARK at the General Municipal Election held on November 3, 2026. APPROVED ________________________________ Emily Sanborn, Mayor ATTEST ________________________________ Sylvia Lopez Cuevas, City Clerk City Council Presentation Consideration of General Revenue Measure July 28, 2026 – City Council Meeting Agenda City’s Fiscal Reality Consideration of General Revenue Measure Community Priorities 02 03 04 01 05 Recommendation City General Fund Revenue Sources City’s Fiscal Reality •Facing significant General Fund budget challenges - $10 million deficit in FY 2025/26 and FY 2026/27 •Balancing budget with one-time funding sources •Minimal revenue growth •Rising Government Operational Costs •City Departments operating with frozen positions and workforce reductions •Challenges retaining and recruiting personnel •Over $230 million in deferred maintenance needs General Fund Revenues FY 26/27 ($ in millions) General Fund Revenues $57.8M Tax Revenue 64.1% General Fund Expenditures FY 26/27 ($ in millions) GF Expenditures $57.8M Balanced General Fund Budget FY 2026/27 General Fund Forecasted Revenues: General Fund Proposed Expenditures: Net Deficit: One-Time Solutions: Use of Casino Supplemental Funds: Franchise Fees (Hold Transfer to CIP): Balanced Budget $52.6M 59.3M $ 6.7M $ 5.2M 1.5M $0.0M 7 Five -Year Projected Deficit Proposing Increase of 0.5% (1/2¢) Transactions & Use Tax (commonly known as “Sales Taxes”) Generate Approximately $5.5 million in additional revenue per year Consideration of General Revenue Measure Current Rohnert Park Sales Tax Breakdown Tax Rate Government Begins Ends California Sales Tax Rate 6.000%State Mandatory Local Rate 1.250%State Measure A RP Safety 0.500%City 2014 Never Measure H Fire 0.500%County 2025 Never Measure I Children's Initiative 0.250%County 2025 Measure F Open Space 0.250%County 2011 2031 Measure M Parks 0.125%County 2019 2028 Measure Y Library 0.125%County 2017 Measure O Mental 0.250%County 2021 Go Sonoma 0.250%County 2025 2040 SMART Rail 0.250%County 2009 2029 Total Sales Tax Rate 9.750% Maximum Sonoma County Sales Tax Rate 10.25% 2031 Sales Tax Comparison for Sonoma County 9.25%Sonoma County 9.25%Windsor 9.75%Healdsburg 9.75%Rohnert Park 10.00%Cloverdale 10.00%Santa Rosa 10.25%Cotati 10.25%Petaluma 10.25%Sonoma 10.50%Sebastopol Local Sales Tax Rates 11 Revenue Type Who Pays Vote Required Estimated Revenue $ Property Taxes Property Owners Two-Thirds 13.8M Sales Tax Residents & Visitors Majority ( 50% + 1 )15.7M Transient Occupancy Tax Visitors Majority ( 50% + 1 )4.2M Franchise Fees Recology, PG&E, Phone&Cable No - Agreement 3.5M Community Service Fees Users of Service No - Fees 2.0M Licenses & Permits Residents & Developers No - Fees 1.8M Interest & Rents Lesees Rents 2.1M Charges for Services Departments Departments 2.0M Donation & Other Community Community 3.5M Cost Allocation plan Departments No 2.2M Fines & Penalties Violators No - Fees 0.1M Intergovernmental Other Governments No >.1M City General Fund Revenue Sources Community Engagement – Top Priorities Maintaining 911 emergency response and fire protection services Preventing cuts to public safety services, including any reduction of the number of neighborhood street patrols Protecting local drinking water sources Providing safe places for Rohnert Park children to play Keeping public areas clean and safe Reduced Revenue Impacts Services  Reduced police and fire protection services  Reduced maintenance at parks, public areas, creeks, and streets  Limited disaster preparedness services  Delayed responses to reported issues  Reduced access to recreational facilities and programs – Callinan Sports Center, Performing Arts Center, Senior Center, and pools Ballot Question to Consider: Rohnert Park Financial Viability, Community Health/ Safety Measure . To maintain 911 response/ fire protection/wildfire preparedness; protect local drinking water; keep parks clean/safe; prevent property crime/burglary/public safety officer reductions; repair streets/potholes; and other general city services; shall the measure, establishing a half -cent local sales tax, providing approximately $5,500,000 annually for locally controlled funding that cannot be taken by the state, until ended by voters, requiring audits/ public spending disclosure, be adopted? Placing General Revenue Measure on Ballot ♦Transaction & Use (Sales) Tax is a general tax – requires a 2/3 majority vote of the entire City Council (4 out of 5 Councilmembers) to be placed on the ballot ♦Measure will require simple majority vote (50% + 1) of the voters to pass ♦If proposed resolution is adopted, ballot measure would be included in the Tuesday, November 3, 2026, General Municipal Election ♦Deadline to file resolution with Sonoma County Elections Official and Clerk of the Board of Supervisors is August 7, 2026 ♦If measure passes, the earliest the tax could begin being collected is April 1, 2027, and would be in effect until ended by voters ♦Additional Sales Tax revenue will be deposited into the City’s General Fund for the benefit of Rohnert Park residents and be audited as other general fund revenue Recommendation: Adopt Resolution No. 2026-062 Submitting to the Electors a Ballot Measure Establishing a Transactions and Use Tax at the Rate of 0.5% (1/2 Cent); Approving the Related Ordinance; Requesting that the Sonoma County Board of Supervisors Consent to the Consolidation of such Ballot Measure on the Ballot for the City’s General Municipal Election which is Consolidated with the Statewide General Election to be held on Tuesday, November 3, 2026, and Direct the Sonoma County Registrar of Voters to Conduct the Election on the City’s Behalf and to provide Elections Services; Directing the City Attorney to Prepare an Impartial Analysis; and Establishing Requirements Regarding Ballot Arguments. Questions? City Council Presentation Consideration of General Revenue Measure July 28, 2026 – City Council Meeting Agenda City’s Fiscal Reality Consideration of General Revenue Measure Community Priorities 02 03 04 01 05 Recommendation City General Fund Revenue Sources City’s Fiscal Reality •Facing significant General Fund budget challenges - $10 million deficit in FY 2025/26 and FY 2026/27 •Balancing budget with one-time funding sources •Minimal revenue growth •Rising Government Operational Costs •City Departments operating with frozen positions and workforce reductions •Challenges retaining and recruiting personnel •Over $230 million in deferred maintenance needs 3 General Fund Revenues FY 26/27 ($ in millions) General Fund Revenues $57.8M Tax Revenue 64.1% 4 General Fund Expenditures FY 26/27 ($ in millions) GF Expenditures $57.8M 5 Balanced General Fund Budget FY 2026/27 General Fund Forecasted Revenues: General Fund Proposed Expenditures: Net Deficit: One-Time Solutions: Use of Casino Supplemental Funds: Franchise Fees (Hold Transfer to CIP): Balanced Budget $52.6M 59.3M $ 6.7M $ 5.2M 1.5M $0.0M 6 7 Five -Year Projected Deficit 7 Proposing Increase of 0.5% (1/2¢) Transactions & Use Tax (commonly known as “Sales Taxes”) Generate Approximately $5.5 million in additional revenue per year Consideration of General Revenue Measure 8 Current Rohnert Park Sales Tax Breakdown Maximum Sonoma County Sales Tax Rate 10.25% Voter Approved Tax Measures Rate Government Begins Ends State Tax Rate 6.000%State 1933 Never Mandatory Local Rate (Bradley Burns)1.250%State 1956 Never Measure A Rohnert Park 0.500%City 2014 Never Measure H Fire 0.500%County 2025 Never Measure I Children's Initiative 0.250%County 2025 Never Measure F Open Space 0.250%County 2011 2031 Measure M Parks 0.125%County 2019 2029 Measure Y Library 0.125%County 2017 Never Measure O Mental Health/Homelessness 0.250%County 2021 2031 Go Sonoma 0.250%County 2025 2045 SMART Rail renewed by Measure B 0.250%County 2029 2059 Total Sales Tax Rate 9.750% 9 Sales Tax Comparison for Sonoma County 9.25%Sonoma County 9.25%Windsor 9.75%Healdsburg 9.75%Rohnert Park 10.00%Cloverdale 10.00%Santa Rosa 10.25%Cotati 10.25%Petaluma 10.25%Sonoma 10.50%Sebastopol Local Sales Tax Rates 10 11 Revenue Type Who Pays Vote Required Estimated Revenue $ Property Taxes Property Owners Two-Thirds 13.8M Sales Tax Residents & Visitors Majority ( 50% + 1 )15.7M Transient Occupancy Tax Visitors Majority ( 50% + 1 )4.2M Franchise Fees Recology, PG&E, Phone&Cable No - Agreement 3.5M Community Service Fees Users of Service No - Fees 2.0M Licenses & Permits Residents & Developers No - Fees 1.8M Interest & Rents Lesees Rents 2.1M Charges for Services Departments Departments 2.0M Donation & Other Community Community 3.5M Cost Allocation plan Departments No 2.2M Fines & Penalties Violators No - Fees 0.1M Intergovernmental Other Governments No >.1M City General Fund Revenue Sources 11 Community Engagement – Top Priorities Maintaining 911 emergency response and fire protection services Preventing cuts to public safety services, including any reduction of the number of neighborhood street patrols Protecting local drinking water sources Providing safe places for Rohnert Park children to play Keeping public areas clean and safe 12 Reduced Revenue Impacts Services  Reduced police and fire protection services  Reduced maintenance at parks, public areas, creeks, and streets  Limited disaster preparedness services  Delayed responses to reported issues  Reduced access to recreational facilities and programs – Callinan Sports Center, Performing Arts Center, Senior Center, and pools 13 Ballot Question to Consider: Rohnert Park Financial Viability, Community Health/ Safety Measure . To maintain 911 response/ fire protection/wildfire preparedness; protect local drinking water; keep parks clean/safe; prevent property crime/burglary/public safety officer reductions; repair streets/potholes; and other general city services; shall the measure, establishing a half -cent local sales tax, providing approximately $5,500,000 annually for locally controlled funding that cannot be taken by the state, until ended by voters, requiring audits/ public spending disclosure, be adopted? 14 Placing General Revenue Measure on Ballot ♦Transaction & Use (Sales) Tax is a general tax – requires a 2/3 majority vote of the entire City Council (4 out of 5 Councilmembers) to be placed on the ballot ♦Measure will require simple majority vote (50% + 1) of the voters to pass ♦If proposed resolution is adopted, ballot measure would be included in the Tuesday, November 3, 2026, General Municipal Election ♦Deadline to file resolution with Sonoma County Elections Official and Clerk of the Board of Supervisors is August 7, 2026 ♦If measure passes, the earliest the tax could begin being collected is April 1, 2027, and would be in effect until ended by voters ♦Additional Sales Tax revenue will be deposited into the City’s General Fund for the benefit of Rohnert Park residents and be audited as other general fund revenue 15 Recommendation: Adopt Resolution No. 2026-062 Submitting to the Electors a Ballot Measure Establishing a Transactions and Use Tax at the Rate of 0.5% (1/2 Cent); Approving the Related Ordinance; Requesting that the Sonoma County Board of Supervisors Consent to the Consolidation of such Ballot Measure on the Ballot for the City’s General Municipal Election which is Consolidated with the Statewide General Election to be held on Tuesday, November 3, 2026, and Direct the Sonoma County Registrar of Voters to Conduct the Election on the City’s Behalf and to provide Elections Services; Directing the City Attorney to Prepare an Impartial Analysis; and Establishing Requirements Regarding Ballot Arguments. 16 Questions? individual or entity designated above. If you are not the intended recipient of this message, please notify the sender immediately, and delete the message and any attachments. Any disclosure, reproduction, distribution or other use of this message or any attachments by an individual or entity other than the intended recipient is prohibited. We moved to the 3rd floor! Same building, simply take the elevator from the lobby to the 3rd floor, suite C300! ¡Nos mudamos al 3er piso¡ Mismo edificio, solo toma el ascensor desde el vestíbulo hasta el 3er piso, suite C300!