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The city shall annually review the water SDC to determine whether additional fee revenues should be generated to provide extra-capacity improvements needed to address new development or to ensure that revenues do not exceed identified demands. In so doing, the city shall consider:

A. Construction of facilities by federal, state, or other revenue sources;

B. Receipt of unanticipated funds from other sources for construction of facilities;

C. Additional needed water system improvements to meet mandates or requirements of other authorized governmental authorities;

D. Other changes or conditions as may be deemed necessary or prudent.

Upon completion of this review the city shall consider such amendments, including adjustment to the fee imposed herein, as are necessary to address changing conditions. [Ord. 956 Art. 6, 2019.]