A new budget is being considered that includes over 140 fee increases, permits, and revenue sources. These proposed changes are expected to generate nearly $99 million across multiple funds over two years. More than $30 million would go to the general fund, helping to address a projected deficit. The deficit was estimated to be $158 million by a certain point.

Further details on the proposed budget are available, including a 33-page list of the changes. The budget aims to update the cost of service for various city activities.

More information can be found through the original source, which provides additional context on the proposed budget and its potential impact.