Governing Body
Regular MeetingTopeka, KS · September 16, 2025
Minutes
Governing Body Minutes – September 16, 2025
CITY COUNCIL CHAMBERS, Topeka, Kansas, Tuesday, September 16, 2025. The
Governing Body members of the City of Topeka met in regular session at 6:00 P.M. with the
following Councilmembers present: Councilmembers Hiller, Valdivia-Alcala, Ortiz, Banks, Kell,
Miller, Dobler, Duncan and Hoferer - 9. Mayor Padilla presided -1.
Public comment for the meeting was available via Zoom or in-person. Individuals were
required to contact the City Clerk's Office at 785-368-3940 or via email at cclerk@topeka.org by
no later than 5:00 p.m. on September 16, 2025, after which the City Clerk's Office provided the
Zoom link information and protocols prior to the meeting start time. Written public comment
was also considered to the extent it was personally submitted at the meeting or to the City Clerk's
Office located at 215 SE 7th Street, Room 166, Topeka, Kansas, 66603 or via email at
cclerk@topeka.org on or before September 16, 2025, for attachment to the meeting minutes.
AFTER THE MEETING WAS CALLED TO ORDER, the Invocation was provided by
Councilmember Duncan.
THE PLEDGE OF ALLEGIANCE was recited by meeting participants.
CONSENT AGENDA was presented as follows:
RESOLUTION NO. 9717 introduced by Councilmember Spencer Duncan, granting
Christ the King Catholic Church an exception to the provisions of City of Topeka Code Section
9.45.150, et seq., concerning noise prohibitions, was presented. (Council District No. 8)
ORDINANCE NO. 20600 introduced by City Manager Dr. Robert M Perez, allowing and
approving City expenditures for the period July 26, 2025, to August 29, 2025, and enumerating
said expenditures therein, was presented.
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APPROVAL of the MINUTES of the regular meeting of September 9, 2025, was
presented.
Councilmember Duncan moved to approve the consent agenda. The motion seconded by
Councilmember Kell carried unanimously. (10-0-0)
CHARTER ORDINANCE NO. 125 introduced by Dr. Robert M. Perez, amending the
City's Charter Ordinance levying the transient guest tax, revising the structure to allow the City
to recoup its investment costs of Hotel Topeka, was presented. (The TGT Committee
recommended approval by a vote of 2-0-0 on August 27, 2025)
Braxton Copley, Deputy City Manager, reported Transient Guest Tax (TGT) taxes are
collected from individuals that are spending money at the hotel property and the total transient
guest tax collected at Hotel Topeka in the year 2025 shall constitute the “base year,” effective
January 1, 2026, the transient guest tax rate levied at Hotel Topeka shall be eight percent. He
continued to report that any transient guest tax collected at Hotel Topeka in excess of the base
year that is not contractually obligated shall be used solely by the City to recoup its investment
costs of Hotel Topeka which include the purchase price, capital expenses, and operating losses
incurred by the City through the date of sale. This provision shall expire upon complete
reimbursement.
Councilmember Duncan stated this was a procedural move to amend the current code to
allow the change of up to 8% at just this location of the Endeavor Hotel Group to close the
financial gap over time.
Councilmember Hiller asked for further explanation of projected financials for the
proposal.
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Councilmember Valdivia-Alcala stated she would oppose the proposal based on the 30-
year payback period and the feedback she has received from residents opposing the request.
Councilmember Miller moved to adopt the charter ordinance. The motion seconded by
Councilmember Hoferer carried. Councilmember Valdivia-Alcala voted “no.” (9-1-0)
The charter ordinance was adopted on roll call vote as follows: Ayes: Hiller, Ortiz, Banks,
Kell, Miller, Dobler, Duncan, Hoferer, and Mayor Padilla -9. Naes: Valdiva-Alcala -1.
ORDINANCE NO. 20601 introduced by the Public Infrastructure Committee consisting
of Councilmembers David Banks, Sylvia Ortiz and Neil Dobler, confirming an Agreement of the
Governing Body with the Marney Properties L.L.C. and the City of Topeka to abate City special
assessments penalties to certain property in Lauren's Bay Estates when the property taxes and
special assessments are paid in full, was presented. (Public Infrastructure Committee
recommended approval on August 19, 2025.) (Deferred from the meeting of September 2, 2025)
Braxton Copley, Deputy City Manager, stated the Governing Body must determine
whether to abate the special assessment penalties in return for full payment of the unpaid
property taxes and special assessments as recommended by the Policy and Finance Committee.
The owner of the three lots has requested the City waive the penalties on the past due special
assessments in return for payment in full of the past due property taxes and past due specials.
The City will receive its proportionate share of the past due property taxes with less interest in
the amount of $10,416.42. Additionally, the City will receive the past due specials in the amount
of $82,593.81. The City would waive penalties on past due special assessments in the amount of
$47,775.01 and this amount if not waived and paid in full, would be retained by Shawnee
County and not disbursed to the City; and for the County to waive the special assessment
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penalties, the Governing Body must pass an ordinance directing the County to do so. He noted
the Public Infrastructure Committee recommended approval.
Danielle Twemlow expressed concern with the lack of transparency related to the
disclosure of the annual Shawnee County Tax Foreclosure Sale and the impact it has on the
taxpayers of Topeka. She spoke in opposition to the ordinance language to ensure development
on the properties.
Councilmember Valdivia-Alcala spoke in opposition to the proposal and the repeated
forgiveness of developers that owe delinquent property taxes and special assessments.
Councilmember Hiller questioned if the intent of the Governing Body was to set a
precedent for the rest of the properties in Lauren’s Bay.
Councilmember Dobler reminded the Governing Body that Mr. Marney currently owes
the City $92,000 and Shawnee County $47,000. He clarified the precedent being set is that if
citizens approach the City with an offer to pay back taxes the City will accept those payments.
Councilmember Dobler moved to adopt the ordinance. The motion seconded by
Councilmember Kell carried.
The ordinance was adopted on roll call vote as follows: Ayes: Hiller, Ortiz, Kell, Miller,
Dobler, Duncan and Hoferer - 7. Naes: Councilmember Valdivia-Alcala - 1. Abstained: Banks -1.
The mayor does not vote.
APPROPRIATION ORDINANCE NO. 20603 introduced by City Manager Dr. Robert
M. Perez, approving and adopting the operating budget for the City of Topeka for year 2026 and
appropriating the amount for the purpose set forth therein, was presented.
Josh McAnarney, Budget and Finance Division Manager, reported this was the final step
in adopting the budget.
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Candis Stiles urged Governing Body members to find a way to work with Topeka
Metropolitan Transit Authority (TMTA) to address the $300,000 budget shortfall due to their
actions related to keeping the revenue neutral rate flat.
Khalani Britt urged the Governing Body to earmark $2 million in the annual budget for
affordable housing needs in the community.
Henry McClure urged the Governing Body to discontinue allocating funding to GO
Topeka and to use that funding for other important budget items. He also urged the Governing
Body to stop hiring consultants.
Danielle Twemlow expressed her appreciation to City Manager Perez and City Staff for
their work on the budget; however, she believes there have not been a lot of solutions presented
by Staff or the Governing Body to address the budget shortfalls. She referenced the multiple
revenue streams and solutions that have been suggested by citizens over a long period of time.
Councilmember Dobler referenced the action taken by the Governing Body related to
TMTA’s budget resulting in a budget shortfall and how it equates to the elimination of one route.
Councilmember Dobler moved to transfer $250,000 of contingency funds set aside for
the Tyler Project to the Miscellaneous Non-Departmental Fund to be transferred to the Topeka
Metropolitan Transit Authority (TMTA) after January 1, 2026, or when appropriate. The motion
was seconded by Councilmember Valdivia-Alcala.
Councilmember Kell suggested using bus stops for advertising to generate income for
TMTA.
Councilmember Ortiz spoke in support of the amendment to fund TMTA because of the
need to expand service in east Topeka.
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The motion to transfer $250,000 of contingency funds set aside for the Tyler Project to
the Miscellaneous Non-Departmental Fund to be transferred to Topeka Metropolitan Transit
Authority (TMTA) after January 1, 2026, or when appropriate carried unanimously. (10-0-0)
Councilmember Miller moved to transfer $100,000 of contingency funds set aside for the
Tyler Project to the Affordable Housing Trust Fund. The motion was seconded by
Councilmember Dobler.
Dr. Robert M. Perez, City Manager, suggested a friendly amendment to transfer the funds
from the Economic Development fund instead of from the Tyler Project contingency funds to
avoid completely depleting the contingency fund.
Councilmember Miller accepted the friendly amendment. The second concurred.
Councilmember Hiller referenced the proposed $2 million in savings and credits
addressing the budget shortfall in the current year; however, it creates a $2 million deficit for the
following year which will cause the City to raise taxes to replenish the general operating budget.
She spoke about the serious deficit the City is facing in 2026 and the probability of it continuing
in 2027 and 2028, and of the need to establish sustainable funding. She suggested they consider
proposing a sales tax referendum of 3/10 of one cent generating approximately $3.6 million
annually or 1/20 of one cent generating approximately $1.8 million annually.
Councilmember Duncan spoke in support of Councilmember Miller’s amendment to
transfer $100,000 from the Economic Development fund to the Affordable Housing Trust fund;
however, he would like to offer a friendly amendment, that all excess contingency funds from the
Tyler Project be used to replenish the Affordable Housing Trust fund.
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Councilmember Ortiz spoke in support of the suggested amendments; however, she
believes the funding of the Affordable Housing Trust fund was a community problem not just a
City problem.
City Manager Perez reported the Tyler Project would continue through 2027.
Councilmember Miller declined the friendly amendment made by Councilmember
Duncan. The second concurred.
Councilmember Valdivia-Alcala spoke about the importance of large corporations
forming much needed public and private partnerships to address affordable housing needs.
The motion to transfer $100,000 from the Economic Development fund to the Affordable
Housing Trust fund carried. Councilmembers Valdivia-Alcala and Banks voted “no.” (8-2-0)
Councilmember Hiller moved to reduce the budget by $700,000 as outlined in the
handout she distributed (Attachment A). The motion was seconded by Councilmember Valdivia-
Alcala.
Reduction of the Operating Budget by $700,000 was as follows:
• Eliminate proposed new consulting contracts $220,000
o Lexipol Study $150,000
o Lexipol annual $40,000
o ADA Consultation $30,000
• Eliminate Property Tax Rebate program $250,000
• Agreed drop for PARS duplication $23,000
• New Revenue from Historic Tax Credit Rebate $207,000
(from Fire Station work)
The amendments to reduce the operating budget by $700,000 also include a goal that the
City Council and City Manager would find a way to reduce the 2026 budget by another $2.1
million by February 18, 2026, preserving the current mill levy rate for the Debt Service fund.
She stated with this motion there is recognition that the Capital Improvement Plan and Budget
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will be adopted this Fall, and that the City Manager plans to conduct a Council/Staff Retreat
about Programming, Staffing and Budgets in January 2026.
Councilmember Ortiz spoke in opposition to considering the $700,000 in reductions as
one amendment. She proposed removing the $190,000 of funds needed for the Lexipol Study and
annual costs from the 2026 budget and funding it within Law Enforcement funds (drug forfeiture
funds).
City Manager Perez confirmed the $190,000 would be transferred from the General fund
and Law Enforcement funds (drug forfeiture funds) would be used to fund the Lexipol Study and
annual costs in 2026.
Several Governing Body members spoke in opposition to eliminating the Property Tax
Rebate program in the amount of $250,000.
Councilmember Duncan suggested voting on each amendment separately.
Councilmember Hiller withdrew the motion to reduce the 2026 budget by $700,000. The
second concurred.
Councilmember Hiller moved to transfer the $190,000 from the General fund for the
Lexipol Study and annual costs and to fund those expenses with Law Enforcement funds (drug
forfeiture funds). The motion seconded by Councilmember Kell carried unanimously. (10-0-0)
Councilmember Hiller stated in an attempt to address each amendment separately she
would suggest taking no action on the proposed reduction in the amount of $30,000 for the ADA
Consultation because she has since been informed it would be considered a net zero expense due
to reimbursement through grant funding. She asked the Governing Body to identify a substitute
reduction in the amount of $250,000 for the Property Tax Rebate Program if they would like to
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act on that proposed amendment. Finally, she asked the Governing Body to agree to set a goal of
finding an additional $2.35 million in reductions from the 2026 budget by February 18, 2026.
Councilmember Duncan requested they delay considering the amendment to find
additional reductions in the budget in the amount of $2.35 million until all budget amendments
have been presented in case that amount could be reduced.
Councilmember Hiller inquired about preserving the current mill levy rate for the Debt
Service fund.
Councilmember Duncan asked Staff to provide comment on the result of keeping the
current mill levy rate for the Debt Service fund.
Director McAnarney stated it would lower the revenue in the General fund for this budget
cycle by $3 million and in order to submit a balanced budget they would need to identify an
additional $3 million in General fund reductions or fall below the 15% Reserve fund policy
threshold.
Councilmember Hiller stated the proposal to find an additional $2.35 million in
reductions was to address the need to replenish the Debt Service fund as there will not be
funding in future years to do so. She noted the budget will have to increase by one-half of one-
mill for the next several years to replenish the Debt Service fund.
Councilmember Dobler stated he understands the approach being presented by
Councilmember Hiller and would support setting a debt service limit which could mean
shortening the term limit to bond CIP projects or adjusting the scope of projects to meet the debt
service limits. Ultimately, the debt service fund cap will drive the ability to move forward with
CIP projects.
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Councilmember Hiller moved to preserve the current mill levy rate for the Debt Service
fund. The motion died due to a lack of a second.
Councilmember Kell expressed the importance of keeping it simple and eliminating items
in the budget that are not necessary such as complete street concept designs instead of much
needed street improvements, unnecessary improvements to fire stations, and adjusting the scope
of capital improvement projects as needed.
Councilmember Valdivia-Alcala stated she concurs with Councilmember Kell. She spoke
about the importance of allocating funds for civic community interrupters. She reported City
Manager Perez and Assistant City Manager Moore have committed to moving forward with a
plan that includes financial involvement by the City for these initiatives starting in 2026.
Councilmember Duncan moved to retain 2-hour parking metered spaces along 8th Avenue
between Kansas Avenue and Jackson Street until December 31, 2026, resulting in a budget
reduction of $25,000. The motion was seconded by Councilmember Valdivia-Alcala.
Councilmember Hiller stated she would abstain from voting because she was not
comfortable voting on the proposal without first speaking with downtown merchants and
Downtown Topeka, Inc., (DTI).
Councilmember Duncan stated the intent of the amendment was to support long-term
downtown development by promoting long-term financial benefit to the City while addressing
short-term issues expressed by downtown merchants. He reported that he has discussed the
amendment with area businesses impacted by the proposal and DTI, and no opposition was
expressed.
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The motion to retain 2-hour parking metered spaces along 8th Avenue between Kansas
Avenue and Jackson Street until December 31, 2026, resulting in a budget reduction of $25,000
carried. Councilmembers Kell and Hoferer voted “no.” Counclmember Hiller Abstained (7-2-1)
Councilmember Duncan commended Budget and Finance Director McAnarney for his
work on the budget and stated he was pleased with his performance regarding his other job
duties; however, he remains concerned with the lack of funding allocated in the 2026 budget to
actively recruit for the Chief Financial Officer position and noted, the position has already been
vacant for over a year.
Councilmember Duncan moved to transfer the additional funding in the amount of
$130,000 from the elimination of two code enforcement officer positions to fund the Chief
Financial Officer (CFO) position. The motion was seconded by Councilmember Dobler.
City Manager Perez clarified as part of the proposed budget, two code enforcement
officers were eliminated resulting in a reduction of $130,000 from the budget; therefore, a
funding source will need to be identified to fund the CFO position.
For the purpose of additional discussion, Councilmember Duncan withdrew the motion to
transfer the additional funding in the amount of $130,000 from the elimination of two code
enforcement officer positions to fund the Chief Financial Officer (CFO) position. The second
concurred.
Mayor Padilla spoke in support of funding the CFO position.
Councilmember Valdivia-Alcala referenced the request by the City Manager to fund a
new independent city auditor position in the amount of $130,000. She stated she would not
support the position being internal due to the disappointment that has been expressed by
employees and citizens, and she agrees the position as currently being conducted has not been
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satisfactory. She stated at this point she believes the funding of a CFO would be a better use of
the funding.
Mayor Padilla stated he believes an internal auditor was needed and would not support
exchanging one position for the other.
City Manager Perez referenced the funding of the CFO and suggested a reduction in the
e-citation enhancement from the General fund be used to fund the CFO position in the amount of
$130,000 for reoccurring funding of the position. He clarified he was proposing that the full-time
position of Internal Investigator, not Auditor, be transferred from the City Attorney’s Office to
the City Manager’s Office to address any issue within the City as an organization as well as the
concerns expressed by the public. He reported the position would report to Assistant City
Manager Moore and possibly, an Office of Municipal Integrity would be created, with additional
oversite being provided by the Topeka Human Relations Commission.
Councilmember Duncan reported the creation of a City Auditor position was part of the
2025 Citizen Government Review Committee recommendations and the Policy and Finance
Committee will be reviewing this specific recommendation in detail and report back to the
Government Body.
Councilmember Duncan moved to transfer $130,000 from the Court Technology fund for
the e-citation system to the General fund be used to fund the Chief Financial Officer position in
the amount of $130,000 for reoccurring funding of the position. The motion seconded by
Councilmember Dobler carried unanimously. (10-0-0)
Following a 10-minute recess, City Manager Perez requested the Governing Body
consider transferring the full-time position of the Internal Investigator position from the City
Attorney’s Office to the City Manager’s Office at the current salary.
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Councilmember Valdivia-Alcala requested improved oversight for the Internal
Investigator position including routine reports provided to the Governing Body.
Councilmember Kell moved to transfer the full-time Internal Investigator position from
City Attorney’s Office to the City Manager’s Office at the same salary. The motion seconded by
Mayor Padilla carried unanimously. (10-0-0)
Councilmember Dobler moved to adopt the appropriation ordinance as amended. The
motion was seconded by Councilmember Miller.
Councilmember Hiller stated she would vote in opposition of the budget as proposed
because she believes they have not made enough substantial cuts.
The motion to adopt the appropriation ordinance as amended carried. (8-2-0)
The appropriation ordinance was adopted on roll call vote as follows: Ayes: Valdiva-
Alcala, Ortiz, Banks, Kell, Miller, Dobler, Duncan and Mayor Padilla - 8. Naes:
Councilmembers Hiller and Hoferer - 2.
PUBLIC COMMENT was received via email by Joseph Ledbetter (Attachment B) and
provided by the following individual:
Henry McClure expressed concern with GO Topeka being required to disclose the votes
of their Board members as it relates to the allocation of funds. He also expressed concern with
Kansas Open Records Requests as it pertains to information regarding the sale of the AT&T
Building.
ANNOUNCEMENTS BY THE CITY MANAGER, MAYOR AND MEMBERS OF THE
COUNCIL:
Dr. Robert M. Perez, City Manager, thanked Governing Body members, citizens and
Staff for their input on the 2026 budget.
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Councilmember Duncan referenced Lauren’s Bay development, and stated it was never
about individual developers it continues to be about getting houses built and taxes paid. He
reminded citizens that all taxing entities need to be made whole and the City will continue to
work to collect on delinquent special assessments owed to the City. He referenced the difficult
decisions made to balance the budget and referenced the need to fix the overall valuation system
to lower property taxes; however, the mill levy will remain flat.
Councilmember Hoferer announced the Topeka and Shawnee County Public Library
opened a book nook at the Westridge Mall on September 16, 2025.
Councilmember Hiller expressed the importance of identifying the core function of
municipal government and making the determination if they are doing it well and how they can
do it better.
Councilmember Hoferer left the meeting
Interim Topeka Fire Chief Chad Longstaff announced the various open house events
being hosted by the Fire Department in October 2025.
Councilmember Ortiz thanked the Fire Department for opening their doors to the
community and announced October was Fire Protection month and the Fire Department will
install smoke detectors free of charge.
Councilmember Kell referenced the death of Charlie Kirk on September 10, 2025, and
recognized the importance of free speech and not spreading hate.
Councilmember Dobler thanked Staff for the work on the budget.
Mayor Padilla thanked the Staff, Governing Body and citizens for their work on the
budget.
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Councilmember Hiller moved to recess into executive session not to exceed 15 minutes
to give legal advice on related to financial affairs or trade secrets of corporations, potential tax
issues, and other specific topics deemed privileged under the Attorney-Client Privilege as
allowed under K.S.A. 75-4319(b)(2) and (b)(4). The open meeting will resume in the Governing
Body Chambers. The following staff will be necessary to assist the Governing Body in its
deliberations, City Manager Dr. Robert M. Perez, Interim City Attorney Nick Jefferson and other
staff members as needed. The motion was seconded by Mayor Padilla.
Mayor Padilla asked all those in favor of recessing into executive session to indicate so
by verbally by saying “yea” and those opposing to indicate so verbally by saying “no.” The
motion carried. Councilmembers Ortiz and Dobler voted “no.” (8-2-0)
At the conclusion of the executive session, the meeting was reconvened into an open
session and Mayor Padilla announced no action was taken during the executive session.
NO FURTHER BUSINESS appearing the meeting adjourned at 9:40 p.m.
(SEAL) ______________________________
Brenda Younger, City Clerk, M.M.C.
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Attachment A
Attachment B
Subject: Re: Reference Budget
Forwarded:
On Tue, Sep 16, 2025 at 11:00 AM Joseph Ledbetter <joe@josephledbetter.com>
wrote:
MTAA BUDGET FOR 2026
I would like NO money for any borrowing in the budget, or any debt service
in the budget.
Personally I like 1.85 mils as a goal for the MTAA and that is good enough, since that is
what the public voted for in 1978. If we did a lean job of operations , with inflated
valuations, that should still be good enough, It was the standard followed until the 2013
MTAA budget. I had no idea of this cap voted on by our citizens until a few months ago,
when I was off the after a year and a half. I was never told about that vote agreement as
a board member.
The salary of the CEO is too high for the condition of the property at Forbes field and
our industrial park. Hundreds of acres of vacant grass fields and all we do is mow it! I've
been told the car allowance is unnecessary for the amount we pay the CEO/ president
by other organizations' board members. We need immediate self-serve AV-100 gas at
Billard and cut 4 of the six staff of the FBO. This would immediately cut about $300,000
in salaries including 43 percent paid for benefits. I believe we are top heavy for an
organization of this size. We need to increase rents on T-Hangars to a more market
rate, especially if they don't buy fuel but occasionally. We need to get more interest for
MTAA money on deposit with our banker friends! . We have sold real and personal
property and that is not sufficiently stated in the budget. I know we netted about
$260,000 earlier this year on a surplus piece of property I helped get the right AG
realtor recruited for, and it sold very well: even when the CEO said the FAA would not
allow it. JUST ASK! It happened! Also, the FAA has grants to fix Air Terminals and the
money for the Air Conditioning/HVAC Forbes Terminal should be a requested grant
from the FAA first! Also, the major Hangars at Forbes have looked like slum property at
least for 12 years when I started noticing- RIDICULOUS! We may need to raise
deductibles on health insurance for staff especially on the exempt higher paid folks.
Unfortunately, I have MANY more concerns than can be covered just speaking in four
minutes.
Joseph Ledbetter JD, MPA
Agenda
Governing Body Meeting 214 SE 8th
Street, 2nd Floor Topeka, Kansas, 66603
https://www.topeka.org
Governing Body Agenda
September 16, 2025
6:00 PM
Mayor: Michael A. Padilla
Councilmembers
Karen A. Hiller District No. 1 Marcus D.L. Miller District No. 6
Christina Valdivia-Alcala District No. 2 Neil Dobler District No. 7
Sylvia E. Ortiz District No. 3 Spencer Duncan District No. 8
David Banks District No. 4 Michelle Hoferer District No. 9
Brett D. Kell District No. 5
City Manager: Dr. Robert M. Perez
Addressing the Governing Body: Public comment for the meeting will be available via Zoom or in-person. Individuals
must contact the City Clerk's Office at 785-368-3940 or via email at cclerk@topeka.org by no later than 5:00 p.m. on the
date of the meeting, after which the City Clerk's Office will provide Zoom link information and protocols prior to the
meeting. View the meeting online at https://www.topeka.org/communications/live-stream/ or at
https://www.facebook.com/cityoftopeka/.
Written public comment may also be considered to the extent it is personally submitted at the meeting or to the City
Clerk's Office located at 215 SE 7th Street, Room 166, Topeka, Kansas, 66603 or via email at cclerk@topeka.org on or
before the date of the meeting for attachment to the meeting minutes.
If you need any accommodations for the meeting, please contact the City ADA Coordinator at 785-368-4470. Kansas
Relay Service at 800-766-3777. Please provide a 48 Hour Notice if possible.
Agendas are available by 5:00 p.m. on Thursday in the City Clerk's Office, 215 SE 7th Street, Room 166, Topeka,
Kansas, 66603 or on the City's website at https://www.topeka.org.
CALL TO ORDER:
INVOCATION:
PLEDGE OF ALLEGIANCE:
1. ROLL CALL:
2. MAYORAL PROCLAMATIONS:
Welcoming Week
3. CONSENT AGENDA:
A. Resolution - Christ the King Rome Sweet Rome 5K and Festival - Noise Exception
RESOLUTION introduced by Councilmember Spencer Duncan, granting Christ the King
Catholic Church an exception to the provisions of City of Topeka Code Section 9.45.150, et
seq., concerning noise prohibitions. (Council District No. 8)
(Approval would allow for outdoor amplified music and sound during the hours of 9:00 a.m. to 11:00
a.m. and 4:30 p.m. to 10:00 p.m., at 5973 SW 25th Street on September 27, 2025.)
B. Ordinance - Expenditures – July 26, 2025 to August 29, 2025
ORDINANCE introduced by City Manager Dr. Robert M Perez, allowing and approving City
expenditures for the period July 26, 2025 to August 29, 2025 and enumerating said
expenditures therein.
(Approving City expenditures in the amount of $70,917,268.44)
C. MINUTES of the regular meeting of September 9, 2025
D. APPLICATIONS:
4. ACTION ITEMS:
A. Charter Ordinance - Transient Guest Tax (TGT) Levy Structure Revision
CHARTER ORDINANCE introduced by Dr. Robert M. Perez, amending the City's Charter
Ordinance levying the transient guest tax, revising the structure to allow the City to recoup its
investment costs of Hotel Topeka. (The TGT Committee recommended approval by a vote of 2-0-0
on August 27, 2025)
Voting Requirement: At least seven (7) votes of the Governing Body is required.
(Approval would amend the City Charter Ordinance levying the transient guest tax and allowing the
City to recoup its investment costs. Hotel Topeka would have its own special rate of 8% to
reimburse the City.)
B. Discussion/Possible Action - Marney Properties LLC - Special Assessment Penalties
Abatement
DISCUSSION with POSSIBLE ACTION of an ORDINANCE introduced by the Public
Infrastructure Committee consisting of Councilmembers David Banks, Sylvia Ortiz and Neil
Dobler, confirming an Agreement of the Governing Body with the Marney Properties L.L.C.
and the City of Topeka to abate City special assessments penalties to certain property in
Lauren's Bay Estates when the property taxes and special assessments are paid in full. (Public
Infrastructure Committee recommended approval on August 19, 2025.) (Deferred from the meeting
of September 2, 2025)
Voting requirement: Action requires five (5) votes of the City Council. The Mayor does not
vote. The proposed ordinance involves a matter of home rule on which the Mayor has veto
authority.
(Approval would abate the special assessment penalties on the Marney Properties, LLC Parcels
located in Lauren’s Bay Estates Subdivision in return for full payment of the unpaid property taxes
and special assessments. Marney Properties, LLC intends to develop single-family dwellings.)
C. Appropriation Ordinance - City of Topeka 2026 Operating Budget
APPROPRIATION ORDINANCE introduced by City Manager Dr. Robert M. Perez, approving
and adopting the operating budget for the City of Topeka for year 2026 and appropriating the
amount for the purpose set forth therein.
Voting Requirement: Action requires at least six (6) votes of the Governing Body.
(If this budget is adopted the adopted Mill Levy rate will be 36.956 which is the current mill levy
rate.)
5. PUBLIC COMMENT:
Public comment for the meeting will be available via Zoom or in-person.
Individuals must contact the City Clerk's Office at 785-368-3940 or via email at
cclerk@topeka.org by no later than 5:00 p.m. on the date of the meeting, after
which the City Clerk's Office will provide Zoom link information and protocols
prior to the meeting. Written public comment may also be considered to the
extent it is personally submitted at the meeting or to the City Clerk's Office
located at 215 SE 7th Street, Room 166, Topeka, Kansas, 66603 or via email at
cclerk@topeka.org on or before the date of the meeting for attachment to the
meeting minutes. View the meeting online at
https://www.topeka.org/communications/live-stream/ or at
https://www.facebook.com/cityoftopeka/.
6. ANNOUNCEMENTS:
7. EXECUTIVE SESSION:
Executive Sessions are closed meetings held in accordance with the provisions of the Kansas
Open Meetings Act.
(Executive sessions will be scheduled as needed and may include topics such as personnel
matters, considerations of acquisition of property for public purposes, potential or pending litigation
in which the city has an interest, employer-employee negotiations and any other matter provided for
in K.S.A. 75-4319.)
8. ADJOURNMENT:
City of Topeka
Council Action Form
Council Chambers
214 SE 8th Street
Topeka, Kansas 66603
www.topeka.org
September 16, 2025
DATE: September 16, 2025
CONTACT PERSON: Mayor Michael A. Padilla DOCUMENT #:
SECOND PARTY/SUBJECT: Lalo Munoz, Executive PROJECT #:
Director of El Centro
CATEGORY/SUBCATEGORY
CIP PROJECT: No
ACTION OF COUNCIL: JOURNAL #:
PAGE #:
DOCUMENT DESCRIPTION:
Welcoming Week
VOTING REQUIREMENTS:
POLICY ISSUE:
STAFF RECOMMENDATION:
BACKGROUND:
BUDGETARY IMPACT:
SOURCE OF FUNDING:
ATTACHMENTS:
Description
Welcoming Week Proclamation
PROCLAMATION
By the Mayor
WHEREAS, Welcoming Week is an annual national celebration that highlights a growing movement of communities
committed to becoming more welcoming places for all, including immigrants and refugees, fostering mutual
understanding, connections, and belonging Welcoming Week; and
WHEREAS, Welcoming Week will take place from September 12–21, 2025, uniting communities across the globe—
including Topeka—in celebrating the theme “Stories We Share,” which calls us to celebrate differences and find
common ground through the stories that connect us Welcoming Week; and
WHEREAS, the City of Topeka values and honors the richness of its cultural diversity, recognizing that our
community is strengthened when all residents—regardless of origin, language, immigration status, faith, race,
ethnicity, ability, income, or identity—are welcomed, respected, and included; and
WHEREAS, immigrants and newcomers play an indispensable role in Topeka’s vitality—starting businesses,
nurturing social ties, enriching our cultural landscape, serving in civic roles, and contributing to our collective
prosperity; and
WHEREAS, Welcoming Week provides a platform for residents to come together through storytelling, shared meals,
artistic expression, civic engagement, and grassroots events—building bridges and deepening a shared sense of
belonging for all; and
WHEREAS, formal recognition by the City of Topeka through this proclamation reinforces our commitment to unity
and resilience, ensuring that Welcoming Week is not just an annual event, but a foundation for year-round inclusive
action;
NOW, THEREFORE, I Michael A. Padilla, Mayor of the City of Topeka, Kansas, do proclaim the week of
September 12th to September 21st, 2025, as
Welcoming Week
I call upon all residents, community organizations, businesses, schools, faith institutions, and civic leaders to join in
honoring this week by promoting inclusivity, amplifying diverse voices, sharing stories that bring us together, and
building stronger connections across our community.
IN WITNESS WHEREOF, I, Michael A. Padilla, Mayor of
the City of Topeka, Kansas, do hereby affix my official
signature and the Official Seal of the City of Topeka, Kansas,
on this Day of September 16th, 2025.
___________________________________________
Michael A. Padilla, Mayor
City of Topeka
Council Action Form
Council Chambers
214 SE 8th Street
Topeka, Kansas 66603
www.topeka.org
September 16, 2025
DATE: September 16, 2025
CONTACT PERSON: Councilmember DOCUMENT #:
Spencer Duncan
SECOND PARTY/SUBJECT: Christ the King Catholic PROJECT #:
Church
CATEGORY/SUBCATEGORY 020 Resolutions / 005 Miscellaneous
CIP PROJECT: No
ACTION OF COUNCIL: JOURNAL #:
PAGE #:
DOCUMENT DESCRIPTION:
RESOLUTION introduced by Councilmember Spencer Duncan, granting Christ the King Catholic
Church an exception to the provisions of City of Topeka Code Section 9.45.150, et seq., concerning
noise prohibitions. (Council District No. 8)
(Approval would allow for outdoor amplified music and sound during the hours of 9:00 a.m. to 11:00 a.m. and
4:30 p.m. to 10:00 p.m., at 5973 SW 25th Street on September 27, 2025.)
VOTING REQUIREMENTS:
Action requires at least six (6) votes of the Governing Body.
POLICY ISSUE:
City of Topeka Code Section 9.45.170, et seq., authorizes the City Council to grant noise exceptions. Approval
grants a noise exception to Christ the King Catholic Church for their Rome Sweet Rome 5K and Festival on
September 27, 2025.
STAFF RECOMMENDATION:
Staff recommends the Governing Body move to approve the resolution as part of the consent agenda.
BACKGROUND:
Christ the King Catholic Church is requesting the noise exception due to amplified music/sound during the
events.
BUDGETARY IMPACT:
There is no budgetary impact to the City.
SOURCE OF FUNDING:
Not Applicable.
ATTACHMENTS:
Description
Resolution - Christ the King - Noise Exception
1 RESOLUTION NO. ________
2
3 A RESOLUTION introduced by Councilmember Spencer Duncan granting Christ
4 the King Catholic Church an exception to the provisions of City
5 of Topeka Code Section 9.45.150, et seq. concerning noise
6 prohibitions.
7
8 WHEREAS, City of Topeka Code Section 9.45.150, et seq. makes it
9 unlawful for any person to make, continue or cause to be made or continued any
10 loud, unnecessary or unusual noise or any noise which either annoys, disturbs,
11 injures or endangers the comfort, repose, health or safety or others within the
12 limits of the city; and
13 WHEREAS, City of Topeka Code Section 9.45.170, et seq. authorizes the
14 City Council to grant exceptions to the prohibitions of this code section upon
15 request and a showing that the proposed activity does not offend the spirit of the
16 findings of City of Topeka Code Section 9.45.150, et seq.; and
17 WHEREAS, Christ the King Catholic Church has requested that they be
18 granted an exception to the provisions of City of Topeka Code Section 9.45.150,
19 et seq. for the purposes, dates and times described herein, and
20 WHEREAS, upon review of the application of Christ the King Catholic
21 Church the Governing Body of the City of Topeka does hereby find that the
22 requested activity does not offend the spirit of the findings of City of Topeka
23 Code Section 9.45.150, et seq.
24 NOW, THEREFORE, BE IT RESOLVED by the Governing Body of the
25 City of Topeka that Christ the King Catholic Church is hereby granted an
26 exception from the provisions of City of Topeka Code Section 9.45.150, et seq.
27 for outdoor amplified music and sound at their Rome Sweet Home 5K and Festival
28 located at 5973 SW 25th Street during the hours of 9:00 a.m. to 11:00 a.m. and 4:30 p.m.
29 to 10:00 p.m. on September 27, 2025.
30
31 ADOPTED and APPROVED by the Governing Body _______________.
32
33 CITY OF TOPEKA, KANSAS
34
35
36 ___________________________
37 Michael A. Padilla, Mayor
38 ATTEST:
39
40
41 _______________________________
42 Brenda Younger, City Clerk
43
City of Topeka
Council Action Form
Council Chambers
214 SE 8th Street
Topeka, Kansas 66603
www.topeka.org
September 16, 2025
DATE: September 16, 2025
CONTACT PERSON: Ben Hart DOCUMENT #:
SECOND PARTY/SUBJECT: City Expenditures – PROJECT #:
July 26, 2025 - August
29, 2025
CATEGORY/SUBCATEGORY 014 Ordinances – Non-Codified / 005 Miscellaneous
CIP PROJECT: No
ACTION OF COUNCIL: JOURNAL #:
PAGE #:
DOCUMENT DESCRIPTION:
ORDINANCE introduced by City Manager Dr. Robert M Perez, allowing and approving City expenditures
for the period July 26, 2025 to August 29, 2025 and enumerating said expenditures therein.
(Approving City expenditures in the amount of $70,917,268.44)
VOTING REQUIREMENTS:
At least six (6) votes of the Governing Body is required.
POLICY ISSUE:
Approve and allow weekly payments of valid operating expenditures, pursuant to Resolution No. 7607.
STAFF RECOMMENDATION:
Staff recommends the Governing Body approve the ordinance as part of the consent agenda.
BACKGROUND:
Pursuant to Resolution No. 7607, adopted on April 12, 2005, which provides authorization to pay for certain
expenditures prior to approval by the Council in an expenditure ordinance, the expenditures being authorized by
this ordinance have been previously paid, in accordance with established procedures and policies for such
payments.
BUDGETARY IMPACT:
Approved expenditures for the period July 26, 2025 to August 29, 2025 in the amount of $70,917,268.44.
SOURCE OF FUNDING:
Appropriated funds and fees-for-service revenues of various City departments.
ATTACHMENTS:
Description
Ordinance – Expenditures – 7/26/2025 to 8/29/2025
Detail AP Report for 7/26/2025 to 8/29/2025
Detail CB255 Report for 7/26/2025 to 8/29/2025
1 (Published in the Topeka Metro News )
2
3
4 ORDINANCE NO.
5
6 AN ORDINANCE introduced by City Manager, Robert M. Perez, allowing and approving
7 City expenditures for the period of June 28, 2025 to July 25, 2025 and
8 enumerating said expenditures herein.
9
10 BE IT ORDAINED BY THE COUNCIL OF THE CITY OF TOPEKA, KANSAS:
11 Section 1. All expenditures made or authorized to be made by issuance of checks
12 or electronic transfers as enumerated herein, are in accordance with City of Topeka
13 Resolution No. 7607.
14 Section 2. The claims and expenditures listed in Exhibit A, which is on file in the
15 City Council Office and the City Clerk’s Office and incorporated herein by said reference,
16 are hereby allowed and approved for payment.
17 Section 3. Total of 324 vendor checks written this period 1,346,147.37
18 Total of 50 voided vendor check -6,858.13
19 Total of 666 ACH transfers to vendors this period 65,032,270.47
20 Total of 3,230 payroll electronic transfers this period 4,545,708.73
21 Total for expenditures in this period $70,961,268.44
22 Section 4. This ordinance shall take effect and be in force after its passage,
23 approval and publication in the official city newspaper.
24
25 PASSED and APPROVED by the Governing Body _______________________
26
27
28 ATTEST: Mike Padilla, Mayor
29
30
31 ____________________________
32 Brenda Younger, City Clerk
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
Electronic Payments
124463 08/01/2025 BEACON SALES ACQUISITION INC 12716 158.61
SL69882 66928 158.61
124464 08/01/2025 BETTIS ASPHALT & CONSTRUCTION 470 184,402.96
23BA290PE3 61297 145,536.39
24BA389PE2 65266 35,702.92
9502947 66699 275.58
9502968 66699 2,035.61
9502986 66699 852.46
124465 08/01/2025 CARTER TRADE SKILL COMPANY LLC 13718 2,000.00
68802 50% DEPOSIT 68802 2,000.00
124466 08/01/2025 CTCR INC 1194 10,641.85
00003247 67265 6,449.50
00003257 66701 353.50
00003258 66701 116.00
00003259 66701 121.50
00003260 67265 429.00
00003261 67265 498.50
00003262 67265 798.00
00003263 67335 432.00
00003264 67335 432.00
00003265 67335 252.00
00003266 67335 194.85
00003267 68879 565.00
124467 08/01/2025 DENALI COMMERCIAL FLOORING 13905 9,958.00
1120 68283 9,958.00
124468 08/01/2025 GARIBAY SITEWORKS LLC 13837 35,228.90
67212 FINAL 67212 35,228.90
124469 08/01/2025 GREENCARE CONSTRUCTION INC 13517 2,982.25
68581 2915 SW GAGE BLV
68581 1,256.25
68760 1510 SW LANE ST
68760 1,726.00
124470 08/01/2025 KANSAS TOPSOIL & TRUCKING LLC 13285 73,830.00
68692 3114 SW 15TH ST
68692 4,280.00
68699 SW 24TH&COLLEGE
68699 4,280.00
68912 THE DR & HAWTHOR
68912 4,280.00
68913 2724 SW COLLEGE
68913 4,280.00
68717 5839 SW CLARION
68717 4,280.00
68718 501 SW JACKSON68718 4,280.00
68720 2317 EVENGINSIDE
68720 4,280.00
68721 SW 4TH & JACKSON
68721 4,280.00
68727 1737 SW MACVICAR
68727 4,280.00
68728 2700 SW 10TH AVE
68728 3,210.00
68730 2500 SW 9TH ST68730 4,280.00
68731 817 SE PINECREST
68731 3,210.00
68770 3225 SE FREMONT
68770 4,280.00
68791 1737 SW MACVICAR
68791 4,280.00
68848 2221 SW JEWELL68848 3,210.00
68855 2880 CALIFORNIA
68855 4,280.00
68910 SW 6TH & WILLOW
68910 4,280.00
68911 5855 SW 22ND TER
68911 4,280.00
124471 08/01/2025 VANCE BROTHERS LLC 5197 1,215.00
ZH00032293 66706 1,350.00
CM061225 66706 -135.00
124472 08/01/2025 29 FAIRLAWN LLC 12209 69,012.34
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
JUL 2025 DE 69,012.34
124473 08/01/2025 911 CUSTOM LLC 8345 13.80
61334 66777 13.80
124474 08/01/2025 AFFINITY CHEMICAL LLC 11339 6,990.60
25118645 68384 6,990.60
124475 08/01/2025 AFS TOPEKA 12035 9,286.64
JUL 2025 CID SE 29TH ST 9,286.64
124476 08/01/2025 ANIMAL CLINIC OF NORTH TOPEKA 235 9,812.58
358644 67143 9,812.58
124477 08/01/2025 BARTLETT & WEST ENGINEERS 391 197,827.28
730104423 46657 5,854.50
730103622 62652 60,181.89
730104358 65302 131,790.89
124478 08/01/2025 BLACK & VEATCH CORPORATION 505 11,642.85
1469525 67870 11,642.85
124479 08/01/2025 BLUE CROSS BLUE SHIELD INC 528 267,088.35
W/E 7/29/25 67176 267,088.35
124480 08/01/2025 BORDER STATES INDUSTRIES INC 10997 295.50
930716057 66929 66.70
930717053 66929 228.80
124481 08/01/2025 CBS DOOR & HARDWARE LLC 11696 642.00
734000 67570 642.00
124482 08/01/2025 CDW LLC 10026 105.28
AE8TT9E 68696 105.28
124483 08/01/2025 CENTURY BUSINESS TECHNOLOGIES 870 11,331.80
764422 66635 11,331.80
124484 08/01/2025 CITY CENTER ASSOCIATES LLC 12090 36,166.06
JUL 2025 CID WAN HILLS 36,166.06
124485 08/01/2025 CLUB CAR WASH OPERATING LLC 12896 2,100.00
INV10165 67439 2,100.00
124486 08/01/2025 CONRAD FIRE EQUIPMENT 1073 5,007.71
585349 66851 96.73
585295 66851 4,910.98
124487 08/01/2025 DOWNTOWN TOPEKA INC 1408 14,772.86
03312025 BID 8,827.62
04302025 BID 5,945.24
124488 08/01/2025 DOWNTOWN TOPEKA FOUNDATION 10376 87,486.99
2ND QUARTER 2025
TRANS GUEST 87,486.99
124489 08/01/2025 DS SERVICES OF AMERICA INC 13004 458.25
19908707 071125 67522 49.96
23137994 070825 67267 66.45
23139100 070825 66702 135.69
24271379 070825 67549 206.15
124490 08/01/2025 ELLIOTT AUTO SUPPLY CO INC 5676 1,849.86
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
8 900958 66946 142.32
8 901105 66946 14.80
8 901221 66946 168.79
8 901380 67008 73.32
8 901382 67008 36.66
8 901409 66946 214.48
8 Z22734 67008 929.63
8 Z22775 67008 269.86
124491 08/01/2025 EMBROIDERY PLUS BY TURQUOISE & 1522 647.76
018707 67443 647.76
124492 08/01/2025 EPIC SUPPLY LLC 1552 498.60
85032 67474 498.60
124493 08/01/2025 EUROFINS EATON ANALYTICAL INC 8594 538.36
8100136839 66900 41.20
8100136863 66900 379.04
3800090479 66900 118.12
124494 08/01/2025 EXELON CORPORATION 8898 4,858.47
4366615- 07.25 Chall Common 333.16
4366615- 07.25D 201 N TOPEKA - FORESTRY 11.02
4366615- 07.25G 1115 NE POPLAR ST 3,084.82
4366615- 07.25H 1600 NW BUTTON RD 3.66
4366615- 07.25I 1901 SW WESTERN 14.81
4366615- 07.25J 620 SE MADISON 574.07
4366615- 07.25P 320 S KANSAS AVE 799.91
4366615- 07.25T 3245 NW WATER WORKS DR 37.02
124495 08/01/2025 FLEET FUELS LLC 13835 21,940.95
CFSI 11478 67229 21,940.95
124496 08/01/2025 FLEETPRIDE INC 7822 143.18
127031402 66948 27.19
127084135 66948 115.99
124497 08/01/2025 FOLEY EQUIPMENT COMPANY 9605 115.88
PS200247273 66950 115.88
124498 08/01/2025 FRIENDS OF THE FREE STATE 1793 9,041.60
2ND QUARTER 2025
TRANS GUEST 9,041.60
124499 08/01/2025 G COOPERS INC 1100 10,971.52
47399 68679 10,971.52
124500 08/01/2025 GALLS PARENT HOLDINGS LLC 11211 1,933.04
031851599 68684 132.46
031868907 68518 60.47
031869409 68684 181.41
031877500 68684 1,520.10
031894377 68684 38.60
124501 08/01/2025 GARNEY COMPANIES INC 5785 287,304.21
58842 23 58842 287,304.21
124502 08/01/2025 GOODGER, RITA 10020 227.00
68878 68878 227.00
124503 08/01/2025 GREAT SOUTHERN BANK 9969 37,309.38
JULY 2025 CID CROSSWINDS 37,309.38
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124504 08/01/2025 GT DISTRIBUTORS INC 2008 2,037.66
INV1051071 68532 2,037.66
124505 08/01/2025 H & R PLUMBING INC 2029 4,250.00
250212 68499 4,250.00
124506 08/01/2025 HARRIS & SONS ENTERPRISES INC 7996 9,692.00
68735 1000 HANCOCK68735 9,692.00
124507 08/01/2025 HISTORIC JAYHAWK STATE THEATRE 8491 17,319.11
2ND QUARTER 2025
TRANS GUEST 17,319.11
124508 08/01/2025 HOLIDAY SQUARE PARTNERS LLC 11018 9,276.96
JULY 2025 CID HOLLIDAY 9,276.96
124509 08/01/2025 HYSPECO INC 13342 1,034.90
00848412 66988 12.52
00848781 66956 122.95
00849274 66956 364.08
00849275 66956 19.04
00849534 66956 199.23
00849590 66956 317.08
124510 08/01/2025 INSIGHT PUBLIC SAFETY AND 11149 550.00
2213 67165 550.00
124511 08/01/2025 IRON MOUNTAIN INC 2444 177.63
KNVL346 66897 20.63
KNVL935 67166 157.00
124512 08/01/2025 JEFFERSON STREET HOTEL 4090 2,479.42
JULY 2025 CID RAMADA 2,479.42
124513 08/01/2025 JOBBERS AUTOMOTIVE WAREHOUSE 2639 2,760.92
3455179 67067 -25.99
3456388 67017 9.68
3456426 67017 35.67
3456442 66957 5.47
3456446 66957 18.33
3456457 66957 9.98
3456484 67017 19.36
3456699 67066 10.78
3457048 66957 60.17
3457058 67067 36.77
3457092 67067 4.29
3457110 67066 70.32
3457115 67066 14.80
3457120 67017 2.04
3456708 66957 2.75
3456485 66957 36.65
3456569 67066 35.76
3456601 66957 8.57
3456651 67066 13.23
3456692 66957 16.66
3456893 67067 26.07
3456712 67067 23.31
3456721 67067 26.05
3456723 67067 -15.54
3456732 67067 8.68
3457817 67067 -26.07
3457818 67067 33.16
3457826 66957 30.30
3457848 66957 2.75
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
3458027 66957 10.31
3456733 67066 9.80
3456750 66957 120.23
3456822 67066 11.07
3456848 67066 42.85
3456862 66957 31.87
3456882 67067 39.40
3457617 67067 63.69
3456895 67067 -6.95
3456896 67067 13.32
3456898 67067 19.42
3456903 66957 3.21
3456951 66957 104.34
3456979 66957 17.93
3457649 67066 10.29
3457462 66957 2.84
3457663 67017 252.39
3457758 67067 205.79
3457590 66957 21.17
3458332 67067 50.96
3458403 67066 95.73
3458408 67017 126.96
3458418 66957 2.35
3457131 66957 5.47
3457147 66957 18.82
3457166 67066 3.23
3457199 67067 8.47
3457273 67066 10.39
3457437 67067 54.24
3458030 67017 15.99
3458160 66957 215.70
3458282 67017 182.21
3458287 67066 7.57
3458331 67017 364.42
3458438 67066 4.48
3458494 67017 126.96
124514 08/01/2025 JOINT ECONOMIC DEVELOPMENT 6898 1,057,012.75
PAYMENT 7/30/2025 JEDO 1,057,012.75
124515 08/01/2025 KAN EQUIPMENT INC 2621 745.89
16 300162 66869 672.38
16 300395 66869 73.51
124516 08/01/2025 KANSAS PERSONNEL SERVICES INC 2849 693.11
3068699 68650 693.11
124517 08/01/2025 KANSASLAND TIRE INC OF HAYS KS 13228 1,410.00
28956 67018 1,410.00
124518 08/01/2025 KEVIN R COLHOUER LLC 1252 365.00
135570 66852 85.00
135571 66852 65.00
135572 66852 85.00
135574 66852 65.00
135691 66852 65.00
124519 08/01/2025 LEAGUE OF KANSAS 3010 250.00
200015545 68896 250.00
124520 08/01/2025 LEATHAM FAMILY LLC 4849 993.50
0536563 67946 993.50
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124521 08/01/2025 LOCKTON COMPANIES 12204 30,019.00
32447254 68876 14,719.00
32804937 68871 15,300.00
124522 08/01/2025 MES I ACQUISITION INC 13871 1,524.06
IN2296742 68534 1,524.06
124523 08/01/2025 MIDLAND SCIENTIFIC INC 5733 2,597.16
6988842 67978 2,478.96
6988916 67978 118.20
124524 08/01/2025 MILLS, RICKY A 3457 424.36
67167 JULY 2025 67167 424.36
124525 08/01/2025 MINNESOTA ELEVATOR INC 7834 20,152.00
1128760 68111 20,152.00
124526 08/01/2025 MISSOURI DOOR CO INC 3747 2,165.40
60461 67340 2,165.40
124527 08/01/2025 NATIONAL ENROLLMENT PARTNERS 13833 2,777.50
7292489 67857 2,777.50
124528 08/01/2025 NEENAN COMPANY 3649 7,379.14
S3214728 001 67019 29.83
S3210042 001 67019 548.64
S3211855 001 67019 46.23
S3213311 001 67019 248.60
S3214337 001 67019 6,505.84
124529 08/01/2025 O REILLY AUTOMOTIVE STORES INC 3714 1,098.49
0152 141123 67029 146.51
0152 141251 67073 144.31
0152 141282 66967 72.49
0152 142381 66967 172.01
0152 142412 66967 77.37
0152 142428 66967 8.40
0152 143848 67073 34.29
0152 144094 67073 98.83
0152 144569 66967 77.36
0152 144620 67073 15.42
0152 144653 66967 43.03
0152 144803 67073 11.75
0152 144839 66967 187.33
0152 145359 66967 9.39
124530 08/01/2025 ONEILL EXCAVATING INC 10202 5,250.00
68914 5990 SW 28TH ST
68914 5,250.00
124531 08/01/2025 POLYDYNE INC 5879 30,600.00
1943073 68234 30,600.00
124532 08/01/2025 POMPS TIRE SERVICE INC 10675 4,237.23
1160091235 66971 37.45
1160091246 66971 258.61
1160090676 66971 319.27
1160090762 66971 1,946.77
1160090915 66971 802.89
1160090966 66971 94.00
1160091166 66971 37.45
1160090920 66971 491.08
1160091277 66971 183.71
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
1160091278 66971 66.00
124533 08/01/2025 PROFESSIONAL ENGINEERING 4018 83,043.75
535210 65762 11,750.00
535217 67084 2,318.75
535219 65762 7,017.50
459124 68393 13,670.00
535205 61859 32,400.00
535208 64392 1,215.00
535209 65762 14,672.50
124534 08/01/2025 RECREATION ENGINEERING AND 8873 3,060.00
66506 12 66506 3,060.00
124535 08/01/2025 RESTORATION & WATERPROOFING 4180 23,473.70
66121 7 66121 23,473.70
124536 08/01/2025 RILEY ENVIRONMENTAL SERVICES 13873 1,100.00
25012 68862 550.00
25013 68875 550.00
124537 08/01/2025 ROBERT ARMSTRONG 255 2,000.00
6102 68903 2,000.00
124538 08/01/2025 SCHUSTER BATTERY CO 13478 236.36
150040845 67035 236.36
124539 08/01/2025 SELERIX SYSTEMS INC 11431 1,914.00
INV19390 67328 1,914.00
124540 08/01/2025 SHAWNEE F LLC 11043 45,335.00
72800 68059 45,335.00
124541 08/01/2025 SPENCER & COMPANY 2321 7,533.20
S 2 12825 66861 13.25
S 69803 67015 3,193.92
S 69847 66861 836.24
S 69826 67015 140.49
S 69863 66861 120.60
S 69888 66861 2,950.00
S 69903 67015 278.70
124542 08/01/2025 STAPLES CONTRACT N COMMERCIAL 4725 886.71
6037079203 68571 -13.37
6036750188 68746 89.87
6036750185 68744 31.81
6036679533 68571 13.37
6036605234 68715 450.48
6036547507 68697 75.31
6036142496 68643 12.20
6035574853 68643 227.04
124543 08/01/2025 SUNFLOWER PAVING INC 4815 215,366.40
67724 3 67724 206,568.90
67724 4 67724 8,797.50
124544 08/01/2025 TOPEKA GRAND HOTEL 12016 14,739.01
JULY 2025 CID CYRUS 14,739.01
124545 08/01/2025 TSQUARED LAWN CARE 12761 990.00
66718 13 66718 990.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124546 08/01/2025 U S LIME COMPANY - ST CLAIR 5117 33,426.88
3190176 68305 8,442.19
3190196 68305 8,421.88
3190218 68305 8,289.87
3190668 68305 8,272.94
124547 08/01/2025 UMB BANK NA 5127 25,241.91
PCARD07252025 25,241.91
124548 08/01/2025 UNIFIRST CORPORATION 5134 98.71
1910091045 66662 5.10
1910091047 66662 4.87
1910091048 66662 1.97
1910091080 67080 13.45
1910091115 66716 14.46
1910091116 67080 10.35
1910091156 66716 32.25
1910091157 67080 16.26
124549 08/01/2025 VBP VETTES CORVETTE CLUB 13939 500.00
001 68877 500.00
124550 08/01/2025 VESTIS GROUP INC 9589 493.24
2801619772 67366 68.12
2801619773 67366 41.76
2801619774 67366 8.36
2801619105 67087 28.42
2801619761 66708 141.01
2801619764 67087 31.41
2801619766 67087 17.82
2801619771 67366 156.34
124551 08/01/2025 VISIT TOPEKA INC 5237 546,698.20
2ND QTR 2025 TGTRANS GUEST 546,698.20
124552 08/01/2025 WSP USA INC 10927 19,598.95
40221465 67381 19,598.95
124553 08/01/2025 YARDCRAFTERS LLC 13035 1,004.00
14718 67058 599.00
14874 68490 75.00
14875 68490 330.00
124554 08/01/2025 AVENU INSIGHTS & ANALYTICS LLC 13776 6,945.76
INVB 063193 68785 6,945.76
124555 08/01/2025 NEPTUNE TECHNOLOGY GROUP INC 3658 93,556.47
N807404 68211 59,643.36
N807501 67475 33,913.11
124556 08/01/2025 5JS LLC 12947 500.00
BAR107-0825 S+C August Payment 500.00
124557 08/01/2025 A&S HOLDINGS LLC 9320 1,920.00
RAM101-0825 S+C August Payment 960.00
SCO104-0825 S+C August Payment 960.00
124558 08/01/2025 ACH RENTALS LLC 13477 1,600.00
HUG104-0725IM S+C August Payment 1,600.00
124559 08/01/2025 ARROW PROPERTY MANAGEMENT SERV 13221 9,420.00
ALL114-0825 S+C August Payment 699.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
BOU101-0825 S+C August Payment 1,231.00
CAR102-0825 S+C August Payment 911.00
FRE102-0825 S+C August Payment 752.00
GAM101-0825 S+C August Payment 731.00
HAR102-0825 S+C August Payment 601.00
JON105-0825 S+C August Payment 985.00
LAW102-0825 S+C August Payment 699.00
SCH103-0825 S+C August Payment 264.00
MOL101-0825 S+C August Payment 731.00
THO111-0825 S+C August Payment 652.00
TRA101-0825 S+C August Payment 472.00
ALB101-0825 S+C August Payment 692.00
124560 08/01/2025 AUSTIN PARK MANAGEMENT LLC 13956 461.00
BRA101-0825 S+C August Payment 461.00
124561 08/01/2025 BECKWITH, LYNN E 12607 445.00
GAY101-0825 S+C August Payment 445.00
124562 08/01/2025 BELLA PACIFIC BUILDERS LLC 12326 635.00
SMI104-0825 S+C August Payment 635.00
124563 08/01/2025 BENNETT PROPERTY LLC 440 640.00
RIC103-0825 S+C August Payment 413.00
THO104-0825 S+C August Payment 227.00
124564 08/01/2025 BPM LLC 579 370.00
BRO108-0825 S+C August Payment 370.00
124565 08/01/2025 BREAKTHROUGH HOUSE INC 599 354.00
MOR104-0825 S+C August Payment 354.00
124566 08/01/2025 BROOKWOOD TERRACE HOUSING LP 644 5,845.00
HIL107-0825 S+C August Payment 659.00
BRI107-0825 S+C August Payment 637.00
BAI101-0825 S+C August Payment 472.00
BUR102-0825 S+C August Payment 472.00
CHA102-0825 S+C August Payment 638.00
DOR101-0825 S+C August Payment 472.00
PRY101-0825 S+C August Payment 472.00
SMI123-0825 S+C August Payment 325.00
HIN101-0825 S+C August Payment 650.00
QUI101-0825 S+C August Payment 611.00
STO101-0825 S+C August Payment 437.00
124567 08/01/2025 BROWN, YOLANDA 13259 439.00
KIN101-0825 S+C August Payment 439.00
124568 08/01/2025 BRUDER INVESTMENTS LLC 11801 3,159.00
BUS102-0825 S+C August Payment 1,025.00
AND107-0825 S+C August Payment 1,115.00
HUR103-0825 S+C August Payment 609.00
KEN101-0825 S+C August Payment 410.00
124569 08/01/2025 BURGESS, TERRY 13002 852.00
BUR101-0825 S+C August Payment 852.00
124570 08/01/2025 CAPITOL MANAGEMENT LLC 792 1,000.00
ORT101-0825 S+C August Payment 1,000.00
124571 08/01/2025 CASTLE HOME MANAGEMENT LLC 9474 1,231.00
SHA106-0825 S+C August Payment 1,231.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124572 08/01/2025 CHRISTIAN LORD MINISTRIES INC 13830 466.00
ALL104-0825 S+C August Payment 466.00
124573 08/01/2025 CJS REAL ESTATE 10107 2,386.00
CLE102-0825 S+C August Payment 805.00
MCG1031-0825 S+C August Payment 950.00
RHO104-0825 S+C August Payment 631.00
124574 08/01/2025 COMMUNITY ACTION INC 11697 6,175.00
GAN102-0825 S+C August Payment 448.00
PER104-0825 S+C August Payment 451.00
BAR111-0825 S+C August Payment 467.00
BIG102-0825 S+C August Payment 458.00
BRA106-0825 S+C August Payment 446.00
JEF101-0825 S+C August Payment 466.00
LAB101-0825 S+C August Payment 389.00
MEN114-0825 S+C August Payment 431.00
HAR107-0825 S+C August Payment 472.00
JAC102-0825 S+C August Payment 534.00
MUN103-0825 S+C August Payment 458.00
JON104-0825 S+C August Payment 216.00
VEL101-0825 S+C August Payment 487.00
ART101-0825 S+C August Payment 452.00
124575 08/01/2025 CORNERSTONE OF TOPEKA INC 1117 2,656.00
LEA101-0825 S+C August Payment 290.00
PRI1029-0825 S+C August Payment 599.00
SAL101-0725IM S+C August Payment 525.00
CAM103-0725IM S+C August Payment 500.00
EDM101-0825 S+C August Payment 596.00
LAD0825-0825 S+C August Payment 146.00
124576 08/01/2025 COX, WILLIAM R 1151 1,155.00
KIM1032-0825 S+C August Payment 1,155.00
124577 08/01/2025 CREEK, JACKIE S 13124 850.00
MAR113-0825 S+C August Payment 850.00
124578 08/01/2025 DOZIER, JOSEPH 13856 481.00
CON103-0825 S+C August Payment 481.00
124579 08/01/2025 DUNCAN, CLAUDE 1442 1,010.00
HAD103-0825 S+C August Payment 1,010.00
124580 08/01/2025 EBERT, JOSEPH R 13089 1,351.00
EVA101-0825 S+C August Payment 1,351.00
124581 08/01/2025 ELITE LEASING SERVICES 13657 2,709.00
KEN102-0825 S+C August Payment 692.00
LAM101-0825 S+C August Payment 595.00
PRY104-0825 S+C August Payment 462.00
SMI109-0825 S+C August Payment 960.00
124582 08/01/2025 EMERT, JENNIFER 11689 923.00
WIL116-0825 S+C August Payment 923.00
124583 08/01/2025 EPIC PROPERTY MANAGEMENT LLC 12164 6,065.00
JON108-0825 S+C August Payment 356.00
WES101-0825 S+C August Payment 217.00
ANS102-0825 S+C August Payment 625.00
BAR105-0825 S+C August Payment 459.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
BOO102-0825 S+C August Payment 777.00
CAR101-0825 S+C August Payment 444.00
DAV103-0825 S+C August Payment 567.00
ERI101-0825 S+C August Payment 882.00
FLO102-0825 S+C August Payment 638.00
HAR104-0825 S+C August Payment 268.00
MES102-0825 S+C August Payment 377.00
MOR103-0825 S+C August Payment 455.00
124584 08/01/2025 GREEN, BRIAN 1986 1,912.00
CAS113-0825 S+C August Payment 339.00
HOW102-0825 S+C August Payment 675.00
LUC104-0825 S+C August Payment 898.00
124585 08/01/2025 HIGGINBOTHOM, CORY 11411 1,397.00
MOO106-0825 S+C August Payment 412.00
SUH103-0825 S+C August Payment 985.00
124586 08/01/2025 RAGSDALE, JEFF 7375 313.00
KOZ1041-0825 S+C August Payment 313.00
124587 08/01/2025 KANSAS CAPITAL CORNERS LLC 11119 323.00
BLA105-0825 S+C August Payment 323.00
124588 08/01/2025 KANSAS PARADISE PLAZA LLC 13710 2,370.00
CLA105-0825 S+C August Payment 708.00
DIV101-0825 S+C August Payment 912.00
RIC105-0825 S+C August Payment 750.00
124589 08/01/2025 KURTZ, HENRY JOE 2924 850.00
NEL103-0825 S+C August Payment 850.00
124590 08/01/2025 LENTZ, MARILYN 3033 620.00
MAR101-0825 S+C August Payment 620.00
124591 08/01/2025 MADISON STREET APARTMENTS LLC 10691 1,562.00
LOY101-0825 S+C August Payment 664.00
ONE104-0825 S+C August Payment 363.00
WIL113-0825 S+C August Payment 535.00
124592 08/01/2025 MAHNOPOLY LLC 11407 994.00
PEO104-0825 S+C August Payment 585.00
WEA102-0825 S+C August Payment 409.00
124593 08/01/2025 MEITNER PROPERTIES LLC 13472 1,000.00
BEN101-0825 S+C August Payment 1,000.00
124594 08/01/2025 OAKBROOK HOLDINGS LLC 11512 463.00
WIL101-0825 S+C August Payment 463.00
124595 08/01/2025 OAKRIDGE INVESTORS 13241 550.00
PAR101-0825 S+C August Payment 550.00
124596 08/01/2025 SAGGART, PAMELA 7218 394.00
MCC107-0825 S+C August Payment 394.00
124597 08/01/2025 PETERSEN, LONNIE 3909 600.00
SHA1042-0825 S+C August Payment 600.00
124598 08/01/2025 PIONEER MOTIVE POWER PLACE LP 9278 414.00
AND102-0825 S+C August Payment 215.00
DOD101-0825 S+C August Payment 199.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124599 08/01/2025 PREMIER MANAGEMENT LLC 13638 648.00
TOR102-0825 S+C August Payment 648.00
124600 08/01/2025 PURE OPERATING LLC 13243 305.00
GIB107-0825 S+C August Payment 305.00
124601 08/01/2025 RED TREE LLC 11968 400.00
BRY103-0825 S+C August Payment 400.00
124602 08/01/2025 LAIRD SR, RICHARD D 6519 396.00
RHO103-0825 S+C August Payment 396.00
124603 08/01/2025 SABER PROPERTIES LLC 13275 750.00
MAR102-0825 S+C August Payment 750.00
124604 08/01/2025 SANCHEZ, ADRIAN 12305 297.00
BIG101-0825 S+C August Payment 297.00
124605 08/01/2025 SMALL FISH PARTNERS LLC 11065 660.00
DIX101-0825 S+C August Payment 660.00
124606 08/01/2025 STILL PRODUCING MANAGEMENT LLC 13957 501.00
PER108-0825 S+C August Payment 501.00
124607 08/01/2025 SUAREZ 7 LLC 11066 593.00
DAL103-0825 S+C August Payment 593.00
124608 08/01/2025 THE LIBRARY APARTMENTS INC 11304 289.00
JON106-0825 S+C August Payment 289.00
124609 08/01/2025 TINDELL, MATTHEW 12387 410.00
COO105-0825 S+C August Payment 410.00
124610 08/01/2025 PORTILLO, TRINIDAD O 6962 900.00
GAL102-0825 S+C August Payment 900.00
124611 08/01/2025 VERTEX BRENTWOOD LLC 13012 441.00
ROB106-0825 S+C August Payment 441.00
124612 08/01/2025 WALKER, JOSEPH SCOTT 9786 748.00
MEN112-0825 S+C August Payment 748.00
124613 08/01/2025 X-CALIBER FUNDING LLC 13899 3,118.00
DOU104-0825 S+C August Payment 958.00
HAR110-0825 S+C August Payment 295.00
LES103-0825 S+C August Payment 444.00
TAY103-0825 S+C August Payment 871.00
ESP101-0825 S+C August Payment 550.00
124614 08/01/2025 ZAYNAB LLC 13083 410.00
HAR111-0825 S+C August Payment 410.00
124615 08/01/2025 ACE ELECTRIC JONES COMPANY INC 35 2,789.08
10490 66714 2,789.08
124616 08/01/2025 BERRY COMPANIES INC 5408 1,202.77
06270380 67005 602.33
06270461 67005 176.36
06270462 67005 88.18
06270521 67005 267.74
06270338 67005 68.16
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124617 08/01/2025 CAPITAL BELT & SUPPLY INC 776 1,340.87
150051 66930 1,163.76
150437 66930 76.03
150569 66930 41.52
150578 66892 59.56
124618 08/01/2025 COGENT INC 3018 542.40
5629587 68881 542.40
124619 08/01/2025 CONSOLIDATED ELECTRICAL 4174 2,991.85
8792 1084262 66878 555.01
8792 1084404 67040 1,693.05
8792 1085751 67040 397.63
8792 1085793 67040 229.38
8792 1086257 66878 116.78
124620 08/01/2025 CORE & MAIN LP 2146 2,821.76
X102273 68493 2,821.76
124621 08/01/2025 FASTENAL COMPANY 1619 202.96
KSTOP332311 66939 28.00
KSTOP332151 66939 174.96
124622 08/01/2025 HACH COMPANY 2038 75.79
14567465 67031 75.79
124623 08/01/2025 IBT INC 2377 629.52
30155919 66944 135.99
30149516 66944 395.36
30152854 66944 98.17
124624 08/01/2025 JOHN G LEVIN 3071 210.00
250049 66989 210.00
124625 08/01/2025 JOHNSON CONTROLS US HOLDINGS 12157 7,376.91
53127389 66658 222.30
24836011 66658 1,119.87
24837177 66658 1,155.06
24838726 66658 1,010.16
24838748 66658 1,135.39
53103805 66658 2,734.13
124626 08/01/2025 KANSAS SAND & CONCRETE INC 2744 2,041.05
90599810 66876 540.30
90600268 66876 900.50
90600718 66876 600.25
124627 08/01/2025 KEY EQUIPMENT & SUPPLY CO 2847 1,941.28
KC217733 67021 256.95
KC217785 66959 1,220.02
KC217786 66959 464.31
124628 08/01/2025 SALISBURY SUPPLY COMPANY INC 4352 2,282.10
407464 67116 174.71
407470 66896 257.53
407594 66896 335.40
407599 67116 56.31
407605 67116 338.47
407614 66896 19.11
407617 67116 99.63
407626 67116 340.81
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
407629 67116 26.45
408006 67116 26.00
408032 66896 236.47
408197 67116 43.49
408215 67116 327.72
124629 08/01/2025 SAMCO INC 4355 2,912.49
2501427 66715 2,912.49
124630 08/01/2025 ALFRED BENESCH & COMPANY 12193 12,142.50
326893 67895 5,438.50
326897 62102 215.00
326899 61008 4,127.00
327030 60843 2,362.00
124631 08/01/2025 SAFETY CONSULTING INC 4335 678.00
INV270 67129 278.00
INV271 66891 400.00
124632 08/01/2025 STAR SERVICES PROPERTY 13027 2,647.40
2808 67997 124.50
2805 67099 2,000.00
2807 67997 522.90
124633 08/01/2025 TOPEKA AUTO GLASS LLC 13226 534.01
19021 66983 479.01
19083 66983 55.00
124634 08/08/2025 FISHER PATTERSON SAYLER & 1690 960.00
114157 64509 960.00
124635 08/08/2025 STATE OF KANSAS 2732 433.05
0000002112508081845001 Child Support - Amt 433.05
124636 08/08/2025 STATE OF KANSAS 2732 277.38
0000003402508081845001 Child Support - Amt 277.38
124637 08/08/2025 STATE OF KANSAS 2732 183.23
0000003482508081845001 Child Support - Amt 183.23
124638 08/08/2025 STATE OF KANSAS 2732 209.08
0000007542508081845001 Child Support - Amt 209.08
124639 08/08/2025 STATE OF KANSAS 2732 263.15
0000007792508081845001 Child Support - Amt 263.15
124640 08/08/2025 STATE OF KANSAS 2732 276.92
0000008532508081845001 Child Support - Amt 276.92
124641 08/08/2025 STATE OF KANSAS 2732 318.46
0000009362508081845001 Child Support - Amt 318.46
124642 08/08/2025 STATE OF KANSAS 2732 345.23
0000009732508081845001 Child Support - Amt 345.23
124643 08/08/2025 STATE OF KANSAS 2732 504.92
0000010722508081845001 Child Support - Amt 504.92
124644 08/08/2025 STATE OF KANSAS 2732 109.62
0000011242508081845001 Child Support - Amt 109.62
124645 08/08/2025 STATE OF KANSAS 2732 115.38
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
0000021542508081845001 Child Support - Amt 115.38
124646 08/08/2025 STATE OF KANSAS 2732 487.85
0000022442508081845001 Child Support - Amt 487.85
124647 08/08/2025 STATE OF KANSAS 2732 235.38
0000022502508081845001 Child Support - Amt 235.38
124648 08/08/2025 STATE OF KANSAS 2732 412.74
0000022592508081845001 Child Support - Amt 412.74
124649 08/08/2025 STATE OF KANSAS 2732 461.54
0000022622508081845001 Child Support - Amt 461.54
124650 08/08/2025 STATE OF KANSAS 2732 1,015.38
0000023462508081845001 Child Support - Amt 1,015.38
124651 08/08/2025 STATE OF KANSAS 2732 177.69
0000024132508081845001 Child Support - Amt 177.69
124652 08/08/2025 STATE OF KANSAS 2732 574.20
0000024742508081845001 Child Support - Amt 574.20
124653 08/08/2025 STATE OF KANSAS 2732 470.77
0000024782508081845001 Child Support - Amt 470.77
124654 08/08/2025 STATE OF KANSAS 2732 299.54
0000025192508081845001 Child Support - Amt 299.54
124655 08/08/2025 STATE OF KANSAS 2732 997.38
0000027052508081845001 Child Support - Amt 997.38
124656 08/08/2025 STATE OF KANSAS 2732 605.54
0000032472508081845001 Child Support - Amt 605.54
124657 08/08/2025 STATE OF KANSAS 2732 530.77
0000032552508081845001 Child Support - Amt 530.77
124658 08/08/2025 STATE OF KANSAS 2732 96.92
0000034722508081845001 Child Support - Amt 96.92
124659 08/08/2025 STATE OF KANSAS 2732 91.85
0000034882508081845001 Child Support - Amt 91.85
124660 08/08/2025 STATE OF KANSAS 2732 100.15
0000034922508081845001 Child Support - Amt 100.15
124661 08/08/2025 STATE OF KANSAS 2732 153.69
0000035002508081845001 Child Support - Amt 153.69
124662 08/08/2025 STATE OF KANSAS 2732 287.08
0000035002508081845002 Child Support - Amt 287.08
124663 08/08/2025 STATE OF KANSAS 2732 199.85
0000035202508081845001 Child Support - Amt 199.85
124664 08/08/2025 STATE OF KANSAS 2732 119.08
0000035622508081845001 Child Support - Amt 119.08
124665 08/08/2025 STATE OF KANSAS 2732 131.58
0000036292508081845001 Child Support - Amt 131.58
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124666 08/08/2025 STATE OF KANSAS 2732 244.62
0000036582508081845001 Child Support - Amt 244.62
124667 08/08/2025 STATE OF KANSAS 2732 54.46
0000037012508081845001 Child Support - Amt 54.46
124668 08/08/2025 STATE OF KANSAS 2732 11.54
0000037282508081845001 Child Support - Amt 11.54
124669 08/08/2025 STATE OF KANSAS 2732 369.23
0000037612508081845001 Child Support - Amt 369.23
124670 08/08/2025 STATE OF KANSAS 2732 490.62
0000038182508081845001 Child Support - Amt 490.62
124671 08/08/2025 STATE OF KANSAS 2732 194.77
0000039662508081845001 Child Support - Amt 194.77
124672 08/08/2025 BETTIS ASPHALT & CONSTRUCTION 470 444,248.96
25BA0226PE1 68284 442,457.69
9503044 66699 1,648.89
9503062 66699 142.38
124673 08/08/2025 CTCR INC 1194 3,251.00
00003269 67265 1,038.50
00003270 67265 231.00
00003271 67335 595.00
00003272 67335 672.50
00003273 67335 540.00
00003274 67335 174.00
124674 08/08/2025 DAPRATO CONSTRUCTION 12961 8,346.00
68937 1501 SW INDIAN68937 8,346.00
124675 08/08/2025 ENDURA LLC 13962 2,768.28
40780 68946 2,768.28
124676 08/08/2025 GERLING AND ASSOCIATES INC 12934 141,797.20
13043 64090 141,797.20
124677 08/08/2025 GREENCARE CONSTRUCTION INC 13517 26,888.49
1168 66709 9,624.99
68764 3110 SW 30TH ST
68764 12,625.50
68846 1737 SW MACVICAR
68846 4,638.00
124678 08/08/2025 A 1 LOCK & KEY LLC 13 90.65
115559 66924 90.65
124679 08/08/2025 ADVANCED ENVIRONMENTAL TESTING 8000 2,160.00
11920 68519 2,160.00
124680 08/08/2025 AG PARTNERS COOPERATIVE INC 13921 8,140.60
000002 68505 270.00
T04430 68505 1,458.00
T04431 68505 1,608.20
T04432 68505 1,608.20
T04448 68505 810.00
T04454 68505 900.00
T04546 68505 1,486.20
124681 08/08/2025 AIR FILTER PLUS 94 228.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
448986 66842 228.00
124682 08/08/2025 ANDRITZ SEPARATION INC 222 2,243.93
8480134182 67338 1,088.05
8480134181 67338 1,155.88
124683 08/08/2025 ANSWER TOPEKA 237 1,312.72
250700256 66796 115.00
250700015 66834 1,197.72
124684 08/08/2025 APEX WATER AND PROCESS INC 13812 1,300.00
AR071085 67346 1,300.00
124685 08/08/2025 BARTLETT & WEST OPERATIONS LLC 12712 43,991.51
1092 66927 43,991.51
124686 08/08/2025 BERGKAMP INC 454 96.73
60951 66782 96.73
124687 08/08/2025 BLUE CROSS BLUE SHIELD INC 528 284,956.71
W/E 7/31/2025 67176 284,956.71
124688 08/08/2025 BORDER STATES INDUSTRIES INC 10997 4,157.42
930766597 67923 3,961.11
930767613 66929 196.31
124689 08/08/2025 CABLE DAHMER AUTOMOTIVE LLC 12619 322.22
103388 66788 221.58
104370 66788 100.64
124690 08/08/2025 CENTURY BUSINESS TECHNOLOGIES 870 101.42
766455 66635 101.42
124691 08/08/2025 COLUMBIA CAPITAL MANAGEMENT LL 1038 25,150.00
25116011 DE 16,000.00
25116012 DE 2,500.00
52543 2025 CONTRACT 1,750.00
52543 2025 CONTRACT 4,900.00
124692 08/08/2025 CONRAD FIRE EQUIPMENT 1073 7,876.75
585087 66851 275.00
585088 66851 275.00
585089 66851 275.00
585090 66851 532.52
585093 66851 275.00
585097 66851 590.36
585098 66851 275.00
585328 66851 275.00
585100 66851 532.52
585101 66851 275.00
585102 66851 275.00
585103 66851 275.00
585104 66851 532.52
585448 66851 1,098.49
585537 66851 1,565.34
585327 66851 275.00
585096 66851 275.00
124693 08/08/2025 CONSOLIDATED RURAL WATER 1075 13,585.95
66912 7 66912 13,585.95
124694 08/08/2025 DELTA DENTAL OF KANSAS INC 1323 30,605.71
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
520520 67353 3,243.60
73601 67353 13,950.62
74468 67353 13,411.49
124695 08/08/2025 DENALI WATER SOLUTIONS LLC 12429 33,351.04
INV1109368 66936 16,947.27
INV1109367 66936 16,403.77
124696 08/08/2025 DH LAWN & GARDEN EQUIPMENT 8839 35.34
189858 66941 35.34
124697 08/08/2025 DILLONS COMPANIES INC 2918 49.93
605442 67162 49.93
124698 08/08/2025 DOWNTOWN TOPEKA FOUNDATION 10376 7,640.79
2ND QUARTER 2025 2
TRANS GUEST 7,640.79
124699 08/08/2025 DS SERVICES OF AMERICA INC 13004 152.00
24813484 070825 67433 152.00
124700 08/08/2025 ED M FELD EQUIPMENT COMPANY 11895 895.58
INV13000 66947 895.58
124701 08/08/2025 EUROFINS EATON ANALYTICAL INC 8594 2,456.55
8100137567 66900 2,456.55
124702 08/08/2025 EWT HOLDING III CORP 9747 15,816.08
907122536 66937 15,816.08
124703 08/08/2025 FISHER SCIENTIFIC COMPANY LLC 4949 711.70
2260179 66918 711.70
124704 08/08/2025 FIT EXCAVATING INC 3126 94,358.34
3451 68859 5,040.00
67764 2 67764 15,113.00
68963 SW 42ND ST & SW
68963 74,205.34
124705 08/08/2025 FLEET FUELS LLC 13835 24,630.02
SI 9575 67229 704.03
CFSI 13167 67229 23,366.91
SI 10624 67229 559.08
124706 08/08/2025 FOX SERVICES INC 13963 530.00
44871 68945 530.00
124707 08/08/2025 GALLS PARENT HOLDINGS LLC 11211 214.87
031912115 68518 60.47
031912336 68684 38.60
031912337 68684 38.60
031912338 68684 38.60
031925306 68684 38.60
124708 08/08/2025 HERITAGE-CRYSTAL CLEAN INC 9426 232.76
19438078 67014 232.76
124709 08/08/2025 IRON MOUNTAIN INC 2444 131.18
KNVL960 66897 131.18
124710 08/08/2025 J WARREN COMPANY INC 2469 84,280.50
67696 2 67696 84,280.50
124711 08/08/2025 JOBBERS AUTOMOTIVE WAREHOUSE 2639 428.86
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
3457967 66957 15.54
3458397 67066 15.98
3458049 66957 5.38
3458627 67066 21.68
3458635 67017 61.74
3458651 67066 82.76
3458669 67017 31.75
3458538 67066 8.00
3458424 66957 27.34
3458436 66957 14.23
3458672 67017 71.09
3458689 66957 2.41
3458480 67066 30.30
3458530 67017 22.97
3458954 67066 17.69
124712 08/08/2025 KAN EQUIPMENT INC 2621 31.05
16 300461 66869 16.65
16 300701 66869 14.40
124713 08/08/2025 KANSAS PERSONNEL SERVICES INC 2849 710.01
3068756 68650 710.01
124714 08/08/2025 KANSASLAND TIRE INC OF HAYS KS 13228 3,221.52
29095 67018 3,221.52
124715 08/08/2025 KEVIN R COLHOUER LLC 1252 505.00
133641 66852 85.00
133980 66852 85.00
135824 66852 85.00
135825 66852 65.00
135937 66852 120.00
135938 66852 65.00
124716 08/08/2025 LIGHTHOUSE CONTRACTING INC 3061 51,000.00
1026 SW CLAY 1 67449 25,000.00
1214TAYLOR 1 68803 15,000.00
CR 801HIGHLAND F 68352 7,000.00
CR235 SE 34THF 68622 4,000.00
124717 08/08/2025 MATHESON TRI-GAS INC 7179 435.73
0031761091 67069 118.23
0031766205 67069 317.50
124718 08/08/2025 MICHAEL & SONS INC 3377 13,940.00
68771 WATER CLEANUPS
68771
5 12,180.00
68780 1601 SW WAYNE68780 806.00
68781 1602 SW WAYNE68781 954.00
124719 08/08/2025 MILLS, RICKY A 3457 434.16
67167 JULY 2025 1 67167 434.16
124720 08/08/2025 MISSOURI DOOR CO INC 3747 768.75
60741 67340 160.00
60670 67340 410.00
60692 67340 198.75
124721 08/08/2025 O REILLY AUTOMOTIVE STORES INC 3714 127.59
0152 145508 CREDIT 66967 -58.80
0152 145509 CREDIT 66967 -15.04
0152 146132 66967 45.13
0152 146236 66967 57.69
0152 147313 66967 40.82
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
0152 147460 67073 35.26
0152 147533 66967 22.53
124722 08/08/2025 OKLAHOMA STATE UNIVERSITY 12320 7,350.00
288637 68873 7,350.00
124723 08/08/2025 PACE ANALYTICAL SERVICES 3794 150.00
2560231055 66920 150.00
124724 08/08/2025 POMPS TIRE SERVICE INC 10675 6,210.19
1160091199 66971 1,005.94
1160091393 66971 66.00
1160091402 66971 2,388.61
1160091417 66971 558.54
1160091535 66971 174.31
1160091565 66971 404.27
1160091619 66971 195.94
1160091664 66971 453.71
1160091678 66971 233.26
1160091727 66971 327.42
1160091728 66971 37.45
1160091745 66971 33.17
1160091777 66971 66.00
1160091385 66971 265.57
124725 08/08/2025 PROFESSIONAL ENGINEERING 4018 7,277.50
353067 64015 420.00
535206 67084 3,027.50
535207 67084 3,830.00
124726 08/08/2025 PUR O ZONE INC 6773 1,221.51
917639 68732 1,221.51
124727 08/08/2025 RANDY LONG TRUCKING LLC 4105 16,400.00
25607 66910 16,400.00
124728 08/08/2025 RILEY ENVIRONMENTAL SERVICES 13873 550.00
25014 68826 550.00
124729 08/08/2025 ROBERT ARMSTRONG 255 1,775.00
6104 67813 1,775.00
124730 08/08/2025 RUSH TRUCK CENTERS 12611 195.90
3042435273 66974 195.90
124731 08/08/2025 SAMSARA INC 13948 83,986.50
310519554170494 68755 83,986.50
124732 08/08/2025 SIMILAR MODE UNIFORMS INC 4563 1,674.25
68562 68562 1,471.80
68411 FINAL 68411 202.45
124733 08/08/2025 SPENCER & COMPANY 2321 3,721.58
S 69672 66861 2,261.71
S 69967 67015 53.64
S 69975 66861 129.06
S 70001 66861 215.57
S 70026 66861 363.00
S 70081 66861 129.06
S 70086 66861 569.54
124734 08/08/2025 STAPLES CONTRACT N COMMERCIAL 4725 651.18
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
6037219247 68793 33.48
6037219246 68786 255.30
6037145952 68779 159.32
6037145951 68772 36.85
6036838581 68754 166.23
124735 08/08/2025 STATE OF KANSAS 12114 6,414.58
733580 68952 6,414.58
124736 08/08/2025 TFI LLC 13514 654.00
3355 67131 632.00
3381 67002 22.00
124737 08/08/2025 TILLMAN ROAD INSPECTIONS LLC 12017 443.80
67957 MAY 2025 2 67957 443.80
124738 08/08/2025 TOPEKA LODGING ASSOCIATION 11196 30,880.78
JUN 2025 TBID 30,880.78
124739 08/08/2025 TRAFFIC CONTROL CORPORATION 8892 25,550.00
159268 68682 25,550.00
124740 08/08/2025 TRIA HEALTH LLC 6938 2,700.00
0825 0006 67455 2,700.00
124741 08/08/2025 TSQUARED LAWN CARE 12761 990.00
66718 14 66718 990.00
124742 08/08/2025 U S LIME COMPANY - ST CLAIR 5117 50,287.57
3190708 68305 8,445.58
3191227 68305 25,008.38
3191776 68305 8,750.23
3191795 68305 8,083.38
124743 08/08/2025 UMB BANK NA 5127 26,424.32
PCARD08012025 26,424.32
124744 08/08/2025 UNIFIRST CORPORATION 5134 210.98
1910090873 67101 19.58
1910090877 67101 8.34
1910090885 67101 6.95
1910090886 67101 17.36
1910090888 67101 12.05
1910091044 67101 7.98
1910091686 66662 5.10
1910091687 66662 4.87
1910091688 66662 1.97
1910091715 67080 13.45
1910091750 66716 14.46
1910091754 67080 10.35
1910091787 67080 16.26
1910092291 67101 7.98
1910092148 67101 19.58
1910092155 67101 6.95
1910092156 67101 17.36
1910092157 67101 12.05
1910092152 67101 8.34
124745 08/08/2025 UNITED RENTALS INC 12084 6,787.92
246042254 004 67820 6,229.10
248906683 001 67820 558.82
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124746 08/08/2025 US PEROXIDE LLC 12298 15,011.64
CIN470027839 67671 15,011.64
124747 08/08/2025 VANDERBILT'S NO 6 5199 174.99
541780 67079 174.99
124748 08/08/2025 VESTIS GROUP INC 9589 577.22
2801622185 67087 28.42
2801622788 66708 141.01
2801622815 67366 86.01
2801622791 67087 31.41
2801622793 67087 17.82
2801622798 67366 156.34
2801622799 67366 68.12
2801622800 67366 39.73
2801622801 67366 8.36
124749 08/08/2025 VETERINARY MEDICAL & SURGICAL 5222 3,281.81
195256 67698 525.30
195409 67698 811.06
195231 67698 289.14
195232 67698 281.04
195233 67698 692.73
195204 67698 682.54
124750 08/08/2025 WILLIS TOWERS WATSON 12113 7,333.33
3982629 67761 7,333.33
124751 08/08/2025 WSP USA INC 10927 2,358.32
40219392 64469 2,358.32
124752 08/08/2025 YARDCRAFTERS LLC 13035 2,068.00
14876 67058 599.00
14881 68490 420.00
15004 68490 150.00
15005 68490 165.00
15006 68490 120.00
15007 67058 599.00
15008 68490 15.00
124753 08/08/2025 NEPTUNE TECHNOLOGY GROUP INC 3658 55,260.98
N808140 67430 55,260.98
124754 08/08/2025 ACH RENTALS LLC 13477 1,712.00
VAG101-0825IM IM August 2025 Payment 1,712.00
124755 08/08/2025 ANDALL FORBES ENTERPRISE LLC 13965 350.00
IVY101-0825IM IM August 2025 Payment 350.00
124756 08/08/2025 ARROW PROPERTY MANAGEMENT SERV 13221 502.00
SCH111-0825CDHMLS CDHMLS August 2025 Payment 502.00
124757 08/08/2025 CORNERSTONE OF TOPEKA INC 1117 525.00
SAL101-0825IM IM August 2025 Payment 525.00
124758 08/08/2025 MAHNOPOLY LLC 11407 52.00
PEO104-0825A S+C August 2025 Payment 52.00
124759 08/08/2025 ACE ELECTRIC JONES COMPANY INC 35 2,270.32
10533 66714 2,270.32
124760 08/08/2025 BERRY COMPANIES INC 5408 25.31
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
06270756 67005 25.31
124761 08/08/2025 CAPITAL BELT & SUPPLY INC 776 268.40
150719 66930 150.52
150732 66930 117.88
124762 08/08/2025 CORE & MAIN LP 2146 22,650.38
X302110 68702 1,946.60
X321145 68737 10,893.78
X321234 68738 9,810.00
124763 08/08/2025 FASTENAL COMPANY 1619 58.56
KSTOP332350 66858 58.56
124764 08/08/2025 GRAINGER 1964 279.35
9572927359 68769 173.64
9577895163 68847 105.71
124765 08/08/2025 HACH COMPANY 2038 1,440.71
14563113 67031 741.86
14570037 67031 367.80
14578729 67031 331.05
124766 08/08/2025 JOHNSON CONTROLS US HOLDINGS 12157 4,073.20
1 136073320003 66658 2,145.00
24838747 66658 1,928.20
124767 08/08/2025 KANSAS SAND & CONCRETE INC 2744 5,880.25
90601010 66876 343.00
90601011 66876 1,249.75
90601177 66876 857.50
90601540 67130 857.50
90601543 66876 857.50
90601009 66876 1,715.00
124768 08/08/2025 KEY EQUIPMENT & SUPPLY CO 2847 4,815.11
KC218021 66959 133.69
KC218022 66959 4,346.89
KC217735 66959 334.53
124769 08/08/2025 MIDWEST CONCRETE MATERIALS 13847 884.00
707502 67802 884.00
124770 08/08/2025 SAFETY SUPPLIES 4336 305.72
SSI 250712 67115 200.00
SSI 250714 67115 105.72
124771 08/08/2025 SALISBURY SUPPLY COMPANY INC 4352 1,306.25
408349 67116 101.36
408380 67116 171.81
408537 67116 112.62
408702 67116 73.00
408710 67116 269.74
408711 67116 23.51
408716 67075 57.20
408886 66896 67.19
408893 67116 41.00
408895 67116 280.00
409097 66896 108.82
124772 08/08/2025 SAMCO INC 4355 26,723.16
2501179 66715 1,352.49
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
2501679 67197 2,991.11
2501698 67121 1,704.50
2501724 66715 269.50
2501732 67121 2,743.50
2501734 66715 348.60
2501764 66715 234.50
2501865 67121 1,842.00
64401277 66905 4,115.86
64492206 66715 11,121.10
124773 08/08/2025 TOPEKA ELECTRIC MOTOR REPAIR 5025 348.00
56440 66908 348.00
124774 08/08/2025 DETECTACHEM INC 13208 1,998.34
INV19617 68752 1,998.34
124775 08/08/2025 HUNTER LANE LLC 12191 250,551.13
596088 67431 60.89
596022 67431 247,003.27
596087 67431 3,486.97
124776 08/08/2025 AFSCME COUNCIL #61 OF THE 13896 1,436.80
UNA1250808184502OUT2 0 Union Dues - AFSCME 718.40
UNA1250808184502OUT1 0 Union Dues - AFSCME 404.10
UNA1250808184502OUT3 0 Union Dues - AFSCME 44.90
UNA1250808184502ADMIN0 Union Dues - AFSCME 269.40
124777 08/08/2025 APPLICATION SOFTWARE INC 8140 904.30
JULY 2025 FLEX FEEPAYROLL 554.30
JULY 2025 HSA FEE PAYROLL 350.00
124778 08/08/2025 CITY OF TOPEKA FRIENDSHIP FUND 948 560.71
FR10250808184502OUT4 0 Friendship Fund 19.00
FR10250808184502OUT5 0 Friendship Fund 47.50
FR10250808184502OUT6 0 Friendship Fund 34.25
FR10250808184502FIRE 0 Friendship Fund 45.50
FR10250808184502ADMIN0 Friendship Fund 164.50
FR10250808184502OUT1 0 Friendship Fund 26.00
FR10250808184502OUT2 0 Friendship Fund 8.00
FR10250808184502OUT3 0 Friendship Fund 5.00
FR10250808184502POL 0 Friendship Fund 169.46
FR10250808184502PW 0 Friendship Fund 41.50
124779 08/08/2025 FIREMENS OFF DUTY RELIEF FUND 1676 4,403.14
FO10250808184502FIRE 0 Firefighter's Off Duty Relief 4,403.14
124780 08/08/2025 INTERNATIONAL ASSOCIATION OF 2424 9,926.07
08/08/25 ADMIN FEE PAYROLL -13.86
UNI1250808184502FIRE 0 Union Dues - IAFF 9,939.93
124781 08/08/2025 KANSAS ASSOCIATION OF PUBLIC 2630 728.93
UNK1250808184502ADMIN0 Union Dues - KAPE 62.76
UNK1250808184502OUT1 0 Union Dues - KAPE 80.41
UNK1250808184502OUT2 0 Union Dues - KAPE 83.68
UNK1250808184502OUT5 0 Union Dues - KAPE 83.68
UNK1250808184502OUT6 0 Union Dues - KAPE 62.76
UNK1250808184502POL 0 Union Dues - KAPE 62.76
UNK1250808184502PW 0 Union Dues - KAPE 292.88
124782 08/08/2025 SURENCY LIFE & HEALTH 10654 28.80
4000612202508 67613 28.80
124783 08/08/2025 TEAMSTERS LOCAL UNION 696 4892 1,271.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
UNT1250808184502OUT6 0 Union Dues - Teamsters 1,271.00
124784 08/08/2025 UNITED WAY OF KAW VALLEY INC 5157 52.00
UW10250808184502OUT1 0 United Way 1.00
UW10250808184502OUT5 0 United Way 35.00
UW10250808184502ADMIN0 United Way 16.00
124785 08/08/2025 UNITED WORKERS OF 10010 596.00
UNW2250808184502OUT5 0 Union Dues - UWETT 600.00
8/8/25 ADMIN FEE PAYROLL -4.00
124786 08/08/2025 ALFRED BENESCH & COMPANY 12193 65,934.00
328373 65232 1,405.00
327355 63517 2,693.00
327314 67294 12,348.50
327324 67295 4,806.00
327350 64089 37,601.50
327353 66372 7,080.00
124787 08/08/2025 DOXIM UTILITEC LLC 11892 29,579.36
CM000162 -365.64
0925 PA 66882 29,945.00
124788 08/08/2025 STAR SERVICES PROPERTY 13027 2,000.00
2815 67099 2,000.00
124789 08/08/2025 TFM COMM INC 4914 887.08
239975 66704 887.08
124790 08/15/2025 HENSON HUTTON MUDRICK GRAGSON 2199 6,120.00
49105 60380 6,120.00
124791 08/15/2025 BETTIS ASPHALT & CONSTRUCTION 470 10,852.33
9503082 66699 10,852.33
124792 08/15/2025 CTCR INC 1194 4,486.45
00003276 67265 511.50
00003277 67265 390.60
00003278 67265 1,444.30
00003279 67265 97.50
00003280 67265 471.00
00003281 67265 84.50
00003282 67265 243.20
00003283 67265 386.75
00003284 67265 513.00
00003285 67265 78.00
00003286 67265 55.30
00003287 67265 35.30
00003288 67265 41.00
00003289 67265 53.50
00003290 67335 81.00
124793 08/15/2025 GREENCARE CONSTRUCTION INC 13517 201,444.25
67316 1 67316 131,785.00
68563 901 NW LYMAN RD
68563 1,596.00
68588 3100 SW CANTERBU
68588 3,535.00
68747 5855 SW 22ND TER
68747 1,306.00
68748 2221 SW 2ND ST68748 3,556.75
68749 106 NW KNOX AVE
68749 762.75
68763 3218 SW DORR ST
68763 5,288.00
68790 203 NW THE DRIVE
68790 3,025.00
68829 NW HAWTHRON 68829
ST 3,335.00
68849 2401 SW MACVICAR
68849 10,390.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
68864 7024 SW LARIO LN
68864 2,954.75
68909 2850 WANAMAKER
68909 33,910.00
124794 08/15/2025 911 CUSTOM LLC 8345 2,020.75
60850 68317 1,464.75
61331 66777 556.00
124795 08/15/2025 A 1 LOCK & KEY LLC 13 4.06
115566 66924 4.06
124796 08/15/2025 ADS LLC 60 18,630.00
35769 0725 66923 18,630.00
124797 08/15/2025 ADVANCED BIOHAZARD CLEANUP LLC 12664 230.00
67472 7/25/25 67472 230.00
124798 08/15/2025 AFFINITY CHEMICAL LLC 11339 6,880.80
25118994 68384 6,880.80
124799 08/15/2025 ALTERNATIVES EAP LLC 8445 3,147.69
10975 67205 3,147.69
124800 08/15/2025 BARTLETT & WEST ENGINEERS 391 49,859.98
730105075 67948 300.00
730105077 63962 1,632.18
730105078 65658 24,100.00
730105082 68040 14,275.80
730105308 68432 9,552.00
124801 08/15/2025 BARTLETT & WEST OPERATIONS LLC 12712 2,940.00
1093 66927 2,940.00
124802 08/15/2025 BLACK & VEATCH CORPORATION 505 15,997.06
1467517 56120 15,997.06
124803 08/15/2025 BLUE CROSS BLUE SHIELD INC 528 167,645.39
W/E 8/12/25 67176 167,645.39
124804 08/15/2025 BT&CO PA 5810 42,000.00
40289 66667 42,000.00
124805 08/15/2025 CARLSON UTILITY LLC 805 664,208.25
65432 2 65432 664,208.25
124806 08/15/2025 CBK INC 1023 11,731.79
2025 07 31 LC58 11 C 67614 2,676.71
2025 07 31 LC58 12 C 66932 123.56
2025 07 31 LC58 2 C 66661 1,050.87
2025 07 31 LC58 6 C 66836 548.26
2025 07 31 LC58 1 C 66836 7,332.39
124807 08/15/2025 COOK FLATT & STROBEL ENGINEERS 1089 136,690.60
55773 64197 5,628.00
55771 60566 73,809.05
55772 62501 36,290.60
55774 64217 1,878.95
55775 68394 19,084.00
124808 08/15/2025 DELTA DENTAL OF KANSAS INC 1323 18,871.23
76985 67353 18,871.23
124809 08/15/2025 DURKIN EQUIPMENT CO 1451 4,448.48
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
DK SINVP106159 66823 4,448.48
124810 08/15/2025 EAST TOPEKA COUNCIL ON AGING 1469 350.00
100 68974 350.00
124811 08/15/2025 ELITE TURF & LANDSCAPE LLC 13391 1,250.00
2801 67098 1,250.00
124812 08/15/2025 EUROFINS EATON ANALYTICAL INC 8594 2,574.67
8100138557 66900 2,456.55
3800091618 66900 118.12
124813 08/15/2025 EWT HOLDING III CORP 9747 15,863.05
907133563 66937 15,863.05
124814 08/15/2025 FISHER SCIENTIFIC COMPANY LLC 4949 1,222.42
2450846 66918 1,222.42
124815 08/15/2025 FIT EXCAVATING INC 3126 44,848.00
68533 2230 SE 28TH ST
68533 27,460.00
68789 121 NW ELMWOOD68789 17,388.00
124816 08/15/2025 FLEET FUELS LLC 13835 24,026.88
CFSI 15507 67229 23,158.19
SI 11383 67229 49.30
SI 12122 67229 771.51
SI 12438 67229 47.88
124817 08/15/2025 FLEETPRIDE INC 7822 371.86
127372823 66948 184.99
127382758 66948 186.87
124818 08/15/2025 GALLS PARENT HOLDINGS LLC 11211 897.00
032023254 68888 517.50
032034002 68888 379.50
124819 08/15/2025 HAMM INC 6576 585.09
657621 66873 294.55
658148 66873 290.54
124820 08/15/2025 HD INDUSTRIES 2030 220.88
36393 66860 220.88
124821 08/15/2025 HELPING HANDS HUMANE SOCIETY 2183 9,032.74
67163 JULY 2025 67163 9,032.74
124822 08/15/2025 HYSPECO INC 13342 66.54
00852762 66956 66.54
124823 08/15/2025 IMAGING OFFICE SYSTEMS 5922 750.00
CONT019188 67586 750.00
124824 08/15/2025 INSIGHT PUBLIC SAFETY AND 11149 200.00
2235 67165 200.00
124825 08/15/2025 INTERNATIONAL CYBERNETICS 13884 12,760.00
250630 64 68589 12,760.00
124826 08/15/2025 J&D EQUIPMENT INC 162 1,376.86
55400 66780 1,376.86
124827 08/15/2025 JOBBERS AUTOMOTIVE WAREHOUSE 2639 571.68
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
3458047 66957 40.44
3458577 66957 39.63
3459334 66957 8.29
3458745 67066 3.38
3458762 67066 36.68
3458823 67066 73.36
3458832 67066 48.98
3459020 67017 69.39
3459095 67066 2.96
3459153 66957 5.41
3459202 67067 9.62
3459241 66957 218.82
3459244 67067 14.72
124828 08/15/2025 KANSAS HEAVY CONSTRUCTION LLC 9260 506,761.56
2500 4 67056 343,458.36
2500 5 67056 163,303.20
124829 08/15/2025 KANSAS PERSONNEL SERVICES INC 2849 676.20
3068814 68650 676.20
124830 08/15/2025 KANSAS STATE TREASURER 2757 25,220.57
JULY 2025 DE 25,220.57
124831 08/15/2025 KEVIN R COLHOUER LLC 1252 215.00
135973 66852 65.00
136009 66852 65.00
136104 66852 85.00
124832 08/15/2025 LETTS VANKIRK & ASSOCIATES 11233 8,423.85
19562 66995 8,423.85
124833 08/15/2025 MERI-CRETE LLC 12044 28,913.95
68434 1 68434 24,493.95
68908 447 SE 29TH ST68908 4,420.00
124834 08/15/2025 MIDLAND SCIENTIFIC INC 5733 348.13
6983723 67978 348.13
124835 08/15/2025 MILLS, RICKY A 3457 433.60
67167 JULY 2025 2 67167 433.60
124836 08/15/2025 MISSOURI DOOR CO INC 3747 160.00
60737 67340 160.00
124837 08/15/2025 PACE ANALYTICAL SERVICES 3794 1,800.90
2560231277 66920 150.00
2560231497 67030 1,650.90
124838 08/15/2025 REIN, LINNEA S 4166 18.00
897139 68962 18.00
124839 08/15/2025 RILEY ENVIRONMENTAL SERVICES 13873 550.00
25015 68993 550.00
124840 08/15/2025 ROBERT ARMSTRONG 255 700.00
6103 68558 700.00
124841 08/15/2025 RUSH TRUCK CENTERS 12611 347.10
3042586425 67033 347.10
124842 08/15/2025 SBB ENGINEERING LLC 8999 24,499.42
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
8886 57276 24,499.42
124843 08/15/2025 SCHUSTER BATTERY CO 13478 651.36
120018979 67035 651.36
124844 08/15/2025 SENT INC 12570 165,518.96
000046 68371 41,379.74
000047 68367 41,379.74
000048 68366 41,379.74
000049 59788 41,379.74
124845 08/15/2025 SHAWNEE F LLC 11043 7,001.00
5065 68060 7,001.00
124846 08/15/2025 SIMPLIFILE LC 9508 3,792.50
KSTPBG-07312025CCC RLS OF MORTGAGE 633 SE HIGHLAN 22.25
KSTPBG-07312025DDDDDD RLS OF MORTGAGE 1801 SW LANE S 22.25
KSTPBG-07312025E RLS OF MORTGAGE 3363 SE GIRARD 22.25
KSTPBG-07312025EE RLS OF MORTGAGE 1030 NW JACKSO 22.25
KSTPBG-07312025EEE RLS OF MORTGAGE 920 SE HIGHLAN 22.25
KSTPBG-07312025EEEE RLS OF MORTGAGE 2064 S KANSAS 22.25
KSTPBG-07312025CCCC RLS OF MORTGAGE 705 NE KELLAM 22.25
KSTPBG-07312025 NW BURRON RD DEANNEXATION 0715 57.25
KSTPBG-07312025A LAND BANK SPECIAL ASSESSMENTS 40.25
KSTPBG-07312025AA RLS OF MORTGAGE 2520 SE INDIAN 22.25
KSTPBG-07312025AAA RLS OF MORTGAGE 2417 SW HARRIS 22.25
KSTPBG-07312025AAAA RLS OF MORTGAGE 2205 SE KENTUC 22.25
KSTPBG-07312025AAAAA RLS OF MORTGAGE 1197 SW LANE S 22.25
KSTPBG-07312025AAAAAA RLS OF MORTGAGE 1717 SW LINCOL 22.25
KSTPBG-07312025AAAAAAA EASEMENT #13209 071525 74.25
KSTPBG-07312025B 20250730153000647 073125 38.25
KSTPBG-07312025BB RLS OF MORTGAGE 2520 SE INDIAN 22.25
KSTPBG-07312025CCCCC RLS OF MORTGAGE 1029 SW LINCOL 22.25
KSTPBG-07312025CCCCCC RLS OF MORTGAGE 1231 SE LONG 0 22.25
KSTPBG-07312025D RLS OF MORTGAGE 1315 SW GARFIL 22.25
KSTPBG-07312025DD RLS OF MORTGAGE 1030 NW JACKSO 22.25
KSTPBG-07312025DDD RLS OF MORTGAGE 815 SE HIGHLAN 22.25
KSTPBG-07312025DDDD RLS OF MORTGAGE 2725 SE KENTUC 22.25
KSTPBG-07312025BBB RLS OF MORTGAGE 3718 SE HUMBOL 22.25
KSTPBG-07312025BBBB RLS OF MORTGAGE 2128 SE KENTUC 22.25
KSTPBG-07312025BBBBB RLS OF MORTGAGE 1419 SE LAKE S 22.25
KSTPBG-07312025BBBBBB RLS OF MORTGAGE 1205 NW LAUREN 22.25
KSTPBG-07312025C RLS OF MORTGAGE 3121 SE FREMON 22.25
KSTPBG-07312025CC RLS OF MORTGAGE 3413 SE ILLINO 22.25
KSTPBG-07312025DDDDD RLS OF MORTGAGE 1030 SE LIME S 22.25
KSTPBG-07312025EEEEE RLS OF MORTGAGE 1035 SE LAWREN 22.25
KSTPBG-07312025EEEEEE RLS OF MORTGAGE 1717 SW LINCOL 22.25
KSTPBG-07312025F RLS OF MORTGAGE 1514 NW HARRIS 22.25
KSTPBG-07312025FF RLS OF MORTGAGE 1012 NW JACKSO 22.25
KSTPBG-07312025FFF RLS OF MORTGAGE 825 SW JEWELL 22.25
KSTPBG-07312025FFFF RLS OF MORTGAGE 2815 SE KENTUC 22.25
KSTPBG-07312025FFFFF RLS OF MORTGAGE 1129 SW LANE S 22.25
KSTPBG-07312025FFFFFF RLS OF MORTGAGE 1018 NE MADISO 22.25
KSTPBG-07312025G RLS OF MORTGAGE 1514 NW HARRIS 22.25
KSTPBG-07312025GG RLS OF MORTGAGE 1012 NW JACKSO 22.25
KSTPBG-07312025GGG RLS OF MORTGAGE 943 SW JEWELL 22.25
KSTPBG-07312025GGGG RLS OF MORTGAGE 1024 NE KELLAM 22.25
KSTPBG-07312025GGGGG RLS OF MORTGAGE 120 NE LIME ST 22.25
KSTPBG-07312025GGGGGG RLS OF MORTGAGE 1018 NE MADISO 22.25
KSTPBG-07312025H RLS OF MORTGAGE 1514 NW HARRIS 22.25
KSTPBG-07312025HH RLS OF MORTGAGE 2534 SE ILLINO 22.25
KSTPBG-07312025HHH RLS OF MORTGAGE 729 SW JEWELL 22.25
KSTPBG-07312025HHHH RLS OF MORTGAGE 2428 SE KENTUC 22.25
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
KSTPBG-07312025IIIIII RLS OF MORTGAGE 2229 SE MADISO 22.25
KSTPBG-07312025J RLS OF MORTGAGE 812 SE HIGHLAN 22.25
KSTPBG-07312025JJ RLS OF MORTGAGE 1120 SW HUNTOO 22.25
KSTPBG-07312025JJJ RLS OF MORTGAGE 2400 SE JEFFER 22.25
KSTPBG-07312025JJJJ RLS OF MORTGAGE 627 SE LAFAYET 22.25
KSTPBG-07312025IIIII RLS OF MORTGAGE 505 SE LAMAR S 22.25
KSTPBG-07312025HHHHH RLS OF MORTGAGE 423 SE LIBERTY 22.25
KSTPBG-07312025HHHHHH RLS OF MORTGAGE 1018 NE MADISO 22.25
KSTPBG-07312025I RLS OF MORTGAGE 812 SE HIGHLAN 22.25
KSTPBG-07312025II RLS OF MORTGAGE 2115 SW HUNTOO 22.25
KSTPBG-07312025III RLS OF MORTGAGE 2400 SE JEFFER 22.25
KSTPBG-07312025IIII RLS OF MORTGAGE 3131 SE KEYSTO 22.25
KSTPBG-07312025LLLLLL RLS OF MORTGAGE 403 SW POLK 07 22.25
KSTPBG-07312025M RLS OF MORTGAGE 413 SE LIBERTY 22.25
KSTPBG-07312025MM RLS OF MORTGAGE 1811 SW HUNTOO 22.25
KSTPBG-07312025MMM RLS OF MORTGAGE 2400 SE JEFFER 22.25
KSTPBG-07312025MMMM RLS OF MORTGAGE 227 NW KNOX AV 22.25
KSTPBG-07312025JJJJJ RLS OF MORTGAGE 921 SW LINCOLN 22.25
KSTPBG-07312025JJJJJJ RLS OF MORTGAGE 402 SE LOCUST 22.25
KSTPBG-07312025K RLS OF MORTGAGE 812 SE HIGHLAN 22.25
KSTPBG-07312025KK RLS OF MORTGAGE 118 NW HOLMAN 22.25
KSTPBG-07312025KKK RLS OF MORTGAGE 2400 SE JEFFER 22.25
KSTPBG-07312025KKKK RLS OF MORTGAGE 431 SE LAKE ST 22.25
KSTPBG-07312025KKKKK RLS OF MORTGAGE 1129 SW LANE S 22.25
KSTPBG-07312025KKKKKK RLS OF MORTGAGE 721 SW LINDENW 22.25
KSTPBG-07312025L RLS OF MORTGAGE 812 SE HIGHLAN 22.25
KSTPBG-07312025LL RLS OF MORTGAGE 1316 SE INDIAN 22.25
KSTPBG-07312025LLL RLS OF MORTGAGE 2400 SE JEFFER 22.25
KSTPBG-07312025LLLL RLS OF MORTGAGE 227 NW KNOX AV 22.25
KSTPBG-07312025LLLLL RLS OF MORTGAGE 120 NE LIME ST 22.25
KSTPBG-07312025NNNNNN RLS OF MORTGAGE 1212 SW LINCOL 22.25
KSTPBG-07312025O RLS OF MORTGAGE 1232 NW JACKSO 22.25
KSTPBG-07312025OO RLS OF MORTGAGE 2523 SE ILLINO 22.25
KSTPBG-07312025OOO RLS OF MORTGAGE 955 SW JEWELL 22.25
KSTPBG-07312025OOOO RLS OF MORTGAGE 425 SE LAKE ST 22.25
KSTPBG-07312025MMMMMM RLS OF MORTGAGE 1167 SW LINCOL 22.25
KSTPBG-07312025N RLS OF MORTGAGE 834 NE WABASH 22.25
KSTPBG-07312025NN RLS OF MORTGAGE 1918 SE ILLINO 22.25
KSTPBG-07312025NNN RLS OF MORTGAGE 955 SW JEWELL 22.25
KSTPBG-07312025NNNN RLS OF MORTGAGE 333 SE LAKE ST 22.25
KSTPBG-07312025NNNNN RLS OF MORTGAGE 120 NE LIME ST 22.25
KSTPBG-07312025MMMMM RLS OF MORTGAGE 1129 SW LANE S 22.25
KSTPBG-07312025QQQQQQ RLS OF MORTGAGE 2027 SW LINCOL 22.25
KSTPBG-07312025R RLS OF MORTGAGE 1301 NW JACKSO 22.25
KSTPBG-07312025RR RLS OF MORTGAGE 1811 SW HUNTOO 22.25
KSTPBG-07312025RRR RLS OF MORTGAGE 2304 NE KAW VA 22.25
KSTPBG-07312025RRRR RLS OF MORTGAGE 619 SE LAKE ST 22.25
KSTPBG-07312025OOOOO RLS OF MORTGAGE 2221 SW KENILW 22.25
KSTPBG-07312025OOOOOO RLS OF MORTGAGE 1913 SW LINCOL 22.25
KSTPBG-07312025P RLS OF MORTGAGE 1234 NW JACKSO 22.25
KSTPBG-07312025PP RLS OF MORTGAGE 1120 SW HUNTOO 22.25
KSTPBG-07312025PPP RLS OF MORTGAGE 2423 S KANSAS 22.25
KSTPBG-07312025PPPP RLS OF MORTGAGE 510 NE LAKE ST 22.25
KSTPBG-07312025PPPPP RLS OF MORTGAGE 1029 SW LINCOL 22.25
KSTPBG-07312025PPPPPP RLS OF MORTGAGE PATRICK H HALE 22.25
KSTPBG-07312025Q RLS OF MORTGAGE 1817 SW HUNTOO 22.25
KSTPBG-07312025QQ RLS OF MORTGAGE 118 NW HOLMAN 22.25
KSTPBG-07312025QQQ RLS OF MORTGAGE 1422 N KANSAS 22.25
KSTPBG-07312025QQQQ RLS OF MORTGAGE 510 NE LAKE ST 22.25
KSTPBG-07312025QQQQQ RLS OF MORTGAGE 1915 SW LANE S 22.25
KSTPBG-07312025SSSSSS RLS OF MORTGAGE 2334 SE MASSAC 22.25
KSTPBG-07312025T RLS OF MORTGAGE 2736 SE IOWA A 22.25
KSTPBG-07312025TT RLS OF MORTGAGE 118 NW HOLMAN 22.25
KSTPBG-07312025TTT RLS OF MORTGAGE 2048 S KANSAS 22.25
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
KSTPBG-07312025TTTT RLS OF MORTGAGE 509 SE KOUNS S 22.25
KSTPBG-07312025RRRRR RLS OF MORTGAGE 3506 SE LAKESI 22.25
KSTPBG-07312025RRRRRR RLS OF MORTGAGE 931 NE MADISON 22.25
KSTPBG-07312025S RLS OF MORTGAGE 3655 SE INDIAN 22.25
KSTPBG-07312025SS RLS OF MORTGAGE 118 NW HOLMAN 22.25
KSTPBG-07312025SSS RLS OF MORTGAGE 1808 SE JOHN S 22.25
KSTPBG-07312025SSSS RLS OF MORTGAGE 315 SE LAKE ST 22.25
KSTPBG-07312025SSSSS RLS OF MORTGAGE 428 SW LANE ST 22.25
KSTPBG-07312025VVVVVV RLS OF MORTGAGE 1907 SE MASSAC 22.25
KSTPBG-07312025W RLS OF MORTGAGE 3136 SE IRVING 22.25
KSTPBG-07312025WW RLS OF MORTGAGE 1836 SE HUDSON 22.25
KSTPBG-07312025WWW RLS OF MORTGAGE 200 SW KENDALL 22.25
KSTPBG-07312025WWWW RLS OF MORTGAGE 715 SE LAKE 07 22.25
KSTPBG-07312025TTTTT RLS OF MORTGAGE 335 SE LIBERTY 22.25
KSTPBG-07312025TTTTTT RLS OF MORTGAGE 1509 NW LOGAN 22.25
KSTPBG-07312025U RLS OF MORTGAGE 3131 SE IOWA A 22.25
KSTPBG-07312025UU RLS OF MORTGAGE 307 SE HANCOCK 22.25
KSTPBG-07312025UUU RLS OF MORTGAGE 2423 S KANSAS 22.25
KSTPBG-07312025UUUU RLS OF MORTGAGE 519 SE LAFAYET 22.25
KSTPBG-07312025UUUUU RLS OF MORTGAGE 626 SE LAKE ST 22.25
KSTPBG-07312025UUUUUU RLS OF MORTGAGE 1801 SE MASSAC 22.25
KSTPBG-07312025V RLS OF MORTGAGE 3120 SE IRVING 22.25
KSTPBG-07312025VV RLS OF MORTGAGE 321 SW HARRISO 22.25
KSTPBG-07312025VVV RLS OF MORTGAGE 2219 SE KENTUC 22.25
KSTPBG-07312025VVVV RLS OF MORTGAGE 1205 NW LAUREN 22.25
KSTPBG-07312025VVVVV RLS OF MORTGAGE 1038 SE LAWREN 22.25
KSTPBG-07312025WWWWW RLS OF MORTGAGE 1014 SE LAWREN 22.25
KSTPBG-07312025WWWWWW RLS OF MORTGAGE 1907 SE MASSAC 22.25
KSTPBG-07312025X RLS OF MORTGAGE 2257 SE INDIAN 22.25
KSTPBG-07312025XX RLS OF MORTGAGE 1415 NW HARRIS 22.25
KSTPBG-07312025XXX RLS OF MORTGAGE 3137 SE HUMBOL 22.25
KSTPBG-07312025XXXX RLS OF MORTGAGE 1924 SE LANE S 22.25
KSTPBG-07312025XXXXXX EASEMENT #13208 071525 74.25
KSTPBG-07312025Y RLS OF MORTGAGE 2823 SE ILLINO 22.25
KSTPBG-07312025YY RLS OF MORTGAGE 1919 SW HOPE S 22.25
KSTPBG-07312025YYY RLS OF MORTGAGE 1216 NW HARRIS 22.25
KSTPBG-07312025YYYY RLS OF MORTGAGE 1037 SE LAWREN 22.25
KSTPBG-07312025XXXXX RLS OF MORTGAGE 501 LIBERTY ST 22.25
KSTPBG-07312025YYYYY RLS OF MORTGAGE 1310 NW LEWIS 22.25
KSTPBG-07312025YYYYYY EASEMENT #13210 071525 74.25
KSTPBG-07312025Z RLS OF MORTGAGE 2520 SE INDIAN 22.25
KSTPBG-07312025ZZ RLS OF MORTGAGE 205 SW HARRISO 22.25
KSTPBG-07312025ZZZ RLS OF MORTGAGE 3829 SE FREMON 22.25
KSTPBG-07312025ZZZZ RLS OF MORTGAGE 1107 SW LANE S 22.25
KSTPBG-07312025ZZZZZ RLS OF MORTGAGE 1608 SW LINCOL 22.25
KSTPBG-07312025ZZZZZZ EASEMENT #13211 071525 74.25
124847 08/15/2025 SPENCER & COMPANY 2321 8,416.16
S 60531 66861 1,172.37
S 70135 66861 917.41
S 70118 67015 921.45
S 70055 66861 137.43
S 70123 66861 66.39
S 70116 67015 2,158.30
S 70180 66861 865.19
S 70187 66861 38.66
S 70209 66861 557.43
S 70211 66861 1,036.47
S 70214 66861 -303.88
W 61220 66861 848.94
124848 08/15/2025 STAPLES CONTRACT N COMMERCIAL 4725 2,120.39
6037301490 68800 36.93
6037301492 68799 214.66
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
6037454625 68857 315.37
6037506067 68861 445.47
6037573888 68868 25.49
6037573890 68874 228.77
6037594986 68872 418.50
6037594987 68869 120.16
6037716086 68885 103.07
6037716087 68884 211.97
124849 08/15/2025 TARC INC 4871 20.00
39255 67538 20.00
124850 08/15/2025 TFI LLC 13514 500.00
3420 68922 100.00
3398 67131 400.00
124851 08/15/2025 TOPEKA PLUMBING & 13126 4,875.00
1607 68767 4,875.00
124852 08/15/2025 U S LIME COMPANY - ST CLAIR 5117 42,153.42
3191839 68305 8,130.77
3191845 68305 8,530.20
3192523 68305 8,486.20
3192541 68305 17,006.25
124853 08/15/2025 UMB BANK NA 5127 48,393.93
PCARD08082025 48,393.93
124854 08/15/2025 UNIFIRST CORPORATION 5134 140.69
1910092299 66662 5.10
1910092300 66662 4.87
1910092301 66662 1.97
1910092313 67080 13.45
1910092333 66716 41.98
1910092352 66716 14.46
1910092354 67080 10.35
1910092402 66716 32.25
1910092404 67080 16.26
124855 08/15/2025 UNLIMITED CONSTRUCTION INC 12288 72,002.70
66025 6 66025 72,002.70
124856 08/15/2025 US PEROXIDE LLC 12298 14,074.62
CIN470027964 67671 14,074.62
124857 08/15/2025 VESTIS GROUP INC 9589 577.35
2801625750 67087 28.42
2801625825 66708 138.24
2801625828 67087 31.41
2801625830 67087 17.82
2801625834 67366 156.34
2801625835 67366 68.12
2801625836 67366 39.73
2801625837 67366 8.36
2801625916 67366 88.91
124858 08/15/2025 VETERINARY MEDICAL & SURGICAL 5222 1,404.64
195608 67698 44.75
195802 67698 887.31
195960 67698 472.58
124859 08/15/2025 NEPTUNE TECHNOLOGY GROUP INC 3658 63,442.42
N808594 67475 13,707.54
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
N808981 67475 49,734.88
124860 08/15/2025 ACE ELECTRIC JONES COMPANY INC 35 4,225.00
10513 66877 4,225.00
124861 08/15/2025 APPLIED INDUSTRIAL 245 201.60
7032641285 66822 201.60
124862 08/15/2025 BERRY COMPANIES INC 5408 1,092.90
06270992 67005 1,092.90
124863 08/15/2025 CAPITAL BELT & SUPPLY INC 776 558.23
150520 66930 463.32
150575 66930 65.06
150818 66789 29.85
124864 08/15/2025 CENTRIFUGE SYSTEMS LLC 13906 33,333.34
PSI 36987 68382 33,333.34
124865 08/15/2025 CONSOLIDATED ELECTRICAL 4174 716.38
8792 1086397 66878 716.38
124866 08/15/2025 FASTENAL COMPANY 1619 269.79
KSTOP332637 66939 16.76
KSTOP332569 66939 253.03
124867 08/15/2025 IBT INC 2377 2,242.32
30148847 66944 476.26
30152853 66944 1,766.06
124868 08/15/2025 KANSAS SAND & CONCRETE INC 2744 9,861.25
90602156 66876 3,430.00
90602332 66876 4,287.50
90602517 66876 428.75
90602518 66876 1,715.00
124869 08/15/2025 MIDWEST CONCRETE MATERIALS 13847 2,460.00
708746 67827 2,460.00
124870 08/15/2025 SAFETY SUPPLIES 4336 148.00
SSI 250764 67115 48.00
SSI 250767 67115 100.00
124871 08/15/2025 SALISBURY SUPPLY COMPANY INC 4352 1,051.95
409280 67116 105.14
409460 66896 191.81
409617 67116 216.92
409655 66896 308.37
409673 66896 214.20
409990 67116 15.51
124872 08/15/2025 SAMCO INC 4355 7,544.88
2501591 66715 671.50
2501648 67197 1,563.22
2501868 66715 435.28
2501907 66715 457.38
2501945 66715 154.50
2501966 67121 3,864.00
2501986 66715 199.50
2502031 66715 199.50
124873 08/15/2025 CORVEL CORPORATION INC 8931 5,881.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
67731 JULY 2025 67731 5,585.00
1864865 67731 296.00
124874 08/15/2025 DOXIM UTILITEC LLC 11892 15,052.16
CM000169 66882 -789.23
INV030977 66882 15,841.39
124875 08/15/2025 EJ EQUIPMENT INC 13036 10,894.66
W09511 67367 10,894.66
124876 08/15/2025 MORRELL JR, PHILIP L 3525 847.60
67168 JULY 2025 67168 847.60
124877 08/15/2025 STAR SERVICES PROPERTY 13027 2,000.00
2818 67099 2,000.00
124878 08/15/2025 STATE OF KANSAS 2662 15,855.00
260090 68350 15,855.00
124879 08/15/2025 TFM COMM INC 4914 2,973.53
239701 67177 665.00
239702 67177 680.71
239976 67117 297.82
239699 67177 665.00
239700 67177 665.00
124880 08/22/2025 STATE OF KANSAS 2732 433.05
0000002112508221826001 Child Support - Amt 433.05
124881 08/22/2025 STATE OF KANSAS 2732 277.38
0000003402508221826001 Child Support - Amt 277.38
124882 08/22/2025 STATE OF KANSAS 2732 183.23
0000003482508221826001 Child Support - Amt 183.23
124883 08/22/2025 STATE OF KANSAS 2732 209.08
0000007542508221826001 Child Support - Amt 209.08
124884 08/22/2025 STATE OF KANSAS 2732 263.15
0000007792508221826001 Child Support - Amt 263.15
124885 08/22/2025 STATE OF KANSAS 2732 276.92
0000008532508221826001 Child Support - Amt 276.92
124886 08/22/2025 STATE OF KANSAS 2732 318.46
0000009362508221826001 Child Support - Amt 318.46
124887 08/22/2025 STATE OF KANSAS 2732 345.23
0000009732508221826001 Child Support - Amt 345.23
124888 08/22/2025 STATE OF KANSAS 2732 504.92
0000010722508221826001 Child Support - Amt 504.92
124889 08/22/2025 STATE OF KANSAS 2732 109.62
0000011242508221826001 Child Support - Amt 109.62
124890 08/22/2025 STATE OF KANSAS 2732 115.38
0000021542508221826001 Child Support - Amt 115.38
124891 08/22/2025 STATE OF KANSAS 2732 487.85
0000022442508221826001 Child Support - Amt 487.85
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124892 08/22/2025 STATE OF KANSAS 2732 235.38
0000022502508221826001 Child Support - Amt 235.38
124893 08/22/2025 STATE OF KANSAS 2732 412.74
0000022592508221826001 Child Support - Amt 412.74
124894 08/22/2025 STATE OF KANSAS 2732 461.54
0000022622508221826001 Child Support - Amt 461.54
124895 08/22/2025 STATE OF KANSAS 2732 1,015.38
0000023462508221826001 Child Support - Amt 1,015.38
124896 08/22/2025 STATE OF KANSAS 2732 177.69
0000024132508221826001 Child Support - Amt 177.69
124897 08/22/2025 STATE OF KANSAS 2732 574.20
0000024742508221826001 Child Support - Amt 574.20
124898 08/22/2025 STATE OF KANSAS 2732 470.77
0000024782508221826001 Child Support - Amt 470.77
124899 08/22/2025 STATE OF KANSAS 2732 299.54
0000025192508221826001 Child Support - Amt 299.54
124900 08/22/2025 STATE OF KANSAS 2732 997.38
0000027052508221826001 Child Support - Amt 997.38
124901 08/22/2025 STATE OF KANSAS 2732 605.54
0000032472508221826001 Child Support - Amt 605.54
124902 08/22/2025 STATE OF KANSAS 2732 530.77
0000032552508221826001 Child Support - Amt 530.77
124903 08/22/2025 STATE OF KANSAS 2732 96.92
0000034722508221826001 Child Support - Amt 96.92
124904 08/22/2025 STATE OF KANSAS 2732 91.85
0000034882508221826001 Child Support - Amt 91.85
124905 08/22/2025 STATE OF KANSAS 2732 100.15
0000034922508221826001 Child Support - Amt 100.15
124906 08/22/2025 STATE OF KANSAS 2732 153.69
0000035002508221826001 Child Support - Amt 153.69
124907 08/22/2025 STATE OF KANSAS 2732 287.08
0000035002508221826002 Child Support - Amt 287.08
124908 08/22/2025 STATE OF KANSAS 2732 199.85
0000035202508221826001 Child Support - Amt 199.85
124909 08/22/2025 STATE OF KANSAS 2732 119.08
0000035622508221826001 Child Support - Amt 119.08
124910 08/22/2025 STATE OF KANSAS 2732 131.58
0000036292508221826001 Child Support - Amt 131.58
124911 08/22/2025 STATE OF KANSAS 2732 244.62
0000036582508221826001 Child Support - Amt 244.62
124912 08/22/2025 STATE OF KANSAS 2732 54.46
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
0000037012508221826001 Child Support - Amt 54.46
124913 08/22/2025 STATE OF KANSAS 2732 11.54
0000037282508221826001 Child Support - Amt 11.54
124914 08/22/2025 STATE OF KANSAS 2732 369.23
0000037612508221826001 Child Support - Amt 369.23
124915 08/22/2025 STATE OF KANSAS 2732 490.62
0000038182508221826001 Child Support - Amt 490.62
124916 08/22/2025 STATE OF KANSAS 2732 129.69
0000039662508221826001 Child Support - Amt 129.69
124917 08/22/2025 BETTIS ASPHALT & CONSTRUCTION 470 1,545,469.52
63485 10 63485 1,018,850.69
65195 11 65195 522,223.31
9503122 66699 146.98
9503123 66699 284.77
9503138 66699 3,963.77
124918 08/22/2025 CARTER TRADE SKILL COMPANY LLC 13718 11,403.91
10011 68802 1,995.75
INV 20250724 002 69006 1,589.16
INV 20250724 003 69032 1,744.00
INV 20250724 004 69025 6,075.00
124919 08/22/2025 CTCR INC 1194 9,727.40
00003033 67335 1,133.05
00003069 67335 676.00
00003072 67335 176.00
00003073 67335 16.05
00003075 67335 71.55
00003291 66701 154.00
00003292 67265 304.00
00003293 67265 493.50
00003294 67265 412.50
00003295 67265 1,064.40
00003296 67265 912.90
00003297 67265 492.50
00003298 67265 1,134.00
00003299 67265 1,164.50
00003300 67265 283.70
00003301 67265 440.00
00003302 67265 16.25
00003303 67265 103.60
00003304 67265 54.90
00003305 67335 130.00
00003306 67265 494.00
124920 08/22/2025 JCI INDUSTRIES INC 2507 557.00
8283430 67452 557.00
124921 08/22/2025 REMCO DEMOLITION LLC 13700 774,095.04
68039 3 68039 774,095.04
124922 08/22/2025 A 1 LOCK & KEY LLC 13 30.86
115587 66776 10.56
115995 66924 20.30
124923 08/22/2025 ADVANCED BIOHAZARD CLEANUP LLC 12664 385.00
67472 7/30/25 67472 385.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124924 08/22/2025 AG PARTNERS COOPERATIVE INC 13921 9,680.86
T04547 68505 1,699.18
T04548 68505 1,699.18
T04549 68505 1,774.50
T04550 68505 1,636.50
T04551 68505 1,608.20
T04609 68504 788.70
T04610 68505 227.25
T04611 68505 247.35
124925 08/22/2025 ALPHA & OMEGA ROOFING 9438 4,477.00
69026 3216 SE HUMBOLT
69026 4,477.00
124926 08/22/2025 ALS GROUP USA CORP 12689 1,197.00
36 54 687736 0 67382 1,197.00
124927 08/22/2025 APEX WATER AND PROCESS INC 13812 1,300.00
AR075885 67346 1,300.00
124928 08/22/2025 ARCHDIOCESE OF KANSAS CITY 1500 4,000.00
EC0625 65918 4,000.00
124929 08/22/2025 BARTLETT & WEST ENGINEERS 391 586,784.66
370105198 68018 2,997.54
730104435 62652 82,807.21
730105080 57214 7,355.80
730105081 66136 59.12
730105195 42207 3,187.29
730105197 68329 10,431.35
730105241 51677 72,823.64
730105018 66609 77,599.60
730104968 65302 84,375.81
730104654 66609 86,583.70
730104429 52437 4,433.13
730105310 46657 2,088.00
730105314 62652 152,042.47
124930 08/22/2025 BERRYTON UNITED METHODIST 13979 100.00
69069 8/20/25 69069 100.00
124931 08/22/2025 BITFOCUS INC 13842 4,150.00
BF 14212 67278 4,150.00
124932 08/22/2025 BLACK & VEATCH CORPORATION 505 37,510.92
1470512 65447 5,895.97
1470513 65447 2,476.00
1470514 56120 16,705.33
1470552 68019 6,772.38
1461399 56120 4,099.93
1461418 65447 1,561.31
124933 08/22/2025 BLUE CROSS BLUE SHIELD INC 528 131,237.11
22443156 67176 131,237.11
124934 08/22/2025 BLUE CROSS BLUE SHIELD INC 528 504,543.50
W/E 8/19/25 67176 504,543.50
124935 08/22/2025 BORDER STATES INDUSTRIES INC 10997 420.28
930835244 66929 174.26
930835482 66841 4.78
930844366 66929 241.24
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124936 08/22/2025 BOUND TREE MEDICAL LLC 563 5,180.00
85861111 68436 5,180.00
124937 08/22/2025 BOYS & GIRLS CLUB OF TOPEKA 576 14,572.16
BGC0625 65895 14,572.16
124938 08/22/2025 BREAKTHROUGH HOUSE INC 598 5,312.50
BH0625 65958 5,312.50
124939 08/22/2025 BURGESS CONSTRUCTION LLC 13664 7,165.75
68012 3 68012 7,165.75
124940 08/22/2025 CASCO INDUSTRIES INC 839 9,113.00
274939 68683 9,113.00
124941 08/22/2025 CATHOLIC CHARITIES 848 283.48
CC0625 65985 283.48
124942 08/22/2025 CBK INC 1023 148.54
2024 12 31 LC58 13 C 67943 39.87
2025 01 31 LC58 13 C 67943 77.77
2025 02 28 LC58 13 C 67943 30.90
124943 08/22/2025 CENTURY BUSINESS TECHNOLOGIES 870 3,720.41
767585 66635 2,108.05
767769 66635 1,612.36
124944 08/22/2025 CLINTON COUNTY LAUNDRY 12679 445.94
SO035816 68920 445.94
124945 08/22/2025 COMMERCIAL TIRE CENTERS INC 12082 5,762.52
19345 66884 1,783.19
19582 66884 3,867.40
19690 66884 77.27
19707 66884 34.66
124946 08/22/2025 COMMUNITIES IN SCHOOLS OF 12400 11,750.00
SP0625 65920 11,750.00
124947 08/22/2025 COMMUNITY ACTION INC 1051 19,335.99
CA0625 65937 19,335.99
124948 08/22/2025 CONRAD FIRE EQUIPMENT 1073 2,469.52
579408 66851 767.37
579789 66851 844.54
579790 66851 857.61
124949 08/22/2025 COOK FLATT & STROBEL ENGINEERS 1089 1,072.00
55770 57760 1,072.00
124950 08/22/2025 CUT N EDGE INC 5919 2,656.00
8342 68531 1,230.00
8343 68531 1,263.00
8344 68531 163.00
124951 08/22/2025 DELL FINANCIAL SERVICES LP 1320 2,326.00
4416667 54332 2,326.00
124952 08/22/2025 DELTA DENTAL OF KANSAS INC 1323 16,489.48
77975 67353 16,489.48
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124953 08/22/2025 DEVELOPMENT STRATEGIES INC 11812 17,500.00
14545 68412 17,500.00
124954 08/22/2025 DOORSTEP INC 1385 9,148.36
DS0625RU 65988 9,148.36
124955 08/22/2025 DOWNTOWN TOPEKA INC 1408 8,352.48
05312025 BID 2,622.57
06302025 BID 3,939.46
07312025 BID 1,790.45
124956 08/22/2025 DRIGGS DESIGN GROUP PA 13068 1,153.80
5099 67936 1,153.80
124957 08/22/2025 EAST TOPEKA COUNCIL ON AGING 1469 4,756.50
ETA0625 65892 4,756.50
124958 08/22/2025 ECCOVIA INC 11051 4,242.04
EC 1908 68456 4,242.04
124959 08/22/2025 EMBROIDERY PLUS BY TURQUOISE & 1522 709.76
018746 67443 652.24
018748 67443 57.52
124960 08/22/2025 EWT HOLDING III CORP 9747 2,250.00
907149100 66937 2,250.00
124961 08/22/2025 EXELON CORPORATION 8898 4,043.51
4888316- 08.25 Chall Common 1,704.39
4888316- 08.25D 201 N TOPEKA - FORESTRY 15.34
4888316- 08.25G 1115 NE POPLAR ST 1,287.97
4888316- 08.25H 1600 NW BUTTON RD 3.77
4888316- 08.25I 1901 SW WESTERN 7.53
4888316- 08.25J 620 SE MADISON 634.58
4888316- 08.25P 320 S KANSAS AVE 359.33
4888316- 08.25T 3245 NW WATER WORKS DR 30.60
124962 08/22/2025 EXPERIAN INFORMATION SOLUTIONS 5760 264.25
6000112152 66913 214.25
6000112494 66913 50.00
124963 08/22/2025 FALK ARCHITECTS INC 10843 2,517.00
23 028A 01 072825 60837 2,517.00
124964 08/22/2025 FAMILY SERVICE AND GUIDANCE 12944 816.02
FSGC0625 65923 816.02
124965 08/22/2025 FISHER SCIENTIFIC COMPANY LLC 4949 1,165.01
2703061 66918 293.96
2608589 66918 202.48
2640688 66918 668.57
124966 08/22/2025 FLEET FUELS LLC 13835 24,204.44
CFSI 16368 67229 22,816.34
SI 13691 67227 305.49
SI 14208 67229 1,082.61
124967 08/22/2025 FLORENCE CRITTENTON SERVICE IN 1722 7,939.03
FC0625 65957 7,939.03
124968 08/22/2025 FOLEY EQUIPMENT COMPANY 9605 782.86
SS340030677 66812 782.86
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
124969 08/22/2025 FOWLER, JEFF 13976 200.00
69070 8/20/25 69070 200.00
124970 08/22/2025 GALLS PARENT HOLDINGS LLC 11211 232.08
032078107 68684 116.04
032092271 68684 116.04
124971 08/22/2025 GSC ENTERPRISES INC 12609 16.00
202507 66911 16.00
124972 08/22/2025 GT DISTRIBUTORS INC 2008 2,731.58
INV1053594 68897 2,644.50
INV1053629 68751 87.08
124973 08/22/2025 HTE TECHNOLOGIES INC 13828 4,538.15
10766841 00 68516 4,538.15
124974 08/22/2025 HYSPECO INC 13342 3.46
00854716 66956 3.46
124975 08/22/2025 INTERNATIONAL CYBERNETICS 13884 32,762.40
250731 54 68589 32,762.40
124976 08/22/2025 J&D EQUIPMENT INC 162 648.07
55315 66780 648.07
124977 08/22/2025 JEO CONSULTING GROUP INC 11840 55,795.98
163204 67057 22,580.00
163247 65453 33,215.98
124978 08/22/2025 KANSAS BIG BROTHERS 9434 2,414.58
KBBBBS0625 65916 2,414.58
124979 08/22/2025 KANSAS CHILDRENS SERVICE 2651 3,263.00
KCSL0625 65987 3,263.00
124980 08/22/2025 KANSAS ONE CALL SYSTEM INC 2728 3,237.22
5070506 66889 3,237.22
124981 08/22/2025 KANSAS PERSONNEL SERVICES INC 2849 676.20
3068870 68650 676.20
124982 08/22/2025 KANSASLAND TIRE INC OF HAYS KS 13228 355.12
29279 67018 355.12
124983 08/22/2025 KBS CONSTRUCTORS INC 2645 1,178,339.71
25 0744 60828 285,956.17
25 0718 66094 99,855.00
25 0743 60828 10,954.44
25 0725 65446 732,998.83
25 0742 66031 48,575.27
124984 08/22/2025 KEVIN R COLHOUER LLC 1252 495.00
136159 66852 150.00
136160 66852 65.00
136205 66852 65.00
136294 66852 65.00
136297 66852 65.00
136298 66852 85.00
124985 08/22/2025 LANGUAGE LINE SERVICES INC 2967 970.12
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
11675568 DE 970.12
124986 08/22/2025 LEAGUE OF KANSAS 3010 275.00
200015719 69035 275.00
124987 08/22/2025 LETTS VANKIRK & ASSOCIATES 11233 13,850.00
19462 66995 9,450.00
19463 66995 4,400.00
124988 08/22/2025 LINEAGE MAILING SERVICES LLC 9223 10,171.22
JULY 2025 POSTAGE 10,171.22
124989 08/22/2025 MATHESON TRI-GAS INC 7179 1,074.81
52536414 66843 85.05
52536415 66843 391.10
52536410 67069 393.11
52536411 67069 84.61
52536412 67069 120.94
124990 08/22/2025 MCCLACHERTY, SUSAN W 12194 100.00
69023 8/15/25 69023 100.00
124991 08/22/2025 MERI-CRETE LLC 12044 21,921.00
68926 1135 SW COLLEGE
68926 21,921.00
124992 08/22/2025 METTLER-TOLEDO 12994 821.77
655410034 67765 821.77
124993 08/22/2025 MILLS, RICKY A 3457 424.36
67167 JULY 2025 3 67167 424.36
124994 08/22/2025 MINNESOTA ELEVATOR INC 7834 5,304.37
1139863 65885 5,304.37
124995 08/22/2025 MISSOURI DOOR CO INC 3747 199.52
60965 67340 199.52
124996 08/22/2025 NATIONAL BACKGROUND 9744 2,020.50
104450 67221 2,020.50
124997 08/22/2025 ONEILL EXCAVATING INC 10202 8,712.50
69044 815 SW RANDOLPH
69044 2,062.50
69056 427 SW TOPEKA 69056 5,550.00
69058 2201 SW 29TH 69058 1,100.00
124998 08/22/2025 OZARK KENWORTH INC 3375 201.88
R00293700038492 66963 201.88
124999 08/22/2025 PACE ANALYTICAL SERVICES 3794 674.90
2560232075 67030 674.90
125000 08/22/2025 PAYMENTUS CORPORATION 12578 37,372.82
INV 15 165206 ACH DEBT 17,998.56
INV 15 167539 ACH DEBT 19,374.26
125001 08/22/2025 PETET, DENISE 13977 146.81
69072 8/20/25 69072 146.81
125002 08/22/2025 PHEASANT RUN CONDOMINIUM 13975 200.00
69071 8/20/25 69071 200.00
125003 08/22/2025 POLYDYNE INC 5879 24,750.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
1949678 67669 24,750.00
125004 08/22/2025 PROFESSIONAL ENGINEERING 4018 12,424.75
535218 64392 6,964.75
535220 65449 5,460.00
125005 08/22/2025 PUR O ZONE INC 6773 262.54
918328 68732 262.54
125006 08/22/2025 PVS DX INC 13277 7,326.68
817001893 25 68348 7,326.68
125007 08/22/2025 REIN, LINNEA S 4166 1,466.50
717903 67170 96.00
717904 67170 126.00
717902 67170 92.50
717905 67170 60.00
717906 67170 99.00
717907 67170 79.50
897143 67170 64.50
897145 67170 166.00
897146 67170 204.00
897147 67170 139.00
897148 67170 207.00
897150 67170 133.00
125008 08/22/2025 RETROPROS INC 13949 44,277.00
1017 68756 44,277.00
125009 08/22/2025 RILEY ENVIRONMENTAL SERVICES 13873 1,100.00
25016 68904 550.00
25017 68925 550.00
125010 08/22/2025 RUSH TRUCK CENTERS 12611 8.62
3042628429 66974 8.62
125011 08/22/2025 SCHUSTER BATTERY CO 13478 2,327.86
120018985 67035 1,074.08
120018986 67035 50.00
120019000 67035 1,085.60
140143249 66979 118.18
125012 08/22/2025 SCODELLER CONSTRUCTION INC 13863 158,566.74
12320 67892 158,566.74
125013 08/22/2025 SENT INC 12570 5,047.00
SI0625 65896 5,047.00
125014 08/22/2025 SHAWNEE COUNTY 4503 128,856.00
JUNE 2025 67583 128,856.00
125015 08/22/2025 SHAWNEE COUNTY MEDICAL SOCIETY 4515 11,875.00
SCMS0625 65919 11,875.00
125016 08/22/2025 SIMILAR MODE UNIFORMS INC 4563 2,215.05
68713 68713 1,121.76
68628 68628 868.30
67632 FINAL 67632 224.99
125017 08/22/2025 SOUTHWEST JANITORIAL 12258 18,904.20
30792 66850 400.00
30793 66850 250.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
30794 66850 482.30
30795 66850 742.00
30782 66850 492.00
30783 66850 848.00
30784 66850 371.00
30785 66850 1,939.80
30786 66850 4,642.80
30787 66850 888.80
30788 66850 2,862.00
30789 66850 1,007.00
30790 66850 3,418.50
30791 66850 560.00
125018 08/22/2025 SPENCER & COMPANY 2321 15,502.03
S 70119 67015 766.16
S 69984 66861 548.66
S 70007 66861 551.70
S 70231 67015 516.00
S 70246 67015 143.88
S 70220 66861 16.78
S 70224 67015 3,227.98
S 70228 67015 221.16
S 70229 66861 569.54
W 61311 66861 4,353.98
W 61350 66861 301.40
S 70271 66861 117.03
S 70276 66861 2,138.57
S 70292 66861 206.71
S 70293 66861 1,815.66
S 70317 66861 6.82
125019 08/22/2025 STAPLES CONTRACT N COMMERCIAL 4725 1,911.94
6037454106 68858 109.74
6037454107 68858 11.24
6037969444 68895 44.60
6037969446 68893 266.04
6037969448 68894 33.12
6038123707 68899 104.45
6038191051 68921 29.92
6038313879 68921 40.63
6038313880 68924 38.65
6038695821 68935 181.89
6038731834 68936 275.52
6038732593 68941 571.41
6038732594 68939 204.73
125020 08/22/2025 SUNFLOWER DESIGN LLC 11469 6,400.00
SD 25 220 (2) 65897 6,400.00
125021 08/22/2025 TERRY'S PLUMBING 4908 8,590.00
161186 67865 8,590.00
125022 08/22/2025 THE MIRROR INC 12941 500.00
MI0625 65922 500.00
125023 08/22/2025 THE SALVATION ARMY OF TOPEKA 4938 4,312.50
SA0625 65894 4,312.50
125024 08/22/2025 TOPEKA LULAC SENIOR CENTER 5036 11,214.44
LULAC0625 65921 11,214.44
125025 08/22/2025 TOPEKA RESCUE MISSION INC 5047 10,688.35
TRM0625 65986 10,688.35
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
125026 08/22/2025 TOPEKA TRANSMISSION SERVICE 5057 2,940.63
99005 67183 2,940.63
125027 08/22/2025 TR MANAGEMENT INC 2458 411.97
J25M3486 69040 411.97
125028 08/22/2025 TRAFFIC CONTROL CORPORATION 8892 1,990.00
159585 67095 1,990.00
125029 08/22/2025 TREMBLAY, AUSTIN 13901 170.00
INV3179 68321 170.00
125030 08/22/2025 TSQUARED LAWN CARE 12761 990.00
66718 15 66718 990.00
125031 08/22/2025 TYLER TECHNOLOGIES INC 10407 194,245.38
045 528431 67642 173,997.88
045 528432 65405 18,340.00
025 520512 68330 1,907.50
125032 08/22/2025 U S LIME COMPANY - ST CLAIR 5117 58,496.20
3192931 68305 16,691.44
3193867 68305 8,553.90
3194640 68305 16,809.91
3192589 68305 8,127.39
3192909 68305 8,313.56
125033 08/22/2025 UMB BANK NA 5127 46,233.63
PCARD08152025 46,233.63
125034 08/22/2025 UNIFIRST CORPORATION 5134 130.74
1910092895 66662 1.97
1910092910 67080 13.45
1910092941 66716 14.46
1910092942 67080 10.35
1910092979 67080 16.26
1910093278 67101 19.58
1910092893 66662 5.10
1910092894 66662 4.87
1910093281 67101 8.34
1910093287 67101 6.95
1910093288 67101 17.36
1910093289 67101 12.05
125035 08/22/2025 UNITED ENGINEERING GROUP 13273 2,430.00
1406 68300 2,430.00
125036 08/22/2025 UNITED RENTALS INC 12084 4,441.30
246042254 005 67820 3,847.04
250284382 001 67820 594.26
125037 08/22/2025 US PEROXIDE LLC 12298 14,021.49
CIN470028181 67671 14,021.49
125038 08/22/2025 USIC HOLDINGS INC 12300 63,739.33
749277 67126 63,739.33
125039 08/22/2025 VESTIS GROUP INC 9589 582.95
2801628884 67366 88.91
2801628714 67087 28.42
2801628800 66708 141.01
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
2801628803 67087 31.41
2801628806 67087 17.82
2801628810 67366 159.17
2801628811 67366 68.12
2801628812 67366 39.73
2801628813 67366 8.36
125040 08/22/2025 WEST PUBLISHING CORPORATION 4972 5,379.67
852291413 68535 5,379.67
125041 08/22/2025 WHITNEY B DAMRON PA 5418 1,035.71
0725 66735 1,035.71
125042 08/22/2025 WSP USA INC 10927 7,022.36
40226370 67241 7,022.36
125043 08/22/2025 YARDCRAFTERS LLC 13035 2,833.00
15014 68490 1,005.00
15019 67058 599.00
15020 68490 330.00
15021 68490 300.00
15022 67058 599.00
125044 08/22/2025 AVENU INSIGHTS & ANALYTICS LLC 13776 46,869.61
INVB 064131 68669 46,869.61
125045 08/22/2025 SUAREZ, ISAAC M 12212 975.00
COL117-0825IM IM August 2025 Payment 975.00
125046 08/22/2025 ACE ELECTRIC JONES COMPANY INC 35 2,148.94
10523 66714 2,148.94
125047 08/22/2025 APPLIED INDUSTRIAL 245 546.17
7032650396 66822 546.17
125048 08/22/2025 BERRY COMPANIES INC 5408 250.50
06271045 67005 250.50
125049 08/22/2025 CAPITAL BELT & SUPPLY INC 776 659.39
150945 66930 472.80
151035 66930 123.72
150825 66892 62.87
125050 08/22/2025 CONSOLIDATED ELECTRICAL 4174 12,568.16
8792 1086090 67040 6,780.40
8792 1086761 67040 5,787.76
125051 08/22/2025 CORE & MAIN LP 2146 8,238.42
X393733 68827 8,238.42
125052 08/22/2025 FASTENAL COMPANY 1619 25.60
KSTOP332786 66895 25.60
125053 08/22/2025 GRAINGER 1964 867.17
9588282740 68883 197.78
9592831649 68940 669.39
125054 08/22/2025 JOHNSON CONTROLS US HOLDINGS 12157 9,673.56
53201282 64560 9,423.56
24858632 66658 250.00
125055 08/22/2025 KANSAS SAND & CONCRETE INC 2744 3,430.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
90604385 66876 2,572.50
90603423 66876 857.50
125056 08/22/2025 POSITIVE CONNECTIONS INC 5011 4,848.11
PC0625 65917 4,848.11
125057 08/22/2025 SAFETY SUPPLIES 4336 611.39
SSI 250703 67115 611.39
125058 08/22/2025 SALISBURY SUPPLY COMPANY INC 4352 302.26
410150 66896 30.68
410151 66977 2.76
410676 66896 219.00
410696 66977 7.17
410873 67116 42.65
125059 08/22/2025 HUNTER LANE LLC 12191 289,205.74
597361 67431 285,542.21
597424 67431 2,587.33
597425 67431 1,076.20
125060 08/22/2025 CITY OF TOPEKA FRIENDSHIP FUND 948 558.71
FR10250822182639PW 0 Friendship Fund 41.50
FR10250822182639OUT3 0 Friendship Fund 5.00
FR10250822182639OUT4 0 Friendship Fund 19.00
FR10250822182639OUT5 0 Friendship Fund 47.50
FR10250822182639OUT6 0 Friendship Fund 34.25
FR10250822182639POL 0 Friendship Fund 169.46
FR10250822182639ADMIN0 Friendship Fund 162.50
FR10250822182639FIRE 0 Friendship Fund 45.50
FR10250822182639OUT1 0 Friendship Fund 26.00
FR10250822182639OUT2 0 Friendship Fund 8.00
125061 08/22/2025 COLONIAL LIFE & ACCIDENT 8789 9,126.24
ADJ JEFFERIES ACC 6/13
PAYROLL 9.01
8/22/25 PAYROLL ACCID
PAYROLL 4,562.35
8/8/25 PAYROLL ACCID
PAYROLL 4,554.88
125062 08/22/2025 COLONIAL LIFE & ACCIDENT 8789 10,427.07
8/22/25 PAYROLLCANCER
PAYROLL 5,212.22
8/8/25 PAYROLLCANCER
PAYROLL 5,203.02
ADJ BAUSCH CAN 6/13/25
PAYROLL 11.83
125063 08/22/2025 COLONIAL LIFE & ACCIDENT 8789 3,828.11
8/22/25 PAYROLL CRIT
PAYROLL 1,921.28
8/8/25 PAYROLL CRITPAYROLL 1,906.83
125064 08/22/2025 COLONIAL LIFE & ACCIDENT 8789 12,924.63
8/22/25 PAYROLL DISAB
PAYROLL 6,476.61
8/8/25 PAYROLL DISAB
PAYROLL 6,448.02
125065 08/22/2025 DVM INSURANCE AGENCY 12262 2,180.30
8/22/25 PAYROLL PAYROLL 1,090.15
8/8/25 PAYROLL PAYROLL 1,090.15
125066 08/22/2025 INTERNATIONAL ASSOCIATION OF 2424 9,926.07
08/22/25 ADMIN FEE PAYROLL -13.86
UNI1250822182639FIRE 0 Union Dues - IAFF 9,939.93
125067 08/22/2025 KANSAS ASSOCIATION OF PUBLIC 2630 728.93
UNK1250822182639OUT2 0 Union Dues - KAPE 83.68
UNK1250822182639OUT5 0 Union Dues - KAPE 83.68
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
UNK1250822182639OUT6 0 Union Dues - KAPE 62.76
UNK1250822182639POL 0 Union Dues - KAPE 62.76
UNK1250822182639ADMIN0 Union Dues - KAPE 83.68
UNK1250822182639OUT1 0 Union Dues - KAPE 80.41
UNK1250822182639PW 0 Union Dues - KAPE 271.96
125068 08/22/2025 SURENCY LIFE & HEALTH 10654 10,682.33
08/08/25 PAYROLL PAYROLL 5,339.79
08/22/25 PAYROLL PAYROLL 5,327.17
ADJ MITCHELL 6/13/25
PAYROLL 3.98
ADJ BAUSCH 6/13/25PAYROLL 3.98
ADJ JEFFRIES 6/13/25
PAYROLL 7.41
125069 08/22/2025 UNITED WAY OF KAW VALLEY INC 5157 52.00
UW10250822182639OUT5 0 United Way 35.00
UW10250822182639ADMIN0 United Way 16.00
UW10250822182639OUT1 0 United Way 1.00
125070 08/22/2025 ALFRED BENESCH & COMPANY 12193 720.00
328942 62591 720.00
125071 08/22/2025 ARNOLD L DOWNING SR 13972 900.00
69024 8/15/25 69024 900.00
125072 08/22/2025 DOXIM UTILITEC LLC 11892 16,377.21
INV031412 66882 16,377.21
125073 08/22/2025 ICC GENERAL CODE INC 12737 1,715.45
GCI0018117 68037 661.65
GCI0018132 68037 838.25
GCI0018155 68037 215.55
125074 08/22/2025 MICROBAC LABORATORIES, INC 13495 1,956.50
M25008937 67453 1,956.50
125075 08/22/2025 SAFETY CONSULTING INC 4335 5,490.50
INV272 67203 1,598.50
INV324 67129 3,614.00
INV325 66891 278.00
125076 08/22/2025 SAMS, JOHN W 13749 877.00
67171 JULY 67171 877.00
125077 08/22/2025 STAR SERVICES PROPERTY 13027 2,647.40
2825 67997 522.90
2826 67997 124.50
2833 67099 2,000.00
125078 08/22/2025 TFM COMM INC 4914 44.63
239974 67078 44.63
125079 08/29/2025 HENSON HUTTON MUDRICK GRAGSON 2199 5,536.00
49318 60380 4,481.00
49319 64595 1,055.00
125080 08/29/2025 WATKINS CALCARA CHARTERED 12322 67.50
8135 14263 8/15/25 66267 67.50
125081 08/29/2025 BETTIS ASPHALT & CONSTRUCTION 470 4,797.83
9503193 66699 4,797.83
125082 08/29/2025 CTCR INC 1194 10,149.35
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
00003032 67335 942.50
00003068 67335 1,137.50
00003070 67335 228.75
00003071 67335 292.50
00003074 67335 260.00
00003310 66701 73.35
00003311 67265 82.00
00003312 67265 253.00
00003313 67265 570.00
00003314 67265 871.75
00003315 67335 1,848.60
00003316 67335 2,108.40
00003318 67335 725.00
00003319 67335 756.00
125083 08/29/2025 DAPRATO CONSTRUCTION 12961 39,910.00
68360 2900 SW MACVICAR
68360 27,985.00
68361 830 NE POPLAR68361 11,925.00
125084 08/29/2025 GREENCARE CONSTRUCTION INC 13517 3,318.50
681916 2725 SW JAMES68916 1,858.50
68865 2837 SW SUNSET68865 1,460.00
125085 08/29/2025 KANSAS TOPSOIL & TRUCKING LLC 13285 72,760.00
68915 2030 SW PENNSYLV
68915 4,280.00
68917 2221 SW FILLMORE
68917 4,280.00
69085 2600 SE 30TH 69085 4,280.00
69086 3400 SW 20TH 69086 4,280.00
69052 412 SW 5TH 69052 4,280.00
69053 4320 SW STONE 69053 4,280.00
69054 4525 SE ADAMS69054 4,280.00
69055 6325 SW 32ND 69055 4,280.00
68918 2541 SE 30TH 68918 4,280.00
68929 850 SW WANAMAKER
68929 8,560.00
68970 SW 1ST & SW POLK
68970 4,280.00
68982 2809 SE GREENFIE
68982 4,280.00
68985 2825 SW GREENFIE
68985 4,280.00
69003 406 SE JEFFERSON
69003 4,280.00
69014 2012 SW WILLOW69014 4,280.00
69084 301 SE 53RD 69084 4,280.00
125086 08/29/2025 RD JOHNSON EXCAVATING CO LLC 12101 70,581.51
25309 1 67838 70,581.51
125087 08/29/2025 29 FAIRLAWN LLC 12209 71,029.38
AUG 2025 DE 71,029.38
125088 08/29/2025 AFFINITY CHEMICAL LLC 11339 6,899.10
25119454 68384 6,899.10
125089 08/29/2025 AFS TOPEKA 12035 9,131.82
AUG 2025 CID SE 29TH ST 9,131.82
125090 08/29/2025 AG PARTNERS COOPERATIVE INC 13921 908.18
T04628 68505 -247.35
T04629 68505 1,155.53
125091 08/29/2025 ALLIANT INSURANCE SERVICES INC 13953 60,000.00
3203073 68768 60,000.00
125092 08/29/2025 ALS GROUP USA CORP 12689 2,050.00
36 54 688084 0 67382 2,050.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
125093 08/29/2025 ALTEC INC 11309 153.82
13124677 67081 153.82
125094 08/29/2025 ALTERNATIVES EAP LLC 8445 3,147.69
11008 67205 3,147.69
125095 08/29/2025 AUTOMATION CONTROLS INC 12391 3,993.75
2025 126 1 65700 3,993.75
125096 08/29/2025 BERGKAMP INC 454 96.73
61051 66782 96.73
125097 08/29/2025 BLUE CROSS BLUE SHIELD INC 528 263,159.49
W/E 8/26/25 67176 263,159.49
125098 08/29/2025 BORDER STATES INDUSTRIES INC 10997 315.33
930869694 66929 315.33
125099 08/29/2025 CABLE DAHMER AUTOMOTIVE LLC 12619 471.00
7TCS7107426 66788 471.00
125100 08/29/2025 CHEMTEK INC 11684 3,094.05
434042 69001 3,094.05
125101 08/29/2025 CITY CENTER ASSOCIATES LLC 12090 27,110.27
AUG 2025 CID WAN HILLS 27,110.27
125102 08/29/2025 CLUB CAR WASH OPERATING LLC 12896 2,100.00
INV10371 67439 2,100.00
125103 08/29/2025 CONRAD FIRE EQUIPMENT 1073 1,291.15
579410 66851 777.55
585900 66851 513.60
125104 08/29/2025 DELTA DENTAL OF KANSAS INC 1323 13,184.36
80674 67353 13,184.36
125105 08/29/2025 DENALI WATER SOLUTIONS LLC 12429 16,591.22
INV1116483 68972 16,591.22
125106 08/29/2025 DS SERVICES OF AMERICA INC 13004 633.15
24271379 080525 67549 196.81
24813484 080525 67433 183.24
19908707 080825 67522 63.45
23137994 080525 67267 53.96
23139100 080525 66702 135.69
125107 08/29/2025 DURKIN EQUIPMENT CO 1451 10,798.26
DK SINVP106291 66823 10,798.26
125108 08/29/2025 ECCOVIA INC 11051 4,242.04
EC 1909 68456 4,242.04
125109 08/29/2025 EMBROIDERY PLUS BY TURQUOISE & 1522 445.50
018756 67443 445.50
125110 08/29/2025 ENVIRONMENTAL RESOURCE 1546 1,311.12
121638 66916 1,311.12
125111 08/29/2025 EQUIPMENTSHARE.COM.INC 12197 1,283.55
5600822 000 66943 631.40
5586331 000 66943 563.20
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
5596887 000 66943 88.95
125112 08/29/2025 EUROFINS EATON ANALYTICAL INC 8594 6,666.57
8100139761 66900 2,456.55
8100139769 66900 3,684.78
8100140371 66900 379.04
7100140270 66900 41.20
3800093365 66900 105.00
125113 08/29/2025 EWT HOLDING III CORP 9747 16,678.62
907161373 66937 16,678.62
125114 08/29/2025 FISHER SCIENTIFIC COMPANY LLC 4949 823.35
2854972 66918 823.35
125115 08/29/2025 FLEET FUELS LLC 13835 25,715.75
CFSI 17472 67229 22,771.85
SI 15061 67229 1,543.52
SI 15348 67229 130.19
SI 15570 67228 395.21
SI 15893 67229 874.98
125116 08/29/2025 FLEETPRIDE INC 7822 1,550.97
127869949 67009 1,550.97
125117 08/29/2025 GALLS PARENT HOLDINGS LLC 11211 360.81
032124300 68684 60.47
032126254 68949 67.52
032124280 68518 60.47
032156444 68949 66.23
032160822 68949 106.12
125118 08/29/2025 GREAT SOUTHERN BANK 9969 26,022.70
AUG 2025 CID CROSSWINDS 26,022.70
125119 08/29/2025 GT DISTRIBUTORS INC 2008 921.44
INV1054328 68532 921.44
125120 08/29/2025 HARCROS CHEMICALS INC 2090 9,996.80
011022712 68325 9,996.80
125121 08/29/2025 HD INDUSTRIES 2030 274.25
36402 66860 274.25
125122 08/29/2025 HELPING HANDS HUMANE SOCIETY 2183 29,878.26
52322 2025 CONTRACT 29,878.26
125123 08/29/2025 HERITAGE-CRYSTAL CLEAN INC 9426 669.28
19479118 67014 669.28
125124 08/29/2025 HOLCOMBE BOMAR, PA 13887 1,430.00
64616 68053 1,430.00
125125 08/29/2025 HOLIDAY SQUARE PARTNERS LLC 11018 6,617.87
AUG 2025 CID HOLLIDAY 6,617.87
125126 08/29/2025 HOUSING & CREDIT COUNSELING IN 2312 89,862.08
CDBG01TO08 2025 68969 30,333.36
HOME01TO08 2025 69002 22,000.00
TLL01TO08 2025 68981 37,528.72
125127 08/29/2025 HYSPECO INC 13342 85.18
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
00856507 66956 85.18
125128 08/29/2025 IDEXX DISTRIBUTION INC 2381 330.94
3181725319 66917 330.94
125129 08/29/2025 INSIGHT PUBLIC SAFETY AND 11149 2,500.00
2244 67165 1,100.00
2252 67165 1,200.00
2255 67165 200.00
125130 08/29/2025 J&D EQUIPMENT INC 162 21,431.46
55353 66780 21,431.46
125131 08/29/2025 JEFFERSON STREET HOTEL 4090 3,524.34
AUG 2025 CID RAMADA 3,524.34
125132 08/29/2025 JOINT ECONOMIC DEVELOPMENT 6898 1,009,551.76
PAYMENT 8/292025 JEDO 1,009,551.76
125133 08/29/2025 KAN EQUIPMENT INC 2621 101.96
16 300979 66869 101.96
125134 08/29/2025 KANSAS FENCING INC 2703 180.43
42078 66991 180.43
125135 08/29/2025 KANSAS PERSONNEL SERVICES INC 2849 845.25
3068980 68650 845.25
125136 08/29/2025 KANSAS WATER ENVIRONMENT ASSOC 2777 20,650.00
JCON 2025 004 69095 20,650.00
125137 08/29/2025 KANSASLAND TIRE INC OF HAYS KS 13228 5,594.05
29416 67018 5,594.05
125138 08/29/2025 KBS CONSTRUCTORS INC 2645 38,888.26
25 0529 66031 38,888.26
125139 08/29/2025 KEVIN R COLHOUER LLC 1252 250.00
136361 66852 65.00
136417 66852 120.00
136418 66852 65.00
125140 08/29/2025 LASSITER, SANDRA 13978 200.00
69101 8/22/25 69101 200.00
125141 08/29/2025 LEAGUE OF KANSAS 3010 773.00
200015236 68955 523.00
200015381 68733 250.00
125142 08/29/2025 LEWIS LEGAL NEWS INC 11367 11.50
L25104 67536 11.50
125143 08/29/2025 MES I ACQUISITION INC 13871 312.54
IN2315557 68950 312.54
125144 08/29/2025 MICHAEL & SONS INC 3377 26,408.00
68782 3200 EVENINGSIDE
68782 4,700.00
68938 CITYWIDE CLEANUP
68938 21,708.00
125145 08/29/2025 MIDLAND SCIENTIFIC INC 5733 475.00
7003360 67978 475.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
125146 08/29/2025 MILLS, RICKY A 3457 852.64
67167 AUGUST 2025 67167 428.28
67167 JULY 2025 4 67167 424.36
125147 08/29/2025 MOODY'S INVESTORS SERVICE 7102 42,000.00
P0508934 DE 42,000.00
125148 08/29/2025 NATIONAL ENROLLMENT PARTNERS 13833 2,840.00
7699136 67857 2,840.00
125149 08/29/2025 ONEILL EXCAVATING INC 10202 7,651.00
68554 3117 SW MEADOW68554 7,651.00
125150 08/29/2025 PACE ANALYTICAL SERVICES 3794 325.70
2560232446 67030 325.70
125151 08/29/2025 POMPS TIRE SERVICE INC 10675 3,406.16
1160091904 66971 1,660.12
1160092012 66971 402.88
1160092038 66971 961.32
1160092049 66971 152.86
1160092100 66971 195.81
1160092170 66971 33.17
125152 08/29/2025 PREMIER FARM & HOME LLC 4002 463.78
371974 66972 219.99
372387 66972 36.94
372808 66972 206.85
125153 08/29/2025 PUR O ZONE INC 6773 1,481.93
918829 67142 1,481.93
125154 08/29/2025 RECREATION ENGINEERING AND 8873 2,520.00
66506 13 66506 2,520.00
125155 08/29/2025 REIN, LINNEA S 4166 59.00
717912 68962 59.00
125156 08/29/2025 RILEY ENVIRONMENTAL SERVICES 13873 1,100.00
25019 69073 550.00
25022 69102 550.00
125157 08/29/2025 ROBERT ARMSTRONG 255 4,275.00
6106 68996 2,000.00
6107 68903 2,275.00
125158 08/29/2025 RUSH TRUCK CENTERS 12611 113.98
3042658576 66974 71.18
3042726955 66974 42.80
125159 08/29/2025 SIDENER ENVIRONMENTAL 11592 4,079.66
535614 68319 4,079.66
125160 08/29/2025 SPENCER & COMPANY 2321 13,460.06
S 2 13101 66861 78.76
S 70247 67015 1,367.48
S 70248 67015 1,135.52
S 70344 66861 97.35
S 70345 66861 112.84
S 70367 66861 65.53
S 70383 66861 65.24
S 70408 66861 15.19
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
S 70440 66861 16.94
W 61088 66861 10,505.21
125161 08/29/2025 STAPLES CONTRACT N COMMERCIAL 4725 1,232.26
6037263474 68976 160.20
6038880792 68944 359.90
6039110042 68960 194.80
6039110045 68961 306.53
6039110047 68968 93.65
6039110049 68961 93.01
6039263476 68980 24.17
125162 08/29/2025 TASTY FESTIVALS LLC 13919 375.00
0000624 68973 375.00
125163 08/29/2025 TENOPIR & HUERTER LAW FIRM 13831 27,083.33
52575 2025 CONTRACT 27,083.33
125164 08/29/2025 TILLMAN ROAD INSPECTIONS LLC 12017 18,101.20
67957 JULY 2025 67957 18,101.20
125165 08/29/2025 TOPEKA GRAND HOTEL 12016 8,427.01
AUG 2025 CID CYRUS 8,427.01
125166 08/29/2025 TOPEKA PLUMBING & 13126 11,000.00
1612 69113 11,000.00
125167 08/29/2025 TSQUARED LAWN CARE 12761 990.00
66718 16 66718 990.00
125168 08/29/2025 U S LIME COMPANY - ST CLAIR 5117 25,099.79
3195278 68305 16,857.31
3195319 68305 8,242.48
125169 08/29/2025 UMB BANK NA 5127 47,774.34
PCARD08222025 47,774.34
125170 08/29/2025 UNIFIRST CORPORATION 5134 98.71
1910093493 66662 5.10
1910093494 66662 4.87
1910093495 66662 1.97
1910093512 67080 13.45
1910093540 66716 14.46
1910093545 67080 10.35
1910093585 66716 32.25
1910093586 67080 16.26
125171 08/29/2025 VANDERBILT'S NO 6 5199 319.98
542155 66898 164.99
542252 66898 154.99
125172 08/29/2025 VESTIS GROUP INC 9589 610.58
2801631739 67087 28.42
2801631815 66708 141.01
2801631818 67087 31.41
2801631820 67087 17.82
2801631825 67366 159.17
2801631826 67366 95.75
2801631827 67366 39.73
2801631828 67366 8.36
2801631907 67366 88.91
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
125173 08/29/2025 WHITE, PRINSUCOLA 13980 200.00
69100 8/22/25 69100 200.00
125174 08/29/2025 WSP USA INC 10927 9,830.98
40232960 67381 9,830.98
125175 08/29/2025 YARDCRAFTERS LLC 13035 1,214.00
14869 68490 75.00
14882 68490 540.00
15054 67058 599.00
125176 08/29/2025 YWCA NORTHEAST KANSAS 5583 5,000.00
2829 S DE 5,000.00
125177 08/29/2025 5JS LLC 12947 500.00
BAR107-0925 S+C September Payment 500.00
125178 08/29/2025 A&S HOLDINGS LLC 9320 1,920.00
RAM101-0925 S+C September Payment 960.00
SCO104-0925 S+C September Payment 960.00
125179 08/29/2025 ARROW PROPERTY MANAGEMENT SERV 13221 9,568.00
ALL114-0925 S+C September Payment 699.00
BOU101-0925 S+C September Payment 1,231.00
CAR102-0925 S+C September Payment 911.00
FRE102-0925 S+C September Payment 752.00
GAM101-0925 S+C September Payment 731.00
HAR102-0925 S+C September Payment 601.00
JON105-0925 S+C September Payment 985.00
LAW102-0925 S+C September Payment 699.00
MOL101-0925 S+C September Payment 731.00
SCH103-0925 S+C September Payment 412.00
THO111-0925 S+C September Payment 652.00
TRA101-0925 S+C September Payment 472.00
ALB101-0925 S+C September Payment 692.00
125180 08/29/2025 AUSTIN PARK MANAGEMENT LLC 13956 461.00
BRA101-0925 S+C September Payment 461.00
125181 08/29/2025 BECKWITH, LYNN E 12607 445.00
GAY101-0925 S+C September Payment 445.00
125182 08/29/2025 BELLA PACIFIC BUILDERS LLC 12326 635.00
SMI104-0925 S+C September Payment 635.00
125183 08/29/2025 BENNETT PROPERTY LLC 440 640.00
RIC103-0925 S+C September Payment 413.00
THO104-0925 S+C September Payment 227.00
125184 08/29/2025 BPM LLC 579 370.00
BRO108-0925 S+C September Payment 370.00
125185 08/29/2025 BREAKTHROUGH HOUSE INC 599 354.00
MOR104-0925 S+C September Payment 354.00
125186 08/29/2025 BROOKWOOD TERRACE HOUSING LP 644 5,859.00
HIL107-0925 S+C September Payment 659.00
BAI101-0925 S+C September Payment 472.00
BRI107-0925 S+C September Payment 637.00
BUR102-0925 S+C September Payment 472.00
CHA102-0925 S+C September Payment 652.00
DOR101-0925 S+C September Payment 472.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
PRY101-0925 S+C September Payment 472.00
HIN101-0925 S+C September Payment 650.00
QUI101-0925 S+C September Payment 611.00
SMI123-0925 S+C September Payment 325.00
STO101-0925 S+C September Payment 437.00
125187 08/29/2025 BROWN, YOLANDA 13259 439.00
KIN101-0925 S+C September Payment 439.00
125188 08/29/2025 BRUDER INVESTMENTS LLC 11801 3,159.00
AND107-0925 S+C September Payment 1,115.00
BUS102-0925 S+C September Payment 1,025.00
HUR103-0925 S+C September Payment 609.00
KEN101-0925 S+C September Payment 410.00
125189 08/29/2025 BURGESS, TERRY 13002 666.00
BUR101-0925 S+C September Payment 666.00
125190 08/29/2025 CAPITOL MANAGEMENT LLC 792 1,000.00
ORT101-0925 S+C September Payment 1,000.00
125191 08/29/2025 CASTLE HOME MANAGEMENT LLC 9474 1,231.00
SHA106-0925 S+C September Payment 1,231.00
125192 08/29/2025 CHRISTIAN LORD MINISTRIES INC 13830 466.00
ALL104-0925 S+C September Payment 466.00
125193 08/29/2025 CJS REAL ESTATE 10107 2,386.00
CLE102-0925 S+C September Payment 805.00
MCG1031-0925 S+C September Payment 950.00
RHO104-0925 S+C September Payment 631.00
125194 08/29/2025 COMMUNITY ACTION INC 11697 6,175.00
GAN102-0925 S+C September Payment 448.00
JAC102-0925 S+C September Payment 534.00
PER104-0925 S+C September Payment 451.00
BIG102-0925 S+C September Payment 458.00
BRA106-0925 S+C September Payment 446.00
JEF101-0925 S+C September Payment 466.00
JON104-0925 S+C September Payment 216.00
LAB101-0925 S+C September Payment 389.00
HAR107-0925 S+C September Payment 472.00
MEN114-0925 S+C September Payment 431.00
MUN103-0925 S+C September Payment 458.00
ART101-0925 S+C September Payment 452.00
BAR111-0925 S+C September Payment 467.00
VEL101-0925 S+C September Payment 487.00
125195 08/29/2025 CORNERSTONE OF TOPEKA INC 1117 1,414.00
EDM101-0925 S+C September Payment 478.00
LAD0925-0925 S+C September Payment 146.00
LEA101-0925 S+C September Payment 290.00
PRI1029-0925 S+C September Payment 500.00
125196 08/29/2025 COX, WILLIAM R 1151 1,155.00
KIM1032-0925 S+C September Payment 1,155.00
125197 08/29/2025 CREEK, JACKIE S 13124 850.00
MAR113-0925 S+C September Payment 850.00
125198 08/29/2025 DOZIER, JOSEPH 13856 481.00
CON103-0925 S+C September Payment 481.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
125199 08/29/2025 DUNCAN, CLAUDE 1442 1,010.00
HAD103-0925 S+C September Payment 1,010.00
125200 08/29/2025 EBERT, JOSEPH R 13089 1,351.00
EVA101-0925 S+C September Payment 1,351.00
125201 08/29/2025 ELITE LEASING SERVICES 13657 2,709.00
KEN102-0925 S+C September Payment 692.00
LAM101-0925 S+C September Payment 595.00
PRY104-0925 S+C September Payment 462.00
SMI109-0925 S+C September Payment 960.00
125202 08/29/2025 EMERT, JENNIFER 11689 923.00
WIL116-0925 S+C September Payment 923.00
125203 08/29/2025 EPIC PROPERTY MANAGEMENT LLC 12164 5,473.00
BOO102-0925 S+C September Payment 777.00
WES101-0925 S+C September Payment 217.00
ANS102-0925 S+C September Payment 625.00
BAR105-0925 S+C September Payment 459.00
CAR101-0925 S+C September Payment 490.00
DAV103-0925 S+C September Payment 567.00
ERI101-0925 S+C September Payment 882.00
HAR104-0925 S+C September Payment 268.00
JON108-0925 S+C September Payment 356.00
MES102-0925 S+C September Payment 377.00
MOR103-0925 S+C September Payment 455.00
125204 08/29/2025 GREEN, BRIAN 1986 1,912.00
CAS113-0925 S+C September Payment 339.00
LUC104-0925 S+C September Payment 898.00
HOW102-0925 S+C September Payment 675.00
125205 08/29/2025 HIGGINBOTHOM, CORY 11411 1,397.00
MOO106-0925 S+C September Payment 412.00
SUH103-0925 S+C September Payment 985.00
125206 08/29/2025 RAGSDALE, JEFF 7375 313.00
KOZ1041-0925 S+C September Payment 313.00
125207 08/29/2025 KANSAS CAPITAL CORNERS LLC 11119 323.00
BLA105-0925 S+C September Payment 323.00
125208 08/29/2025 KANSAS PARADISE PLAZA LLC 13710 2,370.00
CLA105-0925 S+C September Payment 708.00
DIV101-0925 S+C September Payment 912.00
RIC105-0925 S+C September Payment 750.00
125209 08/29/2025 KURTZ, HENRY JOE 2924 850.00
NEL103-0925 S+C September Payment 850.00
125210 08/29/2025 LENTZ, MARILYN 3033 620.00
MAR101-0925 S+C September Payment 620.00
125211 08/29/2025 MADISON STREET APARTMENTS LLC 10691 1,568.00
LOY101-0925 S+C September Payment 670.00
ONE104-0925 S+C September Payment 363.00
WIL113-0925 S+C September Payment 535.00
125212 08/29/2025 MAHNOPOLY LLC 11407 457.00
PEO104-0925 S+C September Payment 457.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
125213 08/29/2025 MEITNER PROPERTIES LLC 13472 1,000.00
BEN101-0925 S+C September Payment 1,000.00
125214 08/29/2025 OAKBROOK HOLDINGS LLC 11512 463.00
WIL101-0925 S+C September Payment 463.00
125215 08/29/2025 OAKRIDGE INVESTORS 13241 550.00
PAR101-0925 S+C September Payment 550.00
125216 08/29/2025 SAGGART, PAMELA 7218 394.00
MCC107-0925 S+C September Payment 394.00
125217 08/29/2025 PETERSEN, LONNIE 3909 600.00
SHA1042-0925 S+C September Payment 600.00
125218 08/29/2025 PIONEER MOTIVE POWER PLACE LP 9278 414.00
AND102-0925 S+C September Payment 215.00
DOD101-0925 S+C September Payment 199.00
125219 08/29/2025 PURE OPERATING LLC 13243 305.00
GIB107-0925 S+C September Payment 305.00
125220 08/29/2025 RED TREE LLC 11968 400.00
BRY103-0925 S+C September Payment 400.00
125221 08/29/2025 LAIRD SR, RICHARD D 6519 396.00
RHO103-0925 S+C September Payment 396.00
125222 08/29/2025 SABER PROPERTIES LLC 13275 750.00
MAR102-0925 S+C September Payment 750.00
125223 08/29/2025 SANCHEZ, ADRIAN 12305 297.00
BIG101-0925 S+C September Payment 297.00
125224 08/29/2025 SMALL FISH PARTNERS LLC 11065 660.00
DIX101-0925 S+C September Payment 660.00
125225 08/29/2025 STILL PRODUCING MANAGEMENT LLC 13957 501.00
PER108-0925 S+C September Payment 501.00
125226 08/29/2025 SUAREZ 7 LLC 11066 593.00
DAL103-0925 S+C September Payment 593.00
125227 08/29/2025 THE LIBRARY APARTMENTS INC 11304 289.00
JON106-0925 S+C September Payment 289.00
125228 08/29/2025 TINDELL, MATTHEW 12387 410.00
COO105-0925 S+C September Payment 410.00
125229 08/29/2025 PORTILLO, TRINIDAD O 6962 900.00
GAL102-0925 S+C September Payment 900.00
125230 08/29/2025 VERTEX BRENTWOOD LLC 13012 441.00
ROB106-0925 S+C September Payment 441.00
125231 08/29/2025 WALKER, JOSEPH SCOTT 9786 748.00
MEN112-0925 S+C September Payment 748.00
125232 08/29/2025 X-CALIBER FUNDING LLC 13899 2,140.00
HAR110-0925 S+C September Payment 275.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
LES103-0925 S+C September Payment 444.00
TAY103-0925 S+C September Payment 871.00
ESP101-0925 S+C September Payment 550.00
125233 08/29/2025 ZAYNAB LLC 13083 410.00
HAR111-0925 S+C September Payment 410.00
125234 08/29/2025 ACE ELECTRIC JONES COMPANY INC 35 2,094.51
10538 66714 886.00
10547 66714 1,208.51
125235 08/29/2025 BERRY COMPANIES INC 5408 97.80
06271250 67005 97.80
125236 08/29/2025 COGENT INC 3018 6,640.89
5632553 68881 2,564.08
5632592 68881 4,076.81
125237 08/29/2025 CORE & MAIN LP 2146 7,110.84
X501329 68596 7,110.84
125238 08/29/2025 FASTENAL COMPANY 1619 1,134.34
KSTOP333152 66895 1,119.20
KSTOP333117 66895 6.72
KSTOP333101 66858 8.42
125239 08/29/2025 HACH COMPANY 2038 1,846.87
14617917 66880 1,846.87
125240 08/29/2025 HD SUPPLY INC 12991 2,663.53
INV00793093 66919 2,663.53
125241 08/29/2025 JOHNSON CONTROLS US HOLDINGS 12157 1,987.85
53233954 66658 668.23
24895392 66658 1,319.62
125242 08/29/2025 KANSAS SAND & CONCRETE INC 2744 879.00
90604942 67130 879.00
125243 08/29/2025 KEY EQUIPMENT & SUPPLY CO 2847 9,659.80
KC218104 66959 714.21
KC218195 66959 2,294.46
KC218085 66959 994.83
KC218088 66959 580.39
KC218226 66959 1,063.03
KC218229 66959 1,774.74
KC218419 66959 2,238.14
125244 08/29/2025 SALISBURY SUPPLY COMPANY INC 4352 1,396.94
411038 66896 108.82
411039 66896 199.26
411180 66896 115.80
411182 66977 6.00
411190 67116 185.00
411375 66977 58.00
411381 67116 23.38
411602 66896 123.29
411608 67116 362.05
411625 66896 123.29
411778 66896 64.50
411796 66896 19.14
411811 66896 8.41
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
125245 08/29/2025 HEALTHSTAT INC 9951 51,245.55
INV410767 67327 51,245.55
125246 08/29/2025 STORMONT VAIL WORK CARE 4783 37,418.00
512633 JULY 2025 68404 655.00
512635 JULY 2025 68404 115.00
512637 JULY 2025 68404 730.00
571327 JULY 2025 68404 588.00
512636 JULY 2025 68404 1,155.00
512641 JULY 2025 68404 614.00
577603 JULY 2025 68404 100.00
583490 JULY 2025 68404 335.00
512634 JULY 2025 68404 33,126.00
125247 08/29/2025 ALFRED BENESCH & COMPANY 12193 58,212.50
329635 68843 33,393.50
329983 60843 7,044.00
330030 64089 17,775.00
125248 08/29/2025 HALLEY COUNSELING SERVICES 13303 7,105.00
5907 64765 7,105.00
125249 08/29/2025 STAR SERVICES PROPERTY 13027 2,000.00
2840 67099 2,000.00
125250 08/29/2025 TOPEKA AUTO GLASS LLC 13226 894.84
19410 66983 394.03
19526 66983 500.81
125251 08/29/2025 TAZCO INC 4885 54,960.00
68580 4340 SE 27TH ST
68580 54,960.00
Total for Electronic Payments 17,961,651.89
Need to Define MNL
119 08/01/2025 POLICE IMPREST FUNDS 3971 4,000.00
68948 1 68948 4,000.00
213 08/01/2025 KANSAS STATE TREASURER/DEBT 9781 18,375,401.91
GO BONDS 8/15/25 BOND 18,375,401.91
214 08/01/2025 KANSAS STATE TREASURER/DEBT 9781 22,240,432.62
UTILITY BONDS 8/1/25BOND 22,240,432.62
2251 08/01/2025 GREAT WEST LIFE & ANNUITY 9755 78,439.36
1320009808 PAYROLL 77,535.51
1320011338 PAYROLL 903.85
2252 08/01/2025 STATE OF KANSAS 2691 70,418.05
5198 HM86 TJ6M SALESTAXWATER 70,418.05
2253 08/01/2025 CORVEL HEALTHCARE CORPORATION 8818 34,007.28
W/E 07/25/2025 ACH DEBT 34,007.28
2254 08/01/2025 DEPT OF TREASURY 9805 573,849.68
PAYROLL 7/25/25 PAYROLL 573,849.68
2255 08/01/2025 KANSAS DEPT OF REVENUE 9806 155,286.65
PAYROLL 7/25/25 PAYROLL 155,286.65
2256 08/01/2025 KPERS 9818 8,581.02
PAYROLL-OP LIF 7/25/25
PAYROLL 8,581.02
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
2257 08/08/2025 APPLICATION SOFTWARE INC 9872 7,268.61
W/E 07/25/25 ACH DEBT 5,205.03
W/E 08/0125 ACH DEBT 2,063.58
2258 08/08/2025 CORVEL HEALTHCARE CORPORATION 8818 30,803.83
W/E 08/01/2025 ACH DEBT 30,803.83
2259 08/08/2025 KPERS 9818 238,024.92
PAYROLL-KPERS 7/25/25
PAYROLL 236,663.74
PAYROLL-KP&F 7/25/25
PAYROLL 1,185.76
PAYROLL-KPER 7/25 ADJ
PAYROLL 175.42
2260 08/15/2025 APPLICATION SOFTWARE INC 9872 4,312.95
W/E 08/0825 ACH DEBT 4,312.95
2261 08/15/2025 GREAT WEST LIFE & ANNUITY 9755 88,592.69
1324059575 PAYROLL 87,688.84
1324069897 PAYROLL 903.85
2262 08/15/2025 CORVEL HEALTHCARE CORPORATION 8818 16,388.73
W/E 08/08/2025 ACH DEBT 16,388.73
2263 08/15/2025 DEPT OF TREASURY 9805 587,505.17
PAYROLL 8/8/25 PAYROLL 587,505.17
2264 08/15/2025 KANSAS DEPT OF REVENUE 9806 158,603.76
PAYROLL 8/8/25 PAYROLL 158,603.76
2265 08/15/2025 KPERS 9818 848,775.40
PAYROLL-KPERS 8/8/25
PAYROLL 235,774.79
PAYROLL-KP&F 8/8/25
PAYROLL 613,000.61
2266 08/22/2025 APPLICATION SOFTWARE INC 9872 2,297.25
W/E 08/15/25 ACH DEBT 2,297.25
2267 08/22/2025 ELAND TITLE COMPANY LLC 13803 1,572,456.61
241441L DE 1,572,456.61
2268 08/22/2025 STATE OF KANSAS 2691 72,180.15
5223 JP2H 635T MNL
WATERPROT25Q2 72,180.15
2269 08/22/2025 TRANSFIRST HOLDINGS INC 9923 12,314.13
CC FEE JULY 2025 ACH DEBT 12,314.13
2270 08/22/2025 US BANK INC 5174 31,955.12
CC FEE JULY 2025 ACH DEBT 31,955.12
2271 08/22/2025 CORVEL HEALTHCARE CORPORATION 8818 51,336.97
W/E 08/15/2025 ACH DEBT 51,336.97
2272 08/22/2025 KPERS 9818 404.58
PAYROLL-WAR 3/8/25PAYROLL 202.29
PAYROLL-WAR 5/15/25
PAYROLL 202.29
2273 08/29/2025 APPLICATION SOFTWARE INC 9872 58,300.37
W/E 06/13/25 HSA DEBT 4,355.45
W/E 07/11/25 2 HSA DEBT 40,276.70
W/E 07/25/25 2 HSA DEBT 4,664.20
W/E 08/22/25 ACH DEBT 4,648.57
W/E 6/27/2025 HSA DEBT 4,355.45
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
2274 08/29/2025 GREAT WEST LIFE & ANNUITY 9755 78,271.04
1328174340 PAYROLL 77,367.19
1328176265 PAYROLL 903.85
2275 08/29/2025 STATE OF KANSAS 2691 84,884.13
5225 6X8N 8467 SALESTAXWATER 84,884.13
2276 08/29/2025 CORVEL HEALTHCARE CORPORATION 8818 10,378.32
W/E 08/22/2025 ACH DEBT 10,378.32
2277 08/29/2025 DEPT OF TREASURY 9805 570,376.27
PAYROLL 8/22/25 PAYROLL 570,376.27
2278 08/29/2025 KANSAS DEPT OF REVENUE 9806 155,180.20
PAYROLL 8/22/25 PAYROLL 155,180.20
2279 08/29/2025 KPERS 9818 843,565.37
PAYROLL-OP LIF 8/22/25
PAYROLL 8,535.80
PAYROLL-KP&F 8/22/25
PAYROLL 598,855.10
PAYROLL-KPERS 8/22/25
PAYROLL 236,174.47
Total for Need to Define MNL 47,064,593.14
Need to Define PPD
10868 08/01/2025 HEUSTED, RICHARD C 9465 150.00
45860.4984 EE-SAFETY BOOTS (FOP) 150.00
10869 08/01/2025 PADILLA, MICHAEL 11310 890.03
45868.4977 ATLANTA GA 7/21-25/2025 847.44
45868.5026 EE-MEALS 7/29/25 42.59
10870 08/01/2025 SINSEL, SCOTT T 9771 204.00
45840.5613 ADV-AUSTIN TX 8/5-11/2025 204.00
10871 08/08/2025 DENNISON, DARRIA 13917 995.00
45825.7408 68966 995.00
10872 08/08/2025 SLOBODNIK, ANTHONY 12386 1,000.00
45836 2778 68967 1,000.00
10873 08/08/2025 STUM, AUSTIN LEE 9419 150.00
45862.6555 EE-2025 SCAFFA REGISTRATION 150.00
10874 08/15/2025 ALVAREZ, ERNESTO 13935 76.78
45833.4803 EE-DL REIMBURSEMENT(TEAMSTERS) 76.78
10875 08/15/2025 HEUSTED, BENJAMIN W 2223 442.17
45880.6243 HUNTSVILLE AL 7/6-12/2025 442.17
10876 08/15/2025 KING, WILLIAM STANLEY 2870 66.03
45877.4383 EE-CDL LICENSE (AFT) 66.03
10877 08/15/2025 LLAMAS. RAYMOND 13719 66.03
45859.3831 EE-CDL LICENSE (AFT) 66.03
10878 08/15/2025 MILLER, MARCUS DEWAYNE LAMONT 13728 37.40
45874.5939 LINCOLN NE 7/30-31/2025 37.40
10879 08/15/2025 PADILLA, MICHAEL 11310 19.79
45880.6032 EE-MEAL 8/11/25 19.79
10880 08/15/2025 SCHULTZ, GABRIEL 13964 60.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
45869.5632 EE-SCAFFA REG 2/27-3/2/25 60.00
10881 08/22/2025 AGUERO, JOHNNY 13970 299.00
69027 69027 299.00
10882 08/22/2025 AUSTIN, BRANDON M 11031 495.00
45870.5736 68999 495.00
10883 08/22/2025 BATMAN, RANDALL G 9254 128.00
45888.9090 COLUMBUS OH 8/13-14/2025 128.00
10884 08/22/2025 HAWKINS, DIANE KAY 10055 302.40
45881.7013 HAYS KS 7/28-31/2025 302.40
10885 08/22/2025 LEWIN, HANS 12806 130.41
45885.0075 EE-SAFETY BOOTS (FOP) 130.41
10886 08/22/2025 SINGLETON, BLAKE 10326 55.00
45881.6916 EE-TECH RECERT 8/10/25 55.00
10887 08/22/2025 VICKERS, REX E 9458 128.00
45889.3536 COLUMBUS OH 8/13-14/2025 128.00
10888 08/29/2025 HARSHA, CHRISTIAN 10228 313.42
45891.5337 EE-REIMB SPT ITEMS 313.42
10889 08/29/2025 PADILLA, MICHAEL 11310 16.98
45890.5724 EE-MEAL 8/18/25 16.98
Total for Need to Define PPD 6,025.44
Check Payments
760238 08/01/2025 CONSOLIDATED RURAL WATER 1076 1,668.75
66935 JULY 2025 66935 1,668.75
760239 08/01/2025 ENVISION INDUSTRIES INC 1549 43.62
101267 66811 43.62
760240 08/01/2025 EVENT MEDICAL SOLUTIONS 13960 374.10
JULY 2025 68930 374.10
760241 08/01/2025 FINLAY AUTOMOTIVE SUPPLY INC 10237 552.53
659764 66966 154.63
425462 66966 11.16
425921 67028 386.74
760242 08/01/2025 FIRST RESPONDER OUTFITTERS INC 10972 288.08
183349 1 68017 288.08
760243 08/01/2025 KANSAS DEPT OF HEALTH & ENVIR 2676 100.00
60514 #11527 ROECKERS
60514 20.00
60514 #13454 PFANNENST
60514 20.00
60514 #13523 -MARTINEZ
60514 20.00
60514 #16750 THOMPSON
60514 20.00
60514 #19365 HASTINGS
60514 20.00
760244 08/01/2025 KANSAS DEPT OF HEALTH & ENVIR 2676 25.00
60514 ZELLER DAN 60514 25.00
760245 08/01/2025 KANSAS DEPT OF HEALTH & ENVIR 2676 20.00
67713 OP10403 YOUNG67713 20.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
760246 08/01/2025 MOSER, ROBERT E 3537 495.00
67169 APRIL 2025 67169 495.00
760247 08/01/2025 NAILL ENTERPRISES LTD 4931 96.15
9502 40 67000 96.15
760248 08/01/2025 OT INTERPRETING LLC 11736 158.86
4187 67521 158.86
760249 08/01/2025 REEVES WIEDEMAN COMPANY INC 4154 373.44
6603782 67001 142.64
6604091 67001 32.30
6604091 1 67001 198.50
760250 08/01/2025 RELIANT GASES LTD 13677 6,619.80
130 1623644 68383 3,342.20
130 1535786 68383 3,277.60
760251 08/01/2025 SHAWNEE COUNTY 4502 4,204.99
67094 JUNE 2025 67094 4,204.99
760252 08/01/2025 SPECTRUM PAINT COMPANY INC 11127 151.21
076029666 66904 151.21
760253 08/01/2025 T-MOBILE USA INC 8549 2,060.42
JULY 2025 CELL DE 2,060.42
760254 08/01/2025 T-MOBILE USA INC 8549 9,798.38
JULY 2025 DATA DE 9,798.38
760255 08/01/2025 TERRACON CONSULTANTS INC 4906 20,400.00
TP13684 68034 20,400.00
760256 08/01/2025 USGS NATIONAL CENTER MS 270 5115 6,280.00
90116059 68850 6,280.00
760257 08/01/2025 VERMEER GREAT PLAINS INC 5218 482.56
P006043 67004 429.58
P06124 67004 52.98
760258 08/01/2025 EVERGY KANSAS CENTRAL INC 5377 4,721.00
WIL116-0825 2111949405 355.00
SHA1042-0825 8913355261 10.00
TAY103-0825 4195940483 30.00
THO111-0825 2312601554 100.00
WIL108-0725IM 4679502360 1,408.00
ORT101-0825 2398839848 25.00
RIC105-0825 7286187903 160.00
PRI1029-0825 3200745547 84.00
QUI101-0825 3522576561 141.00
PAR101-0825 6420927364 129.00
PEO104-0825 8053579356 58.00
AND107-0825 8277680867 165.00
ANS102-0825 0599766248 52.00
BAR107-0825 3781838027 85.00
BEN101-0825 7556620154 105.00
BOO102-0825 4295077701 107.00
BUS102-0825 6234102228 20.00
CHA102-0825 413705059 58.00
ESP101-0825 2268306161 53.00
CLE102-0825 3527120200 17.00
DIV101-0825 3563085328 150.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
DIX101-0825 4187264182 62.00
FLO102-0825 3017579915 45.00
GAL102-0825 9518284420 236.00
HAD103-0825 6202562469 150.00
HIL107-0825 2753492805 53.00
HIN101-0825 4607385063 55.00
LAM101-0825 5622638167 60.00
MAR102-0825 8525687789 41.00
MAR113-0825 4144122438 147.00
NEL103-0825 5259608908 286.00
MCG1031-0825 1449386986 274.00
760259 08/01/2025 ONE GAS INC 2708 1,492.00
HAD103-0825 510685670 120.00
BEN101-0825 512617527 87.00
BRY103-0825 510637630 208.00
BUS102-0825 512101896 19.00
CHA102-0825 512773577 35.00
ORT101-0825 512284831 25.00
CLA105-0825 512937756 76.00
DIV101-0825 512181970 145.00
ANS102-0825 512727845 27.00
DIX101-0825 512870905 30.00
ESP101-0825 510148704 40.00
CLE102-0825 511693104 16.00
FLO102-0825 512855615 43.00
GAL102-0825 510300989 236.00
MCG1031-0825 510018551 50.00
PRI1029-0825 510952127 82.00
HIL107-0825 510936078 40.00
HIN101-0825 510553606 25.00
MAR102-0825 510912803 41.00
MAR113-0825 512729800 147.00
760260 08/01/2025 PIONEER ADAMS II LP 7285 274.00
POR101-0825 S+C August Payment 274.00
760261 08/01/2025 MIDWEST MOTOR SUPPLY CO INC 2854 511.07
103544643 66999 404.64
103544699 66999 106.43
760262 08/01/2025 SUNFLOWER RENTS LLC 4817 68.00
606411 66906 68.00
760293 08/01/2025 LAIRD NOLLER FORD INC 2939 4,515.44
1345937 66961 466.52
1346067 66961 246.07
1345982 66961 29.17
1345983 66961 29.17
1345994 66961 208.62
1346025 66961 689.91
1346190 66961 -50.00
1346191 66961 -50.00
1346188 66961 -100.00
1346498 67024 246.64
1345796 66961 958.47
1345816 66961 -100.00
1345817 66961 10.88
1345856 66961 28.72
1345901 66961 165.05
1345932 66961 1,500.07
1345936 66961 38.71
1346076 66961 6.50
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
1346145 66961 61.20
1346146 66961 237.90
1346186 66961 82.94
1346187 66961 -191.10
760294 08/01/2025 KANSAS BUREAU OF INVESTIGATION 2646 115.00
CR 2024 0004215 MA
DU3392BROOKS 20.00
CR 2024 0005909 Z
DU3393
L ELLIS 95.00
760295 08/08/2025 BLITT AND GAINES PC 12381 795.48
0000006772508081845001 Garnishment - Pct of Net 795.48
760296 08/08/2025 BUTLER & ASSOCIATES PA 731 780.12
0000001052508081845001 Garnishment - Pct of Net 780.12
760297 08/08/2025 CARL B DAVIS 12867 69.23
0000034852508081845001 Bankruptcy - Amt 26 PP 69.23
760298 08/08/2025 CARL B DAVIS 12867 85.39
0000034792508081845001 Bankruptcy - Amt 26 PP 85.39
760299 08/08/2025 CARL B DAVIS 12867 70.62
0000037712508081845001 Bankruptcy - Amt 26 PP 70.62
760300 08/08/2025 CARL B DAVIS 12867 304.62
0000037692508081845001 Bankruptcy - Amt 26 PP 304.62
760301 08/08/2025 CARL B DAVIS 12867 695.08
0000038862508081845001 Bankruptcy - Amt 26 PP 695.08
760302 08/08/2025 CARL B DAVIS 12867 720.00
0000039072508081845001 Bankruptcy - Amt 26 PP 720.00
760303 08/08/2025 CARL B DAVIS 12867 695.54
0000026842508081845001 Bankruptcy - Amt 26 PP 695.54
760304 08/08/2025 CARL B DAVIS 12867 986.77
0000023582508081845001 Bankruptcy - Amt 26 PP 986.77
760305 08/08/2025 CARL B DAVIS 12867 44.59
0000027162508081845001 Bankruptcy - Amt 26 PP 44.59
760306 08/08/2025 CARL B DAVIS 12867 129.23
0000032012508081845001 Bankruptcy - Amt 26 PP 129.23
760307 08/08/2025 CARL B DAVIS 12867 440.77
0000039892508081845001 Bankruptcy - Amt 26 PP 440.77
760308 08/08/2025 CARL B DAVIS 12867 60.00
0000033772508081845001 Bankruptcy - Amt 26 PP 60.00
760309 08/08/2025 CARL B DAVIS 12867 64.61
0000003502508081845001 Bankruptcy - Amt 26 PP 64.61
760310 08/08/2025 CARL B DAVIS 12867 507.69
0000033202508081845001 Bankruptcy - Amt 26 PP 507.69
760311 08/08/2025 HOLLINS & MCVAY PA 6503 363.21
0000019952508081845001 Garnishment - Pct of Net 363.21
760312 08/08/2025 ATTORNEY GENERAL OF TEXAS 10437 124.62
0000039692508081845001 Child Support - Amt 124.62
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
760313 08/08/2025 ACTION ADVERTISING CO INC 43 350.00
82600 68784 350.00
760314 08/08/2025 AT&T 281 1,020.64
785 357 8370 275 8 DE 1,020.64
760315 08/08/2025 AT&T 281 111.64
148547694 7/25/25
WELLNESS UVERS 111.64
760316 08/08/2025 AUTOZONE STORES LLC 11262 2,593.32
04473289439 66854 627.92
04473289440 66854 398.09
04473290502 66854 470.94
04473290503 66854 470.94
04473289948 66854 235.47
04473290501 66854 389.96
760317 08/08/2025 BME INC 621 335.00
WCH 406522 66785 335.00
760318 08/08/2025 BROWNS SUPER SERVICE INC 670 250.00
158950 66787 250.00
760319 08/08/2025 CINTAS CORPORATION NO 2 1497 1,624.07
8407637786 66810 1,624.07
760320 08/08/2025 FEDEX 1632 632.11
8 933 70064 66902 632.11
760321 08/08/2025 FINLAY AUTOMOTIVE SUPPLY INC 10237 812.09
428077 67028 508.10
426591 67028 303.99
760322 08/08/2025 FIRST RESPONDER OUTFITTERS INC 10972 1,646.84
183719 1 68743 932.61
183723 1 68742 714.23
760323 08/08/2025 FISHER PARKING & SECURITY INC 5802 1,728.00
32276 66659 1,728.00
760324 08/08/2025 GERKEN RENT-ALL INC 12720 339.94
159733 66893 6.99
159735 66893 81.73
159755 66893 26.28
159819 66893 22.99
159885 66893 47.99
159898 66893 144.99
159971 66893 8.97
760325 08/08/2025 GOLD STANDARD DIAGNOSTICS 12031 2,421.09
INV 2025 01936 66901 2,421.09
760326 08/08/2025 HYDRO CONCRETE LLC 13880 48,325.95
68545 1 68545 48,325.95
760327 08/08/2025 JOHN HOFFER CHRYSLER JEEP INC 2541 106.19
170717 66864 106.19
760328 08/08/2025 KANSAS DEPARTMENT OF REVENUE 2666 2,125.00
68038 7/1/25-6/30/26 68038 2,125.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
760329 08/08/2025 L & H MOBILE ELECTRONICS LLC 2930 767.20
132623 66960 767.20
760330 08/08/2025 MAINLINE PRINTING INC 12824 701.75
142688 67134 629.77
142689 68795 71.98
760331 08/08/2025 NAILL ENTERPRISES LTD 4931 96.15
9502 41 67000 96.15
760332 08/08/2025 REEVES WIEDEMAN COMPANY INC 4154 574.98
6593547 66890 45.48
6587808 66890 487.00
6572198 67001 42.50
760333 08/08/2025 RELIANT GASES LTD 13677 3,488.40
130 1623649 68383 3,488.40
760334 08/08/2025 SOUTH CENTRAL SEALING LLC 13756 12,447.75
68013-2 68013 12,447.75
760335 08/08/2025 SOUTHWESTERN BELL TELEPHONE CO 282 296.09
210 078 0773 571 CIRCUITS 296.09
760336 08/08/2025 OAKS MHP HOMES LLC 13966 1,600.00
TOR104-0825IM IM August 2025 Payment 1,600.00
760337 08/08/2025 MIDWEST MOTOR SUPPLY CO INC 2854 45.39
103559812 67022 23.12
103614554 66999 22.27
760338 08/08/2025 ARC PHYSICAL THERAPY PLUS 9956 3,720.00
0801253216 67889 3,720.00
760360 08/08/2025 CALIFORNIA DEPARTMENT OF CHILD 753 126.92
0000035202508081845001 Child Support - Amt 126.92
760361 08/08/2025 CALIFORNIA DEPARTMENT OF CHILD 753 392.76
0000038802508081845001 Child Support - Amt 392.76
760362 08/08/2025 FRATERNAL ORDER OF POLICEMEN 1773 12,151.08
UNF1250808184502POL 0 Union Dues - FOP 12,151.08
760363 08/08/2025 STATE OF MISSOURI 3473 436.85
0000037142508081845001 Child Support - Amt 436.85
760364 08/08/2025 STATE OF MISSOURI 3473 264.46
0000037142508081845002 Child Support - Amt 264.46
760365 08/08/2025 LAIRD NOLLER FORD INC 2939 9,426.35
1347006 66961 138.42
1346782 66961 -318.24
1346864 67024 265.20
1346892 66961 132.34
1346923 66961 106.21
1347052 66961 1,727.69
1347083 66961 941.51
1347137 66961 18.20
1347178 66961 641.84
1346515 66961 146.25
1346532 66961 72.54
1347187 66961 67.73
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
1346591 66961 400.40
1346927 66961 158.90
1346604 66961 452.29
1346677 66961 178.75
1346685 66961 270.27
1346686 66961 95.34
1346687 66961 137.90
1346693 66961 38.05
1346766 66961 1,394.15
1346992 66961 2,065.30
1346142 66961 295.31
760366 08/08/2025 BOUTON, JOSHUA DAKOTA 12852 125.00
CR 2022 0001366 JL
MS1749
ROBERTS 25.00
CR 2022 0001366 JL
MS1797
ROBERTS 20.00
CR 2022 0001366 JL
MS1854
ROBERTS 25.00
CR 2022 0001366 JL
MS2011
ROBERTS 25.00
CR 2022 0001366 JL
MS2067
ROBERTS 25.00
CR 2022 0001366 JL
MS2189
ROBERTS 5.00
760367 08/08/2025 SESSION, CHELSEA MARAH 12996 21.57
CR 2020 0006267 MO
PC2196
STENSON 21.57
760368 08/15/2025 RICK'S CONCRETE SAWING 4207 750.00
25 1600 67191 250.00
25 1601 67191 250.00
25 1602 67191 250.00
760369 08/15/2025 AUTOZONE STORES LLC 11262 1,192.33
04473293861 66854 470.94
04473293872 66854 721.39
760370 08/15/2025 AXIOM INSTRUMENTATION SERVICES 10290 2,288.56
20 2568 68642 2,288.56
760371 08/15/2025 BROWNS SUPER SERVICE INC 670 400.00
159153 66787 400.00
760372 08/15/2025 FEDEX 1632 944.99
8 941 16039 66902 944.99
760373 08/15/2025 FINLAY AUTOMOTIVE SUPPLY INC 10237 422.39
427593 66966 31.63
427609 66966 37.31
66112 67071 113.60
427590 66966 80.19
427270 66966 48.93
427276 66966 17.49
427349 66966 6.04
427466 66966 87.20
760374 08/15/2025 GERKEN RENT-ALL INC 12720 101.05
159999 66893 81.96
160046 66893 19.09
760375 08/15/2025 HAYS FIRE AND RESCUE SALES AND 11147 5,442.68
7828D 66953 2,086.08
7829D 66953 109.43
7825D 66953 204.36
7826D 66953 84.49
7827D 66953 428.74
7830D 66953 728.17
7831D 67012 1,801.41
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
760376 08/15/2025 HEARTLAND RECOVERY 12309 1,440.00
25 20493 67837 60.00
25 20522 67151 60.00
25 20553 67151 120.00
25 20581 67151 60.00
25 20626 67151 60.00
25 20644 67151 60.00
25 20325 67151 60.00
25 20457 67151 60.00
25 20478 67837 60.00
25 20479 67837 60.00
25 20665 67151 60.00
25 20672 67151 60.00
25 20492 67837 60.00
25 20683 67151 60.00
25 20702 67151 120.00
25 20246 67151 60.00
25 20143 67151 60.00
25 20278 67837 60.00
25 20280 67837 60.00
25 20243 67151 60.00
25 20284 67837 120.00
760377 08/15/2025 HYGIENIC DRY CLEANERS INC 11630 19.00
A 535508 67164 9.50
A 535509 67164 9.50
760378 08/15/2025 ICOR TECHNOLOGY INC 12045 3,855.37
CS99858 1 68631 329.38
CS96521 1CR 68631 -56.23
CS96521 1 68631 3,582.22
760379 08/15/2025 ITS PLUS INC 10541 14,995.00
ITSP I080725 R2 68887 14,995.00
760380 08/15/2025 JOHN ROHRER CONTRACTING 12251 197,830.68
25629 20140 68154 13,504.00
61047 28 61047 184,326.68
760381 08/15/2025 KANSAS DEPT OF HEALTH & ENVIR 2676 20.00
67713 OP02145 ROGERS
67713 20.00
760382 08/15/2025 L & H MOBILE ELECTRONICS LLC 2930 16.00
132749 66960 16.00
760383 08/15/2025 MAINLINE PRINTING INC 12824 2,935.36
142568 67134 918.25
142606 67134 290.90
142661 67134 1,455.02
142891 67134 271.19
760384 08/15/2025 MARKSNELSON LLC 13673 2,500.00
MA1040395 65278 2,500.00
760385 08/15/2025 MIKE'S FRAME SHOP INC 3423 2,601.36
17984 66964 2,601.36
760386 08/15/2025 MUNICIPAL SUPPLY INC 9601 8,585.40
0950475 IN 68828 8,585.40
760387 08/15/2025 NAILL ENTERPRISES LTD 4931 96.15
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
9502 42 67000 96.15
760388 08/15/2025 OT INTERPRETING LLC 11736 160.60
4331 67521 160.60
760389 08/15/2025 REEVES WIEDEMAN COMPANY INC 4154 9.80
6608948 69012 9.80
760390 08/15/2025 RELIANT GASES LTD 13677 3,289.50
130 1535793 68383 3,289.50
760391 08/15/2025 SHAWNEE COUNTY 4522 304.00
8856 67463 304.00
760392 08/15/2025 SHAWNEE COUNTY RURAL WATER 5719 1,565.00
67100 JULY 2025 67100 1,565.00
760393 08/15/2025 SHIRLEY CONSTRUCTION INC 7565 152,696.46
66337 8 66337 152,696.46
760394 08/15/2025 STATE OF KANSAS 2697 60.00
CFF EVENT 01 2026 8/6
67589 60.00
760395 08/15/2025 STATE OF KANSAS 13184 100.00
2026000563 68983 100.00
760396 08/15/2025 THE TIRE CUTTERS INC 5633 504.00
100070 66705 504.00
760397 08/15/2025 WASHBURN UNIVERSITY OF TOPEKA 10388 2,520.00
69015 CARSON GENOVESE
69015 2,520.00
760398 08/15/2025 MID-STATES MATERIALS LLC 3401 7,963.61
156352 66872 7,963.61
760417 08/15/2025 SHAWNEE COUNTY 4517 295.00
3385 67146 295.00
760418 08/15/2025 ALCALA, DENIS 13968 195.00
CR 2024 0006419C B
MS3415
KELLEY JR 195.00
760419 08/15/2025 KANSAS BUREAU OF INVESTIGATION 2646 324.63
CR02023 0005199 I C
DU3411
PACHECO 25.00
CR 2023 0007146 AD
DU3412
ELDRIDGE 5.00
CR 2023 0007840 SA
DU3406
JENKINS 5.00
CR 2024 0005042 R L
DU3414
COMSTOCK 25.00
CR 2023 0002992 V
DU3405
MANYRATH 25.00
CR 2019 0001481 AJ
DU3410
COFFEE 239.63
760420 08/22/2025 BLITT AND GAINES PC 12381 800.46
0000006772508221826001 Garnishment - Pct of Net 800.46
760421 08/22/2025 BUTLER & ASSOCIATES PA 731 780.12
0000001052508221826001 Garnishment - Pct of Net 780.12
760422 08/22/2025 CARL B DAVIS 12867 69.23
0000034852508221826001 Bankruptcy - Amt 26 PP 69.23
760423 08/22/2025 CARL B DAVIS 12867 85.39
0000034792508221826001 Bankruptcy - Amt 26 PP 85.39
760424 08/22/2025 CARL B DAVIS 12867 70.62
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
0000037712508221826001 Bankruptcy - Amt 26 PP 70.62
760425 08/22/2025 CARL B DAVIS 12867 304.62
0000037692508221826001 Bankruptcy - Amt 26 PP 304.62
760426 08/22/2025 CARL B DAVIS 12867 695.08
0000038862508221826001 Bankruptcy - Amt 26 PP 695.08
760427 08/22/2025 CARL B DAVIS 12867 720.00
0000039072508221826001 Bankruptcy - Amt 26 PP 720.00
760428 08/22/2025 CARL B DAVIS 12867 695.54
0000026842508221826001 Bankruptcy - Amt 26 PP 695.54
760429 08/22/2025 CARL B DAVIS 12867 986.77
0000023582508221826001 Bankruptcy - Amt 26 PP 986.77
760430 08/22/2025 CARL B DAVIS 12867 11.09
0000027162508221826001 Bankruptcy - Amt 26 PP 11.09
760431 08/22/2025 CARL B DAVIS 12867 129.23
0000032012508221826001 Bankruptcy - Amt 26 PP 129.23
760432 08/22/2025 CARL B DAVIS 12867 440.77
0000039892508221826001 Bankruptcy - Amt 26 PP 440.77
760433 08/22/2025 CARL B DAVIS 12867 60.00
0000033772508221826001 Bankruptcy - Amt 26 PP 60.00
760434 08/22/2025 CARL B DAVIS 12867 64.61
0000003502508221826001 Bankruptcy - Amt 26 PP 64.61
760435 08/22/2025 CARL B DAVIS 12867 507.69
0000033202508221826001 Bankruptcy - Amt 26 PP 507.69
760436 08/22/2025 HOLLINS & MCVAY PA 6503 345.66
0000019952508221826001 Garnishment - Pct of Net 345.66
760437 08/22/2025 ATTORNEY GENERAL OF TEXAS 10437 124.62
0000039692508221826001 Child Support - Amt 124.62
760438 08/22/2025 CLARK, CORINNE RAE 12890 0.00
P7 59072 1,020.00
P7 VOID 59072 -1,020.00
T7 59072 50.00
T7 VOID 59072 -50.00
760439 08/22/2025 AIRGAS INC 13216 687.95
9163389459 66925 460.05
5518501586 66925 227.90
760440 08/22/2025 AUTOZONE STORES LLC 11262 3,287.39
04473295611 66854 61.49
04473295831 66854 184.47
04473295832 66854 470.94
04473296044 66854 368.94
04473296204 66854 627.92
04473297121 66854 778.25
04473297123 66854 237.54
04473297124 66854 557.84
760441 08/22/2025 CELLCO PARTNERSHIP 9497 2,825.15
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
6119931040 7-25 7852071280 40.01
6119931040AB 7-25 7852491554 40.01
6119931040AD 7-25 7852496701 40.01
6119931040AK 7-25 7852893743 40.01
6119931040AM 7-25 7853047008 40.01
6119931040AN 7-25 7853381038 40.01
6119931040AO 7-25 7853381605 40.01
6119931040AT 7-25 7853383081 40.01
6119931040AU 7-25 7853383098 40.01
6119931040BG 7-25 7853386658 40.01
6119931040BI 7-25 7853838375 41.52
6119931040BK 7-25 7854960235 41.52
6119931040BQ 7-25 7855590675 40.01
6119931040BT 7-25 7855599068 40.01
6119931040BY 7-25 7855599635 40.01
6119931040C 7-25 7852078135 40.01
6119931040CE 7-25 7855813352 40.01
6119931040CG 7-25 7855813386 40.01
6119931040CH 7-25 7855813401 40.01
6119931040D 7-25 7852078160 40.01
6119931040DB 7-25 7856700296 40.01
6119931040DC 7-25 7852071429 41.52
6119931040DD 7-25 7855812458 -37.80
6119931040DE 7-25 7852215397 40.01
6119931040DU7-25 7856337685 41.52
6119931040DV7-25 7856700615 40.01
6119931040DX7-25 7856700622 40.01
6119931040DY7-25 7856700627 40.01
6119931040DZ7-25 7856700635 40.01
6119931040DN 7-25 7853835866 41.52
6119931040DO 7-25 7854140039 40.01
6119931040DP 7-25 7854140172 41.52
6119931040DQ 7-25 7854809139 41.52
6119931040DR 7-25 7856000240 26.01
6119931040DS 7-25 7856008096 41.52
6119931040DT 7-25 7856334637 41.52
6119931040DF 7-25 7856000660 41.52
6119931040DG 7-25 7856000706 41.52
6119931040DH 7-25 7856000996 41.52
6119931040DI 7-25 7856001880 41.52
6119931040DK 7-25 7852151574 41.52
6119931040DM 7-25 7853044727 41.52
6119931040EH7-25 7858615235 41.52
6119931040EI7-25 7859693251 41.52
6119931040EJ7-25 7856008415 40.01
6119931040EK7-25 7856008369 41.52
6119931040EL7-25 7852171852 41.52
6119931040E 7-25 7852130336 40.01
6119931040EA7-25 7856700693 40.01
6119931040EB7-25 7856700706 40.01
6119931040EC7-25 7856700709 40.01
6119931040ED7-25 7856700750 40.01
6119931040EF7-25 7856700808 40.01
6119931040EG7-25 7858060163 41.52
6119931040EM7-25 7855067158 40.01
6119931040EO7-25 7855069847 40.01
6119931040EP7-25 7855813890 41.52
6119931040EQ7-25 7855963096 40.01
6119931040F 7-25 7852130361 40.01
6119931040G 7-25 7852131521 40.01
6119931040V 7-25 7852301806 40.01
6119931040Y 7-25 7852305854 40.01
6119931040K 7-25 7852135793 41.52
6119931040O 7-25 7852210204 40.01
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
6119931040Q 7-25 7852216512 40.01
6119931040S 7-25 7852217434 40.01
6119931040T 7-25 7852217536 40.01
6119931040U 7-25 7852218389 40.01
6119931040J 7-25 7852135594 41.52
6119931040BL 7-25 7854968036 41.52
6119931040BP 7-25 7855590567 40.01
6119931040BO 7-25 7855590342 40.01
760442 08/22/2025 COREFIRST BANK & TRUST 1111 3,039.89
JULY 2025 69028 3,039.89
760443 08/22/2025 FEDEX 1632 1,525.89
8 947 40263 66902 1,525.89
760444 08/22/2025 FINLAY AUTOMOTIVE SUPPLY INC 10237 827.74
427873 66966 7.33
428052 66966 19.30
428112 66966 15.75
428203 66966 179.23
660722 67071 18.98
728417 66966 2.66
428092 66966 210.24
428096 66966 254.52
428300 66966 119.73
760445 08/22/2025 FISHER PARKING & SECURITY INC 5802 978.00
32326 66659 978.00
760446 08/22/2025 GOLD STANDARD DIAGNOSTICS 12031 2,421.09
INV 2025 04591 66901 2,421.09
760447 08/22/2025 HAYS FIRE AND RESCUE SALES AND 11147 2,154.53
7850D 66953 2,154.53
760448 08/22/2025 HYDRO CONCRETE LLC 13880 62,865.41
68545 2 68545 62,865.41
760449 08/22/2025 ICOR TECHNOLOGY INC 12045 91.85
CS104908 1 68631 91.85
760450 08/22/2025 INFORMATION NETWORK OF KANSAS 2395 86.01
4559026 67201 86.01
760451 08/22/2025 JOHN DEERE FINANCIAL FSB 5769 100.69
2494398 66965 100.69
760452 08/22/2025 JOHN HOFFER CHRYSLER JEEP INC 2541 2,169.06
97781 66864 2,169.06
760453 08/22/2025 KANSAS DEPT OF HEALTH & ENVIRO 2678 2,000.00
MKS72SO01 9/25-9/2667670 2,000.00
760454 08/22/2025 KANSAS LEGAL SERVICES INC 2724 15,990.32
JUNE 2025 68590 6,826.22
MAY 2025 68590 9,164.10
760455 08/22/2025 MAINLINE PRINTING INC 12824 2,827.55
143028 67134 194.09
143029 65213 648.07
143099 65213 866.23
143100 67134 846.06
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
143200 67134 273.10
760456 08/22/2025 MURPHY TRACTOR & EQUIPMENT CO 9980 338,983.00
2498639 68051 338,983.00
760457 08/22/2025 NAILL ENTERPRISES LTD 4931 96.15
9502 43 67000 96.15
760458 08/22/2025 ORELLANA, BRENDA 13967 420.00
000024 69064 420.00
760459 08/22/2025 PASSPORT LABS INC 12091 12,290.70
INV 1054397 66660 12,000.00
INV 1054462 66660 290.70
760460 08/22/2025 PROFESSIONAL CLEANING SYSTEMS 4017 787.00
154316 67074 787.00
760461 08/22/2025 QUIGLEY ENTERPRISES LLC 13392 2,730.00
6425 07 67363 1,877.50
6525 07 67314 852.50
760462 08/22/2025 REEVES WIEDEMAN COMPANY INC 4154 2.49
6617928 66890 2.49
760463 08/22/2025 RELIANT GASES LTD 13677 3,445.90
130 1535798 68383 3,445.90
760464 08/22/2025 REVPAR INTERNATIONAL INC 13234 798.75
2169 23 25 62551 798.75
760465 08/22/2025 SHAWNEE COUNTY 4502 49,637.02
67094 JULY 2025 67094 3,827.02
69076 JULY 2025 69076 45,810.00
760466 08/22/2025 SHAWNEE COUNTY 4522 7,570.60
9019 67463 7,570.60
760467 08/22/2025 SPECTRUM PAINT COMPANY INC 11127 47.91
096030306 66904 47.91
760468 08/22/2025 STATE OF KANSAS DEPT OF LABOR 2687 2,069.96
ACCT 177403 2 Q 202569077 2,069.96
760469 08/22/2025 STATE OF KANSAS 2775 250.00
F2272940 68599 250.00
760470 08/22/2025 UNDERGROUND VAULTS & STORAGE 5130 240.60
2001490 67611 240.60
760471 08/22/2025 UTILITY SAFETY AND DESIGN INC 12512 5,000.00
IN20250596 68492 2,500.00
IN20253608 68492 2,500.00
760472 08/22/2025 TOPEKA HOUSING AUTHORITY 10159 335.00
SCH112-0825IM IM August 2025 Payment 335.00
760473 08/22/2025 MCCRAY LUMBER COMPANY INC 3280 118.08
TO0002326846 001 66997 49.60
TO0002327181 001 66997 68.48
760474 08/22/2025 MIDWEST MOTOR SUPPLY CO INC 2854 402.92
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
103597148 66999 80.55
103599215 66999 322.37
760475 08/22/2025 TARWATER FARM & HOME SUPPLY 4872 4.28
6506215 66981 4.28
760476 08/22/2025 STORMONT VAIL HEALTHCARE 5753 500.00
TS2023072002 61673 500.00
760488 08/22/2025 CALIFORNIA DEPARTMENT OF CHILD 753 126.92
0000035202508221826001 Child Support - Amt 126.92
760489 08/22/2025 CALIFORNIA DEPARTMENT OF CHILD 753 392.76
0000038802508221826001 Child Support - Amt 392.76
760490 08/22/2025 FRATERNAL ORDER OF POLICEMEN 1773 12,151.08
UNF1250822182639POL 0 Union Dues - FOP 12,151.08
760491 08/22/2025 STATE OF MISSOURI 3473 436.85
0000037142508221826001 Child Support - Amt 436.85
760492 08/22/2025 STATE OF MISSOURI 3473 264.46
0000037142508221826002 Child Support - Amt 264.46
760493 08/22/2025 STATE OF MISSOURI 3473 46.15
0000039692508221826001 Child Support - Amt 46.15
760494 08/22/2025 STATE OF MISSOURI 3473 23.08
0000039692508221826002 Child Support - Amt 23.08
760495 08/22/2025 LAIRD NOLLER FORD INC 2939 790.36
1347481 66961 7.24
1347534 66961 177.32
1347452 66961 605.80
760496 08/22/2025 KANSAS BUREAU OF INVESTIGATION 2646 100.00
CR 2024 0001844 I D
DU3420
STINER 25.00
CR 2024 0006749 E L
DU3421
RAYTON 50.00
CR 2023 0002992 V
DU3419
MANYRATH 25.00
760497 08/29/2025 AT&T 281 48,178.87
AUGUST 2025 MONTHLY PHONE 48,178.87
760498 08/29/2025 AT&T 281 182.58
332156043 8/11/25 DE 182.58
760499 08/29/2025 AT&T 281 11.20
0733264014 LONG DISTANCE 11.20
760500 08/29/2025 AUTOZONE STORES LLC 11262 33.56
04473299505 66854 33.56
760501 08/29/2025 BME INC 621 388.50
301438 66785 388.50
760502 08/29/2025 BROWNS SUPER SERVICE INC 670 959.00
158851 66787 59.00
159490 66787 250.00
158464 66787 250.00
158594 66787 400.00
760503 08/29/2025 ENVIRONMENTAL PROCESS 10364 1,631.78
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
08072501 67801 1,631.78
760504 08/29/2025 ENVISION INDUSTRIES INC 1549 44.40
102160 66811 44.40
760505 08/29/2025 FEDEX 1632 732.58
8 955 14560 66902 732.58
760506 08/29/2025 FINLAY AUTOMOTIVE SUPPLY INC 10237 2,320.88
429158 66966 43.98
428491 66966 7.91
429160 66966 26.61
429207 66966 592.36
429279 66966 4.24
429406 67028 328.14
429438 66966 -53.79
429213 66966 25.88
430658 66966 1.95
430942 66966 12.19
431000 66966 647.37
660883 67071 25.99
428724 66966 88.00
428729 66966 45.27
428502 66966 24.94
428509 66966 4.75
428539 66966 80.12
428615 66966 211.58
428730 66966 50.09
429018 66966 141.55
429142 66966 11.75
760507 08/29/2025 FIRST RESPONDER OUTFITTERS INC 10972 1,929.16
184296 1 68743 686.22
184498 1 68644 1,242.94
760508 08/29/2025 FISHER PARKING & SECURITY INC 5802 495.00
32358 66659 495.00
760509 08/29/2025 GLOBAL SPATIAL SOLUTIONS LLC 13937 38,000.00
68832 8/8/25 68832 38,000.00
760510 08/29/2025 HAYS FIRE AND RESCUE SALES AND 11147 188.34
7869D 66953 188.34
760511 08/29/2025 HYGIENIC DRY CLEANERS INC 11630 19.00
A 536023 67164 19.00
760512 08/29/2025 KANSAS ASSOCIATION FOR 2613 5,000.00
69007 5/14/25 69007 5,000.00
760513 08/29/2025 MAINLINE PRINTING INC 12824 182.23
143380 67134 182.23
760514 08/29/2025 NAILL ENTERPRISES LTD 4931 106.15
9502 44 67000 106.15
760515 08/29/2025 RELIANT GASES LTD 13677 3,478.20
130 1661452 68383 3,478.20
760516 08/29/2025 SHAWNEE COUNTY 4521 101.25
35662546 67077 101.25
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
760517 08/29/2025 SOUTH CENTRAL SEALING LLC 13756 7,391.25
68013 3 68013 7,391.25
760518 08/29/2025 T-MOBILE USA INC 8549 2,060.42
AUGUST 2025 CELL DE 2,060.42
760519 08/29/2025 T-MOBILE USA INC 8549 9,471.68
AUGUST 2025 DATA DE 9,471.68
760520 08/29/2025 TRANSFLUID SERVICES INC 13915 26,705.00
T INV00258 68405 26,705.00
760521 08/29/2025 EVERGY KANSAS CENTRAL INC 5377 3,277.00
WIL116-0925 2111949405 355.00
ESP101-0925 2268306161 53.00
SHA1042-0925 8913355261 10.00
TAY103-0925 4195940483 30.00
THO111-0925 2312601554 100.00
ORT101-0925 2398839848 25.00
RIC105-0925 7286187903 160.00
MAR102-0925 8525687789 41.00
MCG1031-0925 1449386986 274.00
PEO104-0925 8053579356 34.00
PRI1029-0925 3200745547 42.00
PAR101-0925 6420927364 129.00
QUI101-0925 3522576561 141.00
AND107-0925 8277680867 165.00
ANS102-0925 0599766248 49.00
BAR107-0925 3781838027 85.00
DIX101-0925 4187264182 62.00
BOO102-0925 4295077701 107.00
BUS102-0925 6234102228 20.00
CHA102-0925 413705059 61.00
CLE102-0925 3527120200 17.00
DIV101-0925 3563085328 150.00
GAL102-0925 9518284420 236.00
HAD103-0925 6202562469 150.00
HAR102-0925 5058240563 75.00
HIL107-0925 2753492805 53.00
HIN101-0925 4607385063 55.00
LAM101-0925 5622638167 60.00
MAR113-0925 4144122438 147.00
NEL103-0925 5259608908 286.00
BEN101-0925 7556620154 105.00
760522 08/29/2025 ONE GAS INC 2708 1,183.00
ANS102-0925 512727845 27.00
BRY103-0925 510637630 208.00
BUS102-0925 512101896 19.00
CHA102-0925 512773577 46.00
CLE102-0925 511693104 16.00
CLA105-0925 512937756 76.00
DIV101-0925 512181970 145.00
DIX101-0925 512870905 30.00
HAD103-0925 510685670 120.00
ESP101-0925 510148704 40.00
BEN101-0925 512617527 87.00
MAR113-0925 512729800 147.00
MCG1031-0925 510018551 50.00
ORT101-0925 512284831 25.00
PRI1029-0925 510952127 41.00
HIL107-0925 510936078 40.00
HIN101-0925 510553606 25.00
COUNCIL REPORT OF VENDOR PAYMENTS
Between 7/26/2025 and 8/29/2025
Check No. Check Date/PO # Vendor Name and Number Check Amount
MAR102-0925 510912803 41.00
760523 08/29/2025 PIONEER ADAMS II LP 7285 274.00
POR101-0925 S+C September Payment 274.00
760524 08/29/2025 MIDWEST MOTOR SUPPLY CO INC 2854 648.64
103631471 67022 116.56
103636431 66999 532.08
760525 08/29/2025 TARWATER FARM & HOME SUPPLY 4872 274.99
6508150 66981 274.99
760526 08/29/2025 COTTON ONEIL CLINIC 1131 665.75
AUGUST 2025 67213 665.75
760527 08/29/2025 STORMONT VAIL HEALTHCARE 5753 4,095.75
AUGUST 2025 67215 4,095.75
760559 08/29/2025 LAIRD NOLLER FORD INC 2939 19,172.29
6033446 66961 17,106.53
6034033 1 66961 1,453.84
1347493 66961 239.16
1347592 66961 40.30
1347584 66961 108.86
1347381 66961 299.00
1347243 66961 -75.40
760560 08/29/2025 KANSAS BUREAU OF INVESTIGATION 2646 25.00
CR 2024 0004215 MA
DU3431BROOKS 25.00
760561 08/29/2025 MONAGHAN, DANYEL LEE 13985 30.00
CR 2021 0008302 KER
MS3430MARTIN 30.00
Total for Check Payments 1,330,444.96
TOTAL OF PAYMENTS 66,362,715.43
Payment Listing
CB255 Date 08/29/25 Page 1
Time 10:14 Payment Listing
Cash Code 07 US BANK OPERATING ACCT
By Transaction Code (Status: Paid )
Transaction Code SYS AP SYSTEM PAYMENT
Reference Payment Post Pay Void Pay Proc
Number Nbr Co. Date Date Date Amount Status Payee Name Group Grp
---------- ---------- ---- -------- -------- -------- -------------------- ---------- -------------------- ------- ----
CHANCE CHR 760263 1 07/17/25 08/01/25 123.00 Historical CHRISTIE CHANCE COT
COLLINS BR 760264 1 07/17/25 08/01/25 133.26 Historical BRIANIQUE J COLLINS COT
D&R ASSETS 760265 1 07/21/25 08/01/25 85.66 Historical D&R ASSETS COT
DUNLAP LIN 760266 1 07/17/25 08/01/25 224.36 Historical LINDSEY E DUNLAP COT
EPIC PROPE 760267 1 07/17/25 08/01/25 76.48 Historical EPIC PROPERTY MANAGE COT
HARMAN AUS 760268 1 07/21/25 08/01/25 349.78 Historical MYRNA A HARMAN AUSTI COT
K&K SELECT 760269 1 07/17/25 08/01/25 42.41 Historical K&K SELECT LLC COT
MEADOWOD M 760270 1 07/22/25 08/01/25 307.54 Historical MEADOWOOD MHC LLC OF COT
PENSAVALLE 760271 1 07/25/25 08/01/25 75.24 Historical ISSABELLA V PENSAVAL COT
PMI ADVISO 760272 1 07/23/25 08/01/25 28.46 Historical PMI ADVISORY GROUP COT
THE JAMES 760273 1 07/23/25 08/01/25 66.56 Historical THE JAMES WATERS AGE COT
WATSON REA 760274 1 07/17/25 08/01/25 185.39 Historical WATSON REAL ESTATE D COT
PURE OPERA 760275 1 07/21/25 08/01/25 84.48 Historical PURE OPERATING LLC COT
WILLS MILE 760276 1 07/21/25 08/01/25 83.91 Historical MILES C WILLS COT
JERUSALEM 760277 1 08/01/25 08/01/25 18.44 Historical JERUSALEM RANCH LLC COT
KONZA KLAS 760278 1 08/01/25 08/01/25 37.57 Historical KONZA KLASSICS COT
ED BOZARTH 760279 1 08/01/25 08/01/25 93.61 Historical ED BOZARTH CHEVROLET COT
RUDD JOSEP 760280 1 08/01/25 08/01/25 78.65 Historical JOSEPH C RUDD COT
WASHINGTON 760281 1 08/01/25 08/01/25 33.36 Historical LILA L WASHINGTON COT
TUCK CORY 760282 1 08/01/25 08/01/25 61.15 Historical CORY D TUCK COT
PREMIER MA 760283 1 07/21/25 08/01/25 46.38 Historical PREMIER MANAGEMENT L COT
TILLEY STE 760284 1 07/18/25 08/01/25 11.75 Historical STEPHANIE TILLEY COT
GONZALES D 760285 1 07/21/25 08/01/25 10.00 Historical DAVID D GONZALES COT
MCCAULEY R 760286 1 07/18/25 08/01/25 10.00 Historical ROGER S MCCAULEY COT
BLANCO WHI 760287 1 07/18/25 08/01/25 12.73 Historical WHITNEY BLANCO COT
REED TANNE 760288 1 07/21/25 08/01/25 66.50 Historical TANNER JOHN REED COT
GALLANT JR 760289 1 07/21/25 08/01/25 25.00 Historical WILLIAM JOSEPH GALLA COT
MORROW AND 760290 1 07/25/25 08/01/25 150.00 Historical ANDRE DEBOW MORROW COT
COMPAAN JO 760291 1 07/25/25 08/01/25 100.00 Historical JONATHAN BOYD COMPAA COT
LARKIN HAI 760292 1 08/01/25 08/01/25 1000.00 Historical HAILEY ANN LARKIN COT
NOTO ARTS 760339 1 06/28/25 08/08/25 250.00 Historical NOTO ARTS & ENTERTAI COT
OUR LADY O 760340 1 06/28/25 08/08/25 250.00 Historical OUR LADY OF GUADALUP COT
OUR LADY O 760341 1 06/28/25 08/08/25 250.00 Historical OUR LADY OF GUADALUP COT
OUR LADY O 760342 1 06/28/25 08/08/25 250.00 Historical OUR LADY OF GUADALUP COT
OUR LADY O 760343 1 06/28/25 08/08/25 500.00 Historical OUR LADY OF GUADALUP COT
FELLOWSHIP 760344 1 06/28/25 08/08/25 250.00 Historical FELLOWSHIP HI-CREST COT
TOPEKA MAN 760345 1 08/02/25 08/08/25 250.00 Historical TOPEKA MANAGEMENT COT
URBANEK JA 760346 1 07/29/25 08/08/25 75.00 Historical JACK EDWARDS URBANEK COT
WILLIAMS T 760347 1 07/28/25 08/08/25 100.00 Historical TAYLOR WILLIAMS COT
AMBAM REBE 760348 1 07/28/25 08/08/25 171.00 Historical REBECCA J AMBAM COT
RATLIFF SA 760349 1 07/28/25 08/08/25 100.00 Historical SAVANNAH L RATLIFF COT
COOPER BRA 760350 1 07/30/25 08/08/25 75.00 Historical BRANDON MICHAEL COOP COT
HEFFNER JA 760351 1 07/30/25 08/08/25 185.00 Historical JADE MARIE HEFFNER COT
Payment Listing
CB255 Date 08/29/25 Page 2
Time 10:14 Payment Listing
Cash Code 07 US BANK OPERATING ACCT
By Transaction Code (Status: Paid )
Transaction Code SYS AP SYSTEM PAYMENT
Reference Payment Post Pay Void Pay Proc
Number Nbr Co. Date Date Date Amount Status Payee Name Group Grp
HEFFNER JA 760352 1 07/30/25 08/08/25 89.00 Historical JADE MARIE HEFFNER COT
BATTLES SI 760353 1 07/25/25 08/08/25 10.00 Historical SIERRA BATTLES COT
NJONJO JAC 760354 1 07/25/25 08/08/25 14.13 Historical JACE NJONJO COT
NJONJO PET 760355 1 07/25/25 08/08/25 10.00 Historical PETER NJONJO COT
STAFFORD M 760356 1 07/25/25 08/08/25 31.35 Historical MARY K STAFFORD COT
THOMAS GEO 760357 1 07/25/25 08/08/25 38.21 Historical GEOFF THOMAS COT
WILLIAMS H 760358 1 08/08/25 08/08/25 10.00 Historical HOPE K WILLIAMS COT
WILLIAMS H 760359 1 08/08/25 08/08/25 10.00 Historical HOPE K WILLIAMS COT
FELLOWSHIP 760399 1 08/07/25 08/15/25 1100.00 Historical FELLOWSHIP BIBLE CHU COT
HILL KEYTO 760400 1 08/06/25 08/15/25 1376.00 Historical KEYTON HILL COT
RODRIGUEZ 760401 1 08/07/25 08/15/25 189.00 Historical ERIK GUADALUPE RODRI COT
UNION LILL 760402 1 07/25/25 08/15/25 10.00 Historical LILLY ANN UNION COT
DEAN VICTO 760403 1 07/25/25 08/15/25 10.00 Historical VICTORIA LACHELL SHI COT
GLASSCOX R 760404 1 07/25/25 08/15/25 10.00 Historical RYAN MICHAEL GLASSCO COT
DEGAND JES 760405 1 07/25/25 08/15/25 10.00 Historical JESSICA LYNN DEGAND COT
SCHALL SHI 760406 1 08/05/25 08/15/25 10.00 Historical SHIRLEY SCHALL COT
SILVA ASHL 760407 1 07/25/25 08/15/25 10.56 Historical ASHLEY ELAINE SILVA COT
WEST JR CA 760408 1 08/04/25 08/15/25 100.00 Historical CARL A WEST JR COT
SEAL ALISS 760409 1 08/01/25 08/15/25 10.07 Historical ALISSA ANN SEAL COT
SEAL JOSHU 760410 1 08/01/25 08/15/25 10.07 Historical JOSHUA MICHAEL SEAL COT
KAYHILL KI 760411 1 08/01/25 08/15/25 10.98 Historical KIRA KAYHILL COT
GARDENHIRE 760412 1 08/01/25 08/15/25 10.00 Historical TRAVOSSIA L GARDENHI COT
ARELLANO D 760413 1 08/01/25 08/15/25 10.00 Historical DAVID P ARELLANO COT
HUGHES DAS 760414 1 08/06/25 08/15/25 170.00 Historical DASHAWN M HUGHES COT
MARKLEY CO 760415 1 07/25/25 08/15/25 12.38 Historical CODY L MARKLEY COT
PINICK DAR 760416 1 08/15/25 08/15/25 75.00 Historical DARREN LEE PINICK COT
SUTER DANI 760477 1 08/14/25 08/22/25 172.00 Historical DANIEL SUTER COT
WENTE DANA 760478 1 08/13/25 08/22/25 100.00 Historical DANAYA LYNNE WENTE COT
DUHE SARA 760479 1 08/13/25 08/22/25 171.00 Historical SARA BETH DUHE COT
COUNTESS K 760480 1 08/15/25 08/22/25 300.00 Historical KRISTOPHER C A COUNT COT
DENBLEYKER 760481 1 08/11/25 08/22/25 66.50 Historical JASON HENRY DENBLEYK COT
LOPEZ JOCE 760482 1 08/08/25 08/22/25 10.00 Historical JOCELYN LOPEZ COT
MADUPOJU R 760483 1 08/08/25 08/22/25 11.12 Historical RAJESH MADUPOJU COT
CARROLL SU 760484 1 08/08/25 08/22/25 11.12 Historical SUZANN DACQUET CARRO COT
NEWBERRY M 760485 1 08/08/25 08/22/25 10.00 Historical MICHAEL NEWBERRY COT
UNDERWOOD 760486 1 08/08/25 08/22/25 10.00 Historical JENNIFER MARIE UNDER COT
KIRK AMAND 760487 1 08/22/25 08/22/25 14.00 Historical AMANDA LYNN KIRK COT
GOLD JONTE 760528 1 08/09/25 08/29/25 250.00 Historical JONTE GOLD COT
PULGARIN M 760529 1 08/29/25 08/29/25 1113.17 Historical DANIEL I PULGARIN MU COT
PATTERSON 760530 1 08/13/25 08/29/25 81.08 Historical MELVIN G PATTERSON T COT
BROKKE ROG 760531 1 08/19/25 08/29/25 369.75 Historical ROGER BROKKE COT
DERAINIE P 760532 1 08/18/25 08/29/25 54.95 Historical DERAINIE PROPERTIES COT
STEWART WA 760533 1 08/13/25 08/29/25 8.75 Historical WANDA F STEWART COT
TOPEKA HOU 760534 1 08/08/25 08/29/25 82.61 Historical TOPEKA HOUSING AUTHO COT
Payment Listing
CB255 Date 08/29/25 Page 3
Time 10:14 Payment Listing
Cash Code 07 US BANK OPERATING ACCT
By Transaction Code (Status: Paid )
Transaction Code SYS AP SYSTEM PAYMENT
Reference Payment Post Pay Void Pay Proc
Number Nbr Co. Date Date Date Amount Status Payee Name Group Grp
WATSON REA 760535 1 08/04/25 08/29/25 103.64 Historical WATSON REAL ESTATE D COT
PMI ADVISO 760536 1 08/04/25 08/29/25 211.14 Historical PMI ADVISORY GROUP COT
A&P PROPER 760537 1 07/29/25 08/29/25 477.70 Historical A&P PROPERTY MANAGEM COT
CRIMI RYAN 760538 1 08/18/25 08/29/25 34.93 Historical RYANN M CRIMI COT
RETHMAN SM 760539 1 08/11/25 08/29/25 13.05 Historical ERIK T RETHMAN SMITH COT
VAZQUEZ BR 760540 1 08/19/25 08/29/25 38.06 Historical BRIAN VAZQUEZ COT
DELUERA RI 760541 1 08/05/25 08/29/25 163.82 Historical RICHARDO DELUERA COT
NIEMANN MI 760542 1 08/08/25 08/29/25 38.15 Historical MICHAEL G NIEMANN COT
ANDERSON P 760543 1 08/20/25 08/29/25 753.15 Historical PHILLIP A ANDERSON COT
FANNING TA 760544 1 08/22/25 08/29/25 123.75 Historical TAMMY S FANNING COT
WATSON REA 760545 1 08/25/25 08/29/25 148.49 Historical WATSON REAL ESTATE D COT
KUPPAMALA 760546 1 08/25/25 08/29/25 85.32 Historical TANYA T KUPPAMALA COT
PUMMILL RO 760547 1 08/25/25 08/29/25 74.97 Historical RONNIE EUGENE PUMMIL COT
RUSSELL LI 760548 1 08/14/25 08/29/25 19.10 Historical LISA ANN RUSSELL COT
CUNNINGHAM 760549 1 08/18/25 08/29/25 150.00 Historical AMARA MARIE CUNNINGH COT
MATTOX LAC 760550 1 08/18/25 08/29/25 77.00 Historical LACY N MATTOX COT
GLASSCOCK 760551 1 08/18/25 08/29/25 147.00 Historical COLTON PHILIP GLASSC COT
BORQUEZ CA 760552 1 08/19/25 08/29/25 303.00 Historical CARLOS GERARDO GALIN COT
STEWART ZH 760553 1 08/14/25 08/29/25 10.35 Historical ZHARIYA STEWART COT
CROWLEY AN 760554 1 08/14/25 08/29/25 22.32 Historical ANN MICAH CROWLEY COT
CAIN SARA 760555 1 08/14/25 08/29/25 10.00 Historical SARA ELIZABETH CAIN COT
MCKELLIPS 760556 1 08/20/25 08/29/25 10.00 Historical TESS MCKELLIPS COT
CLARK DAVI 760557 1 08/22/25 08/29/25 100.00 Historical DAVID L CLARK COT
BENTLEY MI 760558 1 08/22/25 08/29/25 77.00 Historical MICHAEL ALLAN BENTLE COT
--------------------
Transaction Code SYS Total 15702.41
--------------------
Cash Code 07 Total 15702.41
--------------------
Report Total 15702.41
*** REPORT COMPLETED ***
City of Topeka
Council Action Form
Council Chambers
214 SE 8th Street
Topeka, Kansas 66603
www.topeka.org
September 16, 2025
DATE: September 16, 2025
CONTACT PERSON: Councilmember DOCUMENT #:
Spencer
Duncan/Braxton
Copley, Deputy City
Manager
SECOND PARTY/SUBJECT: Transient Guest Tax PROJECT #:
Levy Structure Revision
- Hotel Topeka
CATEGORY/SUBCATEGORY 013 Ordinances - Codified / 159 Charter
CIP PROJECT: No
ACTION OF COUNCIL: JOURNAL #:
PAGE #:
DOCUMENT DESCRIPTION:
CHARTER ORDINANCE introduced by Dr. Robert M. Perez, amending the City's Charter Ordinance
levying the transient guest tax, revising the structure to allow the City to recoup its investment costs of
Hotel Topeka. (The TGT Committee recommended approval by a vote of 2-0-0 on August 27, 2025)
Voting Requirement: At least seven (7) votes of the Governing Body is required.
(Approval would amend the City Charter Ordinance levying the transient guest tax and allowing the City to
recoup its investment costs. Hotel Topeka would have its own special rate of 8% to reimburse the City.)
VOTING REQUIREMENTS:
At least seven (7) votes of the Governing Body is required.
POLICY ISSUE:
Transient Guest Tax (TGT) taxes are collected from individuals that are spending money at the hotel property. The
total transient guest tax collected at Hotel Topeka in the year 2025 shall constitute the “base year”. Effective
January 1, 2026, the transient guest tax rate levied at Hotel Topeka shall be eight percent, Any transient guest tax
collected at Hotel Topeka in excess of the base year that is not contractually obligated shall be used solely by the
City to recoup its investment costs of Hotel Topeka which include the purchase price, capital expenses, and
operating losses incurred by the City through the date of sale. This provision shall expire upon complete
reimbursement.
STAFF RECOMMENDATION:
Staff recommends the Governing Body move to adopt the charter ordinance.
BACKGROUND:
Letter of Intent (LOI) was submitted by Endeavor Hotel Group for the City to repay itself for Hotel Topeka. The
expenses from a combination of Community Improvement District (CID) and Transient Guest Tax (TGT) taxes are
collected from individuals that are spending money at the hotel property.
BUDGETARY IMPACT:
Budgetary impact based on the amount of transient guest tax dollars collected.
SOURCE OF FUNDING:
Not Applicable.
ATTACHMENTS:
Description
Charter Ordinance
Hotel Topeka TGT Projections - Fiscal Impact
Hotel Expenses (August 27, 2025)
TGT Committee Referral Report (August 27, 2025)
TGT Committee Minutes Excerpt (August 27, 2025)
1 (Published in the Topeka Metro News _____________ and _________________)
2
3 CHARTER ORDINANCE NO. __________
4
5 A CHARTER ORDINANCE introduced by City Manager Dr. Robert M. Perez, amending
6 the City’s Charter Ordinance levying the transient guest tax,
7 revising the structure to allow the City to recoup its investment
8 costs of Hotel Topeka.
9
10 NOW THEREFORE, BE IT ORDAINED BY THE GOVERNING BODY OF THE
11 CITY OF TOPEKA, KANSAS, THAT:
12 Section 1. That Section 2 of Charter Ordinance No. 120, as codified in § A15-
13 17, of The Code of the City of Topeka, Kansas, is hereby amended to read as follows:
14 Levied – Amount.
15 (a) Effective November 14, 2015 and continuing through December 31, 2027,
16 a transient guest tax of seven percent shall be levied in the City of Topeka, Kansas, upon
17 the gross rental receipts derived from or paid directly or through an accommodations
18 broker by transient guests for lodging or sleeping accommodations, exclusive of charges
19 for incidental services or facilities, in any hotel, motel, or tourist court. Funds shall be
20 distributed pursuant to resolution and agreement.
21 (b) Effective January 1, 2028, and continuing through December 31, 2032, a
22 transient guest tax of six percent shall be levied in the City of Topeka, Kansas, upon the
23 gross rental receipts derived from or paid directly or through an accommodations broker
24 by transient guests for lodging or sleeping accommodations, exclusive of charges for
25 incidental services or facilities, in any hotel, motel, or tourist court.
26 (c) Effective January 1, 2033, a transient guest tax of five percent shall be
27 levied in the City of Topeka, Kansas, upon the gross rental receipts derived from or paid
28 directly or through an accommodations broker by transient guests for lodging or sleeping
CHORD/Transient Guest Tax Levy 8/19/25 1
29 accommodations, exclusive of charges for incidental services or facilities, in any hotel,
30 motel, or tourist court.
31 (d) Notwithstanding anything to the contrary, the total transient guest tax
32 collected at Hotel Topeka in the year 2025 shall constitute the “base year”. Effective
33 January 1, 2026, the transient guest tax rate levied at Hotel Topeka shall be eight percent,
34 Any transient guest tax collected at Hotel Topeka in excess of the base year that is not
35 contractually obligated shall be used solely by the City to recoup its investment costs of
36 Hotel Topeka which include the purchase price, capital expenses, and operating losses
37 incurred by the City through the date of sale. This provision shall expire upon complete
38 reimbursement.
39 Section 2. This Ordinance shall be published once each week for two (2)
40 consecutive weeks in the official City newspaper.
41 Section 3. This Charter Ordinance shall take effect sixty-one (61) days after
42 final publication unless a sufficient petition for a referendum is filed and a referendum held
43 on this Charter Ordinance as provided in Article 12, Section 5, Subdivision (c)(3), of the
44 Kansas Constitution, in which case this Charter Ordinance shall become effective if
45 approved by a majority of the electors voting therein.
46 Section 4. Upon the effective date of this Charter Ordinance, this Charter
47 Ordinance shall be recorded by the City Clerk in a book maintained for such purposes
48 with a statement of the manner of adoption and a certified copy shall be filed with the
49 Secretary of State of the State of Kansas.
50 Section 5. That Section 2 of Charter Ordinance No. 120, as codified in Topeka
51 Municipal Code § A15-17 is hereby specifically repealed.
CHORD/Transient Guest Tax Levy 8/19/25 2
52 PASSED AND APPROVED by the Governing Body on ____________________.
53
54 CITY OF TOPEKA, KANSAS
55
56
57
58 ______________________________
59 Michael A. Padilla, Mayor
60 ATTEST:
61
62
63
64 _______________________________
65 Brenda Younger, City Clerk
66
CHORD/Transient Guest Tax Levy 8/19/25 3
67 STATEMENT OF MANNER OF ADOPTION OF FOREGOING
68
69 The foregoing Charter Ordinance No. _____ was passed on the _____ day of
70 _____________, 2025, as shown by the minutes, Book _____ Page _____, by a vote of
71 _____ for and _____ against, being not less than two-thirds (2/3) of the members-elect
72 of the governing body, published in the Topeka Metro News, the official city newspaper,
73 on the _____ day of _________, 2025, and on the _____ day of __________, 2025, being
74 once each week for two (2) consecutive weeks, and there being no petition demanding a
75 referendum filed with the City Clerk within sixty (60) days after the final publication, said
76 Charter Ordinance took effect on the _____ day of _________, 2025.
77 ______________________________
78 Brenda Younger, City Clerk
79
80 CERTIFICATE
81 CITY OF TOPEKA )
82 COUNTY OF SHAWNEE ) ss:
83 STATE OF KANSAS )
84
85 I, Brenda Younger, City Clerk of the City of Topeka, County of Shawnee, State of
86 Kansas, do hereby certify that the above and foregoing, consisting of ___ typewritten
87 pages, including the page upon which this Certificate is written, is a full true and correct
88 copy of Charter Ordinance No. _______ of the said City of Topeka, that all acts and things
89 required by Article 12, Section 5 of the Constitution of the State of Kansas were done and
90 performed in the manner and within the time prescribed and that said Ordinance became
91 effective on the _____ day of ______________, 2025.
92
93
94 ________________________________
95 Brenda Younger, City Clerk
CHORD/Transient Guest Tax Levy 8/19/25 4
Operating Funded Expenditures (8/27/2025) Amount
City of Topeka $ 402,915.19
Topeka Development Corporation $ 3,237,498.31
Operating Totals $ 3,640,413.50
2025-B Series Issuance (Hotel Portion) $ 8,710,000.00
2025-B Series Interest (Hotel Portion) $ 5,382,482.00
Totals $ 14,092,482.00
* Purchase Price was $7,391,457.65
Hotel Capital Expenditures* Amount
TOPHOTEL - ACTUATORS $ 19,106.09
TOPHOTEL - LOCKS $ 91,092.00
TOPHOTEL - SPRINKLERS $ 7,297.00
CAPEX - STROBE HORN $ 632.46
TOPHOTEL - EMERGENCY WA EXTR $ 24,058.31
TOPHOTEL - BACKFLOW REPAIR $ 9,479.00
TOPHOTEL - DOOR LOCK SERVER $ 2,003.64
TOPHOTEL - DRYWALL $ 2,971.53
TOPHOTEL - PULL STATION $ 2,168.54
TOPHOTEL - VALVE REPLACEMENT $ 18,286.60
TOPHOTEL - VALVE REPLACEMENT $ 69,344.00
TOPHOTEL - CAPEX ELEVATOR $ 32,191.55
Authority for Site Improvements - On Hold - Not Spent $ 125,662.00
Chiller $ 217,254.24
Fire Actuators - Came in under Authority $ 49,747.69
Authority for Site Improvements - On Hold - Rescinded $ (125,662.00)
York Chiller $ 34,216.74
Totals $ 579,849.39
*CAPEX is included in grand total in first table
Year Month Day Object Type Description Actuals: Responsibility CAPEX vs. Non-CAPEX
2023 June 30 Operational Transfers TRSF HOTEL TOPEKA DWN PYMT ($766,875.00) City of Topeka Non-CAPEX
2023 August 18 Individual & Contract Services OUTSIDE COUNSEL ($5,000.00) City of Topeka Non-CAPEX
2023 September 7 Individual & Contract Services OUTSIDE COUNSEL ($5,620.00) City of Topeka Non-CAPEX
2023 September 18 Individual & Contract Services OUTSIDE COUNSEL ($16,004.79) City of Topeka Non-CAPEX
2023 September 5 Operational Transfers REV HOTEL TOP DOWN PYT TRSF $766,875.00 City of Topeka Non-CAPEX
2023 October 5 Individual & Contract Services OUTSIDE COUNSEL ($14,040.00) City of Topeka Non-CAPEX
2023 November 8 Individual & Contract Services CONSULTING SERVICES ($3,416.25) City of Topeka Non-CAPEX
2023 November 6 Individual & Contract Services OUTSIDE COUNSEL ($8,775.00) City of Topeka Non-CAPEX
2023 November 8 Individual & Contract Services OUTSIDE COUNSEL ($18,931.05) City of Topeka Non-CAPEX
2023 November 14 Individual & Contract Services OUTSIDE COUNSEL ($15,064.16) City of Topeka Non-CAPEX
2023 December 5 Individual & Contract Services CONSULTING SERVICES ($15,721.18) City of Topeka Non-CAPEX
2023 December 31 Individual & Contract Services CONSULTING SERVICES ($17,672.50) City of Topeka Non-CAPEX
2023 December 31 Capital Outlay CORR TOPHOTEL - LOCKS $430.18 Topeka Development Corporation CAPEX
2023 December 31 Supplies CORR TOPHOTEL - OP RESERVE ($430.18) Topeka Development Corporation Non-CAPEX
2023 December 18 Insurance DIRECTORS & OFFICERS PREMIUM ($132.47) Topeka Development Corporation Non-CAPEX
2023 December 31 Individual & Contract Services HOTEL TOPEKA SYSTEMS ASSES $0.00 City of Topeka Non-CAPEX
2023 December 31 Individual & Contract Services HOTEL TOPEKA SYSTEMS ASSESSMEN ($141,912.00) City of Topeka Non-CAPEX
2023 December 14 Individual & Contract Services OUTSIDE COUNSEL ($12,337.10) City of Topeka Non-CAPEX
2023 December 31 Supplies TOP HOTEL - OPERATING RES #1 ($18,664.91) Topeka Development Corporation Non-CAPEX
2023 December 31 Supplies TOP HOTEL - OPERATING RES #2 ($150,000.00) Topeka Development Corporation Non-CAPEX
2023 December 1 Supplies TOP HOTEL - OPERATING RESERVE ($130,904.91) Topeka Development Corporation Non-CAPEX
2023 December 31 Supplies TOP HOTEL OP RES ROUND $0.09 Topeka Development Corporation Non-CAPEX
2023 December 1 Capital Outlay TOPHOTEL - ACTUATORS ($19,106.09) Topeka Development Corporation CAPEX
2023 December 1 Capital Outlay TOPHOTEL - LOCKS ($91,092.00) Topeka Development Corporation CAPEX
2023 December 1 Capital Outlay TOPHOTEL - SPRINKLERS ($7,297.00) Topeka Development Corporation CAPEX
Year Month Day Object Type Description Actuals: Responsibility CAPEX vs. Non-CAPEX
2024 January 1 Insurance DIRECTORS & OFFICERS PREMIUM ($649.53) Topeka Development Corporation Non-CAPEX
2024 February 6 Individual & Contract Services ASSET MANAGER SERVICES ($5,418.75) City of Topeka Non-CAPEX
2024 February 29 Capital Outlay CAPEX - STROBE HORN ($632.46) Topeka Development Corporation CAPEX
2024 February 6 Individual & Contract Services CONSULTING SERVICES ($4,918.75) City of Topeka Non-CAPEX
2024 February 29 Supplies OPS FUNDING REQUEST #2 ($227,355.00) Topeka Development Corporation Non-CAPEX
2024 February 29 Capital Outlay TOPHOTEL - EMERGENCY WA EXTR ($24,058.31) Topeka Development Corporation CAPEX
2024 March 31 Supplies 2024 TDC OPS TRSF #4 ($215,851.00) Topeka Development Corporation Non-CAPEX
2024 March 5 Individual & Contract Services CONSULTING SERVICES ($8,013.19) City of Topeka Non-CAPEX
2024 March 14 Individual & Contract Services CONSULTING SERVICES ($5,000.00) City of Topeka Non-CAPEX
2024 March 4 Individual & Contract Services HOTEL TOPEKA SYSTEMS ASSESSMEN ($15,768.00) City of Topeka Non-CAPEX
2024 March 31 Capital Outlay TOPHOTEL - BACKFLOW REPAIR ($9,479.00) Topeka Development Corporation CAPEX
2024 March 31 Capital Outlay TOPHOTEL - DOOR LOCK SERVER ($2,003.64) Topeka Development Corporation CAPEX
2024 March 28 Capital Outlay TOPHOTEL - DRYWALL ($2,971.53) Topeka Development Corporation CAPEX
2024 March 28 Capital Outlay TOPHOTEL - PULL STATION ($2,168.54) Topeka Development Corporation CAPEX
2024 April 3 Maintenace 100W LMP#41013 14000LM ($2,250.00) Topeka Development Corporation Non-CAPEX
2024 April 29 Maintenace 5127UMB BANK NA ($1,620.00) Topeka Development Corporation Non-CAPEX
2024 April 9 Individual & Contract Services CONSULTING SERVICES ($12,567.88) City of Topeka Non-CAPEX
2024 April 16 Capital Outlay TOPHOTEL - VALVE REPLACEMENT ($18,286.60) Topeka Development Corporation CAPEX
2024 May 7 Individual & Contract Services CONSULTING SERVICES ($8,176.72) City of Topeka Non-CAPEX
2024 May 22 Individual & Contract Services TOPHOTEL - AUDIT SERVICES ($26,747.80) Topeka Development Corporation Non-CAPEX
2024 May 14 Capital Outlay TOPHOTEL - VALVE REPLACEMENT ($69,344.00) Topeka Development Corporation CAPEX
2024 June 7 Individual & Contract Services CONSULTING SERVICES ($10,840.96) City of Topeka Non-CAPEX
2024 July 5 Individual & Contract Services CONSULTING SERVICES ($11,262.50) City of Topeka Non-CAPEX
2024 July 9 Supplies TOPHOTEL - OPERATING FUND ($178,323.09) Topeka Development Corporation Non-CAPEX
2024 August 8 Individual & Contract Services CONSULTING SERVICES ($9,077.50) City of Topeka Non-CAPEX
2024 August 30 Supplies TOPHOTEL - OPERATING FUND ($200,170.00) Topeka Development Corporation Non-CAPEX
2024 September 24 Miscellaneous 5127UMB BANK NA ($13.50) City of Topeka Non-CAPEX
2024 September 4 Individual & Contract Services ASSET MANAGER SERVICES ($1,972.50) City of Topeka Non-CAPEX
2024 September 4 Individual & Contract Services CONSULTING SERVICES ($5,672.22) City of Topeka Non-CAPEX
2024 September 22 Insurance DIRECTORS & OFFICERS PREMIUM ($786.25) Topeka Development Corporation Non-CAPEX
2024 October 7 Individual & Contract Services CONSULTING SERVICES ($3,825.93) City of Topeka Non-CAPEX
2024 October 15 Supplies TOPHOTEL - OPERATING FUND ($174,405.00) Topeka Development Corporation Non-CAPEX
2024 November 15 Supplies 5127UMB BANK NA ($281.51) City of Topeka Non-CAPEX
2024 November 7 Individual & Contract Services CONSULTING SERVICES ($7,405.00) City of Topeka Non-CAPEX
2024 December 5 Individual & Contract Services CONSULTING SERVICES ($9,622.50) City of Topeka Non-CAPEX
2024 December 31 Individual & Contract Services CONSULTING SERVICES ($1,398.75) City of Topeka Non-CAPEX
2024 December 16 Supplies TOPHOTEL - OPERATING FUNDING ($196,386.00) Topeka Development Corporation Non-CAPEX
2025 February 16 Supplies CONSULTING SERVICES ($600.00) City of Topeka Non-CAPEX
2025 February 6 Supplies TOPHOTEL - OPERATING FUND REQ ($71,449.00) Topeka Development Corporation Non-CAPEX
2025 January 14 Capital Outlay TOPHOTEL - CAPEX ELEVATOR ($32,191.55) Topeka Development Corporation CAPEX
2025 April 22 Supplies TOPHOTEL - OPERATING FUNDING ($168,297.00) Topeka Development Corporation Non-CAPEX
2025 March 3 Individual & Contract Services CONSULTING SERVICES ($1,222.50) City of Topeka Non-CAPEX
2025 April 3 Individual & Contract Services CONSULTING SERVICES ($582.50) City of Topeka Non-CAPEX
2025 May 3 Individual & Contract Services CONSULTING SERVICES ($3,398.00) City of Topeka Non-CAPEX
2025 June 3 Individual & Contract Services CONSULTING SERVICES ($583.00) City of Topeka Non-CAPEX
2025 July 3 Individual & Contract Services CONSULTING SERVICES ($799.00) City of Topeka Non-CAPEX
Site Improvement ($125,662.00) Topeka Development Corporation CAPEX
Site Improvement (Removed) $125,662.00 Topeka Development Corporation CAPEX
Chiller ($217,254.24) Topeka Development Corporation CAPEX
Fire Actuators ($49,747.69) Topeka Development Corporation CAPEX
2025 June 4 Individual & Contract Services TOPHOTEL - OPERATING FUNDING ($291,086.00) Topeka Development Corporation Non-CAPEX
2025 April 20 Individual & Contract Services TopHotel Audit Services $ (27,215.05) Topeka Development Corporation Non-CAPEX
2025 July 1 Individual & Contract Services CAPEX - Trane Chiller $ (34,216.74) Topeka Development Corporation CAPEX
2025 July 21 Individual & Contract Services TOPHOTEL - OPERATING FUNDING $ (283,860) Topeka Development Corporation Non-CAPEX
2025 August 26 Individual & Contract Services TOPHOTEL - OPERATING FUNDING $ (291,496) Topeka Development Corporation Non-CAPEX
COMMITTEE REFERRAL SHEET
COMMITTEE REPORT
Name of
Committee: Transient Guest Tax
Title: Charter Ordinance-Transient Guest Tax Levy
Date referred
from Council
meeting:
Date referred
from August 27, 2025
Committee:
Committee MOTION: Committee member Duncan made a motion to
Action: advance the charter ordinance to the Governing Body with
a recommendation to approve option two. Committee chair
Hoferer seconded. Motion passed 2-0-0.
Comments: Absent: Christina Valdivia-Alcalá
Amendments:
Members of
Committee: Christina Valdivia-Alcalá, Spencer Duncan, Michelle
Hoferer (Chair),
Agenda Date
Requested: September 16, 2025
CITY OF TOPEKA
CITY COUNCIL Tonya Bailey, Sr Executive Assistant
City Hall, 215 SE 7th St., Room 255 Tara Jefferies, Sr Executive Assistant
Topeka, KS 66603-3914 E-mail: councilassist@topeka.org
(785) 368-3710 www.topeka.org
EXCERPT
CITY OF TOPEKA, Topeka, Kansas, Wednesday, March 12, 2025. The Transient Guest
Tax Committee members met virtual at 1:00 P.M. with the following Committee members
present: Christina Valdivia-Alcalá, Michelle Hoferer (Chair), and Spencer Duncan.
The following is an excerpt of the draft minutes from the meeting:
APPROVAL to allocate transient guest tax funds to the Sunflower Sports Association to
begin Phase 1 of Project NextGen.
Sunflower Sport Association-Project NextGen
Committee Chair Hoferer spoke to the proposed resolution and asked if there were any questions
to allocate funds of $450,000.00 to the Sunflower Sports Association. The association will begin
Phase 1 of Project NextGen to upgrade the Sunflower Sports Complex.
MOTION: To advance the resolution to the Governing Body with a recommendation to approve.
Committee member Duncan made the motion, and Committee member Christina Valdivia-
Alcalá seconded. Motion passed 3-0-0.
***************************
Presented at the March 18, 2025 Governing Body Meeting Page 1
City of Topeka
Council Action Form
Council Chambers
214 SE 8th Street
Topeka, Kansas 66603
www.topeka.org
September 16, 2025
DATE: September 16, 2025
CONTACT PERSON: Braxton Copley, Deputy DOCUMENT #:
City Manager
SECOND PARTY/SUBJECT: Marney Properties LLC PROJECT #:
CATEGORY/SUBCATEGORY
CIP PROJECT: No
ACTION OF COUNCIL: 09-02-25: Defer until JOURNAL #:
September 16, 2025
PAGE #:
DOCUMENT DESCRIPTION:
DISCUSSION with POSSIBLE ACTION of an ORDINANCE introduced by the Public Infrastructure
Committee consisting of Councilmembers David Banks, Sylvia Ortiz and Neil Dobler, confirming
an Agreement of the Governing Body with the Marney Properties L.L.C. and the City of Topeka to abate
City special assessments penalties to certain property in Lauren's Bay Estates when the property taxes
and special assessments are paid in full. (Public Infrastructure Committee recommended approval on August
19, 2025.) (Deferred from the meeting of September 2, 2025)
Voting requirement: Action requires five (5) votes of the City Council. The Mayor does not vote. The
proposed ordinance involves a matter of home rule on which the Mayor has veto authority.
(Approval would abate the special assessment penalties on the Marney Properties, LLC Parcels located in
Lauren’s Bay Estates Subdivision in return for full payment of the unpaid property taxes and special
assessments. Marney Properties, LLC intends to develop single-family dwellings.)
VOTING REQUIREMENTS:
Discussion with possible action. Action requires five (5) votes of the City Council. The Mayor does not vote. The
proposed ordinance involves a matter of home rule on which the Mayor has veto authority.
POLICY ISSUE:
Whether to abate the special assessment penalties in return for full payment of the unpaid property taxes and
special assessments as recommended by the Policy and Finance Committee.
STAFF RECOMMENDATION:
Discussion with possible action. Staff recommends the City Council move to adopt the ordinance.
BACKGROUND:
The owner of the three lots has requested the City waive the penalties on the past due special assessments in
return for payment in full of the past due property taxes and the past due specials
BUDGETARY IMPACT:
The City will receive its proportionate share of the past due property taxes less interest in the amount of
$10,416.42. Additionally the City will receive the past due specials in the amount of $82,593.81. Technically the
City will be waiving penalties on the past due specials in the amount of $47,775.01; however, if those had been
paid, the County would have retained that amount with no portion of it paid to the City.
SOURCE OF FUNDING:
Payment by property owner
ATTACHMENTS:
Description
Ordinance
Marney Properties, LLC Special Assessment Cost Summary
PI Committee Referral Report (August 19, 2025)
PI Committee MInutes Excerpt (August 19, 2025)
Marney Properties, L.L.C. Memo (N. Jefferson Sept 16 2025)
Marney Properties
PID Total Outstanding Balance Total general tax (incl penalties) Total Specials Total Specials Penalties
1492901006016000 $ 47,189.58 $ 3,433.33 $ 27,531.27 $ 16,224.98
1492901006019000 $ 46,347.00 $ 3,546.46 $ 27,531.27 $ 15,269.27
1492901009006000 $ 47,248.66 $ 3,436.63 $ 27,531.27 $ 16,280.76
Totals $ 140,785.24 $ 10,416.42 $ 82,593.81 $ 47,775.01
Specials Calculator
Special Annual PMT Years Incurred (incl. 2024)Years Remaining Total Incurred Total Future 9 yrs unpaid
Spec. A City Paving $ 1,858.39 10 10 $ 18,583.90 $ 18,583.90 $ 16,725.51
Spec B City Sewer 2 $ 28.78 10 10 $ 287.80 $ 287.80 $ 259.02
Spec B CitySewer $ 701.01 14 6 $ 9,814.14 $ 4,206.06 $ 6,309.09
Spec. LB Pond Repair $ 210.84 9 11 $ 1,897.56 $ 2,319.24 $ 1,897.56
Spec V Water main $ 260.01 10 10 $ 2,600.10 $ 2,600.10 $ 2,340.09
COMMITTEE REFERRAL SHEET
COMMITTEE REPORT
Name of Public Infrastructure
Committee:
Title: Abate Special Assessment Penalties
Date referred
from Council
meeting:
Date referred August 19, 2025
from
Committee:
Committee MOTION: Committee member Dobler made a motion to
Action: approve and move forward to the Governing Body for
action. Committee member Banks seconded. Motion
approved 3-0-0.
Comments:
Amendments:
Members of Councilmembers Sylvia Ortiz, David Banks (Chair), and
Committee: Neil Dobler
Agenda Date September 2, 2025
Requested:
CITY OF TOPEKA
CITY COUNCIL Tonya Bailey, Sr Executive Assistant
City Hall, 215 SE 7th St., Room 255 Tara Jefferies, Sr Executive Assistant
Topeka, KS 66603-3914 E-mail: councilassist@topeka.org
(785) 368-3710 www.topeka.org
EXCERPT
CITY OF TOPEKA, Topeka, Kansas, Tuesday, August 19, 2025. The Public
Infrastructure Committee members met at 11:00 A.M. with the following Committee members
present: Sylvia Ortiz (zoom), David Banks (Chair) and Neil Dobler.
The following is an excerpt of the draft minutes from the meeting:
APPROVAL of Ordinance recommending and agreement of the Governing Body with
the Marney Properties LLC and the City of Topeka to abate City special assessments penalties to
certain property in Lauren’s Bay Estates witn the property taxes and special assessments are paid
in full
Abate Special Assessment Penalties.
Deputy City Manager Braxton Copley spoke to the agreement with three properties with Marney
Properties L.L.C. and the City of Topeka to abate City special assessments penalties to certain
property in Lauren’s Bay Estates when the property taxes and special assessments are paid in
full.
Councilmember Ortiz asked for the total cost of special assessment penalties. Deputy City
Manager Copley responded he currently did not have that amount for the three parcels. He
continued to expand on the proposed Ordinance how it would allow for the waiver of penalties
on past due special assessments.
Councilmember Dobler asked for clarification that Shawnee County only charges for penalties
on special taxes only. City Attorney Amanda Stanly confirmed and stated Kansas law states
there are penalties on special taxes and the funds are not seen by City. She continued to expand
on the City of Topeka’s structure for the back due taxes and back due specials. She added
Shawnee County does not have the authority to wave the penalties on special taxes. Lastly, the
only way the County will wave the special tax penalties is with an Ordinance from the City
directing them. Stanley confirmed the proposal was discussed with former Planning and
Development Services Director Rhiannon Friedman, Shawnee County and Marney Properties.
Councilmember Hoferer asked for confirmation if the three parcels are scheduled for the tax sale.
City Attorney Stanley confirmed they are currently not scheduled for the tax sale.
Presented at the September 2, 2025 Governing Body Meeting Page 1
MOTION: Committee member Dobler made a motion to approve and move forward to the
Governing Body for action. Committee member Banks seconded. Motion approved 3-0-0.
***************************
Presented at the July 15, 2025 Governing Body Meeting Page 2
Legal Department Nick Jefferson, Interim City
215 SE 7th Street, Room 353 Attorney
Topeka, KS 66603 Tel: (785) 368-3883
www.topeka.org
MEMORANDUM
To: Mayor Padilla; City Councilmembers; Robert M. Perez, Ph.D., City Manager
From: Nick Jefferson, Interim City Attorney
Re: Marney Properties, L.L.C.
Date: September 16, 2025
The item on the September 16, 2025 Agenda for discussion and possible action addressing an
Ordinance creating an Agreement of the Governing Body with Marney Properties L.L.C. to abate
the special assessment penalties on three lots in Lauren’s Bay Estates Subdivision.
In consideration of the City and Governing Body to agree to abate the special assessment penalties
on the three lots, Marney Properties L.L.C. agrees to make full payment on all unpaid property
taxes and special assessments. The proposed Ordinance is not forgiving any back due property
taxes or special assessments, only the penalties associated with the unpaid special assessments.
The City will receive its proportionate share of the past due property taxes less interest in the
amount of $10,416.42. Additionally the City will receive the past due specials in the amount of
$82,593.81. The City will be waiving penalties on the past due special assessments in the amount
of $47,775.01, this amount if not waived and paid in full would be retained by the County and not
disbursed to the City
In order for the County to waive the special assessment penalties, the Governing Body must pass
an Ordinance directing the County to do so. The Public Infrastructure Committee moved to
approve the Ordinance for Governing Body action. Action requires five votes of the City Council
and the Ordinance involves a matter of home rule on which the Mayor has veto authority.
cc: Braxton Copley, Deputy City Manager
City of Topeka
Council Action Form
Council Chambers
214 SE 8th Street
Topeka, Kansas 66603
www.topeka.org
September 16, 2025
DATE: September 16, 2025
CONTACT PERSON: Josh McAnarney, DOCUMENT #:
Budget and Finance
Division Manager
SECOND PARTY/SUBJECT: 2026 Operating Budget PROJECT #:
CATEGORY/SUBCATEGORY 004 Budgets or Appropriations / 001 Operating Budget - City
CIP PROJECT: No
ACTION OF COUNCIL: Discussions: 07-15-25; JOURNAL #:
08-12-25; 08-19-25; 08-
26-25; 09-02-25. Public
Hearing: 09-09-25.
PAGE #:
DOCUMENT DESCRIPTION:
APPROPRIATION ORDINANCE introduced by City Manager Dr. Robert M. Perez, approving and
adopting the operating budget for the City of Topeka for year 2026 and appropriating the amount for the
purpose set forth therein.
Voting Requirement: Action requires at least six (6) votes of the Governing Body.
(If this budget is adopted the adopted Mill Levy rate will be 36.956 which is the current mill levy rate.)
VOTING REQUIREMENTS:
Action requires at least six (6) votes of the Governing Body.
POLICY ISSUE:
The City shall adopt an operating budget for each fiscal year and set forth estimated revenues and estimated
costs for operations and maintenance, extension and replacement and debt service. The Public Hearing was
conducted on September 9, 2025, as required by State law and is a prerequisite to adopting the budget by
ordinance.
STAFF RECOMMENDATION:
Staff recommends the Governing Body move to adopt the ordinance.
BACKGROUND:
As Staff prepares the proposed budget, there is a need to seek direction from the Governing Body on
appropriate options for the 2026 City mill rate. Staff expects property valuations from the County before the
meeting which will allow staff to prepare scenarios to discuss with the Governing Body. As discussions continue
through the months of August and September the 2026 Proposed Budget and all supplemental information will be
available online at https://www.topeka.org/finance/budget/.
BUDGETARY IMPACT:
The budgetary impact is described in the proposed 2026 budget.
SOURCE OF FUNDING:
Various City Funds
ATTACHMENTS:
Description
Proposed Ordinance
City of Topeka Budget Certificate
State Budget Certification Form
Notice of Budget Hearing (September 9, 2025)
Resolution No. 9708 - City of Topeka RNR (August 26, 2025 GB Meeting)
Budget Presentation - City Manager, Legal Department, Human Resources, Office of Inclusive
Communities, Information Technology (August 26, 2025 GB Meeting)
2026 City Budget Public Hearing Notice (August 19, 2025 GB Meeting)
Budget Presentation - Public Works/Utilities/Planning-Development Services/Budget-
Finance/Misc. Non-Departmental (August 19, 2025 GB Meeting)
Budget Presentation - Police/Fire/Municipal (August 12, 2025 GB Meeting)
FY2026 Proposed Budget Presentation (July 15, 2025 GB Meeting)
2026 City of Topeka Proposed Budget
1 (Published in the Topeka Metro News_______________________________.)
2
3 ORDINANCE NO. ____________
4
5 AN APPROPRIATION ORDINANCE introduced by City Manager Dr. Robert M. Perez,
6 approving and adopting the operating budget for the
7 City of Topeka for the year 2026 and appropriating
8 the amounts for the purpose as set forth therein.
9
10 BE IT ORDAINED BY THE GOVERNING BODY OF THE CITY OF TOPEKA,
11 KANSAS, that:
12
13 Section 1. Budget incorporated by reference as a part of this Ordinance. The
14 operating budget for the City of Topeka, Kansas, for the year 2026 as set forth in a
15 document in the format prescribed by the Director of Accounts and Reports of the Kansas
16 Department of Administration, as required by law, which has been published in a summary
17 format together with a notice of public hearing, is hereby incorporated by reference as a
18 part of this Ordinance with the same force and effect as if it were set forth herein in its
19 entirety.
20 Section 2. Budget approved and adopted. The operating budget as described
21 and incorporated by reference in Section 1 above is hereby approved and adopted as the
22 operating budget for the year 2026.
23 Section 3. Funds appropriated by budget. The budget as approved and adopted
24 herein shall constitute and shall be declared to be appropriations for the funds and
25 departments as set forth therein, and the appropriations thus made shall not be used for
26 any other purpose. No money in any fund or fund type shall be used to pay for any
27 indebtedness created in excess of the amount appropriated for such fund or fund type, or
28 for the departments of such fund or fund type as referred to in the operating budget. The
29 appropriations made herein are for the year 2026 and no expenditures shall be incurred as
30 being authorized by such appropriations prior to January 1, 2026 or subsequent to
31 December 31, 2026.
ORD/BUDGETYEAR2026 1
32 Section 4. Budget amendments. Any amendment to the operating budget must
33 be approved by the Governing Body and enacted in accordance with the provisions of
34 K.S.A. § 79-2929a.
35 Section 5. As used in this ordinance “fund” is defined as follows:
36 Fund. A fiscal and accounting entity with a self balancing set of accounts in which
37 cash and other financial resources, all related liabilities and residual equities, or balances,
38 and changes therein are recorded and segregated to carry on specific activities or attain
39 certain objectives in accordance with special regulations, restrictions, or limitations.
40 Section 6. The following fund types are authorized:
41 Governmental (or statutory) Fund Type: including General Fund, Special Revenue
42 Funds, Debt Service Funds, and Capital Projects Funds; Proprietary Fund Type: including
43 Enterprise Funds and Internal Service Funds (fixed or flexible); Innovation Fund and,
44 Fiduciary Fund Type: including Trust and Agency Funds. This Ordinance applies to all
45 funds as listed on the budget certificate and fund summary adopted and submitted to the
46 county and state.
47 Section 7. This Ordinance shall take effect and be in force upon passage.
48 PASSED and APPROVED by the Governing Body on ______________________.
49 CITY OF TOPEKA, KANSAS
50
51
52
53
54 Michael A. Padilla, Mayor
55 ATTEST:
56
57
58
59
60 Brenda Younger, City Clerk
ORD/BUDGETYEAR2026 2
State of Kansas
City
CERTIFICATE 2026
To the Clerk of Shawnee, State of Kansas
We, the undersigned, officers of
City of Topeka
certify that: (1) the hearing mentioned in the attached publication was held;
(2) after the Budget Hearing this budget was duly approved and adopted as the
maximum expenditures for the various funds for the year 2026; and
(3) the Amounts(s) of 2025 Ad Valorem Tax are within statutory limitations.
2026 Adopted Budget
Amount of 2025 Final Tax Rate
Page Budget Authority Ad Valorem (County Clerk's
Table of Contents: No. for Expenditures Tax Use Only)
Allocation of MVT, RVT, 16/20M Veh Tax 2
Schedule of Transfers 3
Statement of Indebtedness 4
Statement of Lease-Purchases 5
Fund K.S.A.
General 12-101a 6 156,396,265 45,750,276
Debt Service 10-113 29,472,721 12,363,096
Library 12-1220
Special Liability 75-6110 2,623,900 1,090,615
Topeka Metropolitan Transit Authority Charter Ord. 118 6,786,000 6,406,616
Special Highway 7,781,698 s
Special Alcohol & Drug 734,996 s
Alcohol & Drug Safety 6,504 s
Law Enforcement 551,477 s
Transient Guest Tax 3,138,961 s
Retirement Reserve 3,633,742 s
Historical Asset Tourism 27,911 s
Half Cent Sales Tax (JEDO) 22,501,811 s
Half Cent Sales Tax (Street) 28,467,924 s
Tax Increment Financing 1,065,000 s
Court Technology 250,000 s
Downtown Improvement 203,011 s
Community Development 1,700,000 s
Tourism Improvement 352,200 s
Federal Funds Exchange 1,550,000 s
Facilities 3,555,688 s
Combined Utilities 120,312,356 s
Public Parking 3,157,282 s
Fleet 2,310,636 s
IT 6,931,006 s
Opioid Settlement 834,441 s
Economic Development 1,018,536 s
NOTO BID 17,000
Landbank 500,000
Non-Budgeted Funds-A 40,038,417
Non-Budgeted Funds-B 28,782
Totals xxxxx 445,948,265 65,610,603
Budget Hearing Notice County Clerk's Use Only
Combined Rate and Budget Hearing Notice
RNR Hearing Notice
Neighborhood Revitalization Nov 1, 2025 Total
Assessed Valuation
Revenue Neutral Rate 35.183
Does budget require a resolution to exceed the Revenue Neutral Rate? YES
Assisted by:
________________________ _________________________
Address:
________________________ __________________________
Email: ________________________ __________________________
Attest:_____________________, 2025 ________________________ __________________________
________________________ __________________________
County Clerk Governing Body
CPA Summary
Page No. 1
State of Kansas
City
NOTICE OF HEARING TO EXCEED REVENUE NEUTRAL RATE AND BUDGET HEARING
2026
The governing body of
City of Topeka
will meet on 8/26/2025 at 6:00 PM at Council Chambers, 214 SE 8th Street Topeka, KS 66603 for the purpose of hearing and
answering objections of taxpayers relating to the proposed use of all funds and the amount of ad valorem tax.
Detailed budget information is available at www.topeka.org/finance/budget/ and will be available at this hearing.
BUDGET SUMMARY
Proposed Budget 2026 Expenditures and Amount of 2025 Ad Valorem Tax establish the maximum limits of the 2026 budget.
Estimated Tax Rate is subject to change depending on the final assessed valuation.
Prior Year Actual for 2024 Current Year Estimate for 2025 Proposed Budget Year for 2026
Proposed
Actual Tax Actual Tax Budget Authority Amount of 2025 Estimated
FUND Expenditures Rate * Expenditures Rate * for Expenditures Ad Valorem Tax Tax Rate *
General 107,545,618 25.554 127,570,984 26.557 156,396,265 45,750,276 28.558
Debt Service 20,232,030 10.717 21,611,803 9.718 29,472,721 12,363,096 7.717
Library
Special Liability 2,612,795 0.681 1,536,185 0.681 2,623,900 1,090,615 0.681
Topeka Metropolitan Transit Authority 6,532,718 4.200 6,361,707 4.200 6,786,000 6,406,616 3.999
Special Highway 6,891,912 7,083,000 7,781,698
Special Alcohol & Drug 695,927 746,025 734,996
Alcohol & Drug Safety 9,275 5,742 6,504
Law Enforcement 497,913 551,477 551,477
Transient Guest Tax 2,926,181 2,795,693 3,138,961
Retirement Reserve 1,137,819 1,127,170 3,633,742
Historical Asset Tourism 27,911
Half Cent Sales Tax (JEDO) 14,157,766 21,753,806 22,501,811
Half Cent Sales Tax (Street) 18,491,827 27,914,744 28,467,924
Tax Increment Financing 970,000 901,000 1,065,000
Court Technology 26,035 39,000 250,000
Downtown Improvement 164,175 203,011 203,011
Community Development 1,626,964 1,615,321 1,700,000
Tourism Improvement 356,504 379,247 352,200
Federal Funds Exchange 3,955,000 1,995,000 1,550,000
Facilities 3,778,852 3,508,272 3,555,688
Combined Utilities 112,153,285 110,365,912 120,312,356
Public Parking 2,849,633 3,103,494 3,157,282
Fleet 2,601,226 3,664,128 2,310,636
IT 5,810,263 6,702,768 6,931,006
Opioid Settlement 6,600 0 834,441
Economic Development 44,260 1 1,018,536
NOTO BID 10,544 15,000 17,000
Landbank 0 0 500,000
Non-Budgeted Funds-A 40,038,417 40,038,417
Non-Budgeted Funds-B 28,782 28,782
Totals 356,152,321 41.152 351,550,490 41.156 445,948,265 65,610,603 40.955
Revenue Neutral Rate** 35.183
Less: Transfers 31,681,933 16,700,000 20,877,000
Net Expenditure 324,470,388 334,850,490 425,071,265
Total Tax Levied 59,614,364 62,332,728 xxxxxxxxxxxxxxxx
Assessed
Valuation 1,458,664,253 1,525,051,820 1,602,025,952
Outstanding Indebtedness,
January 1, 2023 2024 2025
G.O. Bonds 146,865,000 135,848,023 132,565,000
Revenue Bonds 299,405,000 373,865,000 382,170,000
Other 3,980,000 2,530,000 23,031,902
Lease Purchase Principal 3,348,498 2,394,362 1,348,590
Total 453,598,498 514,637,385 539,115,492
*Tax rates are expressed in mills
**Revenue Neutral Rate as defined by KSA 79-2988
Brenda Younger
City Official Title: City Clerk
Page No.
Department Budget
Presentations
8/26/2025
Department Budget
Presentations:
City Manager’s Office
City Manager Overview (Pages 40 – 44) 3
FY26 Adjustments Goals for FY26
• Froze Emergency Management Coordinator • Streamline customer service experience
and CFO positions • Improve efforts toward excellence in the
• Eliminated one Communications & Production provision of government services and
Manager position processes
• Lobbyist contract projected to increase by • Consistent and Responsive Customer
$35,000 Service
• FTE breakout: Clerks Office: 3, • Utilize department drone for content
Communications: 6, City Managers Office: 5 • Create more social media highlights of
city efforts
FY25 Accomplishments Budget Details
• Created the Office of Inclusive Communities Personnel $2,007,487
• Update existing record retention schedule
Non – Personnel $260,358
• Completed 6 Behind the Seal videos
TOTAL $2,267,844
Department Budget
Presentations: Legal
Legal Department Overview (Pages 47 – 50) 5
Overview Goals for FY26
Offers legal services to city departments through three • Reduce legal risk with formal trainings and
divisions: Civil Litigation handles claims and defends launch initiatives for educational opportunities,
the City; General Government provides legal advice such as a “Lunch and Learn” series
and representation; and Criminal Prosecution deals • Advance proactive legislation at the state level
with violations of City ordinances in municipal, district, in accordance with the City’s legislative agenda
and appellate courts. Total FTEs of 18.
• Standardize processes for economic
development incentives and create a useful
FY25 Accomplishments toolkit for staff and developers
• Negotiated several economic development
agreements Budget Details
• Advocated for our community at the state capitol
• Provided trainings to address issues and promote Personnel $1,549,958
legal compliance Non – Personnel $158,960
• In collaboration with HR, reviewed insurance
coverage issues and initiated review of worker’s TOTAL $1,708,918
comp and risk claims
Legal Department Overview (Pages 47 – 50) 6
General Government
• 4 attorneys; 1½ support staff
• Handle all contract reviewing and drafting (approximately 600 a year), union
negotiations, general legal questions, legal training for departments including
the police academy, ordinance drafting, open record responses, committee
and other meetings coverage, identifying municipal law trends, and legislative
work
Legal Department Overview (Pages 47 – 50) 7
Civil Litigation Criminal Prosecution
• 2 attorneys; 1 1/2 support staff • 4 attorneys; 5 support staff
• At any given time are balancing • Obtained compliance in over
15 to 25 cases in house on a 200 property maintenance code
wide range of issues; responsible cases and doubled the number
for arbitrations and other union of convictions in 2024; in
grievances partnership with KCASDV,
• Processed over 200 tort claims in Topeka has become a statewide
2024 model for domestic violence
prosecution through specialized
training and best practices
Department Budget
Presentations: Human
Resources
Human Resources Overview (Pages 57 – 59) 9
Overview Goals for FY26
The Human Resources Department supports all • Fully complete & implement Tyler – Topeka Together ERP
employees by working with the City Manager and HRM module
departments to provide recruitment, compensation,
benefits, labor relations, risk management, wellness, • Develop management training program
training, HRIS administration, and employee • In collaboration with departments review and update
recognition, with a total of 14 FTEs. position descriptions to ensure an accurate reflection of
current organizational needs regarding minimum
Accomplishments for FY25 qualifications
• Develop an improved repository system for job descriptions
• HRM module phase of the Tyler project on schedule
• Finalized RFP for City Healthcare & Benefits
• Launched training for Hiring Managers Budget Details
• Hired 2 full-time Engineers
• Welcomed 11 Interns/Externs in year 2 of Internship Program Personnel $1,656,805
• Partnered with Legal to sponsor 2 H1-B visa employees Non-Personnel $680,917
• Achieved 100% CDL program pass rate (22 employees)
TOTAL $2,337,722
• Updated job descriptions
• Progressing toward full Personnel Manual restructure
Risk Funds Inflows and Outflows 10
Fund Name Inflows (Revenues) Outflows (Expenses)
Retirement Reserve Surcharge to Employee Costs Absorbs accrued employee
leave and related retirement
costs
Property & Vehicle Insurance Charges Across Citywide Funds Claim Payments
Workers Comp Fund Surcharge to Employee Costs Tracks workers’
compensation claim costs
Group Health Insurance Fund Plan Enrollment (85/15) Claim Payments
Risk Reserve Fund NA Reimbursement for uninsured
City losses
Unemployment Fund Surcharge to Employee Costs Accounts for unemployment
payments to the State
Department Budget
Presentations: Office of
Inclusive Communities
Office of Inclusive Communities Overview (Pages 45 – 46) 12
Overview FY25 Accomplishments
The Office of Inclusive Communities (OIC) works to • City of Topeka Spanish Language Training
strengthen community connections by supporting
programs and initiatives that encourage understanding, • SMS Texting Service Implementation
belonging, and inclusive practices across the community. • National Night Out Coordination
The office supports community events, outreach
initiatives, educational workshops, and partnerships with • ADA/Programming & Web Rule
local organizations to ensure all neighbors feel seen, Assessment
heard, and valued. In addition, OIC develops resources • Hired Community Navigator
and programs that build trust and collaboration
throughout the community. Total of 5 FTEs.
Goals for FY26 Budget Details
• Youth Leadership Summit
Personnel $434,548
• Strengthen Internal Collaboration for
Greater Community Impact Non-Personnel $292,495
• 2026 National Night Out Coordination TOTAL $599,298
• Build Impactful Community Partnerships
Department Budget
Presentations:
Information Technology
IT Department Overview (Pages 65 – 67) 14
Mission Statement Budget Details
Providing reliable, secure, and innovative Personnel $2,573,463
technology solutions to support the efficient
and effective operations of the City Non-Personnel $4,440,494
government, while prioritizing citizen service TOTAL $6,013,957
and data security. Total FTEs of 27.
FY26 Adjustments FY25 Accomplishments
• Added 1 Deputy Director of Cyber • Anticipate completion of website
Security transition
• Added Scanning Software ($40,000) • Completed upgrade of Utility billing
software
• Migrated to new platform for document
retention
Topeka Geospatial Information Specialists (Pages 65-67)
15
Mission Statement FY25 Accomplishments
To efficiently and effectively provide • Vacant Lot Application: Provides visibility to
geospatial information and applications. departments of all ‘vacant’ properties within the City
These tools, and datasets, should aid city • Landbank Application: Allows the public to see city
owned properties that are for sale
employees and the public in order to
• Road Closure Applications/WAZE Notifications:
enhance city operations, improve decision Provides road closures to all navigation routing
making and provide enhanced public applications. Public facing apps for PQV and general
services. road closures
• Energy Dashboard: Built out a dashboard calling out
FY26 Goals all energy expenditures by type for all city Facility
locations.
• Improve and expand city asset and
inventory data Budget Details
• Redeploy all existing online mapping
applications to the current supported GIS Personnel $778,821
platform, in preparation for migration to a Non-Personnel $138,188
.gov domain and enhanced security
TOTAL $917,049
standards
ERP Upgrade (Pages 65-67) 16
Service Overview Timeline
An ERP (Enterprise Resource Planning) system • Launched Enterprise ERP Implementation
is a software platform that integrates and in 2024
manages essential business processes like • Next Steps
finance, HR, and supply chain, streamlining • Complete configurations of
operations and improving decision-making Financial module of Enterprise ERP
through centralized data and automated
• Export data from existing systems to
workflows.
be implemented in new systems for
Enterprise ERP and Permitting &
Licensing modules
• Kicked-off HR module
• Preparing for Kick-off of Asset
Management module
• Preparing for configuration of
MyCivic portal application
Department Budget
Presentations
8/26/2025
State of Kansas
City
NOTICE OF BUDGET HEARING
2026
The governing body of
City of Topeka
will meet on September 9, 2025 at 6:00 PM in the City Council Chambers, 214 SE 8th Street, Topeka, Kansas, 66603 for the purpose of
hearing and answering objections of taxpayers relating to the proposed use of all funds and the amount of ad valorem tax.
Detailed budget information is available at www.topeka.org/finance/budget/ and will be available at this hearing.
BUDGET SUMMARY
Proposed Budget 2026 Expenditures and Amount of 2025 Ad Valorem Tax establish the maximum limits of the 2026 budget. Estimated
Tax Rate is subject to change depending on the final assessed valuation.
Prior Year Actual for 2024 Current Year Estimate for 2025 Proposed Budget Year for 2026
Proposed
Actual Tax Actual Tax Budget Authority Amount of 2025 Estimated
FUND Expenditures Rate * Expenditures Rate * for Expenditures Ad Valorem Tax Tax Rate *
General 107,545,618 25.554 127,570,984 26.557 156,396,265 45,750,276 28.558
Debt Service 20,232,030 10.717 21,611,803 9.718 29,472,721 12,363,096 7.717
Library
Special Liability 2,612,795 0.681 1,536,185 0.681 2,623,900 1,090,615 0.681
Topeka Metropolitan Transit Authority 6,532,718 4.200 6,361,707 4.200 7,103,000 6,728,403 4.200
Special Highway 6,891,912 7,083,000 7,681,698
Special Alcohol & Drug 695,927 746,025 734,996
Alcohol & Drug Safety 9,275 5,742 6,504
Law Enforcement 497,913 551,477 551,477
Transient Guest Tax 2,926,181 2,795,693 3,138,961
Retirement Reserve 1,137,819 1,127,170 3,633,742
Historical Asset Tourism 27,911
Half Cent Sales Tax (JEDO) 14,157,766 21,753,806 22,501,811
Half Cent Sales Tax (Street) 18,491,827 27,914,744 28,467,924
Tax Increment Financing 970,000 901,000 1,065,000
Court Technology 26,035 39,000 250,000
Downtown Improvement 164,175 203,011 203,011
Community Development 1,626,964 1,615,321 1,700,000
Tourism Improvement 356,504 379,247 352,200
Federal Funds Exchange 3,955,000 1,995,000 1,550,000
Facilities 3,778,852 3,508,272 3,555,688
Combined Utilities 112,153,285 110,365,912 120,312,356
Public Parking 2,849,633 3,103,494 3,157,282
Fleet 2,601,226 3,664,128 2,310,636
IT 5,810,263 6,702,768 6,931,006
Opioid Settlement 6,600 0 834,441
Economic Development 44,260 1 1,018,536
NOTO BID 10,544 15,000 17,000
Landbank 0 0 500,000
Non-Budgeted Funds-A 40,038,417
Non-Budgeted Funds-B 28,782
Totals 356,152,321 41.152 351,550,490 41.156 406,098,066 65,932,390 41.156
Revenue Neutral Rate** 35.183
Less: Transfers 31,681,933 16,700,000 20,877,000
Net Expenditure 324,470,388 334,850,490 385,221,066
Total Tax Levied 59,614,364 62,332,728 xxxxxxxxxxxxxxxx
Assessed
Valuation 1,458,664,253 1,525,051,820 1,602,025,952
Outstanding Indebtedness,
January 1, 2023 2024 2025
G.O. Bonds 146,865,000 135,848,023 132,565,000
Revenue Bonds 299,405,000 373,865,000 382,170,000
Other 3,980,000 2,530,000 23,031,902
Lease Purchase Principal 3,348,498 2,394,362 1,348,590
Total 453,598,498 514,637,385 539,115,492
*Tax rates are expressed in mills
**Revenue Neutral Rate as defined by KSA 79-2988
Brenda Younger
City Official Title: City Clerk
Department Budget
Presentations
8/19/2025
Department Budget
Presentations: Public Works
Public Works Flow of Funds 3
100% General Fund
Evergy
Forestry Engineering Signs/Markings
Streetlights
Partially General
Fund Supported
Fleet Facilities Debt Service
Fund Fund Fund
Non-General Fund
Parking Street (Special ½ Sales Taxes Federal Funds
Fund Highway Fund) (City & JEDO) Exchange
Capital Project Management (Pages 77 – 82) 4
Service Overview Revenue Resources
The City faces strategic challenges in Citywide Half-Cent Sales Tax $20,000,000
maintaining its assets, which cost more Countywide Half-Cent Sales Tax $8,400,000
to repair or replace than the revenue it
generates. According to the latest asset Federal Funds Exchange $1,600,000
management report, the major assets GO Bonds (Varies by Year) $9,000,000
maintained by Public Works include:
Special Highway Fund $6,500,000
• Bridges (2023): 101
TOTAL $45,500,000
• Center Line Miles (2022): 773
• 2022 PCI = 67.71
• Miles of Paved Alleys (2022): 45
• Miles of Curb and Gutter (2019): 918
• Signalized Intersections (2022): 185
• Miles of Sidewalks (2019): 684
Public Works General Fund Overview (Pages 77 – 82) 5
Overview Budget Details (General Fund)
The Public Works department has three Engineering & PW Admin $3,294,365
main divisions: Internal Services, which
Signs/Markings $1,240,971
maintains, parking, city facilities, and
fleet services, Engineering, which Evergy Streetlights $1,885,000
oversees public street projects, inspects Forestry $1,206,085
right-of-way work, manages survey data,
TOTAL $7,626,421
and handles bridge inspections and
maintenance, and Operations, which
maintains streets, signals, lights, signs,
forestry, and pavement markings. Total
General Fund FTE Count is 43.60.
FY26 Adjustments
• Added 3 Engineering Tech vehicle purchase ($135,000)
Capital Project Management (Pages 77 – 82) 6
2025 Projects 2025 - 2026 Major Projects
• Branner Bridge Superstructure • Fairlawn: 23rd to 28th (2025-2026)
• NE Curtis Street ; Curtis Flyoff at • 29th Street: Kansas to Adams Including
Monroe Street Butcher Creek Bridge (2025-2026)
• SW Harrison Street; 8th to 10th • 6th Street: Rice to Golden (2025-2026)
• Hi-Crest Neighborhood • Design of Huntoon Street : Gage to
• Summerfield Neighborhood Harrison
• Signal Projects: • Topeka Boulevard: 15th – 21st (2025-
• 21st and Belle 2026)
• 21st and Randolph
Street Maintenance Special Highway (Pages 77 – 82) 7
Service Overview FY25 Accomplishments
The Special Highway fund receives the • Reached nearly full staffing capacity for street
motor fuel taxes from the State of Kansas maintenance (4 FTE Vacancy Rate)
and pays for street improvements and • Introduced into practice applying brine mix for
staffing to maintain those assets throughout winter weather events
the City. Total FTE Count is 58. • Filled 36,039 potholes
• Swept 2,771 miles of street
• Maintained (graded) 87,411linear feet of
FY26 Goals aggregate alleys
• Start with implementation of SS4A Grant • 7 snow events using 6,396 tons of salt applied
to include the upgrade of all school • 320 lane miles pretreated with salt brine solution
flashers and signage to meet the latest Budget Details
industry standards.
• Upgrade street maintenance fleet and Personnel $4,740,172
other equipment
• Initiate new training program for motor Non-Personnel $3,041,526
grader and paver TOTAL $7,781,698
Fleet Fund (Pages 77 – 82) 8
Service Overview FY25 Accomplishments
The fleet division oversees the management • Delivered upgraded data analysis on
and maintenance of city vehicles and vehicle and equipment asset
equipment, including police cars, fire trucks, management (AVL)
and service vehicles. It is responsible for • Achieved nearly full staffing
vehicle procurement, routine maintenance,
• Completed relocation of light duty fleet
repairs, and fuel management—ensuring all
operations
assets operate safely and efficiently while
maximizing performance and cost-
effectiveness. Total FTE Count is 22.
FY26 Goals Budget Details
• Increase enrollment in the City's vehicle
and equipment replacement fund Personnel $2,049,815
• Maintain fleet readiness above 90% Non-Personnel $260,821
• Evaluate EV/Hybrid pilot program TOTAL $2,310,635
Facilities Fund (Pages 77 – 82) 9
Service Overview FY25 Accomplishments
The facilities division oversees the • Completed replacement of HVAC systems at
maintenance and repair of municipal City Hall and TPAC
buildings, offices, and public spaces. It • Replaced various mechanical features at the
ensures that facilities are safe, functional, Law Enforcement Center and Fire Department
and well-maintained, while also managing
budgets and coordinating necessary repairs Facilities
and upgrades. Facilities is funded through • Replaced roofs at Fire Stations 4 and 7, TPAC
charges allocated across various city funds. penthouses, municipal court and the Water
Total FTE Count is 15. Distribution Building
• New ADA compliant walkway on the East side of
TPAC
FY26 Goals
• Improve accessibility of City facilities
Budget Details
through ADA assessment of public facilities
Personnel $1,141,710
• Continue Rehabilitation of Fire Stations
• Renovation and addition of WWTP Building B Non-Personnel $2,413,978
TOTAL $3,555,688
Department Budget
Presentations: Utilities
Utilities: Water (Pages 84-87) 11
Overview Budget Details
The Water Utility ensures compliance with
KDHE standards for safe drinking water, Personnel $11,616,350
serving approximately 174,000 people across
Contractual $14,107,235
an 80-square-mile area. Water Services
personnel manage all facets of treatment Commodities $11,349,237
and distribution of 7.8 billon gallons of water
annually. Capital Outlay $400,000
The total operation and maintenance cost is Debt $13,386,169
approximately $4.1M/100 miles of main.
• 1 water treatment plant Other Payments $11,427,100
• 900 miles water main
TOTAL $62,286,091
• 12 water towers
• 10 pump stations
• 57,000 water meters
• 16,600 valves
• 5,200 hydrants
Utilities: Water Services 12
FY25* Accomplishments FY26 Goals
• 269 water main breaks repaired • Meet or exceed all KDHE requirements for
• 8,996 LF of water mains replaced safe, clean drinking water
• 82,588 customers assisted • Continue replacing obsolete style shut off
valves
• 597 shut off valves and meter box
replacements • Improve time required to repair broken
water mains
• 451,342 bills generated
• Implement Lead Service Line service
• Billing system upgrade
disruption notifications and water filter
• New bill design roll out distribution
• Reduced number of unknown service lines • Increase electronic customer
by more than 10,000 communication
• Increase electronic billing by 5% over 2025
*2025 YTD
Water Projects 13
2025 Projects 2026 Major Projects
• West Plant Basin Rehab • Water Main Replacement/Rehab Projects
• Water Treatment Plant Rehab Projects • Transmission Main - SW 21st St. –
• West Intake Rehab Construction Buchanan St. to Washburn Ave.
• Chemical Building Rehab • I-70 – Fairlawn Rd. & 6th St.
• East Plant Basin Rehab Design • Continuation
• Water Main Replacement/Rehab • Westboro Neighborhood
Projects • Montara Neighborhood
• SW Moundview Dr. • Water Treatment Plant Rehab Projects
• SW Stonybrook Dr. • East Plant Basin Rehab
• SW Boswell Ave. • Design for Old Montara Water Tower
• Montara Neighborhood, Phase I Coating
• Westboro Neighborhood
Utilities: Stormwater (Pages 88-90) 14
Overview Budget Details
The Stormwater Utility oversees 60 square miles of stormwater
infrastructure, ensuring compliance with National Pollutant Personnel $2,346,060
Discharge and Elimination System regulations, and maintains
inlets, pipes, levees, waterways, and BMP facilities at a cost of Contractual $2,916,533
about $686,600/100 miles.
Commodities $380,163
• 16,200 inlets
• 4,500 manholes
Capital Outlay $500,000
• 420 miles stormwater mains Debt $2,586,555
• 180 miles ditches
Other Payments $3,904,300
• 140 miles stream/riverbanks
• 22 miles earthen levee TOTAL $12,633,611
• 0.78 miles flood wall
• 87 relief wells
• 72 closure/drainage structures
• 8 pump stations
Utilities: Stormwater 15
FY25* Accomplishments FY26 Goals
• Termination of EPA’s Order for • Update Stormwater Management
Compliance on Consent Program
• 5,075 stormwater inlets cleaned • Inspect 10 % of all post-construction
• 72,105 LF storm sewer mains cleaned BMPs
• 3,578 LF storm sewer mains replaced • Complete public BMP maintenance
training
▪ *2025 YTD • Increase amount of storm
infrastructure cleaned and
maintained
Stormwater Projects 16
2025 Projects 2026 Major Projects
• Fairlawn Rd from SW 22nd Park to 28th St. • Storm Conveyance Replacement &
• Storm Conveyance Replacement & Rehab Projects
Rehab Projects • SW Prairie Rd.
• NW Reo St. Storm Sewer
• SE California Ave. and SE 4th St.
Replacement
• NW Elm Row Ave. • Continuation
• SE 29th St. from Adams St. to • Fairlawn Road
California Ave. • SW 6th Avenue
• SE 6th St. from Rice Rd. to Golden
Ave.
• Drainage Correction Projects
• SE Virginia Ct.
• SW 28th Ter.
• Soldier Right Bank to Levee Raise
Utilities: Wastewater (Pages 91-93) 17
Overview Budget Details
The Wastewater Utility manages Personnel $7,131,334
wastewater collection, treatment,
disposal, ensures regulatory Contractual $12,908,950
compliance, and managers the Commodities $2,464,344
Renewable Natural Gas Facility. Capital Outlay $300,000
Approximately 5.2 billion gallons of
wastewater are treated annually at a Debt $13,892,026
cost of about $2.7M/100 miles of mains. Other Payments $8,696,000
TOTAL $45,392,654
• 820 miles sanitary sewer mains
• 16,000 manholes
• 47 pump stations
• 2 wastewater treatment plants
• 1 renewable natural gas plant
Utilities: Wastewater 18
FY25* Accomplishments FY26▪ Goals
• 6,896 LF sanitary sewer mains replaced • Increase Land Application
or rehabilitated • Maintain compliance with the NPDES
• 711,573 LF of sewer mains cleaned Permit Requirements
• Reduce maintenance related SSO’s
• 8% fewer calls regarding odor complaint
compared to 2024 • Work with industrial community
partners to reduce impact of high
*2025 YTD
strength waste on treatment plants
Wastewater Projects 19
2025 Projects 2026 Major Projects
• Polk-Quincy Viaduct Utility Relocation • Grant Jefferson Pump Station & Force
• Emergency Repair Digester #4 Main Rehab
• North Topeka WWTP BNR • Shunga Pump Station & Force Main
Rehab
• Odor Control Projects
• OWWTP and NTWWTP treatment
• Rockfire Pump Station
capacity assessments
• Central Park Pump Station
• Continue condition assessment of
collection system
• Oakland WWTP Sludge Thickening
Department Budget
Presentations: Planning &
Development Services
Planning Overview (Pages 68 - 72) 21
Overview Goals for FY26
The mission of the Planning Division is to help • Finalize updates to Parking Code
create a vibrant city of lasting value by engaging
the community through neighborhood • Update of Brick Sidewalk Policy
revitalization, sustainable land use and • Identify sustainable funding source for
infrastructure choices, regional transportation Affordable Housing Trust Fund
planning, historic preservation, and zoning
administration. Total General Fund FTE Count is 10. • Publish 5-year update of Citywide Housing
Study
FY25 Accomplishments
• Completed the Pedestrian Master Plan project
Budget Details
• Nearing completion of the 10-year update to
the 2040 Land Use & Growth Management Plan Personnel $1,323,865
• Completed the East Topeka Development Plan
Non - Personnel $116,016
• Secured a $500k EPA Brownfield Planning Grant
TOTAL $1,439,880
• Advanced Monroe School Overlay District –
World Heritage Nomination
Development Services Overview (Pages 68 - 72) 22
Overview Goals for FY26
The Development Services division includes • Adoption of the 2024 International Building
Permits, Inspections, and Licensing. Services Code and International Residential Code
include enforcing building codes and • Launch of Tyler Enterprise Licensing &
inspecting buildings, structures, and sites to
Permitting portal.
ensure compliance. Total General Fund FTE
Count is 18 FTEs. • Implement IG Inspect iPad tool allowing for
real-time inspection data
FY25 Accomplishments • Staff trade boards to full capacity
• Adopted the 2024 Uniform Plumbing Code Budget Details
and Uniform Mechanical Code
• Fully implemented bi-annual licensing Personnel $1,858,416
renewals
• Maintained 99% on-time inspection Non – Personnel $136,813
completion rate TOTAL $1,995,229
• Transitioning licensing software from
CityWorks to Tyler ERP
Housing Services Overview (Pages 68 - 72) 23
Overview Goals for FY26
The Housing Services division includes housing • Continue transitioning Equity Access Shelter
rehabilitation and repair, homeless programs, and (EAS) to Built for Zero
social services. This consists of the following programs: • Continue implementing findings from the
major rehab, emergency repair, accessibility, Impact Homeless Innovation Project
Avenues, Equity Access Shelter, Shelter Plus Care and • Complete the 5-year Consolidated Action Plan
many more. Total General Fund FTE Count is 7. (2026–2030)
• Update analysis of impediments related to the
FY25 Accomplishments 5-year Consolidated Plan
• Implemented Clarity Homeless Mgmt. Information
System (HMIS) in alignment with Built for Zero
• Launched $4M HUD Lead Hazard Grant Program Budget Details
• Participated in the Pilot One Stop Shop Homeless
Resource Center at Let’s Help through Impact Personnel $436,148
Avenues
• Implemented Softdocs for real-time digital
Non - Personnel $58,352
inspection data TOTAL $494,500
• Updated all MOUs with partner agencies for the
Continuum of Care HUD Grant
Fee Schedule Adjustments 24
• Increases justified by inflation or to align/streamline existing fees; projected
increase of approximately $40,000.
• Development Services Contractor Fees 10% Increase. Notable Changes:
• New Residential Contractor $400 to $440
• New Contractor Fees (Concrete, Elevator, Framing, Excavation) $300 to $330
• Contractor Renewal Fees (Concrete, Elevator, Framing, Excavation) $200 to $220
• Renewal Trade Contractor: $400 to $440
*These fees reflect the annual cost of licensing
Department Budget
Presentations: Finance &
Misc. Non-Departmental
Finance Department Overview (Pages 51 – 53) 26
Overview Goals for FY26
The Administrative & Financial Services • Obtain Unmodified Audit Opinion for FY
Department encompasses Accounting, 2025
Budget, Payroll, and Contracts and • Create position process manuals for
Procurement. It ensures transparency in City positions to make department more
finances and purchases, and reports on the resilient to change
finances of various divisions, including grants.
• Continue to seek opportunities to reduce
expense
FY25 Accomplishments Budget Details
• Obtained Unmodified Audit Opinion for FY
2024 Personnel $2,251,475
• Personnel Cost Savings: Reduction of 4 Non-Personnel $463,867
FTEs over the past year while continuing to TOTAL $2,715,342
maintain responsiveness
Miscellaneous Non-Departmental (Pages 94 – 95) 27
Expense Description Amount
IT/Facilities Charges $8,793,603
SNCO Prisoner Care Charges $1,500,000
Property Insurance Charges $1,366,731
SAAS/Lawson $1,227,894
Social Service Grants Distributions $590,000
CID Payments $554,760
Cemeteries $294,000
Property Tax Rebate Program $250,000
Lineage $175,000
TPAC $150,000
Downtown Redevelopment Grant $150,000
Franchise Fee Program $130,000
Intellitime $107,500
Eviction Defense Contract $88,000
Pocket Park Maintenance on Kansas Avenue $61,366
LKM & GTP $60,998
NOTO $50,000
ArtsConnect $30,000
Totals $15,579,852
Department Budget
Presentations
8/19/2025
Department Budget
Presentations
8/12/2025
Department Budget
Presentations: Police
Topeka Police Department Overview (Pages 73 – 76) 3
Mission Statement Budget Details
The mission of the Topeka Police Department Personnel $46,739,172
is to provide a safe community and faithfully
serve our citizens with impeccable integrity, Contractual $3,123,345
enduring professionalism and immeasurable Commodities $2,080,698
honor.
Capital Outlay $750,533
FY26 Adjustments TOTAL $52,693,748
• Added Staffing Study ($150,000)
• Added Lexipol ($40,000)
• Added 6 Civilian Positions: 2 PAL, 1 TCALC, 3 for Crime Scene Investigations Unit ($510,000)
• Vacancy Credit of 10 Police Officers ($820,000)
• Removed 11 positions ($861,000); Assistant Chief, Police Sergeant, Police Detective, two Police
Officers in Training, Evidence & Property Technician I, two Police Records Clerks I, Animal Control
Officer, Property Maintenance Inspector I, and Office Assistant III.
Patrol Bureau (Pages 73 – 76) 4
Service Overview FY25 Accomplishments
• Patrol Bureau personnel are the first responders • Upgrade to AXON 4 Body-Worn cameras
to emergency situations
• Increased Medical Response Capabilities
• They assess, act, and coordinate the proper (Advanced IFAK training) for sustaining life until
resources necessary for emergency incidents more advanced care arrives
• Patrol Bureau proactively patrols areas within
the City of Topeka • YTD Calls For Service: approx. 57,000+
• Patrol Bureau FTE – 155 (104 Officers, 20 SGT's, 6 • YTD Call For Service 2024 - 58,000
LT's, 25 Officers in Field Training)
Goals for FY26 Budget Details
• Continue evaluation of best practice for police
response Personnel $23,465,708
• Assess and evaluate new technology for front Non-Personnel $1,875,957
line response
• Reduce vacant shifts through innovative return TOTAL $25,341,665
to work and retention projects
• To have all officers trained to use Narcan
Investigations Bureau (Pages 73 – 76) 5
Service Overview FY25 Accomplishments
• Violent crime investigations • Expanded the bureau's capability for a
• Investigative focus on State of Kansas data driven approach to reducing violent
statutory violations that center on crime.
property crime offenses • Onboarded an online crime reporting
• Specialized investigations involving crime solutions for local retailers and
against children, sex offenses and family community partners.
violence
• Investigation Bureau FTE - 72
Goals for FY26 Budget Details
• Increasing capability to investigate fatal Personnel $11,952,245
non-fatal shootings.
Non-Personnel $225,080
• Reduce violent crime across the city of
Topeka. TOTAL $12,177,325
Support Bureau (Pages 73 – 76) 6
Service Overview FY25 Accomplishments
The Support Bureau delivers comprehensive law
enforcement services to include: • Citizens Academy continues to be full- the Fall
• Managing property, records and IT infrastructure 2025 class begins Aug 22
while advancing public trust through behavioral • 69th TPD Academy class has 23 recruits- the
health, community engagement and school largest in several years
resource officers.
• Enhanced traffic safety through our motorcycle and
• Expanded CPOs and Motorcycles for the first
accident investigation units, maintains sanitation and time in several years
structural safety in the city through Property
Maintenance and strives to be the leading edge of
training for the region and our own new officers. Budget Details
Support Bureau FTE - 74
Personnel $7,901,434
Goals for FY26
Non-Personnel $1,888,127
• Innovate ways to engage with the community
TOTAL $9,789,561
• Ability to expand Support Bureau units to
accomplish agency mission
• Collaborating with new partners in the city
Property Maintenance Unit (Pages 73 – 76) 7
Service Overview FY25 Accomplishments
Protect public health and welfare by • Collaborated with Housing Services and
enforcing the International Property EAS Program Coordinator to recommend
Maintenance Code (IMPC). The IPMC housing alternatives
regulates housing, unsafe structures, • Abated 26 encampments, committed 231
sanitation, unlicensed vehicles, weeds, and man-hours, and removed 71.68 tons of
graffiti on private property within city limits.
trash/rubbish. In contrast 2024 – 45 camps
Property Maintenance FTE - 19 – 319 man-hours 7 60.38 tons
• Authorized to issue citations for vehicle
Goals for FY26 violations parked on unimproved surface
• Continuing the transformation of the Budget Details
culture of Property Maintenance
• Improve the overall quality of structures
Personnel $1,559,994
and premises within Topeka
• Work with partners to enhance Non-Personnel $890,397
community appearance TOTAL $2,450,391
Department Budget
Presentations: Fire
Topeka Fire Department Overview (Pages 60 – 64) 9
Mission Statement Budget Details
The Topeka Fire Department is committed to Personnel $34,334,355
protecting lives, preserving property, and
serving with pride through unwavering Contractual $1,785,551
excellence in fire suppression, rescue, Commodities $968,450
emergency medical services, proactive fire
prevention, and impactful public education. Capital Outlay $240,000
TOTAL $37,328,356
FY26 Adjustments
• Purchasing replacement air compressors to refill (SCBA) Self-Contained Breathing Apparatus Bottles
($240,000)
• Reduced 2 FTEs ($307,000)
• Vacancy credit for 7 entry level firefighters and 1 Battalion Chief ($643,000)
• Proposed Fire Station Relocation in the 2026 CIP aims to replace aging infrastructure and improve
response times
Fire Fee Schedule Adjustments 10
• Special Event Permits: $110 fee for events requiring fire/police services; estimated $9,000 annual revenue;
covers Fire Dept. review only.
• Fire Protection Report Submissions: $5 fee for online fire system report filings; ~2,000 reports/year; estimated
$10,000 revenue.
• False Alarm Response: Enforcing existing false alarm ordinance; estimated revenue of $23,750 based on
prior year.
• Burning Permits: Establish fees of $25 for residential permits (valid for one year) and $110 for commercial
permits (per burn), with projected annual revenue of approximately $20,000 based on 2023 figures.
• Operational and Construction Permits: Implement $100 annual fees per permit in accordance with the 2021
International Fire Code, covering 52 operational and 24 construction activities. Businesses may require
multiple permits (e.g., high-piled storage, compressed gas systems, smoke control). Estimated annual
revenue is $42,100.
• Fire Inspections and Re-Inspections: Introduce fees for re-inspections using a tiered structure based on
property size. For businesses not requiring an operational or construction permit, the initial inspection fee will
be $100. Projected re-inspection revenue is approximately $42,000 per year.
• Projected to generate about $120,000 in total revenue.
Fire Operations: Suppression (Pages 60 – 64) 11
Service Overview FY25 Accomplishments
Fire department operations encompass fire • Effectively managed the demands of a continuously
suppression, rescue, medical services, and growing call volume
hazardous materials response, all focused on • Conducted officer development program (ODP) for 15
safeguarding lives, property, and community well- personnel
being.
• Developed and implemented a comprehensive
Operations FTE: 227 Mayday policy for safety and accountability during
emergency operations
FY26 Goals • Performed Battalion Chief training for Senior Captains
• Task Force 1 (TF-1) enrollment for Technical Recue Team
• Complete Bluecard style ICS training for all
company officers
• Reduce average response time for all Budget Details
emergent level calls
• Continuing recruiting and retention to ensure a Personnel $31,383,154
workforce more reflective of the community as
a whole (Camp Courage and Fire Explorer Non-Personnel $2,540,333
Post) TOTAL $33,923,487
Fire Prevention (Pages 60 – 64) 12
Service Overview FY25 Accomplishments
• New Fire Inspections software: Implementing new EPL
The Topeka Fire Department’s Fire Prevention system (Enterprise Permitting Licensing) to improve
Division safeguards the community through expert efficiency
fire investigations, comprehensive annual • Joint Apartment Inspections: Partnered with Property
occupancy inspections, and impactful public fire Maintenance Division for fire inspections of apartment
safety education — all aimed at preventing fires, buildings
protecting lives, and preserving property. • Fireworks Stand Inspections: Successfully completed
Prevention FTE: 14 inspections of all fireworks stands
• Fire Education: Completed fire safety education programs
in all USD 501 elementary schools
FY26 Goals • New Software: Implemented new fire investigation case
management software “Blazestack”
• Completion of fire safety program in all USD 501
elementary schools Budget Details
• Meet or exceed the national clearance rate for
arson investigations with a national average of Personnel $1,713,038
23%
• Complete inspection of all apartment complexes
Non-Personnel $141,343
with interior hallways per IFC. TOTAL $1,854,381
EMS (Pages 60 – 64) 13
Service Overview FY25 Accomplishments
The Topeka Fire Department’s (EMS) Emergency • Completed AEMT training for 7 personnel
Medical Service Division provides rapid, high- • Work started with I.T. to build QA/QI database
quality emergency medical services with a focus
on expanding advanced life support (ALS) care, • 7 personnel recertified as Instructors with American
ensuring timely, skilled treatment across the Heart Association in Advanced Cardiac Life Support
community. and Basic Life Support
• Encapsulated quarterly ALS training with BLS crews
• Opened a 7th ALS company located at station 11in
North Topeka
FY26 Goals Budget Details
• Add additional company to ALS response
levels Personnel $0
• Enroll additional personnel in AEMT course Non-Personnel $58,049
TOTAL $58,049
Fire Training (Pages 60 – 64) 14
Service Overview FY25 Accomplishments
Comprehensive training programs that empower • Hazardous Materials Technicians: 9 personnel trained
firefighters with advanced skills, in-depth and certified in Hazmat Technician in 2025 bringing total
knowledge of firefighting tactics, safety protocols, number close to 80
and expert equipment used to ensure confident, • New Reporting System: Implemented and trained all
effective, and safe emergency response personnel on new NERIS reporting system.
operations.
• Training Hours: Coordinating delivery of over 60,000 hours
Training FTE: 4 of fire and EMS training to department personnel.
• Hosting classes with KUFRTI: Hub for certification classes
from KUFRTI for TFD personnel and surrounding
FY26 Goals departments
• Provide training required to meet ISO Budget Details
standards and provide education hours to all
personnel required to meet EMS continuing Personnel $672,734
education requirements
• Increase hands-on training to TFD personnel
Non-Personnel $203,331
(both fire and EMS) TOTAL $876,065
Department Budget
Presentations: Municipal
Court
Municipal Court (Pages 54 – 56) 16
2026 Adjustments FY25 Accomplishments
• Adjustments • Probation: Supervised an average of 135 clients per
month, bond monitored average of 35 defendants per
• Purchase of Tyler Digital Ticketing system month
($130,000) • Property Maintenance: Issued over 50 judgments in LLC
• Increase in Public Defender contract cases
($145,550) • Domestic Violence: DOJ Grant funded batterer’s
intervention for numerous defendants, added DV pre-
• Other Notes trial docket and additional DV trial docket to reduce jail
costs
• Flat FTEs in 2026 (Total FTEs is 19)
• Washburn Law clinic: Appointed students to several
court-appointed cases
FY26 Goals • Mental Health Court: Averaged 15 participants per
month that received mental health services
• Gain administrative efficiencies through digital
ticketing [customer service, manual data entry]
• Look for additional ways to reduce inmate jail Budget Details
costs
• Add more participants to the Alternative Personnel $1,621,798
Sentencing Court
Non-Personnel $576,853
• Revise and update Administrative Hearing
procedures TOTAL $2,198,651
Department Budget
Presentations
8/12/2025
FY2026 Proposed Budget
Presentation
July 15th, 2025
Budget Schedule 2
• July 15th – General Fund Budget Overview
• August 12th – Police/Code, Fire, and Municipal Court
• August 19th – Public Works, Utilities, Planning, Non-Departmental,
and Finance
• August 26th – RNR Hearing, Legal, HR, CM’s Office, and IT
• September 2nd – Budget Public Hearing
• September 9th – Open Discussion Date
• September 16th – Possible Adoption of Budget
Revenue by Category Summary for General Fund 3
Category 2025 Budget Projected 2025 2026 Budget 2027 Projected
Property Tax $38,251,392 $39,279,796 $43,779,757 $44,515,324
Motor Vehicle Tax $3,309,405 $3,588,045 $3,657,389 $3,800,000
Sales Tax $40,569,000 $40,752,607 $41,710,350 $42,648,833 Note: The 2025 and
2026 figures reflect
PILOTS $5,937,664 $5,930,897 $6,787,247 $6,787,247
a planned
Licenses & Permits $1,781,757 $2,162,456 $1,829,164 $1,979,164
spenddown of
Franchise Fees $14,331,161 $15,794,235 $16,189,547 $16,612,949 reserves. The
Liquor Tax $1,492,050 $1,437,639 $1,469,962 $1,469,962 projected $9.45
Fees For Service $4,426,854 $4,034,243 $4,568,000 $4,597,000 million draw in 2025
Fines $1,275,000 $1,177,427 $1,190,000 $1,190,000 is not shown in the
Municipal Court $537,250 $497,175 $478,500 $478,500 "2025 Projected"
Special Assessments $340,000 $334,281 $295,000 $287,500 column.
Investment Interest $4,335,000 $3,550,454 $2,900,000 $2,075,000
Miscellaneous* $10,984,459 $516,971 $8,130,349 $602,886
Totals $127,570,992 $119,056,226 $132,985,265 $127,044,365
Revenue Sources - Property Taxes & Motor Vehicle Taxes 4
• Property Taxes
• Assessed Value Given by SNCO
• General Fund Mill Rate = 28.557 out 36.956 Total Mill Rate (Flat Mill Levy)
• Projected Total given 96% Collection Rate = $43,580,531
• Delinquency and Neighborhood Revitalization Rebate
• Motor Vehicle Taxes
• Value Given by SNCO
• Total of $4,733,077
• Prorated based off split of mill levy; General Fund = $3,657,389
Revenue Sources – Sales Tax 5
• 2024 General Fund Collections: $39,894,882.92
• Collections through 4 Months (2.25% increase vs. last year)
• 2024: $12,727,677
• 2025: $13,014,890
• 2026 Budget Revenue: $41,710,350
• Methodology: 2024 Collections * (1.0225^2)
• +/- 1% of Collection Rate = $819,840
Revenue Sources – Franchise Fees 6
Full Name 2024 Actuals 2025 Budget 2025 Projected 2026 Budget
42301-0 - FRANCHISE ONEOK GAS $3,051,977 $2,850,040 $3,457,651 $3,544,092
42302-0 - FRANCHISE EVERGY $11,047,168 $10,324,178 $11,291,165 $11,573,445
42303-0 - FRANCHISE - AT&T $0 $25,718 $0 $0
42304-0 - FRANCHISE COX CABLE $834,342 $860,000 $820,945 $841,470
42305-0 - FRANCHISE MISC TELECOM $194,774 $231,225 $190,770 $195,540
42307-0 - FRANCHISE MISC ELECTRIC $35,329 $40,000 $33,701 $35,000
Totals $15,163,590 $14,331,161 $15,794,235 $16,189,547
Revenue Sources – PILOTs & Fees for Service Items 7
• Administrative Transfer Allocations
• Utilities Funds: $3,456,000 was $2,758,164 in 2025
• Parking Fund: $96,000; was $90,852 in 2025
• CID Admin Fees (Varying %) = $185,000
• PILOTs
• Utilities Funds: $6,306,000 was $5,496,564 in 2025
• Parking Fund: $204,000 was $136,404 in 2025
Revenue Sources – Liquor Tax from State 8
• 10% Gross Receipts Tax on alcoholic drinks sold by clubs,
caterers, drinking establishments, public venues, or temporary
permit holders. Revenue Distribution: 70% to local governments
(cities/counties) 30% to the State (Except cities under 6,000
population)
• Projected Use of City/County Share Given by SNCO ($2.2M):
• 1/3 – General Fund: $734,981
• 1/3 – Special Park & Recreation Fund (Transfer to SNCO): $734,981
• 1/3 – Alcohol & Drug Programs Fund: $734,981
Administrative Actions to Income Statement 9
• Material Items Increased Revenue
• 2 Mill Shift from Debt Service to General Fund Operations ($3M)
• Fee Schedule Adjustments ($200,000)
• Increase in Administrative Fee & PILOT Fees to Enterprise Funds
($702,984 & $877,032)
• Material Items Reduced Expense Side
• Not Charging the General Fund Retirement Reserve Charges ($1.8M)
• Not Charging the General Fund Worker’s Comp Charges ($2.5M)
General Fund Income Statement Summary 10
• Material Expense
Enhancements
• TPD Staffing Study & Lexipol General Fund Base Budget $137,469,206
• 6 Civilian FTEs for Police Enhancement Totals $1,305,550
Reduction/Freeze Totals ($5,789,491)
• Fire Compressors
Net Expense Total $132,985,265
• Digi-Ticket Projected Revenues $125,448,001
• Material Expense Reductions Net Remaining Gap $7,537,264
• No General Fund * 2026 Personnel Budget Assumes 3% COLA for Non-
subsidization of Hotel Union Employees
• Removed/Reduced 21 FTEs
• Froze 20 FTEs
General Fund Expense Information 11
Category 2024 Actuals 2025 Budget Projected 2025 2026 Budget 2027 Projected
General Fund Personnel $85,766,002 $96,791,772 $97,481,279 $100,999,790 $107,046,246
Internal Service Charges $8,301,213 $9,186,335 $8,964,995 $10,727,210 $11,039,359
Property/Vehicle Insurance Charges $1,037,657 $1,090,500 $1,090,360 $1,588,055 $1,746,861
Evergy Streetlight Charges $1,827,158 $1,949,143 $1,815,012 $1,885,000 $1,900,000
SNCO Prisoner Charges $1,295,528 $1,100,000 $1,406,392 $1,500,000 $1,600,000
SNCO Liquor Tax Pass-Through $717,749 $746,025 $718,820 $734,996 $734,981
Other Contractual $10,112,544 $11,065,224 $10,661,454 $10,614,431 $10,925,865
Commodities $4,531,750 $4,225,719 $3,716,908 $3,476,650 $3,678,938
Capital Outlays $778,415 $1,184,166 $1,201,700 $1,354,033 $1,359,616
Other Payments $551,071 $232,100 $1,339,601 $105,100 $105,000
Totals $114,919,087 $127,570,984 $128,396,521 $132,985,265 $140,136,866
Projected General Fund Reserve Information 12
Categories General Fund Reserve Unassigned Reserve Totals
End of 2024 $23,028,432 $13,934,552 $36,962,984
Drawdown in 2025 $0 ($9,450,000) ($9,450,000)
Remaining EOY 2025 $23,028,432 $4,484,552 $27,512,984
FY 2026 15% Min. $19,947,790 $0 $0
Available for FY2026 $3,080,642 $4,484,552 $7,565,195
Budget Gap $7,537,264
Total Remaining Reserves above 15% $27,931 $0 $27,931
General Fund Summary 13
1. Proposed Budget Utilizes
Reserves to Address 2026
Gap of $7.5M
2. Other Options
1. Reduce Expense Bar
2. Increase Revenue Bar
3. Combination of the Above
Summary – Other Major Funds 14
Other Major Funds 2024 Ending Balance 2025 Ending Balance 2026 Ending Balance
286 – Retirement Reserve $5,596,341 $6,672,149 $3,068,207
291 – Special Highway Fund $2,331,580 $188,836 $0
301 – Debt Service $18,490,145 $17,928,726 $12,926,820
601 – Parking $1,057,079 $878,561 $467,290
613 – Information Technology ($793,456) ($396,545) ($46,481)
614 – Fleet Fund $2,223,037 $2,103,359 $2,661,265
615 – Facilities Fund ($845,336) ($158,519) $343,835
621 – Water Utility $17,105,007 $15,721,730 $14,054,172
623 – Stormwater Utility $5,995,850 $4,575,626 $4,038,213
625 – Wastewater Utility $20,147,185 $20,744,099 $19,752,344
640 – Property & Vehicle Insurance $799,625 $162,280 $331,032
641 – Workers Comp $13,366,552 $14,968,591 $11,308,791
642 – Group Health Insurance $3,650,875 $44,325 $1,029,418
643 – Risk Management Reserve $450,419 $450,419 $0
644 – Unemployment Fund $519,484 $603,737 $527,737
Other Funds Considerations 15
1. Transfer into Health Insurance Fund: $2.2M
1. $1.75M from the Workers Comp Fund
2. $450k from the Risk Reserve Fund
2. Transfer into Special Highway Fund: $2M
1. $2M from Retirement Reserve Fund
3. Parking
1. Expenses are outpacing revenues in this fund
4. IT
1. Chief Information Security Officer position added
2. Scanning software ($40K)
Future Policy Considerations 16
1. FY2026 Proposed Budget is balanced
2. FY2027 General Fund projected deficit is $13M
1. Additional Revenue enhancements and Expense reductions will
have to be considered to balance future budgets
3. Other Considerations
1. Fully recover costs associated with development permit services
(approx. $600k)
2. Sales Tax Initiative
3. Additional transfers from other funds
FY2026 Proposed Budget
Presentation
July 15th, 2025
FISCAL YEAR 2026 OPERATING BUDGET
Page 2 7/11/25
GOVERNMENT FINANCE OFFICERS ASSOCIATION
Distinguished
Budget Presentation
Award
PRESENTED TO
City of Topeka
Kansas
For the Fiscal Year Beginning
January 01, 2025
Executive Director
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TABLE OF CONTENTS
INTRODUCTION
City Manager's Letter - 7
Budget Calendar - 10
FINANCIAL INFORMATION
Financial Summary - 12
City Council - 38
Mayor 's Office - 39
City Manager - 40
Office of Inclusive Communities - 45
City Attorney - 47
Finance - 51
Municipal Court - 54
Human Resources - 57
Fire - 60
Information Technology - 65
Planning and Development - 68
Police - 73
Public Works - 77
Utilities - 83
Miscellaneous Non-Departmental - 94
City Funds Overview - 96
APPENDIX
Topeka Profile - 140
Debt Schedules -143
Financial Policies - 146
Glossary - 154
Fee Schedule - 157
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GOVERNING BODY
Since 2005, the City of Topeka has operated under a Council-Manager form of government.
This system of local government combines the strong political leadership of elected officials with
the managerial experience of a professional local government manager.
The City is governed by a ten-member Governing Body, including a directly elected Mayor and a
nine-member City Council elected by district. Governing Body members serve 4-year staggered
terms. A City Manager, appointed by the Governing Body, is responsible for the implementation
of the Governing Body’s policy and the day-to-day operations of the City.
The Governing Body conducts the business of the City by voting on ordinances, resolutions,
applications, major plats, zoning petitions, receiving reports, and other items. The Governing
Body elects a Deputy Mayor every year, who presides over Council meetings in the absence of
the Mayor, makes committee assignments, and chairs various Council committees.
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GOVERNING BODY
1. Karen Hiller
2. Christina Valdivia-Alcalá
3. Sylvia Ortiz
4. David Banks
5. Brett Kell
6. Marcus Miller
7. Neil Dobler
8. Spencer Duncan
9. Michelle Hoferer
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CITY OF TOPEKA ORGANIZATIONAL CHART
CITIZENS OF TOPEKA
GOVERNING BODY
City Council & Mayor
CITY MANAGER
Robert Perez
POLICE FIRE MUNICIPAL UTILITIES PUBLIC
Chris Vallejo Randy Phillips COURT Sylvia Davis WORKS
Karan Thadani Steve Groen
OIC LEGAL PLANNING & FINANCIAL INFORMATION HUMAN
DEVELOPMENT SERVICES TECHNOLOGY RESOURCES
Monique Glaudé Amanda
Rhiannon Friedman Ben Hart Randi Stahl Alicia Guerrero-
Stanley
(Interim) Chavez
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CITY MANAGER’S LETTER
Honorable Mayor Michael Padilla
Members of the Topeka City Council
215 SE 7 Street Topeka, Kansas 66603
Dear Mayor Padilla and City Councilmembers,
I am pleased to present the Fiscal Year 2026 (FY26) Budget for your review. This budget is structurally balanced
for FY26. Over the past two years and during this budget cycle, we have seen our revenues stabilize compared to
the budget—unlike previous years where revenue collections exceeded budget. At the same time, the City's
personnel costs have grown since the last budget cycle due to contractual obligations. Due to these factors, the
City will use one-time reserves to help balance the FY 2026 Budget. While I am confident this budget will meet the
current needs of Topeka residents, policy changes will be necessary in FY27, as these one-time reserves will
projected to be depleted.
Budget Issues Facing the Governing Body
Policy Issues
If the City were to adopt the Revenue Neutral Mill Rate (RNR), the initial budget deficit would be approximately
$18 million. To avoid this deficit, the City recommends the following actions:
To exceed the RNR rate at a mill rate of 36.956—which is also the current mill rate.
Shift 2 mills from the Debt Service Fund into the General Fund while still maintaining the total mill levy at
36.956. This would generate an additional $3.0 million for General Fund operations.
Suspend charges for Workers’ Compensation and Retirement Reserve due to their strong fund balances.
Assume no General Fund subsidy for Hotel Topeka.
Increase PILOT (Payment in Lieu of Taxes) and administrative fees transferred into the General Fund from
Enterprise Funds.
Use the remaining balance in the Unassigned Reserve Fund to help address the projected 2026 deficit.
Draw down the General Fund Reserve to 15% to further offset the 2026 deficit.
Eliminate 19 FTEs from the 2026 budget compared to 2025, and assume a vacancy credit of 21 FTEs
within the General Fund.
If these actions were accepted the City would be just above its 15% target fund balance at the end of FY26.
Economic Factors
The City’s overall assessed value has increased by 4.24% from the prior year assessment rate conducted by
Shawnee County. This increase in valuation could allow the City an additional $2.7 million in revenue if the current
mill rate remains the same at 36.956, compared to the RNR rate of 35.183.
Sales tax collections have remained relatively flat in 2025. From January to April, collections totaled $13.0 million,
compared to $12.7 million during the same period in 2025. This is a 2.25% increase over the first four months in
the previous year. The City anticipates only conservative growth in sales tax revenue in FY26 and beyond.
Additionally, a proposed fee schedule adjustment is expected to generate an additional $200,000 in FY26.
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CITY MANAGER’S LETTER
Economic Factors Continued
Despite increased valuations, expenses are also on the rise. The City is bound by existing union contracts, and
inflation continues to drive up costs for services and commodities. Employee healthcare costs alone are
projected to rise 16% in FY26, driven by expanded coverage.
To help offset property taxes, the City will continue the Property Tax Rebate Program at $220,000. This
program, started in 2024, assists eligible residents and will continue to be administered by the CRC, which also
manages the Franchise Fee and Utility Rebate programs—streamlining services for residents and staff.
Regulatory and Legislative Changes
The City remains subject to K.S.A. 70-2088, which requires a public hearing in September if the Governing Body
intends to exceed the Revenue Neutral Rate. As this budget assumes the mill levy will exceed the RNR, a
hearing will be required. Although several legislative proposals with potential budget implications were
introduced during the 2025 session, none were signed into law. Continued discussions on these matters are
expected.
Fund Overview
General Fund
The General Fund is the City’s primary operating fund, supporting departments such as the City Council, Mayor,
Police, Fire, Public Works, and others. It represents about one-third of the citywide budget, with FY26 planned
expenditures of $133.0 million—an increase of 4% from FY25’s $127.6 million.
Personnel expenses account for 76% of the General Fund and increased by 4.2% or $4.2 million. This includes
finalized union contracts and a 3% cost-of-living pool for non-union employees. Non-personnel expenses rose
4.0% or $1.2 million, primarily due to inflationary pressures.
This year’s General Fund increase is supported by one-time reserve funds, position freezes, and targeted
reductions. Unlike in previous years, the City is no longer projecting significant growth in sales tax revenue—
only a modest 2.25% increase is anticipated for 2026. However, at the time this proposed budget was
developed, only four months of sales tax collections were available. Revenue projections will be updated as
budget discussions continue.
Utility Funds
The Water, Stormwater, and Wastewater Utilities funds reflect rate increases approved in 2023 and continue to
target a 150-year infrastructure replacement cycle. The City is drawing down reserves in line with previous
discussions. Beginning in 2024, the General Fund reduced its annual Payment in Lieu of Taxes (PILOT) from
the Utilities funds from $7.5 million to $5.5 million. However, in 2026 that figure has increased $810,000 to
$6,306,000.
Internal Service Funds
Internal Service Funds, such as Information Technology, Fleet, and Facilities, are funded by internal charges to
departments. Charges have been increased in 2026 to help bring the cash flow statements above $0 for
facilities and IT.
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CITY MANAGER’S LETTER
Citywide Half-Cent Sales Tax Fund
The City levies a half-cent sales tax dedicated to street, curb, gutter, and sidewalk repair. The 2026–2035
Capital Improvement Plan (CIP) will be approved alongside this budget. This budget features an increase in
infrastructure spending with an additional $2.5 million going towards the Pavement Management Program.
Risk Funds
Property insurance costs increased by 30% over FY25, while health insurance costs rose by 16%. In 2024, the
City transitioned to self-insuring vehicle claims and established a dedicated Vehicle Claims Fund, resulting in a
$90,000 increase in vehicle insurance expenses. As previously noted, healthcare claims continue to rise, and for
the past two years, revenue in the Health Insurance Fund has not kept pace with expenses. To maintain
solvency through 2026, the City will need to closely monitor the fund and increase revenue to cover ongoing
claim payouts. To help spread the financial impact over multiple years, the City is infusing approximately $2.2
million into the Health Insurance Fund to reduce the required premium increase in the first year.
Other Funds
Another major fund that will present a policy challenge for the Governing Body in 2026 is the Special Highway
Fund. The fund balance is projected to be approximately $200,000 by the end of 2025, while revenues remain
stagnant. To address the projected $2,000,000 deficit in 2025, the City is proposing an equal transfer from the
Retirement Reserve Fund to fill the gap between revenues and expenses.
Other Policy Considerations
The FY26 budget uses one-time reserves to balance the operating budget, a strategy that will not be available in
FY27 and FY28. The City is actively evaluating long-term revenue enhancements and cost reductions to
establish a sustainable fiscal path.
Conclusion
Decreasing revenue growth, rising core expenses, inflation, and deferred capital needs continue to challenge
the City’s financial health. City management remains committed to addressing these issues and supporting the
Governing Body in achieving long-term fiscal sustainability.
Respectfully submitted,
Page 10 7/11/25
FY26 BUDGET PUBLIC MEETINGS CALENDAR
JULY
1 2 3 4 5 6
7 8 9 10 11 12 13
14 15 16 17 18 19 20
21 22 23 24 25 26 27
28 29 30 31
AUGUST
M T W R F S S
1 2 3
4 5 6 7 8 9 10
11 12 13 14 15 16 17
18 19 20 21 22 23 24
25 26 27 28 29 30 31
SEPTEMBER
M T W R F S S
1 2 3 4 5 6 7
8 9 10 11 12 13 14
15 16* 17 18 19 20 21
22 23 24 25 26 27 28
30 31
*Anticipated budget adoption date
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FISCAL YEAR 2026 OPERATING BUDGET CALENDAR
May
• 1st - Budget Kickoff
June
• 5th - Department budgets due
• Mid-June - Receive property value estimate
• 27th - Finalization of Department budget proposals
July
• 1st - Revenue Neutral Rate (RNR) Initial Discussion
• 8th - RNR and Public Budget hearing date set and Budget
presented to City Council
• 15th - Budget Overview presented to City Council
August
• 12th, 19th and 26th - Budget presented to City Council,
continued
• 26th - RNR Public Hearing
September
• 2nd - Resolution for RNR Roll Call Vote
and Public Budget Hearing
• 9th - Budget Presentation Wrap-Up
• 16th - Budget Adoption Vote
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FINANCIAL
SUMMARY
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FINANCIAL SUMMARY
Expenditures Glossary
The purpose of this section is to describe the major expenditure types for all funds. These major
expenditures are divided into six categories: Capital Outlay, Commodities, Contractual, Debt, Other
Payments, Personnel.
Capital Outlay: Capital Outlay expenditures include payments that are made for land, building
improvements, furniture, motor vehicles, computer software, tools, and equipment.
Commodities: Commodities include materials for asphalt, rock, sand, salt, insecticide, fuel, chemicals,
and office supplies.
Contractual: Contractual costs are expenditures related to the operations of the City. They include items
such as property insurance premiums, utility costs, printing services, rent, and maintenance services.
Debt: Debt expenditures include the costs of principal and interest for all current outstanding debt and
any debt obligations refinanced during the fiscal year.
Other Payments: Other Payments include expenditures for debt service payments and operating
transfers. The types of expenditures in this category consist of transfers between funds and debt
payments that are paid by the Utilities, Parking, and Debt Service funds.
Personnel: Personnel costs are expenditures related to employee compensation, including employee
benefit costs such as the City’s contribution for retirement, social security, and health insurance.
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FINANCIAL SUMMARY
Revenues Glossary
The purpose of this section is to describe the major revenues of the City. The major revenue sources fall
into nine categories: Fees for Service, Franchise Fees, Intergovernmental Revenue, Licenses & Permits,
Miscellaneous, Municipal Court, PILOTs, Special Assessments, and Taxes.
Fees for Service: Fees for Service revenues are those collected in return for a service provided by the
City such as water, stormwater, wastewater, and parking.
Franchise Fees: Franchise Fees are revenue generated from agreements between the City and local
utilities for the use of rights-of-ways. These agreements result in 5-6% of the utility's revenue due to the
City.
Intergovernmental Revenue: Intergovernmental Revenue is revenue collected by the City that comes
from other government agencies such as the State of Kansas and Shawnee County.
Licenses & Permits: Licenses and Permits are revenues related to various permitting and licensing
services available in the City Clerk and Development Services divisions. These include business licenses
and development permits.
Miscellaneous: Miscellaneous revenue is all other revenues collected by the City that is not otherwise
assigned to a category in this list.
Municipal Court: Municipal Court revenue are those fines and fee assessed and collected by the City's
judicial system.
PILOTs: Payments in Lieu of Taxes (PILOTs) are payments made to the City by various organizations or
agencies based on agreements. In these agreements, the City may have granted tax abatements, and
PILOTs are a portion of the taxes that may be due to the City.
Special Assessments: Special Assessment revenue are the taxes levied against property owners inside
an approved improvement district that provide for the construction of certain public projects such as water
and sewer lines or streets.
Taxes: Tax revenues include ad valorem (property) tax, sales taxes, and motor vehicle tax. Property tax is
derived from tax levied on real property, personal property, and state assessed utilities. The City receives
three sales taxes, two for direct operations and one for countywide purposes.
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CITYWIDE FUND DETAILS
Citywide Funds: Detailed Four Year Summary
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $397,885,967 $475,001,435 $363,806,536 $383,738,410
Fees For Service $127,910,623 $144,175,260 $149,897,065 $159,677,571
Sales Tax $79,429,067 $82,625,539 $82,526,552 $86,456,800
Ad Valorem Tax $56,495,487 $59,525,134 $60,303,058 $64,065,805
Franchise Fees $15,263,008 $15,199,441 $14,365,512 $16,223,898
Intergovernmental Revenue $31,380,047 $38,363,586 $14,709,470 $15,037,734
Miscellaneous $46,272,074 $94,926,357 $12,565,359 $13,813,549
PILOTS $8,027,067 $6,103,720 $6,040,664 $6,912,247
Motor Vehicle $5,555,993 $5,480,404 $5,151,821 $5,271,312
Investments from Interest $16,130,411 $17,165,160 $5,808,000 $5,160,400
Special Assessments $4,225,091 $4,330,372 $4,219,253 $3,896,930
Transient Guest Tax $3,283,923 $3,130,089 $4,156,275 $3,325,000
Licenses & Permits $1,820,289 $2,005,913 $1,869,257 $1,846,664
Fines $1,518,206 $1,427,503 $1,590,000 $1,505,000
Municipal Court $574,681 $542,957 $604,250 $545,500
Expenses ($365,741,442) ($418,579,927) ($399,241,628) ($416,073,389)
Capital Outlay ($10,113,331) ($5,228,242) ($3,259,466) ($2,864,333)
Commodities ($17,151,557) ($21,059,671) ($19,324,648) ($20,107,098)
Other Payments ($52,282,724) ($61,372,240) ($40,635,411) ($37,758,675)
Debt ($29,389,474) ($48,407,850) ($49,891,602) ($51,616,934)
Personnel ($109,266,497) ($115,975,454) ($133,804,876) ($138,924,158)
Contractual ($147,537,859) ($166,536,469) ($152,325,625) ($164,802,191)
Total $32,144,525 $56,421,509 ($35,435,091) ($32,334,979)
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CITYWIDE FUND DETAILS
Expenditure Summary for Citywide Funds
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($116,007,107) ($118,403,646) ($127,570,984) ($132,985,265)
102 - Unassigned Reserve Fund ($1,998,061) ($15,374,383) ($6,500,000)
110 - Capital Assets $0 $0
216 - Downtown Bus Improv Dist ($194,957) ($164,176) ($203,011) ($203,011)
217 - Topeka Tourism Bid ($369,397) ($356,781) ($379,247) ($352,200)
218 - Noto Business Improve District ($5,006) ($5,744) ($15,000) ($17,000)
220 - Tif (Tx Increm Fin) College Hl ($2,200) ($2,527) ($251,000) ($5,000)
227 - Court Technology Fund ($44,013) ($26,035) ($70,000) ($250,000)
228 - Special Alcohol Program ($567,661) ($695,927) ($746,025) ($734,996)
229 - Alcohol & Drug Safety ($115,786) ($9,275) ($5,743) ($5,166)
231 - Parkland Acquisitions ($17,886) ($11,173)
232 - Law Enforcement ($463,750) ($497,913) ($551,477) ($551,477)
236 - Special Liability ($1,015,460) ($1,501,796) ($1,536,185) ($1,639,785)
271 - Transient Guest Tax ($2,347,597) ($2,233,723) ($2,018,469) ($2,375,000)
272 - Tgt - Sunflower Soccer ($283,313) ($282,880) ($294,254) ($288,961)
273 - Transient Guest Tax (New) ($468,903) ($409,578) ($482,970) ($475,000)
274 - .50% Sales Tax (State To Jedo) ($11,608,064) ($11,889,918) ($11,956,306) ($12,500,000)
275 - 0.5% Sales Tax (Jedo Proj) ($7,356,405) ($2,267,849) ($9,798,500) ($10,002,811)
276 - Federal Funds Exchange ($499,400) ($4,355,000) ($2,215,000) ($1,550,000)
286 - Retirement Reserve ($1,492,940) ($1,137,818) ($1,127,170) ($3,633,742)
287 - K P & F Rate Equalization $0 ($107,804)
289 - Historic Asset Tourism ($12,930) ($29,711)
291 - Special Street Repair ($6,165,267) ($6,891,912) ($8,274,449) ($7,781,698)
292 - Sales Tax Street Maint ($17,440,245) ($18,491,826) ($28,124,454) ($28,468,024)
294 - Cid - Holliday Square ($121,348) ($105,956) ($124,989) ($110,000)
295 - Cid - 12Th & Wanamaker ($294,834) ($345,489) ($306,628) ($345,000)
296 - Cid - Cyrus Hotel ($125,884) ($123,034) ($130,919) ($135,000)
297 - Cid - Se 29Th ($92,283) ($106,768) ($95,513) ($115,000)
298 - Wheatfield Fund ($354,724) ($343,523) ($368,913) ($350,000)
299 - City Donations And Gifts ($1,125) ($999,800) ($1,073,675)
301 - Debt Service ($20,558,785) ($20,232,030) ($21,611,803) ($21,395,721)
400 - Economic Development ($326,720) ($374,683) ($343,056) ($375,000)
Page 17 7/11/25
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CITYWIDE FUND DETAILS
Expenditure Summary for Citywide Funds
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
401 - Sherwood Cid ($323,961) ($204,137) ($190,623) ($210,000)
402 - Tif - Sherwood Crossing ($119,021) ($95,479) ($150,000) ($150,000)
403 - Tif - Wheatfield ($302,896) ($869,692) ($500,000) ($910,000)
404 - Cid - Downtown Ramada Inn ($56,373) ($45,584) ($59,191) ($60,000)
406 - Cid - South Topeka ($91)
407 - Eastgate #4 Rhid ($50,000) ($50,000)
499 - Economic Dev - Clearing Fund ($31,000) ($16,000)
500 - Metro Trans Authority ($5,983,690) ($6,532,718) ($6,658,710) ($6,993,044)
601 - Public Parking ($3,360,066) ($3,449,216) ($3,462,690) ($3,157,281)
613 - Information Technology ($5,037,524) ($7,666,532) ($6,702,768) ($6,931,006)
614 - Fleet Management ($2,401,915) ($2,597,423) ($3,664,128) ($2,310,635)
615 - Facilities Operations ($3,013,444) ($3,541,047) ($3,509,272) ($3,555,688)
621 - Water Utility ($43,758,166) ($61,007,180) ($56,528,377) ($62,286,091)
623 - Stormwater Utility ($10,834,838) ($14,625,520) ($12,727,224) ($12,633,611)
625 - Wastewater Fund ($41,706,640) ($53,521,430) ($41,111,311) ($45,392,654)
640 - Property & Vehicle Insurance ($2,724,191) ($3,222,675) ($2,939,841) ($3,901,500)
641 - Workers Comp Self Ins ($2,637,560) ($1,532,629) ($2,434,217) ($3,859,800)
642 - Group Health Insurance ($15,070,873) ($17,258,753) ($17,657,459) ($22,296,882)
643 - Risk Management Reserve ($875) ($2,000) ($467,000)
644 - Unemployment Comp ($21,993) ($22,071) ($81,442) ($81,000)
700 - Hud Grants ($5,877,614) ($5,781,079) ($3,850,493) ($3,854,820)
710 - Other Grants ($1,195,522) ($2,113,916) ($1,071,802) ($989,691)
720 - Public Health Emergency Response ($15,735,578) ($17,720,129)
730 - Opioid Settlement Fund ($6,600) ($6,600) ($362,546) ($834,441)
740 - Economic Development Fund ($500,000) ($44,260) ($538,356) ($900,000)
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CITYWIDE FUND DETAILS
Expenditure Summary: Total Citywide Funds by Category
Object Category 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Contractual ($147,537,859) ($166,536,469) ($152,325,625) ($164,802,191)
Purchased Services ($73,573,683) ($76,387,379) ($79,567,953) ($86,610,018)
Individual & Contract Services ($32,922,741) ($44,050,823) ($28,312,892) ($30,223,171)
Contributions to Agencies ($10,224,659) ($10,965,676) ($11,065,205) ($11,563,040)
Maintenace ($8,512,255) ($11,943,882) ($10,796,766) ($11,256,178)
Utilities ($9,381,562) ($9,898,621) ($9,901,460) ($10,988,837)
Insurance ($5,868,389) ($6,828,389) ($7,309,258) ($8,999,847)
Grants ($5,366,602) ($4,892,541) ($3,046,275) ($3,061,275)
RENTS ($936,170) ($856,243) ($1,528,228) ($1,412,588)
Miscellaneous ($751,797) ($712,916) ($797,588) ($687,238)
Personnel ($109,266,497) ($115,975,454) ($133,804,876) ($138,924,158)
Compensation ($77,695,928) ($78,502,854) ($93,954,789) ($100,632,308)
Benefits ($31,413,703) ($37,321,381) ($39,754,196) ($38,209,660)
Allowances and Reimbursements ($156,866) ($151,220) ($95,890) ($82,190)
Debt ($29,389,474) ($48,407,850) ($49,891,602) ($51,616,934)
Debt Services ($29,389,474) ($48,407,850) ($49,891,602) ($51,616,934)
Other Payments ($52,282,724) ($61,372,240) ($40,635,411) ($37,758,675)
Operational Transfers ($28,976,060) ($38,143,202) ($35,321,405) ($34,589,000)
Other Costs ($24,193,306) ($23,364,989) ($5,221,506) ($3,169,175)
Clearing $886,643 $135,951 ($92,500) ($500)
Commodities ($17,151,557) ($21,059,671) ($19,324,648) ($20,107,098)
Supplies ($17,151,557) ($21,059,671) ($19,324,648) ($20,107,098)
Capital Outlay ($10,113,331) ($5,228,242) ($3,259,466) ($2,864,333)
Capital Outlay ($10,113,331) ($5,228,242) ($3,259,466) ($2,864,333)
Total ($365,741,442) ($418,579,927) ($399,241,628) ($416,073,389)
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CITYWIDE FUND DETAILS
Revenue Summary for Citywide Funds
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund $116,085,443 $114,928,383 $127,570,992 $132,985,265
102 - Unassigned Reserve Fund $11,706,274 $4,134,894
216 - Downtown Bus Improv Dist $178,715 $125,784 $184,920 $203,011
217 - Topeka Tourism Bid $369,551 $352,197 $384,333 $352,200
218 - Noto Business Improve District $12,650 $12,700 $15,000 $17,000
220 - Tif (Tx Increm Fin) College Hl $2,165 $2,527 $251,000 $5,000
227 - Court Technology Fund $26,332 $25,442 $25,000 $25,000
228 - Special Alcohol Program $723,737 $717,749 $746,025 $734,996
229 - Alcohol & Drug Safety $16,936 $10,976 $22,000 $22,000
231 - Parkland Acquisitions $13,149 $11,106
232 - Law Enforcement $459,915 $325,313 $189,000 $189,000
236 - Special Liability $1,164,897 $1,253,948 $1,059,376 $1,121,832
271 - Transient Guest Tax $2,347,597 $2,238,852 $2,972,974 $2,375,000
272 - Tgt - Sunflower Soccer $478,031 $454,169 $602,920 $475,000
273 - Transient Guest Tax (New) $458,296 $437,067 $580,381 $475,000
274 - .50% Sales Tax (State To Jedo) $11,608,064 $11,889,918 $11,956,306 $12,500,000
275 - 0.5% Sales Tax (Jedo Proj) $8,290,170 $10,238,658 $7,760,018 $9,445,170
276 - Federal Funds Exchange $1,738,080 $1,557,504 $1,600,000 $1,665,000
286 - Retirement Reserve $2,177,006 $2,348,346 $1,930,000 $30,000
287 - K P & F Rate Equalization $242 ($505)
291 - Special Street Repair $5,711,469 $5,634,311 $5,204,250 $7,503,130
292 - Sales Tax Street Maint $20,811,318 $21,610,455 $20,511,907 $21,447,280
294 - Cid - Holliday Square $121,015 $103,872 $124,645 $110,000
295 - Cid - 12Th & Wanamaker $293,643 $340,180 $305,388 $345,000
296 - Cid - Cyrus Hotel $125,311 $121,325 $130,324 $135,000
297 - Cid - Se 29Th $91,830 $105,514 $95,044 $115,000
298 - Wheatfield Fund $353,787 $338,517 $367,939 $350,000
299 - City Donations And Gifts $249,800 $75,000
301 - Debt Service $22,275,286 $23,509,184 $19,316,996 $16,393,815
400 - Economic Development $325,585 $370,385 $341,864 $375,000
Page 20 7/11/25
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CITYWIDE FUND DETAILS
Revenue Summary for Citywide Funds
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
401 - Sherwood Cid $182,499 $201,594 $191,623 $210,000
402 - Tif - Sherwood Crossing $117,986 $145,659 $150,000 $150,000
403 - Tif - Wheatfield $573,367 $869,692 $500,000 $910,000
404 - Cid - Downtown Ramada Inn $55,709 $45,575 $58,494 $60,000
407 - Eastgate #4 Rhid $50,000 $50,000
499 - Economic Dev - Clearing Fund $81,500 $21,500
500 - Metro Trans Authority $5,983,690 $6,532,718 $6,658,710 $6,993,044
501 - Payroll Clearing ($1,383)
561 - Law Enforcement Trust $45,605 $4,043
601 - Public Parking $3,662,896 $2,505,021 $2,461,570 $2,746,010
613 - Information Technology $4,134,913 $5,970,956 $6,957,278 $7,281,070
614 - Fleet Management $2,554,209 $2,905,620 $3,039,000 $2,868,541
615 - Facilities Operations $1,440,838 $3,878,840 $3,520,000 $4,058,042
621 - Water Utility $55,141,766 $55,416,036 $55,145,100 $60,613,500
623 - Stormwater Utility $11,876,617 $12,870,716 $11,307,000 $12,096,200
625 - Wastewater Fund $39,469,335 $42,824,063 $41,708,225 $44,400,900
640 - Property & Vehicle Insurance $2,793,262 $2,780,224 $3,000,000 $4,070,252
641 - Workers Comp Self Ins $3,679,364 $3,830,732 $3,146,224 $200,000
642 - Group Health Insurance $13,387,101 $15,574,715 $16,146,000 $22,179,007
643 - Risk Management Reserve $24,387 $28,026 $15,000
644 - Unemployment Comp $102,556 $111,487 $81,565 $5,000
700 - Hud Grants $5,960,461 $5,673,569 $4,350,000 $4,350,000
710 - Other Grants $1,218,958 $1,353,025 $1,087,145 $1,087,145
720 - Public Health Emergency Response $15,890,089 $17,677,159
730 - Opioid Settlement Fund $369,621 $438,941
740 - Economic Development Fund $500,000 $27,442
Page 21 7/11/25
Power BI Desktop
SCHEDULE OF FUND BALANCES
Fund Search 2024 Ending Projected 2025 Ending Projected 2026 Ending
Balance Balance Balance
101 - General Fund $23,028,432 $23,028,432 $19,975,720
102 - Unassigned Reserve Fund $13,843,107 $4,484,552 $0
216 - Downtown Bus Improv Dist $60,972 $0 $0
217 - Topeka Tourism Bid ($277) $0 $0
218 - Noto Business Improve District $14,600 $0 $0
227 - Court Technology Fund $239,730 $225,730 $730
228 - Special Alcohol Program $225,883 $225,883 $225,883
229 - Alcohol & Drug Safety $9,171 $25,428 $42,062
232 - Law Enforcement $1,583,390 $1,265,810 $903,333
236 - Special Liability $2,996,713 $2,472,923 $1,954,970
271 - Transient Guest Tax $57,244 $0 $0
272 - Tgt - Sunflower Soccer $702,779 $431,440 $617,479
273 - Transient Guest Tax (New) $93,553 $0 $0
274 - .50% Sales Tax (State To Jedo) $0 $0 $0
275 - 0.5% Sales Tax (Jedo Proj) $21,116,143 $21,684,346 $23,826,450
276 - Federal Funds Exchange $610,948 $205,976 $320,976
286 - Retirement Reserve $5,596,341 $6,672,149 $3,068,207
289 - Historic Asset Tourism $29,711 $0 $0
291 - Special Street Repair $2,331,580 $188,836 $0
292 - Sales Tax Street Maint $39,812,281 $34,759,722 $27,738,979
293 - Tif (Tx Increm Fin) Eastgate $0 $0 $0
294 - Cid - Holliday Square $0 $0 $0
295 - Cid - 12Th & Wanamaker $0 $0 $0
296 - Cid - Cyrus Hotel $0 $0 $0
297 - Cid - Se 29Th $0 $0 $0
298 - Wheatfield Fund $0 $0 $0
299 - City Donations And Gifts $1,073,675 $1,073,675 $0
301 - Debt Service $18,490,145 $17,928,726 $12,926,820
400 - Economic Development $0 $0 $0
401 - Sherwood Cid $0 $0 $0
402 - Tif - Sherwood Crossing $0 $0 $0
403 - Tif - Wheatfield $0 $0 $0
404 - Cid - Downtown Ramada Inn $0 $0 $0
405 - South Topeka Tif $0 $0 $0
406 - Cid - South Topeka $0 $0 $0
407 - Eastgate #4 Rhid $0 $0 $0
499 - Economic Dev - Clearing Fund $0 $0 $0
500 - Metro Trans Authority $0 $0 $0
Page 22 7/11/25
Power BI Desktop
SCHEDULE OF FUND BALANCES
Fund Search 2024 Ending Projected 2025 Ending Projected 2026 Ending
Balance Balance Balance
601 - Public Parking $1,057,079 $878,561 $467,290
613 - Information Technology ($793,456) ($396,545) ($46,481)
614 - Fleet Management $2,223,037 $2,103,359 $2,661,265
615 - Facilities Operations ($845,336) ($158,519) $343,835
621 - Water Utility $17,105,007 $15,721,730 $14,054,172
623 - Stormwater Utility $5,995,850 $4,575,626 $4,038,213
625 - Wastewater Fund $20,147,185 $20,744,099 $19,752,344
640 - Property & Vehicle $799,625 $162,280 $331,032
Insurance
641 - Workers Comp Self Ins $13,366,552 $14,968,591 $11,308,791
642 - Group Health Insurance $3,650,875 $44,325 $1,029,418
643 - Risk Management Reserve $450,419 $450,419 $0
644 - Unemployment Comp $519,484 $603,737 $527,737
730 - Opioid Settlement Fund $823,946 $823,946 $0
740 - Economic Development $1,021,537 $1,021,537 $121,537
Fund
Page 23 7/11/25
Power BI Desktop
GENERAL FUND DEPARTMENTS
Expenditure Summary for General Fund Departments
Department Name 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Police Department ($42,839,436) ($45,499,005) ($54,500,451) ($52,693,748)
Fire Department ($32,881,490) ($36,281,139) ($38,861,952) ($37,328,356)
Misc. Non - Departmental ($5,032,312) ($7,665,834) ($4,428,652) ($15,579,852)
Public Works ($6,790,654) ($7,704,246) ($8,350,043) ($7,626,421)
Planning Department ($2,749,575) ($3,696,895) ($4,290,577) ($3,929,609)
City Manager ($1,784,926) ($2,022,940) ($3,459,587) ($2,867,141)
Financial Services ($14,867,862) ($6,449,284) ($3,357,199) ($2,715,342)
Neighborhood Relations/Code ($2,374,631) ($2,285,176) ($2,756,542) ($2,600,391)
Enforcement
Human Resources ($1,546,103) ($1,831,171) ($2,137,214) ($2,337,722)
Municipal Court ($1,700,440) ($1,880,330) ($2,166,015) ($2,198,651)
City Attorney ($1,403,471) ($1,652,780) ($1,817,471) ($1,708,918)
Park And Recreation Pass-Through ($723,737) ($717,749) ($746,025) ($734,996)
City Council ($363,489) ($436,164) ($509,116) ($498,277)
Mayor's Office ($148,087) ($169,106) ($190,140) ($165,839)
Topeka Zoological Park ($800,894) ($111,826)
Total ($116,007,107) ($118,403,646) ($127,570,984) ($132,985,265)
Page 24 7/11/25
Power BI Desktop
TAX REVENUE BREAKDOWN
Tax Revenue
The purpose of this section is to breakdown the tax revenue the City of Topeka receives. The City receives
four main types of tax revenue: Ad Valorem Tax, Sales Tax, Motor Vehicle Tax, and Transient Guest Tax.
Ad Valorem (Property Taxes): The Ad Valorem Tax is one of the largest single revenue streams available
to Kansas cities. These revenues are derived from taxes levied on real property, personal property, and
state assessed utilities. The Shawnee County Appraiser assigns values to real and personal properties,
while the State of Kansas assigns values to state assessed utilities. The City maintains three taxing funds:
the General Fund, Debt Service Fund, and Special Liability Fund.
Sales Tax: The City of Topeka receives three sales taxes - two for direct operations and one for countywide
purposes. In addition to those, the City also manages sales tax for the payment of debt service and pay-as-
you-go community improvement districts. The two sales taxes that are utilized for operations are a 1 cent
sales tax for the General Fund and a 1/2 cent sales tax utilized for existing street maintenance.
Motor Vehicles: The State of Kansas collects taxes when an applicant applies for title on a motor vehicle,
trailer, all-terrain vehicle, boat, or outboard motor (unit), regardless of the purchase date. Revenue
projections are received from the County.
Transient Guest Tax: The Transient Guest Tax (TGT) is charged on hotel nights within the city. The City
Council sets the tax rate. The TGT is closely tied to the same factors as sales tax and is sensitive to the
broader economy.
Note: Chart includes the General
Tax Summary
Fund (101), Special Liability (236),
2024 Actuals 2025 Budget 2026 Budget Transient Guest Taxes (271-273),
and Debt Service (301)
$86M
$83M $83M
$80M
$64M
$60M $60M
$60M
$40M
$20M
$5M $5M $5M $4M
$3M $3M
$0M
Sales Tax Ad Valorem Tax Motor Vehicle Transient Guest Tax
Page 25 7/11/25
Power BI Desktop
PROPERTY TAX BREAKDOWN
Property Tax Revenue
Property tax is one of the largest revenue sources for the City. The State of Kansas uses mills to levy
property tax. One mill is one dollar per $1,000 dollars of assessed value. Residential properties pay 11.5%
of their value in property taxes. Multiple entities in Shawnee County levy and collect property tax. The below
chart illustrates all the entities that levy property tax and their mill rate in 2025.
Entity 2021 Mill Rates 2022 Mill Rates 2023 Mill Rates 2024 Mill Rates
Shawnee County 50.999 49.861 48.653 48.326
USD 501 48.385 46.013 44.540 44.344
City of Topeka 39.939 38.963 36.952 36.956
Topeka/SNCO Library 9.706 8.890 8.192 7.909
Metro Transit Authority 4.200 4.200 4.200 4.200
Washburn University 3.403 3.451 3.450 3.450
Metro Topeka Airport Authority 1.930 1.750 2.157 2.239
State of Kansas 1.500 1.500 1.500 1.500
Total 160.062 154.628 149.644 148.924
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Power BI Desktop
USER FEE BREAKDOWN
User Fee Revenue
User fees are typically determined with the assistance of rate studies. Rate studies look at the financing
needs of the particular utility, the rate base, changes in the number of users, and other factors to determine
the rate level necessary to support a particular revenue stream. Customers that are city residents pay a
lower rate than those outside the city limits.
Water Utility: Water division staff produce estimated revenues based upon approved rates, the number of
users, and predicted usage. The City Council establishes the City’s water rates and approved a 8.5% rate
increase for 2024.
Wastewater Fund: Water Pollution Control division staff produce estimated rates based upon approved
rates, the number of users, and predicted usage. The City Council establishes the City’s wastewater rates
and approved a 7.5% rate increase for 2024.
Stormwater Utility: Water Pollution Control division staff produce estimated rates for the Stormwater Utility
based upon approved rates, the number of users, and estimated impervious surface. The City Council
establishes the City’s stormwater rates and approved a 6.5% rate increase for 2024. This fee is only
charged to inside city residents.
Public Parking: The City of Topeka owns eight parking garages. Garage stalls are either leased or funded
by hourly fees. This revenue is founded on expert-based estimation from an evaluation of trends, current
pricing, spaces available, and contracts/agreements.
User Fee Summary
2024 Actuals 2025 Budget 2026 Budget
$60M $59M
$53M
$51M
$50M
$44M
$41M
$40M $38M
$30M
$20M
$12M $11M $12M
$10M
$2M $2M $3M
$0M
621 - Water Utility 625 - Wastewater Fund 623 - Stormwater Utility 601 - Public Parking
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FRANCHISE FEE BREAKDOWN
Franchise Fee Revenue
Franchise Fees are revenue generated from agreements between the City and local utilities for the use of
rights-of-ways. These agreements result in 5-6% of the utility's revenue due to the City.
Franchise Westar Electric: Electric franchise fees are applied to the gross receipts of electric utilities
operating within the City. Currently, the fee for Kaw Valley Electric is 5% and Evergy is 6%. Electric
Franchise Fees are dependent on the number of users and usage. This revenue source is affected
significantly by changes in the weather, as well as modifications to electric rates permitted by the Kansas
Corporation Commission.
Franchise Oneok Gas Service: Gas franchise fees are applied to the gross receipts of natural gas utilities
operating within the City. Currently, the fee for the sole natural gas utility in Topeka is 5%. Gas Franchise
Fees are dependent on the number of users and usage. This revenue source is affected significantly by
changes in the weather, changes in the price of wholesale natural gas, as well as modifications to natural
gas rates permitted by the Kansas Corporation Commission.
Franchise Cox Cable: Cable franchise fees are applied to the gross receipts of cable television utilities
operating within the City. Currently, the fee for cable providers in Topeka is 5%. Cable franchise fees are
dependent on the number of users and the level of service demanded by those users. This revenue source
is affected primarily by changing viewer habits, such as some users “cutting the cord” and dropping cable
service and the increasing costs of cable service over time.
Franchise Fee Summary
2024 Actuals 2025 Budget 2026 Budget
$12M $11.6M
$11.0M
$10.3M
$10M
$8M
$6M
$4M $3.5M
$3.1M $2.9M
$2M
$0.8M $0.9M $0.8M
$0M
42302-0 - FRANCHISE 42301-0 - FRANCHISE 42304-0 - FRANCHISE COX
WESTAR ELECTRIC ONEOK GAS SERVICE CABLE
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POSITION CHANGE OVERVIEW
Full Time Equivalent Positions
Every year the City evaluates the number of Full Time Equivalent (FTE) positions needed to meet City
Council Priorities. Below is a four year personnel history for all funds:
Department 2023 Budget 2024 Budget 2025 Budget 2026 Budget
10101 - City Council 10.00 10.00 11.00 11.00
10102 - City Manager 13.00 17.00 21.00 18.60
10103 - City Attorney 9.90 12.90 12.28 12.40
10104 - Financial Services 26.00 27.00 25.00 22.00
10105 - Municipal Court 18.67 20.67 19.00 19.00
10106 - Human Resources 9.00 10.00 10.50 14.00
10107 - Mayor's Office 2.00 2.00 2.00 2.00
10120 - Fire Department 247.00 247.00 247.00 245.00
10125 - Police Department 349.00 351.00 349.00 346.00
10130 - Public Works 54.00 45.25 43.60 43.60
10150 - Topeka Zoological Park 3.00 3.00
10160 - Planning Department 28.00 36.50 36.50 35.50
10170 - Neighborhood Relations/Code 22.00 21.00 21.00 20.00
Enforcement
22905 - Alcohol & Drug Safety 1.33 0.33
23603 - Special Liability (Legal) 5.10 5.10 5.72 5.60
29130 - Special Highway Fund (Public 55.00 61.00 58.00 58.00
Works)
29230 - Citywide Half-Cent Sales Tax 1.00 1.00 4.25 7.25
(Public Works)
60130 - Parking (Public Works) 10.50 10.25 10.15 10.15
61312 - Information Technology 16.00 25.00 25.00 27.00
61404 - Fleet Management (Public Works) 22.50 22.25 22.00 22.00
61530 - Facilities Operations (Public 16.00 15.25 15.00 15.00
Works)
62130 - Water Utility 121.00 121.00 123.00 122.00
62330 - Stormwater 26.00 26.00 25.00 25.00
62530 - Wastewater 76.00 76.00 76.00 76.00
64150 - Workers Comp (Human 2.00 2.00 2.25 0.00
Resources)
64252 - Health Fund (Human Resources) 2.00 2.00 2.25 0.00
70002 - HUD Comm. Eng. Grants 2.00
70071 - HND State Grants 10.00 10.50 10.50 10.90
71025 - Other Grants (Police) 1.00 1.00 1.00 1.00
71057 - Municpal Court Grants 1.00
71060 - Other Grants (Planning) 2.00 2.00 2.00 2.00
71071 - Other Grants (Planning) 3.00 1.00 2.00 1.00
Total 1,162.00 1,187.00 1,182.00 1,173.00
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POSITION CHANGE OVERVIEW
Full Time Equivalent Positions in General Fund Variances
1. General Fund (797.88 to 789.10 FTEs)
a. 10101 - City Council – No changes
b. 10102 - City Manager – (21 FTEs to 18.6 FTEs)
i. Removed 1 Communications & Production Manager, Removed 1 Division
Director of Community Engagement, Split 1 Senior Community Program Administrator
60/40 between General Funding and Grant Funding
c. 10103 – City Attorney – (12.28 FTEs to 12.40 FTEs)
i. Moved .12 FTEs out of Special Liability into the General Fund
d. 10104 – Finance – (25 FTEs to 22 FTEs)
i. Removed 1 Accounting Clerk, Removed 1 Procurement Officer, Moved 1 Senior
Project Manager into the IT fund
e. 10105 – Municipal Court – No Changes
f.10106 – Human Resources – (10.5 FTEs to 14 FTEs)
i. Moved 4.5 FTEs from Risk funds to General Fund, Removed 1 Senior Human
Resources Specialist
g. 10170 – Mayor’s Office – No Change
h. 10120 – Fire Department – (247 FTEs to 245 FTEs)
i. Removed 1 Division Chief, Removed 1 Training Officer
i. 10125 – Police Department – (349 FTEs to 346 FTEs)
i. Removed 1 Assistant Chief, Removed 1 Sargeant, Removed 1 Detective,
Removed 2 Police Officers, Removed 1 Evident & Property Technician, Removed 2
Police Records Clerks, Removed 1 Animal Control Officer, Added 3 Crime Scene
Investigators, Added 2 PAL Instructor, Added 1 TCALC Instructor
j. 10130 – Public Works – No Changes
k.
10160 – Planning and Development – (36.50 FTEs to 35.50 FTEs)
i. Removed 1 Office Assistant, Moved 1 Program Coordinator from Grants to
General Fund, Removed 1 Trade Inspector
l. 10170 – Code Enforcement – (21 FTEs to 20 FTEs)
i. Removed 1 Property Maintenance Inspector
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POSITION CHANGE OVERVIEW
Full Time Equivalent Positions for Non- General Fund Variances
Non-General Fund (384.12 FTEs to 383.90 FTEs)
1. 236 - Special Liability (5.72 FTEs to 5.60 FTEs)
a. Partially moved .12 FTEs into General Fund
2. 292 - Citywide Half-Cent Sales Tax (4.25 FTE to 7.25 FTEs)
a. Added 3 Engineering Technicians
3. 613 - Information Technology Budget (25.0 FTEs – 27.0 FTEs)
a. Added 1 Deputy Director & Moved 1 Senior Project Manager from General Fund into
IT Fund
4. Utilities (224 FTEs to 223 FTEs)
a. Removed 1 Ombudsman
5. 641 - Workers Compensation Fund (2.25 FTEs to 0 FTEs)
a. Moved 2.25 positions to General Fund
6. 642 - Health Fund (2.25 FTEs to 0 FTEs)
a. Moved 2.25 positions to General Fund
7. Grant Funds (15.50 FTEs to 15.90 FTEs)
a. Added 1 Victim Witness Coordinator, Moved 1 Program Coordinator to General Fund,
Split 1 Senior Community Program Administrator 60/40 between General Funding and Grant
Funding
1.
General Fund (803.32 to 805.35
FTEs)
a. 10101
- City Council –
(10 FTEs to 11 FTEs)
i. +1 Executive Assistant
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Enhancements to FY26 Budget
Enhancements to General Fund
1. Tyler digiTICKET System
The Tyler digiTICKET System is a digital ticketing solution that allows officers to issue citations electronically using
handheld devices, improving both accuracy and efficiency. It captures data such as GPS location, photos, and electronic
signatures, and functions even without internet access. The system integrates with Tyler’s court and records platforms to
streamline workflows. Widely used by agencies nationwide, digiTICKET is offered as a service with low upfront costs. This
expense will be allocated across the General Fund, Court Technology Fund, and IT Fund. ($130.000)
2. Police Staffing Study
The City is conducting a police staffing study to determine how many officers are needed to meet current service demands.
The study will review call volume, response times, and types of duties performed. It will also examine the appropriate
balance between sworn officers and non-sworn staff. The results will guide future hiring and budget planning. ($150,000)
3. Lexipol
Lexipol provides policy manuals, training, and resources for public safety departments, including police, fire, and EMS.
Their services help agencies stay current with changing laws, best practices, and risk management standards. Lexipol
offers customizable, regularly updated policies and online training to support staff understanding and compliance. Many
cities use Lexipol to improve consistency, reduce liability, and maintain professional standards. ($40,000)
4. ADA Website Study
The City will conduct an ADA study of its website to ensure accessibility for all users, including those with disabilities. The
review will identify barriers related to screen readers, navigation, and other assistive technologies. The results will guide
updates to improve accessibility and meet federal standards. ($30,000)
5. Engineering Inspector Vehicles
The City is hiring in-house inspectors to reduce costs currently spent on outside consultants. To support this new team,
three additional vehicles will be needed to enable inspectors to travel efficiently to job sites. This approach will save money
over time while improving oversight and project management. ($135,000)
6. Fire Compressors
This project will replace the air compressors at Fire Stations #3 and #5. These compressors are used to refill SCBA (Self-
Contained Breathing Apparatus) bottles, which are essential for firefighting operations. ($240,000)
7. Lobbying Contract
The City will need to solicit services for a new lobbying contract in 2026. ($75,000)
8. Civilian Positions in Police
The City plans to add six civilian full-time employees (FTEs) to support the Police Athletic League (PAL), Traffic Crash and
Accident Litigation Coordinator (TCALC), and Crime Scene Investigation (CSI) units. By hiring civilians for these roles, the
City aims to free up sworn officers currently assigned to these duties, allowing them to return to active patrol and increase
street presence. This change is expected to improve overall police efficiency and enhance community safety. ($360,000).
9. Public Defender Contract
The Public Defender Contract has increased $195,000 for 2026.
10. Fee Schedule
The City is currently in the process of updating its fee schedule to better align with the cost of services provided. These
adjustments are expected to generate an estimated $200,000 in additional General Fund revenue. The proposed changes
include increases across various departments and service areas, reflecting inflationary impacts, updated cost recovery
goals, and benchmarking against comparable jurisdictions. Please see the Appendix for a complete list of fees.
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Reductions to FY26 Budget
Reductions to General Fund
Removed Positions
The following positions have been removed from the budget: Assistant Chief, Police Sergeant, Police
Detective, two Police Officers in Training, Evidence & Property Technician I, two Police Records Clerks I,
Animal Control Officer, Property Maintenance Inspector I, Office Assistant III, Division Chief Fire, Training
Officer II, Communications & Production Manager, Office Specialist, Accounting Clerk, Trade Inspector,
Procurement Officer, Division Director of Community Engagement, and Senior Human Resources Specialist.
This reduction reflects a strategic decision to decrease staffing levels across multiple departments, aligning
expenditures with available resources while continuing to provide essential services. ($1,667,000)
Frozen Positions
For the 2026 budget, the City is deliberately holding several key positions vacant as a cost-saving measure.
These include multiple Firefighter III roles, a Battalion Fire Chief (24-hour), the Chief Financial Officer, and the
Emergency Preparedness Manager. Additionally, a vacancy credit equivalent to 10 officer positions is being
applied. By keeping these positions unfilled throughout the year, the City aims to reduce payroll expenses and
better manage its overall budget while maintaining essential services. This approach represents a careful
balance between fiscal responsibility and operational needs in the coming fiscal year. ($1,836,000)
Hotel Topeka
This budget assumes no general fund transfers to the TDC. ($1,425,000)
Engineering Studies
The budget removes $300,000 previously allocated for consulting fees related to outside engineering work.
($300,000)
Utility Rebate Program
The Utility Rebate Program funding has been moved from the general fund to be paid out of the Utilities funds.
($74,500)
Property Tax Rebate Program
Historically, the program spends approximately $130,000 annually. The City is reducing the budgeted amount
from $300,000 to $220,000 to better reflect actual expenditures. ($80,000)
Miscellaneous Reductions
Police: 3 Vehicles- 2 Animal Control, 1 Detective ($157,583),Training ($15,000), Uniforms ($25,000),
Ammunition ($20,000), Office Supplies ($8,000) Cell Phone Forensic Equipment ($5,330), 10 Rifles ($22,000),
2 Pole Cameras ($5,325), Radar Unit ($4,790), Narcotic Imprest Funds ($10,000),
Code: Demolitions ($50,000)
Fire: Education/Travel- EMT Couse ($10,000), LifePak ($40,000), Medical Bags ($4,000)
Human Resources: Reductions to better match actuals on specific line items ($132,233)
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Changes to FY 2026 Budget
Enhancements to Other Funds
Added Positions
The following positions have been added to funds outside of the General Fund:
• Information Technology: 1 Deputy Director – Cyber Security ($165,247)
• Special Highway: 3 Engineering Technicians ($182,320)
Miscellaneous Enhancements
• Information Technology – Tyler digiTICKET: $185,000
• IT – Server Licenses: $157,985
• Maintenance – Office Computers: $152,454
Reductions to Other Funds
Information Technology
• Education & Travel: $17,725
• Printing & Advertising: $3,200
• Office Equipment Rental: $90,814
• Equipment Rental: $2,310
• Other Purchased Services: $115,965
• Server Licenses (TSG): $333,402
• Office Supplies: $2,750
Facilities
• Other Purchased Services: $100,000
• Building Maintenance Supplies: $50,000
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2-Year Financial Forecast
The City presents a 2-year financial forecast each year during the budget cycle. Below is a table indicating FY26 -
FY27 if the mill levy remained current and property valuations increases each year were at 3.5%:
2-Year Forecast
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STATISTICAL SECTION
Employment
The City has a consistent employer base due to a diverse business community ranging from federal and
state government to distribution centers and manufacturing facilities, complimented by a full range of retail
and service businesses. The State of Kansas is the top employer with 9,919 employees. Stormont-Vail
Health Care follows next at 4,400 employees.
The unemployment rate is a measure of prevalence of unemployment and is calculated as a percentage by
dividing the number of unemployed individuals by all individuals currently in the labor force or actively
seeking employment and willing to work. Data can be found on the Bureau of Labor Statistics website.
Top Ten Employers Employees Percentage of Total City Employment
State of Kansas 9,919 8.71%
Stormont-Vail Health Care 4,400 3.86%
Hills Pet Nutrition Inc 3,439 3.02%
Unified School District # 501 2,500 2.20%
Blue Cross Blue Shield of Kansas 2,026 1.78%
BNSF Railway Company 1,931 1.70%
Washburn University 1,596 1.40%
Colmery-O'Neil VA Medical Center 1,544 1.36%
University of Ks Health Systems- St Francis Campus 1,334 1.17%
Security Benefit Group of Companies 1,000 0.88%
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STATISTICAL SECTION
Tax Base
The top taxpayer in Topeka is Evergy Kansas Central Inc./Westar at $86,878,337. The other top taxpayers
are between $6,700,000 and $15,000,000 in value.
Top Ten Taxpayers Taxable Assessed Value
Evergy Kansas Central Inc/Westar $91,731,032
Kansas Gas Service/Utility $16,101,195
Target Corporation $13,677,800
Burlington Northern/Santa Fe/Utility $13,610,526
Walmart Properties and Sam's Club $12,993,287
Blue Cross/Blue Shield/Ks Hospital Serv/Insurance $7,981,624
Big Heart Pet Brands $7,385,573
Frito Lay/Manufacturing $7,383,209
ARC HDTPAKS001 LLC/Distribution (Home Depot) $6,750,495
Security Benefit Life/Insurance $5,360,905
Assessed Value of Taxable Property
The City’s tax base remained relatively stable through the 2004-2009 recession and total assessed value
has trended upward ever since.
Year Total Value of Taxable Property
2021 $1,227,152,825
2022 $1,337,569,097
2023 $1,458,664,253
2024 $1,525,051,820
2025 $1,589,676,329
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DEPARTMENTS
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CITY COUNCIL
The City Council is responsible for setting the policy directives of the City. The Council serves as a
resource for citizens and neighborhood groups by providing vision, leadership, and strategic planning.
They set priorities to guide the adoption of the annual operating budget and Capital Improvement Plan.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($363,489) ($436,164) ($509,116) ($498,277)
Total ($363,489) ($436,164) ($509,116) ($498,277)
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Expenses ($363,489) ($436,164) ($509,116) ($498,277)
Personnel ($329,321) ($395,914) ($446,561) ($479,551)
Contractual $274,432 ($36,753) ($57,605) ($11,776)
Commodities $2,453 ($3,497) ($4,950) ($6,950)
Debt ($311,053) $0
Total ($363,489) ($436,164) ($509,116) ($498,277)
Changes from 2025 Budget
→ No notable changes
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MAYOR'S OFFICE
The Mayor is the City's chief elected officer. The Mayor is elected at-large and serves a four-year term.
The Mayor makes policy recommendations to the City Council and votes on all matters before the City
Council except for those issues that the Mayor has veto power in. The Mayor serves on the Washburn
Board of Regents and other local, state, and national boards. In addition, the Mayor makes appointments
to the 31 boards, commissions, and authorities for the City.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($148,087) ($169,106) ($190,140) ($165,839)
Total ($148,087) ($169,106) ($190,140) ($165,839)
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Expenses ($148,087) ($169,106) ($190,140) ($165,839)
Personnel ($125,604) ($137,701) ($144,694) ($143,581)
Contractual ($21,753) ($27,957) ($42,746) ($18,258)
Commodities ($729) ($3,448) ($2,700) ($4,000)
Total ($148,087) ($169,106) ($190,140) ($165,839)
Changes from 2025 Budget
→ No notable changes
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CITY MANAGER
The City Manager’s office is responsible for ensuring the effective implementation, administration, and
evaluation of City programs that have been established through the policy directives of the Governing
Body. The City Manager's office aims to provide vision, leadership, and strategic planning for the
preparation of the annual operating budget and Capital Improvement Project (CIP) program. The City
Manager's office also serves as a resource for citizens and neighborhood groups. The City Manager’s
office directs the City Clerk and Communications divisions.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($1,765,642) ($1,471,697) ($2,660,568) ($2,267,844)
Total ($1,765,642) ($1,471,697) ($2,660,568) ($2,267,844)
Posting AU 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
City Manager ($929,113) ($665,184) ($1,461,199) ($1,288,949)
Personnel ($676,015) ($467,015) ($1,266,330) ($1,136,642)
Contractual ($245,012) ($174,826) ($187,369) ($144,807)
Commodities ($8,085) ($23,342) ($7,500) ($7,500)
Communications ($506,170) ($646,476) ($785,443) ($609,724)
Personnel ($411,566) ($547,595) ($638,586) ($560,524)
Contractual ($28,217) ($49,116) ($61,057) ($30,001)
Commodities ($66,328) ($49,765) ($82,700) ($19,100)
Other Payments ($58) ($100) ($100)
Capital Outlay ($3,000) $0
City Clerk ($330,360) ($160,037) ($413,926) ($369,171)
Personnel ($274,564) ($280,557) ($310,735) ($310,321)
Contractual ($46,628) ($73,867) ($93,991) ($53,850)
Commodities ($4,108) ($1,531) ($9,200) ($5,000)
Debt ($5,060) $195,918
Total ($1,765,642) ($1,471,697) ($2,660,568) ($2,267,844)
Changes from 2025 Budget
→ Projected increase to lobbyist contract ($75,000 increase in individual and contractual services)
→ Emergency Management Coordinator will be held vacant for 2026
→ Eliminated a Communications & Production Manager position
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CITY MANAGER
Accomplishments
→ Projected a positive image of city government
→ Enhanced public perception of Topeka as a more enjoyable place to live
→ Focused on accessibility of information to the community
→ Focused on key initiatives that can grow Topeka including urban economic development
→ Established an Office of Inclusive Communities
Performance Measures
Performance Measure 2022 2023 2024 Target
% of citizens satisfied with overall quality of services 49 N/A N/A 75
provided
% of citizens satisfied with effectiveness of City Manager 31 N/A N/A 75
% of citizens satisfied with City's customer service 63 N/A N/A 75
% of ordinances/resolutions posted to the public website 99 99 99 95
within 5 business days of approval by the Governing
Body
Goals
→ Streamline and improve the customer service experience
→ Strengthen community partnerships to foster inclusivity and engagement
→ Participate in community engagement opportunities including interaction with neighborhood
organizations and other speaking opportunities
→ Improve efforts toward excellence in the provision of government services and processes
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CITY MANAGER: CITY CLERK
Accomplishments
→ Recorded, transcribed and distributed 361 pages of Governing Body meeting minutes
→ Processed and distributed 44 Governing Body meeting agenda packets consisting of 15,242 pages
→ Approved 264 Business Licenses consisting of 27 different categories
→ Issued 74 Special Event Permits in collaboration with City Departments
→ Processed and distributed 186 Ordinances and Resolutions approved by the Governing Body
→ Processed and distributed 926 Administrative Contracts.
→ Received 240 Open Records Request
→ Provided training for City Department Record Custodians
→ Implement a new electronic voting system and electronic agenda system
→ Update Existing Record Retention Schedule
Performance Measures
Performance Measure 2022 2023 2024 Target
Percentage of KORA requests distributed to departments New 98 98 95
for response within 24 hours. Measure
% of City Council meeting minutes drafted, presented for 86 99 99 95
approval and posted to the website by next regular
Council meeting
% of ordinances codified within 14 business days of 98 98 98 95
effective date
% of ordinances/resolutions posted to the public website 99 99 99 95
within 5 business days of approval by the Governing
Body
% of administrative contracts signed and distributed New 95 98 95
within three business days Measure
% of licenses and/or permits submitted to workflow within New 99 99 95
24 hours Measure
Number of Business Licenses Approved 426 300 264 N/A
Percentage of Record Custodians completed annual N/A New 100 100
traning Measure
Number of Special Event Permits Approved 75 83 74 N/A
Goals
→ Provide transparency in Government through the consistent response to legislative needs of the
Governing Body and their constituents
→ Consistent and responsive customer service
→ Administer records management training for the City of Topeka to effectively maintain custody of
City Documents
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CITY MANAGER: COMMUNICATIONS
Accomplishments
→ Successfully conduction 8-week Beginner Spanish course for staff
→ Implemented new voting system for council chambers
→ Began planning and implementation of new media guides for police
→ Completed 4 Behind the Seal videos
Performance Measures
Performance Measure 2022 2023 2024 Target
Social Media Followers 53400 120300 130200 125000
Annual Televised Meetings 107 92 93 100
Unique Marketing Campaigns Highlighting Existing N/A 34 41 40
and/or New City Programs
Goals
→ Reactivate the staff receiving language pay
→ Utilize department drone for content
→ Create more social media highlights of city efforts
→ Create and implement more in-depth annual report for police and fire
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OFFICE OF INCLUSIVE COMMUNITIES
The Office of Inclusive Communities (OIC) works to strengthen community connections by supporting
programs and initiatives that encourage understanding, belonging, and inclusive practices across the
community. The office supports community events, outreach initiatives, educational workshops, and
partnerships with local organizations to ensure all neighbors feel seen, heard, and valued. In addition,
OIC develops resources and programs that build trust and collaboration throughout the community.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($19,284) ($551,243) ($799,018) ($599,298)
Total ($19,284) ($551,243) ($799,018) ($599,298)
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Expenses ($19,284) ($551,243) ($799,018) ($599,298)
Personnel ($17,662) ($449,091) ($607,552) ($434,548)
Contractual ($1,510) ($99,984) ($180,216) ($155,000)
Commodities ($112) ($2,169) ($11,250) ($9,750)
Total ($19,284) ($551,243) ($799,018) ($599,298)
Changes from 2025 Budget
→ Combined positions of Department Director and Division Director of Community Engagement into 1
FTE which is the Director of Inclusive Communities.
→ Engaging a consultant to perform an ADA assessment ($30,000)
→ In 2026 OIC will start hosting the National Night Out Event ($15,000)
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Office of Inclusive Communities
Accomplishments
→ E-blast: Currently, reaching 260 recipients, effectively disseminating valuable resource information
throughout the community. The initiative fosters strong engagement and positive feedback, with
community partners expressing gratitude for the opportunity to both access and
share critical information within their networks.
→ Strengthen community relationships: Continuously building and strengthening relationships with
community stakeholders through collaborative initiatives and responsive communication, fostering trust
and ongoing partnerships.
→ Youth Engagement: Partnering with community organizations to launch a 2026 Youth Summit and
Youth Council, fostering, youth leadership and engagement.
Performance Measures
Performance Measure 2022 2023 2024 Target
# of Community partners related to community building 42 48 50 50
# of Households that received NIA newsletters 31127 31318 40127 30000
# of Neighborhood Walk-n-Talks 3 3 0 N/A
# of Community Events 6 4 10 5
# of neighbors that received CE resource bags N/A 2368 4278 5000
# of e-blast subscribers N/A N/A New Measure 350
# of TextMyGov Subscribers N/A N/A New Measure 500
# of participants at National Night Out N/A N/A New Measure 750
Goals
→ 311/See Click Fix Integration
→ City of Topeka Spanish Language Training
→ SMS Texting Service Implementation
→ National Night Out Coordination
→ EmpowerHER: Self-Defense Course
→ ADA/ Programming & Web Rule Assessment
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CITY ATTORNEY
The City Attorney's Office provides legal advice and services to the city organization and departments. There are
three divisions within the department: Civil Litigation, General Government, and Criminal Prosecution. The Civil
Litigation division pursues claims on behalf of the City and defends city officials and employees. The General
Government division provides legal advice and representation to the City. The Criminal Prosecution division
prosecutes alleged violations of City ordinances in the Municipal Court and appeals in the district and appellate
courts.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($1,403,471) ($1,652,780) ($1,817,471) ($1,708,918)
236 - Special Liability ($1,015,460) ($1,501,796) ($1,536,185) ($1,639,785)
Total ($2,418,931) ($3,154,577) ($3,353,656) ($3,348,703)
Posting AU 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
City Attorney ($1,403,471) ($1,652,780) ($1,817,471) ($1,708,918)
Personnel ($1,217,510) ($1,384,232) ($1,540,623) ($1,549,958)
Contractual ($163,094) ($242,920) ($248,348) ($131,460)
Commodities ($22,867) ($18,916) ($28,500) ($27,500)
Debt ($6,712)
Special Liability ($1,015,460) ($1,501,796) ($1,536,185) ($1,639,785)
Personnel ($706,582) ($577,525) ($773,296) ($855,835)
Contractual ($304,940) ($918,911) ($755,889) ($776,950)
Commodities ($3,938) ($5,360) ($7,000) ($7,000)
Total ($2,418,931) ($3,154,577) ($3,353,656) ($3,348,703)
Changes from 2025 Budget
→ No notable changes
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CITY ATTORNEY
Accomplishments
Protecting the City’s Legal and Financial Interests
→ Successfully defended the City in multiple lawsuits, minimizing liability and safeguarding public
resources, 10 cases in District Court, 6 cases in Federal Court, and 1 at the Kansas Court of Appeals, along
with managing outside counsel in 6 cases, and various administrative and employment actions.
→ Drafted ordinance to allow civil litigation without prior Governing Body approval for tort and contract
claims under $35k so that the City may pursue claims for damages to its property or minor contract claims.
→ Prosecuted numerous code violation cases against LLCs, resulting in increased property owner
compliance.
→ In 2024, the City achieved 203 code violation corrections. As of June 2025, 133 corrections have already
been completed, with numbers expected to rise during peak repair months.
→ Negotiated economic development agreements that are bringing new businesses and housing
opportunities to Topeka.
→ Served as chief negotiator on HB 2152, helping preserve over $1.4 million in public funds and
preventing harmful economic impacts.
Advocating for Our Community at the State Capitol
→ Testified in opposition to legislation that would negatively affect Topeka’s residents and city operations.
→ Drafted and introduced legislation in support of the City’s priorities, ensuring our voice is heard in the
policymaking process.
→ Maintained strong relationships with our legislative delegation, positioning Topeka as a trusted
partner on issues facing local governments.
Expanding Public Safety and Victim Services
→ Enhanced the domestic violence prosecution program, continuing our responsible use of federal grant
funding.
→ Added a Victim/Witness Coordinator to ensure more consistent support for survivors—victim
engagement is now at an all-time high.
→ Partnered with the Kansas Coalition Against Sexual and Domestic Violence, making Topeka a model
for domestic violence prosecution statewide through specialized training and best practices.
Reducing Risk and Improving Citywide Training
→ Identified areas of legal risk, collaborated with departments and developed citywide trainings to
proactively address emerging legal issues, promote compliance, and improve internal processes such as
Kansas Open Meetings Act (KOMA), Zoning Enforcement, Legal roles and responsibilities under our form of
government, and "When to Call a Lawyer" guidance
→ Collaborated with HR and Risk Management to review insurance coverage issues and begin reviewing
Workers Compensation issues and risk claims.
Modernizing Our Operations
→ Implemented a new law practice management system, increasing efficiency and improving our ability
to track and report outcomes.
→ Updated contract templates in collaboration with Contracts and Procurement, ensuring modern,
compliant agreements across departments.
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CITY ATTORNEY
Performance Measures
Performance Measure 2022 2023 2024 Target
Property Maintenance Code Violation Cases Filed 376 387 325 300
Property Maintenance Code Violation Cases Closed with 283 229 205 300
Compliance Obtained
Property Maintenance Code Violation Cases Convicted 4 17 46 N/A
Number of Claims Filed Against the City 106 130 219 N/A
Dollar Amount of Claims Sought by Claimant 1.2 million 107 million 12.7 million N/A
Amount Paid to Claimants by the City 54758 56326 45836 N/A
Goals
Deepen Impact Through Proactive Legal Strategy
→ Reduce legal risk through early legal review of city initiatives and expanded staff training on high-
liability topics.
→ Launch Citywide legal bulletins to flag potential legal issues across departments before they
escalate.
Expand Domestic Violence and Victim Services Leadership
Lead with Legislative Engagement
→ Advance proactive legislation on behalf of the City’s legislative agenda.
Modernize Legal Operations
→ Fully integrate the new law practice management system across all legal teams.
Foster Internal Training and Department Collaboration
→ Create a citywide “Legal Lunch & Learn” series for department heads and staff.
→ Develop a legal onboarding packet and training module for all new supervisors and department
directors.
Support Economic Development with Smart Legal Tools
→ Standardize legal review processes for economic development agreements to speed up deal
turnaround while protecting the City’s interests.
→ Draft and promote an Economic Incentive Legal Toolkit for use by both internal staff and
potential business partners
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FINANCIAL SERVICES
The Administrative & Financial Services department includes the Central Accounting, Budget and
Performance Management, Payroll, and Contracts and Procurements and Grant Management divisions.
This department maintains transparency of City finances and purchases.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($14,867,774) ($6,449,284) ($3,357,199) ($2,715,342)
Total ($14,867,774) ($6,449,284) ($3,357,199) ($2,715,342)
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Expenses ($14,867,774) ($6,449,284) ($3,357,199) ($2,715,342)
Personnel ($2,271,157) ($2,230,292) ($2,745,707) ($2,251,475)
Contractual ($553,270) ($668,257) ($594,043) ($454,217)
Commodities ($18,355) ($7,123) ($17,450) ($9,650)
Debt ($139,813) ($59,054)
Other Payments ($11,885,179) ($3,484,558) $0
Total ($14,867,774) ($6,449,284) ($3,357,199) ($2,715,342)
Changes from 2025 Budget
→ Eliminated 1 Accounting Specialist & 1 Procurement Officer
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FINANCIAL SERVICES
Accomplishments
→ Began transition to electronic file storage
→ Conducted multiple workshops to educate potential vendors and expand the businesses that
contract with the City
→ Revised contract templates to streamline the drafting process for agreements, facilitating a more
efficient review by the city’s legal department.
Performance Measures
Performance Measure 2022 2023 2024 Target
Deposits processed 4998 4455 5277 5000
M/W/DBE utilization (%) 45.41 41.095 40.91 40
Diverse vendor spending (%) 6 22.7 19.24 20
Invoices paid 31803 30111 31526 31000
Audit opinion Unmodified Unmodified Unmodified Unmodified
Number of bid protests N/A 0 2 0
Number of awarded bids 196 195 178 190
Percentage of time the 2-day standard for uploading the 96 96 100 100
bank ACH file is met
Percentage of time federal, state, and KPERS deposits 100 100 100 100
are submitted on time
S&P Bond Rating AA AA AA AA
General fund as % of total budget 27 28 31 20
Goals
→ Successfully navigate the testing and implementation of the new ERP
→ Complete a successful audit
→ Host a workshop for vendors to learn about the City’s process for making qualification-based
selections that are not based on prices
→ Successfully host a second annual Supplier Diversity Expo with the support of area sponsors and
anchor procurement agencies
→ Develop more specification templates that City staff can use to be more efficient when building
specifications for bids on materials or services
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MUNICIPAL COURT
The Municipal Court handles traffic infractions and misdemeanor offenses. The Probation division
provides supervision to defendants for various misdemeanor offenses as well as tracks community
service and house arrest defendants.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($1,700,440) ($1,880,330) ($2,166,015) ($2,198,651)
Total ($1,700,440) ($1,880,330) ($2,166,015) ($2,198,651)
Posting AU 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Municipal Court ($1,457,633) ($1,535,252) ($1,771,269) ($1,765,745)
Personnel ($1,081,211) ($1,067,564) ($1,276,060) ($1,204,242)
Contractual ($366,675) ($459,306) ($483,209) ($423,203)
Capital Outlay ($758) ($421) ($2,500) ($131,500)
Commodities ($8,989) ($7,962) ($9,500) ($6,800)
Probation ($242,807) ($345,078) ($394,746) ($432,906)
Personnel ($188,402) ($286,753) ($328,636) ($417,556)
Contractual ($53,175) ($56,725) ($64,110) ($13,350)
Commodities ($1,229) ($1,599) ($2,000) ($2,000)
Total ($1,700,440) ($1,880,330) ($2,166,015) ($2,198,651)
Changes from 2025 Budget
→ Purchase of Digital Ticketing System ($130,000)
→ Increase in Public Defender Contract ($145,550)
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MUNICIPAL COURT
Accomplishments
→ Doubled participants in mental health court from previous years- added domestic battery cases into
court program
→ Completed majority of HVAC renovations in Municipal Court, judges and other staff have returned
after being temporarily stationed in City Hall
→ Completed HVAC renovation on 1st floor of City Hall, Probation division moved back from
basement, installed lockers, purchased metal detectors, and updated office appearance to better serve
probationers and make safety a priority for officers
→ Implemented new Senate Bill 500 changes
→ Doubled amount of cases wherein we waived reinstatement fees to aid defendants in getting their
licenses back
→ Finalized 3-year contract with different law firm for court-appointed counsel
→ Passed Data Quality Audit performed by KHP on 4/25/2025
→ Attended Municipal Judges conference, Judge Thadani elected as vice-president
→ Both court administrators attended KACM Conference
→ Cut down time defendants spent in custody on domestic cases by creating a pre-trial docket
→ Updated bond supervision and probation order documents and procedures
Performance Measures
Performance Measure 2022 2023 2024 Target
# of referrals completed 21 35 30 25
# of admissions into program 8 10 20 10
% of cases scheduled for Trial brought before the Court within 60 100 100 100
days
% of cases scheduled for Arraignment brought before the Court within 90 95 95
45 days
# of Community Service hours N/A 200.5 200 200
Goals
→ Continue to monitor in-custody defendants and trial dockets to reduce monthly jail costs
→ Fully staff Clerk's Office, two Court clerk II positions currently vacant
→ Full staff Probation by hiring Probation Officer I
→ Revise and update Administrative Hearing procedures
→ Finish last portion of HVAC needed for Municipal court in 1st floor courtroom
→ Complete and update Probation policy and procedures
→ Restructure files in Probation on F-Drive
→ Update Probation training manual
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HUMAN RESOURCES
The Human Resources department provides core administrative services which support all employees
through close coordination with the City Manager and departments. The primary functional areas include:
recruitment, position classification, compensation, employee relations, labor relations, benefit programs,
risk management, occupational health, wellness programs, employee training and development, HRIS
administration for the Lawson and IntelliTime, and employee recognition.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($1,546,103) ($1,831,171) ($2,137,214) ($2,337,722)
Total ($1,546,103) ($1,831,171) ($2,137,214) ($2,337,722)
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Expenses ($1,546,103) ($1,831,171) ($2,137,214) ($2,337,722)
Personnel ($924,448) ($1,165,009) ($1,213,194) ($1,656,805)
Contractual ($581,363) ($639,322) ($888,720) ($593,267)
Commodities ($40,292) ($26,841) ($35,300) ($87,650)
Total ($1,546,103) ($1,831,171) ($2,137,214) ($2,337,722)
Changes from 2025 Budget
→ Eliminated the practice of paying employees out of risk funds (Workers Comp & Health Insurance
Fund; HR did not add FTEs)
→ Eliminated 1 Senior Human Resource Specialist
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HUMAN RESOURCES
Accomplishments
→ Completed the initial HRM module phase of the Tyler-Topeka Together project
→ Completed RFP process for City Healthcare Plan & Benefit package
→ Piloted new training for Hiring Managers
→ Onboarded 2 full-time Engineer positions
→ Welcomed 11 Interns/Externs through the 2nd year of City’s formal Internship Program
→ Collaborated with Legal to successfully sponsor 2 employees selected in the H1-B visa lottery
→ Maintained 100% pass rate through City’s CDL program, 22 employees total
→ Job Description updates
→ On track to complete restructure of Personnel Manual
Performance Measures
Performance Measure 2022 2023 2024 Target
Annual Retirements 35 34 27 30
Annual Turnovers 180 166 186 130
New Hires successfully onboarded New 224 195 175
Measure
Employees Attended Training and Education Opportunities 960 750 600 650
Goals
→ Fully complete & implement Tyler – Topeka Together ERP HRM module
→ Develop management training program
→ In collaboration with departments review and update position descriptions to ensure an
accurate
reflection of current organizational needs regarding minimum qualifications
→ Develop an improved repository system for job descriptions
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FIRE
The Fire department supplies fire and medical services throughout the City of Topeka. The Fire
Administration division provides customer service and resources to support the Fire department. The
City's Fire Prevention, Training, Operations, and Emergency Medical Services (EMS) divisions aid in
maintaining security throughout City neighborhoods.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($32,881,490) ($36,281,139) ($38,861,952) ($37,328,356)
Total ($32,881,490) ($36,281,139) ($38,861,952) ($37,328,356)
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Expenses ($32,881,490) ($36,281,139) ($38,861,952) ($37,328,356)
Personnel ($29,391,949) ($31,577,970) ($34,244,133) ($34,334,355)
Contractual ($2,457,564) ($3,342,815) ($3,554,220) ($1,785,551)
Commodities ($822,255) ($919,572) ($993,600) ($968,450)
Capital Outlay ($9,228) ($72,404) ($70,000) ($240,000)
Debt ($200,494) ($368,379)
Total ($32,881,490) ($36,281,139) ($38,861,952) ($37,328,356)
Changes from 2025 Budget
→ Purchasing Compressors ($240,000)
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FIRE
Accomplishments
Fire Administration
→ Assisted with review of TFD budget structure and made suggestions for more accurate tracking of
budgetary resources.
→ Assisted with the design and implementation of the city’s new ERP software.
→ Continued review of all TFD policies and procedures in Lexipol software system to increase overall
department efficiencies.
→ Completed the plans for the remodel of Fire Station 9
Fire Prevention
→ Permit all mobile food vendors operating within city limits
→ Inspect 90+% of apartments with interior/common corridors
→ Inspect 95% of all assembly occupancies with an occupant load of >300
→ Inspected all food trucks with a city license
→ Had 14 Girls graduate from Camp Courage, as well as 20 people in the department’s Citizens Academy
Training Division
→ Hosted KS Fire and Rescue Training Institute IFSAC Certification Courses
→ 7 new firefighters graduated from the recruit academy, with an additional 5-7 scheduled this fall
→ Delivered various Hands-On-Training opportunities, including “real world” training at Washburn’s Benton
Hall
→ Increased the number of certified HazMat Technicians by 6
Fire Operations: Suppression
→ Delivery of two new fire apparatus
→ Install smoke detectors in 262 homes
→ Increased Blue Card certification to all personnel with the rank of Lieutenant or higher
→ Complete Senior Captain training for incident command
EMS Division
→ Completed AEMT training for 5 personnel, and Paramedic training for 1 person
→ Converted 2 BLS (Basic Life Support) Engine Companies to ALS (Advanced Life Support) Companies
→ Provided CPR Instructions for the entire department
→ Established Case Review process and method to begin gathering data from ePCRs
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FIRE
Performance Measures
Performance Measure 2022 2023 2024 Target
Total number of inspections in apartment buildings 321 307 143 150
Successful completion of all plans reviews in accordance 685 569 778 575
with time constraints established as part of overall city
review
Number of arson fires within the city 85 51 44 35
Clearance rate of arson cases investigated within the city N/A New Measure 0.27 0.4
Number of investigation personnel with law enforcement 1 2 3 4
certification
Citizen's Academy 20 20
Number of requests for fire extinguisher training within the 0 2 17 25
community
Number of USD 501 schools receiving fire safety program 2 4 17 15
education
Number of recertification hours completed for EMS 3046 3730 4547 4000
certifications for TFD personnel
j Completion of TFD recruit academy for new hires 14 15 19 18
Total Number of Training Hours Delivered 59012 58372 60486 60000
Average “chute time” of TFD units to emergent calls of all N/A New Measure 96 seconds 90
types seconds
Average “response time” of TFD units to emergent calls of all N/A New Measure 322 seconds 240
types seconds
Total number of fatalities related to fires N/A 6 4 0
Number of duty related injuries to suppression personnel N/A 30 19 0
Personnel in the Officer Development Program 0 15 15 15
Total response time of less than 480 seconds to Delta/Echo N/A New Measure N/A >90%
ALS level calls
Number of personnel certified to the AEMT and/or N/A 21 27 27
Paramedic level
Total time to start emergency treatment from dispatch time N/A New Measure In Development
Average response time of TFD units to emergent level BLS 374 305 seconds 285 seconds 285
calls seconds seconds
Total time to start treatment from dispatch time N/A New Measure In Development
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FIRE
Goals
Fire Administration
→ Finalize the review of all TFD policies and procedures through the Lexipol software system to increase
overall department efficiencies
→ Assist with other city departments in the transition of various new software being implemented
→ Complete remodel of fire station 10
→ Continue recruiting and retention efforts to ensure a workforce more reflective of the community.
Fire Prevention
→ Begin Fire Operational Permit issuance for commercial occupancies
→ Begin Fire Construction Permit issuance for commercial occupancies
→ Transition the fire investigations division to the new state required reporting system
→ Implement Tyler Enterprise Permitting and Licensing
→ Expand Public Education to various organizations within the city
Training Division
→ Continue Hosting KFRTI Certification Courses
→ Implement Career Path Program
→ Increase training opportunities for Special Operations
→ Continue to provide training to meet all requirements including ISO
Fire Operations: Suppression
→ Reduce average “turn out times” on all emergent calls
→ Continue to increase the number of TFD personnel certified in Blue Card Incident Management System
→ Reduce number of duty related injuries to fire personnel
→ Decrease number of apparatus accidents
EMS Division
→ Convert another current BLS fire company to ALS response level
→ Provide training for 6 additional AEMTs and 1 additional Paramedic
→ Improve reporting of CPR and defibrillation in ePCRs to increase data accuracy
→ Finalize inventory management program for EMS supplies
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INFORMATION TECHNOLOGY
The Information Technology Department provides IT services to all City departments through three
divisions: Business Systems, Computing, and Telecommunications. Business Systems handles
application support, data analytics, web development, and backend services. Computing manages
networking, computer systems, help desk support, servers, storage, and cybersecurity.
Telecommunications oversees fiber optics, cabling, leased circuits, and telephone systems.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
613 - Information
Technology
($899,191) ($1,692,441) $254,510 $350,064
Revenues $4,134,913 $5,970,956 $6,957,278 $7,281,070
Expenses ($5,034,103) ($7,663,396) ($6,702,768) ($6,931,006)
Total ($899,191) ($1,692,441) $254,510 $350,064
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $4,134,913 $5,970,956 $6,957,278 $7,281,070
Fees For Service $4,099,793 $5,936,379 $6,922,927 $7,246,719
Franchise Fees $34,552 $34,352 $34,351 $34,351
Miscellaneous $568 $225 $0
Expenses ($5,034,103) ($7,663,396) ($6,702,768) ($6,931,006)
Debt ($762,894) ($995,467)
Other Payments ($0)
Commodities ($22,641) ($28,902) ($76,060) ($6,802)
Capital Outlay ($46,902) ($848) ($185,000)
Personnel ($2,047,283) ($3,653,979) ($3,127,063) ($3,352,285)
Contractual ($2,154,383) ($2,984,201) ($3,499,645) ($3,386,919)
Total ($899,191) ($1,692,441) $254,510 $350,064
Changes from 2025 Budget
→ Added 1 Deputy Director of Cyber-Security
→ Added Scanning Software ($40,000)
→ Purchase of Tyler Dig-Ticket System ($185,000)
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INFORMATION TECHNOLOGY
Accomplishments
→ Upgraded GIS software and maps to increase capability of decision making for infrastructure
projects within the city
→ To be completed by October 2025, Microsoft Windows and Microsoft 365 will be fully deployed for all
staff in all areas of the city
→ Continue to migrate required retention of data in on-premises file storage (to OneDrive) when
applicable.
→ Continuity of operations, disaster recovery and security approach work is on-going
→ ERP/Work Order software to kick off in Q3 of 2025
→ Work toward ERP implementation for finance, HR, permitting and licensing to include better
reporting and will be implemented in phases aligned for each module
→ Updated the long-term IT Strategic Plan with short and long-term objectives that address the vision
of the city and describes the desired outcomes of the IT Department
→ Continued to evaluate and gain efficiencies, address the diverse community and staff needs,
considered cost
controls, limited staffing, and best practices from city governments in all facets of data management,
infrastructure, application management/development, security, and accessibility. Found over $400,000
in IT savings and additional cost avoidances.
Performance Measures
Performance Measure 2022 2023 2024 Target
Complete migration to OneDrive N/A N/A Completed
ERP Implementation Plan Document creation N/A N/A Completed
Number of support tickets resolved N/A N/A 5099 In Development
Deploy Permitting & Licensing Module N/A N/A In Development
Deploy First & Second Phase of ERP N/A N/A In Development
Published IT Department Strategic Plan N/A N/A Completed
Goals
→ Deploy Permitting and Licensing Module
→ Deploy First & Second Phase of ERP
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PLANNING & DEVELOPMENT
The Planning & Development Department is composed of three divisions: Planning, Development
Services, and Housing Services. Together, they support future land development, licensing and
permitting, and the social services needs of the community. The Planning division focuses on
comprehensive planning, current planning, and transportation planning. Development Services oversees
permits, inspections, and licensing. Housing Services manages housing development, homeless
programs, and other social services.
Department Budget History
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($2,749,575) ($3,696,895) ($4,290,577) ($3,929,609)
700 - Hud Grants ($5,877,614) ($5,781,079) ($3,850,493) ($3,854,820)
710 - Other Grants ($977,217) ($1,414,983) ($979,036) ($899,215)
Total ($9,604,406) ($10,892,958) ($9,120,106) ($8,683,644)
Fund Search 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
101 - General Fund ($2,749,575) ($3,696,895) ($4,290,577) ($3,929,609)
Personnel ($2,406,747) ($3,073,888) ($3,537,366) ($3,618,429)
Contractual ($315,797) ($598,502) ($603,382) ($280,681)
Commodities ($27,031) ($22,280) ($31,900) ($30,500)
Debt ($2,224)
Capital Outlay ($117,929) $0
700 - Hud Grants ($5,877,614) ($5,781,079) ($3,850,493) ($3,854,820)
Contractual ($4,842,712) ($4,877,881) ($2,780,714) ($2,786,708)
Personnel ($1,030,764) ($900,026) ($1,065,279) ($1,063,112)
Commodities ($4,138) ($3,173) ($4,500) ($5,000)
710 - Other Grants ($977,217) ($1,414,983) ($979,036) ($899,215)
Contractual ($764,491) ($1,201,867) ($608,198) ($607,625)
Personnel ($210,176) ($201,331) ($370,038) ($290,790)
Commodities ($2,551) ($11,786) ($800) ($800)
Total ($9,604,406) ($10,892,958) ($9,120,106) ($8,683,644)
Changes from 2025 Budget
→ Removed 1 Trade Inspector and 1 Office Specialist
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PLANNING & DEVELOPMENT
Accomplishments
Housing Services Division
→ Implemented Clarity HMIS in alignment with Built for Zero
→ Launch $4M HUD Lead Hazard Grant Program
→ Impact Avenues participation in the Pilot One Stop Shop Homeless Resource Center at Let’s Help
→ Implemented Softdocs – allowing for real-time digital inspection data
→ Updated all MOUs with Partner Agencies for Continuum of Care HUD Grant
Planning Division
→ Completed updates to Density and Dimensional changes to Zoning Code
→ Completed Pedestrian Master Plan Project
→ Completing 10-year update to the 2040 Land Use & Growth Management Plan
→ Completed East Topeka Development Plan
→ Secured award of $500k EPA Brownfield Planning Grant
→ Monroe School Overlay District – World Heritage Nomination
→ Moving Permitting software from CityWorks to Tyler ERP
→ Successful transfer of Land Bank parcel to private developer for creating of affordable housing
project.
→ Launched Affordable Housing Trust Fund (AHTF) and convened AHTF Review Committee
→ Updated City Incentive policies including RHID, TIF, and CID
Development Services Division
→ Adoption of the 2024 Uniform Plumbing Code, and Uniform Mechanical Code
→ Fully implemented change to bi-annual licensing renewals
→ Maintained standard of 99% of inspections completed as scheduled
→ Moving Licensing software from CityWorks to Tyler ERP
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PLANNING & DEVELOPMENT
Performance Measures
Performance Measure 2022 2023 2024 Target
Rapid Rehousing - Households served 53 36 46 40
Homelessness Prevention- Households served 69 65 31 75
Shelter Plus Care- Households served 530 430 244 400
Accessibility modifications - number of homes 25 26 19 25
Exterior Rehab - number of homes 1 1 1 5
Emergency Rehab - number of homes 42 50 31 55
Major Rehab - number of homes 1 3 6 9
TOTO- Number of newly owned homes receiving rehab 6 6 6 10
CHDO - number of new duplexes for rentals 2 3 3 1
j Infill - number of new duplexes for rentals 1 1 1 1
Weatherization - number of homes 20 28 28 30
Voluntary Demolition - number of homes 1 1 5 5
Number of renters receiving deposit assistance 71 53 28 50
Property Code Repairs - number of homes 16 24 14 12
Credit Counseling - number of households served 156 156 355 200
Neighborhoods and Properties Surveyed and Adopted as 150 65 175 169
Historic Districts or Neighborhood Conservation Districts (NCD)
Miles of Bikeways 79 97 82 105
Miles of Sidewalks 726 747 831 750
Miles of Separated Bikeways 28 32 21 45
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PLANNING & DEVELOPMENT
Goals
Housing Services Division
→ Continuing transition of EAS to Built for Zero
→ Continuing to implement findings of Homeless Innovation Project
→ Complete 5-year Consolidated Action Plan 2026 – 2030
→ Update analysis of impediments related to 5-year Con Plan
Planning Division
→ Completed Missing Middle text amendments to the zoning code
→ Finalize updates to Parking Code
→ Implement EPA Brownfield Planning Grant
→ Update of Brick Sidewalk Policy
→ Continue to promote affordable housing development through tools like Land Bank, RHID, NRP, and
Affordable Housing Trust Fund
→ Identify sustainable funding source for Affordable Housing Trust Fund
→Streamline incentive-based program workflows
→ Publish 5-year update of Citywide Housing Study
Development Services Division
→ Adoption of the 2024 International Building Code and
International Residential Code
→ Launch of Tyler Enterprise Licensing & Permitting portal.
→ Implement IG Inspect iPad tool allowing for real-time inspection data
→ Staff trade boards to full capacity
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POLICE
The Police department maintains safety and prevents criminal activity throughout the City of Topeka. The
Police department’s Office of the Chief of Police maintains the overall integrity and security of the
department. The department also runs several other divisions including Investigations, Patrol, Support
and the division of Property Maintenance Unit.
Department Budget History
Fund Search 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
101 - General Fund ($45,214,067) ($49,877,076) ($57,256,993) ($55,294,140)
Police Department ($42,839,436) ($47,392,888) ($54,500,451) ($52,693,748)
Neighborhood Relations/Code ($2,374,631) ($2,484,187) ($2,756,542) ($2,600,391)
Enforcement
Total ($45,214,067) ($49,877,076) ($57,256,993) ($55,294,140)
Department Name 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
Police Department ($42,839,436) ($47,392,888) ($54,500,451) ($52,693,748)
Personnel ($35,837,099) ($39,214,691) ($45,382,436) ($46,739,172)
Contractual ($4,279,307) ($5,401,758) ($5,910,134) ($3,123,345)
Commodities ($2,058,002) ($2,197,199) ($2,328,029) ($2,080,698)
Capital Outlay ($665,029) ($579,240) ($879,852) ($750,533)
Neighborhood
Enforcement
Relations/Code ($2,374,631) ($2,484,187) ($2,756,542) ($2,600,391)
Personnel ($1,271,511) ($1,464,824) ($1,576,251) ($1,559,994)
Contractual ($926,300) ($963,363) ($996,616) ($865,570)
Capital Outlay ($102,929) ($103,635) ($95,000)
Commodities ($73,891) ($56,000) ($80,040) ($79,827)
Total ($45,214,067) ($49,877,076) ($57,256,993) ($55,294,140)
Changes from 2025 Budget
→ Adding Staffing Study ($150,000)
→ Lexipol ($40,000)
→ Added 2 Civilian FTEs for PAL
→ Added 1 Civilian FTE for TCALC
→ Added 3 FTEs Civilian Positions for Crime Scene Investigations Unit
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POLICE
Accomplishments
→ Creation of Police and Community Together (PACT) Initial Pilot Program to address violent
crime and include a public engagement component
→ Partner with RTI to conduct research on historic crime trends in Topeka, including community
engagement and internal stakeholder component
→ Established positive relationships with CIVIC in support of Community Violence Interruption (CVI)
→ Partnering with Topeka JUMP, offering collaboration and data sharing
Performance Measures
Performance Measure 2022 2023 2024 Target
Attendance of Command Staff at community meetings 454 640 405 N/A
Number of Individuals Tested (Written Police Officer Test) 93 90 73 N/A
Number of Individuals Tested (Police Officer Physical Abbilities 40 73 N/A
Test - POPAT)
Number of volunteer hours 6772.95 6694.25 6202 6500
Homicide Clearance Rate (%) 78 80 73 N/A
Rape Clearance Rate (%) 19 17 11 N/A
Non-Fatal Shooting Clearance Rate 33 19 16 N/A
Burglary Clearance Rate (%) 12 12 11 N/A
Robery Clearance Rate (%) 29 39 25 N/A
j Theft Clearance Rate (%) 12 12 13 N/A
Number of calls for service 84716 88024 83877 N/A
Number of calls for service - Animal Control 4890 5040 5414 N/A
Number of Accidents related to Driving Under the Influence 108 85 74 N/A
(DUI)
License Plate Reader: Measuring Number of Confirms 33 10 N/A
License Plate Reader: Measuring Number of Reads 915308 1334844 1000000
+
Number of firearms test fired 570 531 539 N/A
Number of NIBIN leads 138 331 579 N/A
Number of City ID’s issued 630 997 1003 N/A
Number of mental health service calls responded to 1525 1616 1564 N/A
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POLICE
Performance Measures Continued
Performance Measure 2022 2023 2024 Target
Number of abatements (PMU) 1019 1031 1731 N/A
Demolitions (Structures Under Contract or in the Demolition 24 17 12 N/A
Bid Process) (PMU)
Number of inspections (PMU) 18146 15447 19260 N/A
Properties Brough Back to Voluntary Compliance (PMU) 3269 3267 4639 N/A
Number of PMU criminal cases referred to the City Attorney’s 262 320 476 N/A
Office
Cases closed at courtesy 34 58 46
Cases closed at violation 14 27 21
Cases closed at court 1 0 0 3
Goals
→ Outreach to Washburn University to assist in adding an evaluation component for TPD’s Training
Academy curriculum and adult learning concepts
→ Enhance community engagement
→ Strengthen relationships with external research institutions
→ Strengthen relationships with external Federal, State, and County partners for enhanced intelligence
sharing
→ Reduce Violent Crime
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PUBLIC WORKS
The Public Works department runs several divisions to help maintain and construct infrastructure in the
City. The Administration division operates and maintains the City's infrastructure including streets,
parking, traffic signals, signs and markings, forestry, bridges, city facilities, and fleet services. The
Engineering division reviews and administers all public street improvement projects, inspects work
performed in each public right-of-way, maintains and controls all survey data within the city, and manages
the city bridge inspection and maintenance program.
Department Budget History
Fund Search 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
101 - General Fund ($6,790,654) ($8,335,471) ($8,350,043) ($7,626,421)
275 - 0.5% Sales Tax (Jedo Proj) ($7,356,405) ($15,244,820) ($9,798,500) ($10,002,811)
276 - Federal Funds Exchange ($499,400) ($3,750,000) ($2,215,000) ($1,550,000)
291 - Special Street Repair ($6,165,267) ($8,208,806) ($8,274,449) ($7,781,698)
292 - Sales Tax Street Maint ($17,440,245) ($32,660,128) ($28,124,454) ($28,468,024)
601 - Public Parking ($3,422,344) ($3,079,418) ($2,803,494) ($3,157,281)
614 - Fleet Management ($2,473,338) ($3,934,274) ($3,664,128) ($2,310,635)
615 - Facilities Operations ($3,017,618) ($3,657,295) ($3,509,272) ($3,555,688)
Total ($47,165,269) ($78,870,211) ($66,739,340) ($64,452,558)
Main Type 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
Expenses ($47,165,269) ($78,870,211) ($66,739,340) ($64,452,558)
Contractual ($33,788,492) ($46,233,796) ($47,795,766) ($45,592,215)
Personnel ($10,843,698) ($12,772,627) ($12,925,646) ($14,152,992)
Commodities ($1,302,095) ($3,805,120) ($2,209,277) ($2,292,088)
Other Payments $10,409 ($13,750,000) ($2,175,500) ($1,550,500)
Debt ($915,634) ($815,622) ($620,602) ($622,463)
Capital Outlay ($325,760) ($1,493,046) ($1,012,550) ($242,300)
Total ($47,165,269) ($78,870,211) ($66,739,340) ($64,452,558)
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PUBLIC WORKS
Changes from 2025 Budget
General Fund
→ Decrease in $300,000 in engineering consultant fees
→ Added 3 Engineering Tech II's with 3 vehicles ($135,000) - Tech's will be paid out of Citywide Half-Cent Sales Tax
Accomplishments
Transportation Operations
→ Upgraded Street Maintenance Fleet, Crew pick-up, Supervisor pick-ups, Bobcat with 4' mill head,
two new Dump Trucks with new anti-ice tanks for pretreating
→ Training on motor grader and paver. Training was performed from outside source.
→ rebuilt N Topeka and Independence intersection, new signal and pavement markings
→ 21st and Chelsea new signal and pavement markings
→ 21st and Belle new signal and pavement markings
→ Help modify 21st and Topeka signal and pavement markings
→ 32snd and Topeka modify signals and markings
→ New RRFB at 15th and MacVicar
→ As of June 1st, 715 new signs made in house
Parking
→ Completed refresh of garage entryways for consistent look and feel.
→ Updated and unified signage in all facilities.
→ Replaced lighting in stairwells and lobbies to increase visibility and safety.
→ Increased adoption of app-based pay to 47.3%
→ Increased garage leased occupancy to 81%.
→ Replaced elevators at 9th Street Garage.
→ Significant reduction in past due payables.
Foresty
→ Maintain 80% completion rate of work orders within a 90-day window
→ Continue to target 1,000 trees pruned or raised
→ Continue to target 300 trees removed
→ Arbor Day planting with Governor and Kansas Arborist Association
→ Continue Tree City USA recognition
→ Accepted delivery of new stump grinder
→ Delivery of two new bucket trucks
→ Delivery of new bucket truck
Facilities
→ Completed conversion of City Hall Boiler from steam to hot water.
→ Completed conversion of TPAC HVAC from steam/refrigerant to Hot/Cold Water.
→ Replaced various mechanical features at the Law Enforcement Center and Fire Department
Facilities
→ Replaced roofs at Fire Stations4, 7, 9 and the Water Distribution Building
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PUBLIC WORKS
Accomplishments Continued
Fleet
→ Relocated light duty operations to 3501 S Kansas Ave.
→ Increased enrollment into Vehicle and Equipment Replacement Fund by two departments, ensuring
regular vehicle replacements.
Engineering
→ Completed necessary pavement, striping, and signal modifications to handle increased traffic volumes
on the city street network during the I-70 closure and reconstruction
→ Implemented UBAS treatment in the Pavement Preservation Program
→ Transitioned to date-certain construction contracts
→ Updated the Liquidated Damages table in construction contracts to mirror Shawnee County’s current
rates
→ Updated Sections 4 and 6, and added Section 9, in the Standard Technical Specifications manual
→ Hired an additional Engineer to manage construction projects
→ Received $838,000 in grants
→ Continued to leverage traffic demand analysis software to bring cost savings, in lieu of contracted 3rd
party services.
Goals
Transportation Operations
→ Upgrade fleet, 4 single axle dump trucks with pre-treat tanks, multipurpose flush truck- use for
sweeping and pre-treating during inclement weather
→ Create additional crew for regrading and maintain aggregate alleys
→ Maintain full staffing capacity for department to meet goals, safety concerns, and liabilities for the
city
→ Connect signals to Traffics network through fiber, or wireless radio as money/help allows
→ Add specific fiber optic color, footage, direction, and splice diagram notes as repairs are made or
access to splice boxes is needed
→ Replace old obsolete camera detection with AI detection
→ Train signal techs on new detection systems, software
→ Update overhead D3s (street name signs) at 15 intersections
→ Convert 50 crosswalks from Type I to Type II markings
→ Meet yearly painting goals
→ Update sign in 4, 10 square block "neighborhoods"
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PUBLIC WORKS
Goals Continued
Facilities
→ Complete TPAC HVAC replacement.
→ Improve accessibility of City facilities, though Energy and ADA assessment.
Fleet
→ Upgrade reporting suite on vehicle and asset management for departments.
→ Increase enrollment in the City's vehicle and equipment replacement fund
→ Maintain fleet readiness above 90%
Parking
→ Maintain leased garage occupancy over 80%.
→ Continue comprehensive parking garage rehabilitation project.
→ Update comprehensive preventive maintenance schedule of garages.
→ Increase parking revenue by $290,000, to improve long term sustainability.
→ Improve and maintain customer service
→ Simplify on-street parking with standardized rates and times
Forestry
→ Maintain 80% completion rate of work orders within a 90-day window
→ 1,000 trees pruned or raised
→ 300 trees removed
→ Arbor Day planting
→ Continue Tree City USA recognition
→ Develop tree planting plan or funding source
→ Develop tree inventory
Engineering
→ Continue to fill vacancies in order to reduce expenditures for consultant project management and
construction inspection services
→ Manage design schedules so that projects are left to construction and completed in a timely manner
→ Continue to coordinate with other City departments, County and State agencies to minimize or avoid
potential conflicts with other infrastructure projects in the city and surrounding areas
→ Review and update remaining sections in the Standard Technical Specifications manual
→ Research and implement newer treatments and technologies, such as increased Reclaimed Asphalt
Pavement (RAP) content in asphalt pavement and PressurePave pavement treatment
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PUBLIC WORKS
Performance Measures
Performance Measure 2022 2023 2024 Target
Preventative Maintenance vs. 75% (CM) 25% 75% 75% (PM) 25% (CM)
Corrective Maintenance (%) (PM) (CM)
25%
(PM)
Project Closeout within 30 days 1
Preventative vs. Corrective 34 PM/66CM 39 PM/61 44 PM/56CM 80 PM/20 CM
Maintenance (%) CM
Number of Emergency Work Orders 410 537 400
Number of Non-Emergency Work 778 1148 1000
Orders
Work Order Completion Rate within 84.9 84.2 71.4 80
90 days
Number of trees pruned or raised 1000 1216 452 1100
j Number of trees removed 300 320 337 300
Signalized Intersections Replaced 3 3 3 5
Number of scheduled maintenance N/A N/A 242 231
work orders
Number of Signs Installed per Year 1250 1327 1250 1200
Number of scheduled maintenance 242 265 443 458
work orders
Number of Long Lines Marked per 285 285 285 285
Year
# of Crosswalks converted per year 50 50 50 54
Number of Work Orders N/A 79 79 N/A
Streetlight Outage Complaint 66 66 66 43
Street Sweeping Lane Miles 4305 3081 5837 6500
Number of Work Orders 57 25 20 25
Number of Miles Aggregate Alley 23 40 36 40
Maintained
Number of Alleys Maintained 220 277 248 300
(blocks)
Number of Winter Weather Events 13 4 10 5
Managed
Number of Potholes Filled 33332 36580 46151 20000
Crack Sealing Linear Feet 129000 100195 126000 130000
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UTILITIES DEPARTMENT: WATER
The Water Utility produces our community's safe drinking water and manages all operations and
maintenance of the water system in order to supply water to Topeka, Shawnee County, and surrounding
areas.
Department Budget History
Fund Search 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
621 - Water Utility ($40,687,561) ($52,593,962) ($56,528,377) ($62,286,091)
Total ($40,687,561) ($52,593,962) ($56,528,377) ($62,286,091)
Main Type 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
Expenses ($40,687,561) ($52,593,962) ($56,528,377) ($62,286,091)
Capital Outlay ($400,000) ($400,000) ($400,000)
Commodities ($9,553,671) ($9,187,745) ($10,107,490) ($11,349,237)
Contractual ($11,595,693) ($12,284,960) ($12,816,876) ($14,107,235)
Debt ($11,307,789) ($10,704,226) ($13,592,479) ($13,386,169)
Other Payments ($4,157) ($9,124,425) ($8,007,100) ($11,427,100)
Personnel ($8,226,252) ($10,892,607) ($11,604,432) ($11,616,350)
Total ($40,687,561) ($52,593,962) ($56,528,377) ($62,286,091)
Changes from 2025 Budget
→ Increase in treatment chemical cost of 15%
→ Increase in utility expenses (i.e. electricity, natural gas) of 11%
→ Debt is directly related to existing debt and ensure current obligations are met while new debt is added
with revenue bonds
→ Other Payments is directly related to cash financing of Capital Improvement Projects
→ Removed Ombudsman position
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UTILITIES DEPARTMENT: WATER
Accomplishments
*(2025 metrics are through May 31, 2025)
→ Water main breaks repaired
2024 - 590
2025* - 182 YTD
→ Fire Hydrants repaired/replaced - 180* YTD
→ Water Valves repaired/replaced - 130* YTD
→ Water Mains Replaced or rehabilitated
2024 - 19,875 LF Including:
SW Villa West Drive
SW 21st St. from Western to Buchanan
Polk-Quincy Viaduct
2025* - 8,996 LF YTD
→ Meet or exceed all KDHE requirements for safe, clean drinking water
Customer Service
→ 2024 Customers Assisted
Answered 121,753 calls to 368-3111
Assisted 31,215 walk-in customers at City Express
Responded to 4,042 on-line inquiries
→ 2025* Customers Assisted - YTD
Answered 45,138* calls to 368-3111
Assisted 11,660* walk-in customers at City Express
Responded to 6,867* on-line inquiries
Meter Services
→ Service orders
2024 - 70,156 completed
2025* - 26,463 completed YTD
→ Preventative Maintenance Orders
2024 - 822 shut off valve and meter box replacements completed
2025* - 483 shut off valve and meter box replacements completed YTD
Utility Billing
→ Utility Bills Generated for City Utilities & SNCO Solid Waste
2024 - 758,273 bills generated
2025* - 320,928 generated YTD
→ 4.45% increase in electronic billing in 2024
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UTILITIES DEPARTMENT: WATER
Performance Measures
Performance Measure 2022 2023 2024 Target
Electronic billing (percentage New Measure 0.0566 0.0445 0.05
increased)
Billing accuracy ( percentage) 0.998 0.998 0.9997 0.9995
Call Center Service Level 0.717 0.7425 0.8365 0.9
(percentage)*
Average call length New Measure 2 min 2 min 55 sec 3 min 00 sec
47sec
Average AMI reading captured New Measure 0.9244 0.9142 0.988
(percentage)
Drinking water compliance rate 1 1 0.9967 1
Linear Feet of water mains replaced 14610 14531 19572 12000
or rehabilitated per year
Length of time to repair water main 5 5.5 6 <5
breaks (hours)
Number of bills generated 731238 734263 758273 N/A
j Number of calls received 112928 120362 121753 N/A
Number of walk-in customers 33202 31215 30903 N/A
Number of service orders completed 61839 59382 70156 N/A
Truck rolls avoided through AMI N/A New 5362 N/A
Measure
Average gallons of water distributed 23.63 MG/day 24.42 23.19 MG/day N/A
daily MG/day
Highest number of gallons of water 36.77 MG 37.82 35.35 MG N/A
distributed MG
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UTILITIES DEPARTMENT: WATER
Goals
Water Treatment Plant:
→ Begin Water Treatment Plant Rehabilitation projects:
West Intake Rehabilitation construction
Chemical building Rehabilitation construction
East Plant Basin Rehabilitation design
→ Begin design stage of painting Original Montara Water Tower
→ Meet or exceed all KDHE requirements for safe, clean drinking water
Water Distribution:
→ Improve the time required to repair broken water mains to 5 hours or less
→ Resume preventative maintenance for hydrants and valves
Project Management:
→ Complete water main replacement or rehabilitation projects at:
SW Moundviw SW Stoneybrook
Montara Neighborhood Phase I
SW Boswell
Customer Service:
→ Increase electronic customer communication by 3% over the previous year
→ Improve and maintain Call Center service level
Meter Services:
→ Complete ongoing meter exchange program
→ Continue replacing obsolete style shut off valves (approx. 2,300 remaining)
Utility Billing:
→ Increase electronic billing by 5% over the previous year
→ Maintain billing accuracy rate of at least 99.95%
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UTILITIES: STORMWATER
The Stormwater Utility operates and maintains the City's flood protection and drainage systems. Services
of the Stormwater Utility are primarily managed by the Water Pollution Control division. Services include
stormwater collection system maintenance, levee system operations and maintenance, and best
management practices (BMP).
Department Budget History
Fund Search 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
623 - Stormwater Utility ($7,072,443) ($13,708,172) ($12,727,224) ($12,633,611)
Total ($7,072,443) ($13,708,172) ($12,727,224) ($12,633,611)
Main Type 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
Expenses ($7,072,443) ($13,708,172) ($12,727,224) ($12,633,611)
Capital Outlay ($350,000) ($300,000) ($500,000)
Commodities ($310,696) ($223,335) ($258,961) ($380,163)
Contractual ($3,132,486) ($2,323,441) ($2,361,487) ($2,916,533)
Debt ($1,910,144) ($2,188,192) ($2,567,519) ($2,586,555)
Other Payments ($6,275,991) ($4,786,200) ($3,904,300)
Personnel ($1,719,117) ($2,347,212) ($2,453,056) ($2,346,060)
Total ($7,072,443) ($13,708,172) ($12,727,224) ($12,633,611)
Changes from 2025 Budget
→ Increase in utility expenses (i.e. electricity. natural gas) of 11%
→ Debt is directly related to existing debt and ensure current obligations are met while new debt is added
with revenue bonds
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UTILITIES: STORMWATER
Accomplishments
*(2025 metrics are through May 31, 2025)
→ Storm Sewer pipes cleaned
2024 - 30,748 LF
2025* - 24,072 LF
→ Stormwater Inlets cleaned and inspected
2024 – 10,833
2025* - 2,771
→ Stormwater Mains replaced or rehabilitated
2024 – 6,209 LF
2025* - 2,500 LF
→ Performance measures and goals for 2025 are on track to be met:
Mowing of levees to control unwanted vegetation
Conducting 130 outfall inspections
Collect 12 bi-weekly stream samples for detecting illicit discharge
Annual and bi-annual inspections of ditches and channels
Annual maintenance and exercising of levee sluice gates, and relief wells
Performance Measures
Performance Measure 2022 2023 2024 Target
Completed Outfall Inspections 113 130 122 100
Controlled Burns Conducted 2 3 1 3
Erosion & Sediment Control 339 422 440 400
Submittals Reviewed
Stream Samples Collected 23 25 20 12
Linear feet of storm sewer mains 43225 71262 30748 40000
cleaned
Number of storm sewer inlets 14607 8676 10833 6572
inspected and cleaning
Levee maintenance and exercising 1 1 1 1
of levee sluice gates, and relief
wells completed(percentage)
Linear Feet of storm sewer mains 3009 12749 6209 8000
replaced or rehabilitated per year
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UTILITIES: STORMWATER
Goals
Project Management
→ Begin Stormwater Conveyance system replacement or rehabilitation at:
SE Prairie Road
SE California Ave & SE 4th St
Stormwater Operations
→ Meet 2026 performance metrics and goals
→ Maintain Compliance wit City NPDES Permit Requirements
→ Update Stormwater Management Program
→ Partner with community organizations on at least one stream cleanup event
→ Complete action items to satisfy EPA requirements for long-term operations and maintenance of
BMP's
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UTILITIES: WASTEWATER
The Wastewater Utility collects and treats wastewater at three treatment plants to protect the health and
safety of our community. Services of the Wastewater Utility are primarily managed by the Water Pollution
Control division.
Department Budget History
Fund Search 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
625 - Wastewater Fund ($28,559,295) ($45,867,083) ($41,111,311) ($45,392,654)
Total ($28,559,295) ($45,867,083) ($41,111,311) ($45,392,654)
Main Type 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
Expenses ($28,559,295) ($45,867,083) ($41,111,311) ($45,392,654)
Capital Outlay ($300,000) ($350,000) ($300,000)
Commodities ($2,102,454) ($2,073,685) ($2,539,551) ($2,464,344)
Contractual ($12,591,439) ($10,366,591) ($11,673,653) ($12,908,950)
Debt ($8,570,470) ($8,813,347) ($11,724,199) ($13,892,026)
Other Payments ($32,894) ($17,915,584) ($7,864,110) ($8,696,000)
Personnel ($5,262,039) ($6,397,876) ($6,959,798) ($7,131,334)
Total ($28,559,295) ($45,867,083) ($41,111,311) ($45,392,654)
Changes from 2025 Budget
→ Increase in treatment chemical costs of 15%
→ Debt is directly related to existing debt and ensure current obligations are met while new debt is added
with revenue bonds
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UTILITIES: WASTEWATER
Accomplishments
*(2025 metrics are through May 31, 2025)
→ Sanitary Sewer mains cleaned
2024 - 1,004,812 LF
2025* - 172,069 LF YTD
→ Sanitary Sewer mains replaced or rehabilitated
2025* - 6,000 LF YTD
→ Biosolids Processed
2024 - 20,487.50 tons
2025* - 5,666.00 tons
→ Biosolids Reused
2024 - 21,733.20 tons
2025* - 4,230.71 tons
→ Reduced called regarding wastewater odor by 8%
Performance Measures
Performance Measure 2022 2023 2024 Target
Linear footage of 6” to 15” gravity 974949 813927 1.005M 1.12M
mains cleaned
Linear Feet of sanitary sewer mains 18368 5630 0 17000
replaced or rehabilitated per year
Number of bypass events over 8 4 1 0 0
hours without secondary treatment
Number of occurrences resulting in 20 4 76 0
Notice of Violation
Response time to customer calls 0.995 0.98 0.9325 1
(percentage)
Number of gallons of wastewater 6.6B 5.2B 4.075B N/A
treated
The number of system back-up calls N/A 210 212 N/A
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UTILITIES: WASTEWATER
Goals
→ Rehabilitation of the Grant Jefferson and Shunga Pump States & Force Mains
→ Complete Plant modifications at North Topeka Wastewater Treatment Plant
→ Increase biosolids processing by 3%
→ Increase land application by 5%
→ Maintain Compliance with city NPDES Permit Requirements
→ Adhere to State and Federal regulations and The Clean Water act, regarding the treatment and release
of wastewater
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MISC. NON-DEPARTMENTAL
The Non-Departmental budget within the City's General Fund exists primarily to post expenses that are citywide in
nature and not generated through the actions of a specific department
Department Budget History
Fund Search 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
101 - General Fund ($5,032,312) ($4,083,688) ($4,428,652) ($15,579,852)
Misc. Non - Departmental ($2,181,061) ($1,337,748) ($1,004,281) ($12,915,852)
Prisoner Care ($945,977) ($800,000) ($1,100,000) ($1,500,000)
Social Service Grants ($546,708) ($752,379) ($752,500) ($590,000)
Cemeteries ($222,535) ($295,000) ($295,000) ($294,000)
Topeka Performance Center ($404,340) ($718,561) ($721,861) ($150,000)
Franchise Fee Program ($100,000) ($180,000) ($130,010) ($130,000)
Equipment & Improv Nondept $60,000
Non Departmental - Hotel ($691,691) ($425,000)
Total ($5,032,312) ($4,083,688) ($4,428,652) ($15,579,852)
Main Type 2023 Actuals 2024 Budget 2025 Budget 2026 Budget
Expenses ($5,032,312) ($4,083,688) ($4,428,652) ($15,579,852)
Contractual ($4,377,750) ($4,258,551) ($6,241,949) ($15,474,852)
Other Payments ($239,630) ($1,600,000) ($232,000) ($105,000)
Personnel $1,774,863 $2,470,297
Capital Outlay ($101,392) $0
Commodities ($313,539) ($425,000) $0
Total ($5,032,312) ($4,083,688) ($4,428,652) ($15,579,852)
Changes from 2026 Budget
→ See next page for itemized list of expenses for FY2026
→ Vacancy Credit is no longer posted within this cost center; rather it is reflected in specific department
budgets
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MISC. NON-DEPARTMENTAL
Itemized List of 2026 Non-Departmental Expenses
Below are list of material expenditures in the Misc. Non-Departmental Expense Budget:
→ Cemeteries: $294,000
→ SNCO Prisoner Care: $1,500,000
→ TPAC Contract: $150,000
→ Social Service Grants with United Way Administration: $425,000
→ PARS/Safe Streets: $45,750
→ Kansas Children's Services: $60,000
→ YWCA Northeast Kansas: $40,000
→ Lineage Expense: $175,000
→ IT Allocation for General Fund: $5,077,637
→ Facilities Allocation for General Fund: $3,715,965
→ Insurance Allocation for General Fund: $1,366,731
→ League of Kansas Municipalities: $42,000
→ GTP: $14,000
→ Pocket Park Maintenance: $61,366
→ Intelli-Time: $107,500
→ ArtsConnect: $30,000
→ NOTO: $50,000
→ Downtown Topeka Redevelopment Grant: $150,000
→ Lawson License: $530,000
→ SAAS Fees: $697,894
→ Eviction Defense Contract: $88,000
→ Property Tax Rebate Program with CRC: $250,000
→ Franchise Fees Rebate with CRC: $130,010
→ CID Payments: $354,760
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FUNDS SUMMARY
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101 - GENERAL FUND
The General Fund is the City of Topeka’s primary operating fund. It finances a number of departments such
as City Council, Mayor, Police, Fire, Executive, Public Works, and various others. The General Fund receives
the largest portion of the mill levy to support various services throughout the City.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
101 - General Fund $23,028,432 $23,028,432 $19,975,720
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $116,085,443 $114,928,383 $127,570,992 $132,985,265
Sales Tax $39,013,156 $39,894,883 $40,569,000 $41,710,350
Ad Valorem Tax $35,597,172 $36,296,391 $38,251,392 $43,779,757
Franchise Fees $15,228,457 $15,165,089 $14,331,161 $16,189,547
Miscellaneous $624,443 $557,428 $10,984,459 $8,130,349
PILOTS $7,930,388 $5,968,062 $5,937,664 $6,787,247
Fees For Service $4,359,686 $4,484,446 $4,426,854 $4,568,000
Investments from Interest $4,946,208 $3,859,768 $4,335,000 $2,900,000
Motor Vehicle $3,201,631 $3,487,228 $3,309,405 $3,657,389
Licenses & Permits $1,719,408 $1,854,731 $1,781,757 $1,829,164
Intergovernmental Revenue $1,447,474 $1,435,498 $1,492,050 $1,469,962
Fines $1,233,003 $1,158,708 $1,275,000 $1,190,000
Municipal Court $510,974 $488,155 $537,250 $478,500
Special Assessments $273,444 $277,996 $340,000 $295,000
Expenses ($116,007,107) ($118,403,646) ($127,570,984) ($132,985,265)
Debt ($656,420) ($242,481)
Other Payments ($10,994,307) ($3,793,149) ($232,100) ($105,100)
Capital Outlay ($881,250) ($778,415) ($1,184,166) ($1,354,033)
Commodities ($3,604,065) ($4,531,750) ($4,225,719) ($3,476,650)
Contractual ($19,386,530) ($23,291,850) ($25,137,226) ($27,049,692)
Personnel ($80,484,535) ($85,766,003) ($96,791,772) ($100,999,790)
Total $78,336 ($3,475,264) $9 $0
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102 - UNASSIGNED RESERVE FUND
The City shall maintain a minimum unassigned fund balance equal to fifteen percent (15%) of the General
Fund revenues and a target unassigned fund balance of twenty percent (20%) of the General Fund
revenues. In the event that the unassigned fund balance exceeds twenty percent (20%) at the end of the
fiscal year, those excess funds shall be moved to the Unassigned Reserve Fund.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
102 - Unassigned Reserve Fund $13,843,107 $4,484,552 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $11,706,274 $4,134,894
Miscellaneous $11,706,274 $4,134,894
Expenses ($1,998,061) ($15,374,383) ($6,500,000)
Other Payments ($1,998,061) ($15,374,383) ($6,500,000)
Total $11,706,274 $2,136,833 ($15,374,383) ($6,500,000)
Notable Information
→ The City plans on using unassigned reserves to supplement the general fund operating budget for
FY26.
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216 - DOWNTOWN BUSINESS DIST.
The Downtown Business Improvement fund accounts for assessments that are levied against tenants within
the downtown business improvement district.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
216 - Downtown Bus Improv Dist $60,972 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $178,715 $125,784 $184,920 $203,011
Special Assessments $178,666 $173,465 $184,920 $203,011
Miscellaneous $48 $0
Investments from Interest $0 ($47,681) $0
Expenses ($194,957) ($164,176) ($203,011) ($203,011)
Contractual ($194,957) ($164,176) ($203,011) ($203,011)
Total ($16,242) ($38,392) ($18,091) $0
Notable Information
→ No material changes in FY26 budget
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217 - TOPEKA TOURISM IMPROV.
The Tourism Business Improvement fund accounts for assessments that are levied against lodging facilities
within the City of Topeka to provide for improvements and promotion of the downtown plaza development
area.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
217 - Topeka Tourism Bid ($277) $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $369,551 $352,197 $384,333 $352,200
Special Assessments $369,551 $352,197 $384,333 $352,200
Expenses ($369,397) ($356,781) ($379,247) ($352,200)
Contractual ($369,397) ($356,781) ($379,247) ($352,200)
Total $154 ($4,584) $5,086 $0
Notable Information
→ No material changes in FY26 budget
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218 - NOTO BUSINESS IMPROV.
The NOTO Improvement fund accounts for assessments that are levied against tenants within the NOTO
business improvement district.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
218 - Noto Business Improve District $14,600 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $12,650 $12,700 $15,000 $17,000
Special Assessments $13,050 $17,500 $15,000 $17,000
Investments from Interest ($400) ($4,800)
Expenses ($5,006) ($5,744) ($15,000) ($17,000)
Contractual ($5,006) ($5,744) ($15,000) ($17,000)
Total $7,644 $6,956 $0 $0
Notable Information
→ No material changes in FY26 budget
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227 - COURT TECHNOLOGY FUND
The Court Technology fund collects fees in addition to existing mandatory court costs for upgrading the
court’s electronic records and payment system.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
227 - Court Technology Fund $239,730 $225,730 $730
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $26,332 $25,442 $25,000 $25,000
Municipal Court $26,332 $25,442 $25,000 $25,000
Expenses ($44,013) ($26,035) ($70,000) ($250,000)
Contractual ($43,712) ($23,164) ($45,000) ($45,000)
Commodities ($967) ($5,000) ($185,000)
Capital Outlay ($302) ($1,904) ($20,000) ($20,000)
Total ($17,681) ($593) ($45,000) ($225,000)
Notable Information
→ The Court Technology Fund will partially pay for the Tyler Digi-Ticket System
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228 - SPECIAL ALCOHOL FUND
The Special Alcohol fund is collected and distributed in accordance with state statute K.S.A. 79-41a04.
Revenues come from a 10% tax on the sale of liquor and must be spent towards drug and alcohol abuse
programs.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
228 - Special Alcohol Program $225,883 $225,883 $225,883
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $723,737 $717,749 $746,025 $734,996
Intergovernmental Revenue $723,737 $717,749 $746,025 $734,996
Expenses ($567,661) ($695,927) ($746,025) ($734,996)
Contractual ($567,661) ($695,927) ($746,025) ($734,996)
Total $156,076 $21,822 $0 $0
Notable Information
→ No material changes in FY26 budget
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229 - ALCOHOL DRUG & SAFETY FUND
The Alcohol and Drug Safety fund receives revenue through Municipal Court fees and supports the probation
officer who interacts directly with alcohol and drug safety cases.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
229 - Alcohol & Drug Safety $9,171 $25,428 $42,062
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $16,936 $10,976 $22,000 $22,000
Municipal Court $16,936 $10,976 $22,000 $22,000
Expenses ($115,786) ($9,275) ($5,743) ($5,166)
Personnel ($111,532) ($5,772) $669
Contractual ($1,179) ($2,646) ($1,143) ($1,235)
Commodities ($3,075) ($857) ($4,600) ($4,600)
Total ($98,850) $1,701 $16,257 $16,834
Notable Information
→ No material changes in FY26 budget
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232 - LAW ENFORCEMENT FUND
This fund was established for collecting revenues through donations, federal monies, license fees, warrant
fees, and Municipal Court fees. The purpose is to subsidize crime prevention activities including training,
canine and officer equipment, and prevention programs.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
232 - Law Enforcement $1,583,390 $1,265,810 $903,333
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $459,915 $325,313 $189,000 $189,000
Municipal Court $20,439 $18,384 $20,000 $20,000
Miscellaneous $204,694 $94,511 $20,000 $20,000
Licenses & Permits $17,500 $15,000 $17,500 $17,500
Investments from Interest $102,309 $122,585 $36,500 $36,500
Intergovernmental Revenue $24,750 $563 $5,000 $5,000
Fines $90,223 $74,271 $90,000 $90,000
Expenses ($463,750) ($497,913) ($551,477) ($551,477)
Debt ($26,614) $0
Contractual ($306,239) ($320,844) ($518,588) ($518,588)
Commodities ($29,720) ($24,477) ($32,889) ($32,889)
Capital Outlay ($101,176) ($152,592) $0
Total ($3,835) ($172,599) ($362,477) ($362,477)
Notable Information
→ No material changes in FY26 budget
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236 - SPECIAL LIABILITY FUND
The Special Liability fund is utilized to defend the City in court for cases, such as workers compensation, and
claims against the City.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
236 - Special Liability $2,996,713 $2,472,923 $1,954,970
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $1,164,897 $1,253,948 $1,059,376 $1,121,832
PILOTS $4,220 $5,923 $3,000 $3,000
Motor Vehicle $85,626 $86,393 $79,229 $87,218
Investments from Interest $194,829 $194,519 $0
Ad Valorem Tax $880,221 $967,113 $977,147 $1,031,614
Expenses ($1,015,460) ($1,501,796) ($1,536,185) ($1,639,785)
Personnel ($706,582) ($577,525) ($773,296) ($855,835)
Contractual ($304,940) ($918,911) ($755,889) ($776,950)
Commodities ($3,938) ($5,360) ($7,000) ($7,000)
Total $149,436 ($247,849) ($476,809) ($517,953)
Notable Information
→ No material changes in FY26 budget
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271 - TRANSIENT GUEST TAXES
These funds account for revenues received from a transient guest tax imposed on hotel and motel room
rentals. This tax is utilized for the promotion of conventions and tourism in the City of Topeka.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
271 - Transient Guest Tax $57,244 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $2,347,597 $2,238,852 $2,972,974 $2,375,000
Transient Guest Tax $2,347,597 $2,238,852 $2,972,974 $2,375,000
Expenses ($2,347,597) ($2,233,723) ($2,018,469) ($2,375,000)
Other Payments ($229,148) ($218,533) ($236,022) ($230,000)
Contractual ($2,118,449) ($2,015,189) ($1,782,447) ($2,145,000)
Total $0 $5,130 $954,505 $0
Notable Information
→ No material changes in FY26 budget
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272 - TRANSIENT GUEST TAXES Soccer
This fund accounts for revenues received from transient guest tax and pays towards improvements at
Sunflower Soccer.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
272 - Tgt - Sunflower Soccer $702,779 $431,440 $617,479
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $478,031 $454,169 $602,920 $475,000
Transient Guest Tax $478,031 $454,169 $602,920 $475,000
Expenses ($283,313) ($282,880) ($294,254) ($288,961)
Contractual ($283,313) ($282,880) ($294,254) ($288,961)
Total $194,718 $171,289 $308,666 $186,039
Notable Information
→ No material changes in FY26 budget
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273 - TRANSIENT GUEST TAXES (NEW)
This fund accounts for revenues received from transient guest tax and distributes funds to four community
entities.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
273 - Transient Guest Tax (New) $93,553 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $458,296 $437,067 $580,381 $475,000
Transient Guest Tax $458,296 $437,067 $580,381 $475,000
Expenses ($468,903) ($409,578) ($482,970) ($475,000)
Contractual ($468,903) ($409,578) ($482,970) ($475,000)
Total ($10,608) $27,488 $97,411 $0
Notable Information
→ This fund is building up a fund balance since Evel Knievel no longer receives TGT disbursements; the
Governing Body opted to dedicate all future TGT revenue generation toward Evel Knievel to be used to
build an ice rink at Evergy Plaza.
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274-275 - COUNTYWIDE HALF CENT SALES TAX
This fund tracks sales tax being received from the state and transferred to the Joint Economic Development
Organization (JEDO) for the funding of economic development and countywide infrastructure as authorized
by voters in April of 2016.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
275 - 0.5% Sales Tax (Jedo Proj) $21,116,143 $21,684,346 $23,826,450
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $19,898,235 $22,128,576 $19,716,324 $21,945,170
Sales Tax $19,142,062 $20,879,968 $19,716,324 $21,945,170
Investments from Interest $756,172 $1,248,609
Expenses ($18,964,469) ($14,157,767) ($21,754,806) ($22,502,811)
Contractual ($18,964,179) ($14,157,767) ($21,753,806) ($22,501,811)
Capital Outlay ($290) ($1,000) ($1,000)
Total $933,766 $7,970,809 ($2,038,482) ($557,641)
Notable Information
→ Project concepts that are beginning include: SW Huntoon St. - Gage Blvd. to Harrison St. and SW
Topeka Blvd. -15th - 21st St.
→ The fund balance remains high due to delays in the 17th Street Project. Currently, no major projects
funded by the Countywide Half-Cent Sales Tax are under construction, contributing to the continued
growth of the fund balance
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276 - FEDERAL FUNDS EXCHANGE
Federal Funds Exchange is a voluntary program that allows local agencies to trade all or part of its federal fund
allocation in a specific federal fiscal year with the Kansas Department of Transportation (KDOT) in exchange for state
transportation dollars. The available funds are determined annually by KDOT for use on specific types of transportation
improvement projects including, but not limited to, roadway construction, reconstruction, and pavement preservation.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
276 - Federal Funds Exchange $610,948 $205,976 $320,976
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $1,738,080 $1,557,504 $1,600,000 $1,665,000
Investments from Interest $195,366 ($18,744) $15,000
Intergovernmental Revenue $1,542,714 $1,576,248 $1,600,000 $1,650,000
Expenses ($499,400) ($4,355,000) ($2,215,000) ($1,550,000)
Other Payments ($499,400) ($4,355,000) ($2,215,000) ($1,550,000)
Total $1,238,680 ($2,797,496) ($615,000) $115,000
Notable Information
→ Projects include annual bridge maintenance program, SW Fairlawn RD. - 28th St. to 23rd St., and SE
Sardou Avenue over Union Pacific Railroad, and various improvements across multiple bridges
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286 - RETIREMENT RESERVE FUND
The Retirement Reserve fund provides revenues for and absorbs those accrued sick leave, vacation, and
other related costs of City employees upon their retirement.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
286 - Retirement Reserve $5,596,341 $6,672,149 $3,068,207
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $2,177,006 $2,348,346 $1,930,000 $30,000
Investments from Interest $153,354 $213,880 $30,000 $30,000
Fees For Service $2,023,652 $2,134,465 $1,900,000 $0
Expenses ($1,492,940) ($1,137,818) ($1,127,170) ($3,633,742)
Personnel ($1,475,346) ($1,120,287) ($1,110,000) ($1,633,742)
Other Payments ($2,000,000)
Contractual ($17,594) ($17,532) ($17,170)
Total $684,066 $1,210,527 $802,830 ($3,603,742)
Notable Information
→ The City will not transfer any revenue into this fund for 2026 since there is a large fund balance.
Additionally, the City will transfer $2m from this fund into the Special Highway Fund for FY26.
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289 - HISTORIC ASSET FUND
Prior to 2017, this fund provided funding for acquisitions, rehabilitation, and preservation of historical landmarks or
historic resources located within the City. The funding source was Transient Guest Tax (TGT). The allocation from TGT
expired in 2016, so the only funds spent will be carried over from prior year grants.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
289 - Historic Asset Tourism $29,711 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Expenses ($12,930) ($29,711)
Contractual ($12,930) ($29,711)
Total ($12,930) ($29,711)
Notable Information
→ No material changes in FY25 budget
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291 - SPECIAL HIGHWAY FUND
The Special Highway fund receives the motor fuel taxes from the State of Kansas and pays for street
improvements and staffing to maintain those assets throughout the City.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
291 - Special Street Repair $2,331,580 $188,836 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $5,711,469 $5,634,311 $5,204,250 $7,503,130
Miscellaneous $28,769 $17,790 $25,000 $2,012,500
Investments from Interest $184,182 $47,862 $0
Intergovernmental Revenue $5,498,518 $5,568,660 $5,179,250 $5,490,630
Expenses ($6,165,267) ($6,891,912) ($8,274,449) ($7,781,698)
Personnel ($3,257,167) ($3,876,875) ($4,554,304) ($4,740,172)
Other Payments ($500,000) $0
Debt $0
Contractual ($1,449,995) ($1,948,317) ($2,148,045) ($1,389,426)
Commodities ($758,158) ($1,066,720) ($1,572,100) ($1,652,100)
Capital Outlay ($199,947) $0
Total ($453,798) ($1,257,600) ($3,070,199) ($278,568)
Notable Information
→ The Special Highway Tax is projected to be over encumbered in 2026 due to flat revenue vs. rising
commodity and personnel cost. There will be a $2m infusion from the Retirement Reserve into the Special
Highway Fund.
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292 - CITYWIDE HALF-CENT SALES TAX
The Citywide Half-Cent Sales Tax fund provides for street improvements on existing streets, gutter, curbs,
sidewalks, alleys, and street lighting . This sales tax was approved by voters. This report reflects actual
dollars expended year to date and does not include encumbered funds or prior obligations.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
292 - Sales Tax Street Maint $39,812,281 $34,759,722 $27,738,979
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $20,811,318 $21,610,455 $20,511,907 $21,447,280
Sales Tax $19,506,578 $19,947,441 $20,481,907 $20,957,280
Miscellaneous $25,615 $27,587 $30,000 $40,000
Investments from Interest $1,278,930 $1,635,427 $450,000
Fees For Service $195 $0
Expenses ($17,440,245) ($18,491,826) ($28,124,454) ($28,468,024)
Personnel ($291,039) ($201,512) ($624,744) ($798,924)
Contractual ($16,965,940) ($18,015,589) ($27,209,710) ($27,319,100)
Commodities ($183,266) ($274,726) ($270,000) ($330,000)
Capital Outlay ($20,000) ($20,000)
Total $3,371,073 $3,118,629 ($7,612,547) ($7,020,743)
Notable Information
→ Projects the 50/50 Sidewalk Program, 2026 Pavement Management Program, 2026 Alley Repair
Program, 2026 Curb and Gutter Program, and 2026 Street Lighting Program
→ Fund balances do not account for future project commitments that have not yet been formally
allocated.
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299 - AFFORDABLE HOUSING TRUST
A special revenue fund established in 2020 to account for revenue and expenses related to affordable
housing
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
299 - City Donations And Gifts $1,073,675 $1,073,675 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $249,800 $75,000
Miscellaneous $249,800
Investments from Interest $75,000
Expenses ($1,125) ($999,800) ($1,073,675)
Other Payments ($999,800) ($1,073,675)
Commodities ($1,125)
Total $249,800 $73,875 ($999,800) ($1,073,675)
Notable Information
→ No material changes in FY26 budget
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301 - DEBT SERVICE FUND
The Debt Service fund pays for the general obligation and revenue bonds, excluding utilities, that the City has
incurred. This fund pays these expenses by levying taxes, special assessments, making transfers, and
receiving STAR bond sales tax revenue.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
301 - Debt Service $18,490,145 $17,928,726 $12,926,820
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $22,275,286 $23,509,184 $19,316,996 $16,393,815
Special Assessments $3,317,495 $3,429,971 $3,230,000 $3,029,719
Sales Tax $217,894 $276,284 $144,000 $144,000
PILOTS $66,432 $93,208 $75,000 $85,000
Motor Vehicle $1,739,899 $1,373,935 $1,248,264 $988,470
Miscellaneous $1,977,346 $1,560,208 $240,000 $0
Investments from Interest $646,589 $848,246 $125,000 $175,000
Intergovernmental Revenue $413,881 $646,923 $250,000 $250,000
Ad Valorem Tax $13,895,751 $15,280,409 $14,004,732 $11,721,626
Expenses ($20,558,785) ($20,232,030) ($21,611,803) ($21,395,721)
Debt ($20,343,399) ($20,028,400) ($21,386,803) ($21,129,721)
Contractual ($215,385) ($203,630) ($225,000) ($266,000)
Total $1,716,501 $3,277,154 ($2,294,807) ($5,001,906)
Notable Information
→ Debt Service Fund Mill Levy is planned to be 7.717. It was lowered in order to spent down the past
built up fund balance.
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220, 402, 403, 405 - TAX INCREMENT FINANCING
The Tax Increment Financing fund was established to monitor the amount of property and sales taxes
received for tax increment financing (TIF) districts created for redevelopment of blighted areas. Areas include
College Hill, Wheatfield Village, Sherwood Crossing, and South Topeka.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
402 - Tif - Sherwood Crossing $0 $0 $0
403 - Tif - Wheatfield $0 $0 $0
405 - South Topeka Tif $0 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $693,518 $1,017,879 $901,000 $1,065,000
Ad Valorem Tax $693,518 $1,017,879 $901,000 $1,065,000
Expenses ($424,117) ($967,699) ($901,000) ($1,065,000)
Other Payments ($2,200) ($2,527) ($251,000) ($5,000)
Contractual ($421,917) ($965,172) ($650,000) ($1,060,000)
Total $269,401 $50,180 ($0) $0
Notable Information
→ No material changes in FY26 budget
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294, 295, 296, 297, 298, 400, 401, 404, 406 - :COMMUNITY
IMPROVEMENT DISTRICTS
The Community Improvement District fund provides for the use of public financing for projects within a
prescribed district to strengthen economic development, employment opportunities, enhance tourism, or
upgrade older real estate.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
294 - Cid - Holliday Square $0 $0 $0
295 - Cid - 12Th & Wanamaker $0 $0 $0
296 - Cid - Cyrus Hotel $0 $0 $0
297 - Cid - Se 29Th $0 $0 $0
298 - Wheatfield Fund $0 $0 $0
400 - Economic Development $0 $0 $0
401 - Sherwood Cid $0 $0 $0
404 - Cid - Downtown Ramada Inn $0 $0 $0
406 - Cid - South Topeka $0 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $1,549,377 $1,626,964 $1,615,321 $1,700,000
Sales Tax $1,549,377 $1,626,964 $1,615,321 $1,700,000
Expenses ($1,696,219) ($1,649,173) ($1,619,832) ($1,700,000)
Contractual ($1,696,219) ($1,649,173) ($1,619,832) ($1,700,000)
Total ($146,841) ($22,210) ($4,511) $0
Notable Information
→ No material changes in FY26 budget
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407 - EASTEGATE RHID
The Kansas Reinvestment Housing Incentive District (RHID) program was to designed to aid cities, counties,
and developers in building houses within Kansas communities by assisting in the financing of eligible
improvements through the incremental increase in real property taxes created by a housing development.
The first approved RHID is Eastgate Subdivision No. 4.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
407 - Eastgate #4 Rhid $0 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $50,000 $50,000
Ad Valorem Tax $50,000 $50,000
Expenses ($50,000) ($50,000)
Other Payments ($50,000) ($50,000)
Total $0 $0
Notable Information
→ No material changes in FY26 budget
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500 - TOPEKA METRO
The Topeka Metropolitan Transit Authority provides bus service within the Topeka city limits and works with
other organizations to meet mass transit needs.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
500 - Metro Trans Authority $0 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $5,983,690 $6,532,718 $6,658,710 $6,993,044
PILOTS $26,027 $36,528 $25,000 $37,000
Motor Vehicle $528,836 $532,848 $514,923 $538,235
Ad Valorem Tax $5,428,826 $5,963,342 $6,118,787 $6,417,809
Expenses ($5,983,690) ($6,532,718) ($6,658,710) ($6,993,044)
Contractual ($5,983,690) ($6,532,718) ($6,658,710) ($6,993,044)
Total $0 $0 $0 $0
Notable Information
→ Topeka Metro is keeping their mill levy flat @ 4.20.
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601- PUBLIC PARKING FUND
The Parking fund supports all on-street and garage parking that the City owns. Revenues are utilized to
support ongoing maintenance and debt service payments of the parking garages.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
601 - Public Parking $1,057,079 $878,561 $467,290
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $3,662,896 $2,505,021 $2,461,570 $2,746,010
Miscellaneous $1,200,560 $21,806 $14,000 $14,000
Investments from Interest $91,702 $54,197 $0
Fines $194,980 $194,524 $225,000 $225,000
Fees For Service $2,175,655 $2,234,494 $2,222,570 $2,507,010
Expenses ($3,360,066) ($3,449,216) ($3,462,690) ($3,157,281)
Personnel ($690,765) ($658,612) ($657,808) ($819,733)
Other Payments ($659,196) ($612,095) ($659,196)
Debt ($192,212) ($921,842) ($620,602) ($622,463)
Contractual ($1,695,445) ($1,164,633) ($1,401,551) ($1,585,917)
Commodities ($24,303) ($101,669) ($39,233) ($44,869)
Capital Outlay ($98,144) $9,635 ($84,300) ($84,300)
Total $302,830 ($944,194) ($1,001,120) ($411,271)
Notable Information
→ No material changes in FY26 budget
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613 - INFORMATION TECHNOLOGY
The information technology needs of the City are funded through this internal service fund.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
613 - Information Technology ($793,456) ($396,545) ($46,481)
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $4,134,913 $5,970,956 $6,957,278 $7,281,070
Miscellaneous $568 $225 $0
Franchise Fees $34,552 $34,352 $34,351 $34,351
Fees For Service $4,099,793 $5,936,379 $6,922,927 $7,246,719
Expenses ($5,037,524) ($7,666,532) ($6,702,768) ($6,931,006)
Personnel ($2,047,283) ($3,653,979) ($3,127,063) ($3,352,285)
Other Payments ($3,421) ($3,135) $0
Debt ($762,894) ($995,467)
Contractual ($2,154,383) ($2,984,201) ($3,499,645) ($3,386,919)
Commodities ($22,641) ($28,902) ($76,060) ($6,802)
Capital Outlay ($46,902) ($848) ($185,000)
Total ($902,611) ($1,695,576) $254,510 $350,064
Notable Information
→ No material changes in FY26 budget
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614 - FLEET FUND
The Fleet fund pays for maintenance and repair of all City vehicles.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
614 - Fleet Management $2,223,037 $2,103,359 $2,661,265
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $2,554,209 $2,905,620 $3,039,000 $2,868,541
Miscellaneous $216,163 $14,824 $5,000
Fees For Service $2,338,046 $2,890,796 $3,039,000 $2,863,541
Expenses ($2,401,915) ($2,597,423) ($3,664,128) ($2,310,635)
Personnel ($1,728,970) ($1,713,009) ($2,001,726) ($2,049,815)
Other Payments ($228,015) $2,333
Debt ($1,948) ($1,863)
Contractual ($460,643) ($623,862) ($670,058) ($177,977)
Commodities ($57,012) ($80,090) ($92,344) ($82,844)
Capital Outlay $74,672 ($180,932) ($900,000)
Total $152,295 $308,198 ($625,128) $557,906
Notable Information
→ No material changes in FY26 budget
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615 - FACILITIES FUND
The Facilities fund pays for all maintenance of facilities throughout the City of Topeka.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
615 - Facilities Operations ($845,336) ($158,519) $343,835
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $1,440,838 $3,878,840 $3,520,000 $4,058,042
Miscellaneous $11,821 $10,249 $2,500
Fees For Service $1,429,017 $3,868,591 $3,520,000 $4,055,542
Expenses ($3,013,444) ($3,541,047) ($3,509,272) ($3,555,688)
Personnel ($1,059,970) ($720,139) ($1,083,858) ($1,141,710)
Other Payments $42,300 $50,442 $39,500 ($500)
Contractual ($1,897,459) ($2,836,947) ($2,385,414) ($2,362,478)
Commodities ($138,740) ($130,051) ($79,500) ($51,000)
Capital Outlay $40,425 $95,648 $0
Total ($1,572,606) $337,792 $10,728 $502,354
Notable Information
→ No material changes in FY26 budget
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621 - WATER FUND
The Water fund supports all water operations throughout the City and surrounding areas. Fees for Service are
the primary revenue for the Water fund, and expenses are utilized for operations, capital improvements, and
debt service.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
621 - Water Utility $17,105,007 $15,721,730 $14,054,172
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $55,141,766 $55,416,036 $55,145,100 $60,613,500
Miscellaneous $6,959,914 $1,738,168 $1,242,600 $1,299,700
Investments from Interest $1,557,111 $2,649,815 $625,500 $677,600
Fees For Service $46,624,741 $51,028,053 $53,277,000 $58,636,200
Expenses ($42,482,561) ($52,640,306) ($56,528,377) ($62,286,091)
Personnel ($8,226,252) ($8,633,373) ($11,604,432) ($11,616,350)
Other Payments ($1,799,157) ($7,395,579) ($8,007,100) ($11,427,100)
Debt ($11,307,789) ($12,415,223) ($13,592,479) ($13,386,169)
Contractual ($11,595,693) ($12,280,539) ($12,816,876) ($14,107,235)
Commodities ($9,553,671) ($11,915,592) ($10,107,490) ($11,349,237)
Capital Outlay ($400,000) ($400,000)
Total $12,659,206 $2,775,731 ($1,383,277) ($1,672,591)
Notable Information
→ No material changes in FY26 budget
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623 - STORM WATER FUND
The Stormwater fund supports all stormwater operations throughout the City. Fees for service serve as the
primary revenue for the stormwater fund, and expenses are utilized for operations and capital improvement
projects.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
623 - Stormwater Utility $5,995,850 $4,575,626 $4,038,213
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $11,876,617 $12,870,716 $11,307,000 $12,096,200
Miscellaneous $553,719 $430,282 $55,200
Investments from Interest $807,955 $934,750 $116,000 $162,800
Fees For Service $10,514,944 $11,505,685 $11,191,000 $11,878,200
Expenses ($10,072,443) ($13,180,039) ($12,727,224) ($12,633,611)
Personnel ($1,719,117) ($1,660,645) ($2,453,056) ($2,346,060)
Other Payments ($3,000,000) ($6,165,000) ($4,786,200) ($3,904,300)
Debt ($1,910,144) ($2,492,533) ($2,567,519) ($2,586,555)
Contractual ($3,132,486) ($2,490,720) ($2,361,487) ($2,916,533)
Commodities ($310,696) ($370,277) ($258,961) ($380,163)
Capital Outlay ($865) ($300,000) ($500,000)
Total $1,804,175 ($309,323) ($1,420,224) ($537,411)
Notable Information
→ No material changes in FY26 budget
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625 - WASTEWATER FUND
The Wastewater fund supports all wastewater operations throughout the City. Fees for services serve as the
primary revenue for the wastewater fund, and expenses are utilized for operations, capital improvement
projects, and debt service.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
625 - Wastewater Fund $20,147,185 $20,744,099 $19,752,344
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $39,469,335 $42,824,063 $41,708,225 $44,400,900
Special Assessments $72,884 $76,743 $65,000
Miscellaneous $1,900,403 $193,269 $4,300 $4,300
Licenses & Permits $70,232 $125,076 $70,000
Investments from Interest $2,355,543 $4,078,178 $540,000 $493,500
Fees For Service $35,070,272 $38,350,797 $41,028,925 $43,903,100
Expenses ($41,706,640) ($53,521,430) ($41,111,311) ($45,392,654)
Personnel ($5,262,039) ($5,573,408) ($6,959,798) ($7,131,334)
Other Payments ($18,443,849) ($24,081,180) ($7,864,110) ($8,696,000)
Debt ($3,351,089) ($10,558,525) ($11,724,199) ($13,892,026)
Contractual ($12,591,439) ($12,100,588) ($11,673,653) ($12,908,950)
Commodities ($2,137,414) ($2,393,501) ($2,539,551) ($2,464,344)
Capital Outlay $79,189 $1,185,772 ($350,000) ($300,000)
Total ($2,237,305) ($10,697,366) $596,914 ($991,754)
Notable Information
→ No material changes in FY26 budget
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640 - PROPERTY & VEHICLE INSURANCE
This fund is one of the City's Risk Funds. The Property and Vehicle Insurance fund is responsible for
maintaining the City's property and vehicle insurance. In 2024, the City made the decision to become self-
insured for vehicle insurance.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
640 - Property & Vehicle Insurance $799,625 $162,280 $331,032
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $2,793,262 $2,780,224 $3,000,000 $4,070,252
Miscellaneous $55,801 $62,364 $0
Investments from Interest $51,760 ($9,586) $0
Fees For Service $2,685,700 $2,727,446 $3,000,000 $4,070,252
Expenses ($2,724,191) ($3,222,675) ($2,939,841) ($3,901,500)
Contractual ($2,722,617) ($3,220,259) ($2,939,841) ($3,876,500)
Commodities ($1,574) ($2,416) ($25,000)
Total $69,071 ($442,451) $60,159 $168,752
Notable Information
→ No material changes in FY26 budget
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641 - WORKERS COMP FUND
This fund is one of the City's Risk Funds. The Workers Compensation Self Insurance fund is responsible for
the workers compensation claims that the City receives.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
641 - Workers Comp Self Ins $13,366,552 $14,968,591 $11,308,791
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $3,679,364 $3,830,732 $3,146,224 $200,000
Miscellaneous $103,191 $11,220 $0
Investments from Interest $687,076 $777,354 $200,000
Fees For Service $2,889,096 $3,042,158 $3,146,224 $0
Expenses ($2,637,560) ($1,532,629) ($2,434,217) ($3,859,800)
Personnel ($380,569) ($220,496) ($289,194) $200
Other Payments ($1,750,000)
Contractual ($2,254,451) ($1,310,504) ($2,140,023) ($2,105,000)
Commodities ($2,539) ($1,629) ($5,000) ($5,000)
Total $1,041,804 $2,298,103 $712,007 ($3,659,800)
Notable Information
→ Due to a built-up fund balance from prior years, no additional revenues will be transferred into this
fund. Additionally, there will be a transfers of $1,750,000 from the Workers Comp Fund into the Health
Insurance Fund for 2026.
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642 - HEALTH INSURANCE FUND
This is one of the City's Risk Funds. The Group Health Insurance fund is responsible for the health insurance
provided by the City of Topeka.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
642 - Group Health Insurance $3,650,875 $44,325 $1,029,418
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $13,387,101 $15,574,715 $16,146,000 $22,179,007
Miscellaneous $9,315 $10,942 $5,000 $2,230,000
Investments from Interest $308,006 $170,001 $0
Fees For Service $13,069,780 $15,393,771 $16,141,000 $19,949,007
Expenses ($15,070,873) ($17,258,753) ($17,657,459) ($22,296,882)
Personnel ($293,695) ($201,508) ($250,788) $200
Contractual ($14,773,488) ($17,053,962) ($17,402,771) ($22,293,282)
Commodities ($3,689) ($3,283) ($3,900) ($3,800)
Total ($1,683,772) ($1,684,038) ($1,511,459) ($117,876)
Notable Information
→ Health Insurance increases expected to be 16% for this budget cycle. There will be a $2.2m infusion
via transfers from the Workers Comp Fund and Risk Reserve Fund.
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643 - RISK MANAGEMENT FUND
This is one of the City's Risk Funds. The Risk Management Reserve is available to assist the City with risk-
associated expenses.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
643 - Risk Management Reserve $450,419 $450,419 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $24,387 $28,026 $15,000
Special Assessments $2,500 $0
Investments from Interest $24,387 $25,526 $15,000
Expenses ($875) ($2,000) ($467,000)
Other Payments ($467,000)
Contractual ($875) ($2,000) $0
Total $24,387 $27,151 ($2,000) ($452,000)
Notable Information
→ The remaining fund balance will be transferred into the health insurance fund in FY26.
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644 - UNEMPLOYMENT COMP. FUND
This is one of the City's Risk Funds. The Unemployment Compensation fund pays for the City's
unemployment expenses.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
644 - Unemployment Comp $519,484 $603,737 $527,737
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $102,556 $111,487 $81,565 $5,000
Investments from Interest $24,727 $30,096 $5,000
Fees For Service $77,829 $81,391 $81,565 $0
Expenses ($21,993) ($22,071) ($81,442) ($81,000)
Contractual ($21,993) ($22,071) ($81,442) ($81,000)
Total $80,563 $89,417 $123 ($76,000)
Notable Information
→ Due to a built-up fund balance from prior years, no additional revenues will be transferred into this
fund for FY26.
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700- HUD Grants
The 700 Fund serves all of The City of Topeka HUD Grants, which includes: CDBG, HOME, HESG, Planning
Grant, Shelter Plus Care, and the EECBG grant.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
700 - Hud Grants $398,076 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $5,960,461 $5,673,569 $4,350,000 $4,350,000
Miscellaneous $20,836 $38,583 $0
Intergovernmental Revenue $5,939,625 $5,634,985 $4,350,000 $4,350,000
Expenses ($5,877,614) ($5,781,079) ($3,850,493) ($3,854,820)
Personnel ($1,030,764) ($900,026) ($1,065,279) ($1,063,112)
Contractual ($4,842,712) ($4,877,881) ($2,780,714) ($2,786,708)
Commodities ($4,138) ($3,173) ($4,500) ($5,000)
Total $82,847 ($107,511) $499,507 $495,180
Notable Information
→ No material changes in FY26 budget
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710 - Other Grants
The 710 fund includes any Non-Federal Grants, which include: FHLB grant, Impact Avenues grant, and the
KDADS grant.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
710 - Other Grants ($724,635) $0 $0
710 - Other Grants $0 $0 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $1,218,958 $1,353,025 $1,087,145 $1,087,145
Miscellaneous ($30,822) $153,551 $0
Intergovernmental Revenue $1,249,780 $1,199,474 $1,087,145 $1,087,145
Expenses ($1,195,522) ($2,113,916) ($1,071,802) ($989,691)
Personnel ($366,293) ($376,297) ($457,758) ($376,365)
Contractual ($795,468) ($1,232,195) ($613,244) ($612,527)
Commodities ($33,762) ($100,535) ($800) ($800)
Capital Outlay ($404,889)
Total $23,436 ($760,891) $15,343 $97,454
Notable Information
→ No material changes in FY26 budget
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730 - OPIOID SETTLEMENT FUND
A special fund whose revenue can be used on activities that prevent, reduce, treat, or mitigate the effects of
substance abuse and addiction or to reimburse localities for previous expenses in these areas. Revenue in
this fund comes from the State of Kansas who reached multiple settlements with pharmaceutical companies
and related organizations. The authority to spend these funds comes from Kansas House Bill 2079.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
730 - Opioid Settlement Fund $823,946 $823,946 $0
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $369,621 $438,941
Investments from Interest $21,958 $51,776
Intergovernmental Revenue $347,664 $387,165
Expenses ($6,600) ($6,600) ($362,546) ($834,441)
Contractual ($6,600) ($6,600) ($362,546) ($834,441)
Total $363,021 $432,341 ($362,546) ($834,441)
Notable Information
→ No material changes in FY26 budget
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740 - ECONOMIC-DEVELOPMENT FUND
The purpose of the fund shall be to promote, stimulate, and improve the economic welfare of the City and
assist in the creation, retention, expansion, and development of economic opportunities for its citizens. This
figure also includes the Land Bank.
Fund Balance
Fund Search 2024 Ending Projected 2025 Projected 2026
Balance Ending Balance Ending Balance
740 - Economic Development Fund $1,021,537 $1,021,537 $121,537
Fund Revenues and Expenses
Main Type 2023 Actuals 2024 Actuals 2025 Budget 2026 Budget
Revenues $500,000 $27,442
Miscellaneous $500,000
Intergovernmental Revenue $27,442
Expenses ($500,000) ($44,260) ($538,356) ($900,000)
Other Payments ($500,000)
Contractual ($2,200) ($538,356) ($900,000)
Capital Outlay ($42,060)
Total $0 ($16,818) ($538,356) ($900,000)
Notable Information
→ No material changes in FY26 budget
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APPENDIX
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CITY OF TOPEKA PROFILE
History
Topeka lies on a rich, sandy river bottomland where a number of different Native American peoples
lived for many years near the fords along the Kansas (Kaw) River. The granddaughters of the influential
Kaw leader, White Plume, became wealthy landowners in the area that would become Topeka. Three of
the women married a set of French- Canadian brothers called the Pappans. The Pappan brothers
established the famous “Pappan Ferry” in 1842 where the Oregon Trail crossed the river. Julie Pappan
passed her land down to her grandchildren, one of whom was Charles Curtis, the only Vice-President of
the United States of acknowledged Native American descent.
On December 5, 1854, nine men met on the banks of the Kansas River at what is now Kansas Avenue
and Crane Street. The men drew up an agreement, which later became the basis for the Topeka
Association, the organization mainly responsible for the establishment and early growth of Topeka.
Cyrus K. Holliday (one of the nine men) became the City’s chief promoter, especially to make Kansas a
free state. Topeka was born!
The Kansas territory was admitted into the Union in 1861 as the 34th state. A contest to decide the
location of the state capital centered on two towns; Lawrence and Topeka. The residents of both cities
voted in November and Topeka won. Topeka was chosen as the capital with Dr. Charles Robinson as
the first Governor. Cyrus K. Holliday donated land for the construction of a state capitol building. The
City of Topeka was incorporated February 14, 1857, with Cyrus K. Holliday as Mayor. In 1869, the
railway started moving westward from Topeka. General offices and machine shops of the Atchison,
Topeka, and Santa Fe Railroad system were established in Topeka in 1878.
During the early part of the 20th Century, the region's economic structure began to settle into the typical
pattern of a medium-sized Midwestern area, dependent primarily on its agriculture base with plenty of
room to develop. With the onset of World War II and later post war years, the railroad, meat packing,
and agricultural base shifted to manufacturing and government/military services. Forbes Air Force Base
was established during the war, and the Goodyear Tire & Rubber Company opened a plant in 1944.
Recent significant events include the location of a Target Distribution Center, MARS expansion, Reser’s
Expansion, FHL Bank Expansion, a Home Depot distribution Center, and Bimbo Bakeries USA in the
Central Crossing Commerce Park. In 2019, Walmart chose Topeka to build its largest distribution center
in Kansas. The Evergy Plaza in the heart of downtown Topeka was established in spring of 2020.
Various other organizations are expanding to the City of Topeka which assists in uplifting the economy.
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CITY OF TOPEKA PROFILE
City
Statsof Topeka Profile Continued
The City of Topeka serves as both the state capital of Kansas and the seat of Shawnee County. With an
estimated population of 125,475 for 2023, Topeka is the fifth largest city in Kansas behind Wichita,
Overland Park, Kansas City, and Olathe. The land within the city covers about 61.4 square miles.
Topeka is home to the State Capitol complex, which includes the Capitol Building, the Kansas Judicial
Center, and several state office buildings. Additionally, the State of Kansas is the largest employer in
the City of Topeka.
Other notable employers include Evergy, Stormont-Vail HealthCare, Topeka Unified School District
#501, BlueCross BlueShield of Kansas, and Burlington Northern Santa Fe Railway. There are a
diversity of gender, age, and racial backgrounds in Topeka. The median household income in 2022
dollars was $55,870.
Form of Government
Topeka has operated under four forms of government since its founding. From 1857 until 1910, the City
was governed by the Mayor-Council plan. The commission form of government was adopted in 1910,
and it remained in effect until 1985 when the Strong Mayor-City Council-Chief Administrative Officer
plan was adopted. On November 2, 2004, the voters adopted a Council-City Manager form of
government.
The Mayor is elected to a four-year term and their duties include being the City's ceremonial head,
presiding over council meetings, providing community leadership, promoting economic development,
representing the City in intergovernmental relations, recommending council legislation, and
encouraging programs to develop the city.
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CITY OF TOPEKA PROFILE
Community
Topeka and Shawnee County are served by five public school districts and a number of private schools.
Topeka also enjoys the presence of Washburn University, which provides broadly based liberal arts and
professional education through more than 200 certificate, associate, baccalaureate, master's, and juris
doctor programs. Local theatrical production facilities include the Topeka Performing Arts Center, the
Topeka Civic Theater, and Washburn University’s White Concert Hall. Within 65 miles of Topeka, seven
major lakes and reservoirs provide all forms of water recreation.
There are numerous community centers, offering competitive sports and opportunities for involvement,
hundreds of classes in arts and crafts, as well as five public swimming pools, three public golf courses,
public tennis courts, baseball diamonds, soccer fields, and various other amenities and natural areas.
The City also has approximately 200 religious facilities for all faiths and denominations.
Recently, the development of an arts district in the historic North Topeka Crossing area, known as
NOTO Arts District, stimulates cultural and economic life in the area and has promoted development of
local arts studios.
Topeka also lies at a crossroads for major highways. As a result, trucking employs more than 5,500
Topeka workers and provides service to Topeka's agricultural, construction, and manufacturing
industries.
Topeka’s regional medical community is nationally recognized for offering high-quality healthcare for
patients. A multitude of community outreach services are provided by two general hospitals and five
specialized hospitals that together employ approximately 8,000 people.
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DEBT SCHEDULES
General Obligation Debt Service Schedule: Debt Service Fund 301
Year Principal Interest Total Balance
2026 $14,839,934.85 $2,910,196.50 $17,750,131.35 $99,476,964.99
2027 $13,734,633.47 $2,405,448.37 $16,140,081.84 $85,098,627.98
2028 $12,893,834.15 $2,017,002.15 $14,910,836.30 $71,524,174.94
2029 $12,231,939.04 $1,740,655.07 $13,972,594.11 $58,573,750.25
2030 $12,230,960.98 $1,489,056.93 $13,720,017.91 $45,604,874.05
2031 $9,863,281.44 $1,235,768.10 $11,099,049.54 $35,235,899.44
2032 $7,654,094.08 $1,001,947.82 $8,656,041.90 $27,199,916.84
2033 $6,825,422.82 $802,870.50 $7,628,293.32 $19,827,993.28
2034 $5,296,751.55 $619,680.76 $5,916,432.31 $13,993,413.53
2035 $3,818,847.86 $477,020.74 $4,295,868.60 $9,779,824.82
2036 $3,390,000.00 $361,400.00 $3,751,400.00 $6,149,050.00
2037 $2,740,000.00 $250,650.00 $2,990,650.00 $3,785,000.00
2038 $1,410,000.00 $151,400.00 $1,561,400.00 $2,375,000.00
2039 $1,235,000.00 $95,000.00 $1,330,000.00 $1,140,000.00
2040 $250,000.00 $45,600.00 $295,600.00 $890,000.00
2041 $260,000.00 $35,600.00 $295,600.00 $630,000.00
2042 $270,000.00 $25,200.00 $295,200.00 $360,000.00
2043 $280,000.00 $14,400.00 $294,400.00 $80,000.00
2044 $80,000.00 $3,200.00 $83,200.00 $0.00
2045 $0.00 $0.00 $0.00 $0.00
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DEBT SCHEDULES
Utilities Debt Service Schedule: Water Fund 621
Year Principal Interest Total Balance
2026 $259,436.24 $36,137.52 $295,573.76 $2,004,512.42
2027 $269,226.29 $28,354.44 $297,580.73 $1,735,286.13
2028 $276,568.83 $22,969.88 $299,538.71 $1,458,717.30
2029 $280,240.09 $20,204.20 $300,444.29 $1,178,477.21
2030 $282,687.60 $17,401.82 $300,089.42 $895,789.61
2031 $190,905.92 $14,574.94 $205,480.86 $704,883.69
2032 $190,905.92 $12,427.24 $203,333.16 $513,977.77
2033 $194,577.18 $10,279.54 $204,856.72 $319,400.59
2034 $198,248.45 $6,388.02 $204,636.47 $121,152.14
2035 $121,152.14 $2,423.04 $123,575.18 ($0.00)
Parking Debt Service Schedule: Parking Fund 601
Year Principal Interest Total Balance
2026 $505,628.91 $116,832.34 $622,461.25 $3,925,722.19
2027 $446,140.24 $102,651.05 $548,791.29 $3,479,581.95
2028 $429,597.02 $91,689.33 $521,286.35 $3,049,984.93
2029 $437,820.87 $82,984.59 $520,805.46 $2,612,164.06
2030 $451,351.42 $73,685.11 $525,036.53 $2,160,812.64
2031 $435,812.64 $62,807.06 $498,619.70 $1,725,000.00
2032 $320,000.00 $51,750.00 $371,750.00 $1,405,000.00
2033 $340,000.00 $42,150.00 $382,150.00 $1,065,000.00
2034 $345,000.00 $31,950.00 $376,950.00 $720,000.00
2035 $355,000.00 $21,600.00 $376,600.00 $365,000.00
2036 $365,000.00 $10,950.00 $376,600.00 ($0.00)
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DEBT SCHEDULES
Combined Utilities Debt: Revenue Bond Amortization Schedule Continued
Year Principal Interest Total D/S Balance
2026 17,087,827.20 12,598,692.40 29,686,519.60 369,704,074.80
2027 17,202,123.10 11,982,446.50 29,184,569.60 352,501,951.70
2028 17,281,877.07 11,388,780.03 28,670,657.10 335,220,074.63
2029 15,042,099.99 10,798,394.61 25,840,494.60 320,177,974.64
2030 15,117,802.98 10,298,229.14 25,416,032.12 305,060,171.66
2031 15,443,997.45 9,882,934.65 25,326,932.10 289,616,174.21
2032 14,845,695.04 9,361,999.56 24,207,694.60 274,770,479.17
2033 15,312,907.73 8,874,105.61 24,187,013.34 259,457,571.44
2034 13,840,647.75 8,437,064.33 22,277,712.08 245,616,923.69
2035 13,928,927.58 8,006,173.24 21,935,100.82 231,687,996.11
2036 13,532,760.05 7,573,273.27 21,106,033.32 218,155,236.06
2037 13,757,158.29 7,153,707.53 20,910,865.82 204,398,077.77
2038 13,912,135.72 6,747,421.34 20,659,557.06 190,485,942.05
2039 14,232,706.11 6,331,563.47 20,564,269.58 176,253,235.94
2040 14,673,883.52 5,904,018.52 20,577,902.04 161,579,352.42
2041 14,330,682.35 5,457,373.45 19,788,055.80 147,248,670.07
2042 14,738,117.37 4,999,750.93 19,737,868.30 132,510,552.70
2043 15,211,203.68 4,523,168.38 19,734,372.06 117,299,349.02
2044 15,709,956.74 4,029,941.58 19,739,898.32 101,589,392.28
2045 15,529,392.28 3,518,196.02 19,047,588.30 86,060,000.00
2046 14,730,000.00 3,024,561.26 17,754,561.26 71,330,000.00
2047 13,995,000.00 2,536,362.52 16,531,362.52 57,335,000.00
2048 13,520,000.00 2,067,500.00 15,587,500.00 43,815,000.00
2049 11,385,000.00 1,608,512.50 12,993,512.50 32,430,000.00
2050 10,590,000.00 1,236,550.00 11,826,550.00 21,840,000.00
2051 7,905,000.00 886,425.00 8,791,425.00 13,935,000.00
2052 6,155,000.00 582,400.00 6,737,400.00 7,780,000.00
2053 6,415,000.00 323,962.50 6,738,962.50 1,365,000.00
2054 1,365,000.00 54,600.00 1,419,600.00 0.00
Total 386,791,902.00 170,188,108.34 556,980,010.34 4,769,223,200.36
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FINANCIAL POLICIES
The City of Topeka relies on formal policies, state law, and established financial principles to guide its
budgeting and financial practices. It also has policies established in accordance with GAAP and other
best practices. These policies set forth the basic framework for the overall fiscal management of the
City. The financial policies provide guidelines for evaluating both current activities and proposals for
future programs. Most policies and procedures represent long-standing principles, traditions, and
practices that guide the City and help to maintain its financial stability. The City continues to review and
establish financial policies. The Governing Body adopted policies for capital improvements and debt
management in 2004. It also adopted a resolution requiring a structurally balanced General Fund
budget beginning in 2006. These and other financial policies are to be reviewed annually and are
available online at http://www.topeka.org.
Basis of Budgeting
Since 2015, the City’s annual operating budget has been prepared using the cash basis of budgeting
for the budget and modified accrual accounting. Under the modified accrual basis of accounting,
revenues are recognized only when they become measurable and available to finance expenditures of
the fiscal period. Expenditures are recognized when the liability is incurred. The city accounts for
governmental funds which includes the General and Debt Service Funds, based on the modified
accrual basis of accounting.
Budgeting, Accounting, and Audit Practices
Kansas law prescribes the policies and procedures by which the cities prepare the Governing Body of
the City to adopt a budget, which is filed with the County Clerk and the State Director of Accounts and
Reports. The budget itemizes anticipated revenues and proposed expenditures, detailed by program
and object of expenditures, for the next fiscal year. Funds must be balanced so that total resources
equal obligations in accordance with Kansas law (K.S.A. 79-2927), which requires that, “the budget of
expenditures for each fund shall balance with the budget of revenues for such fund….”.
The level of budgetary control or expenditure limit is at the fund level, except for the General Fund
which also has established expenditure limits for each Department financed. However, statutes allow for
the transfer of budgeted amounts between line items within a fund. Departments are responsible for
managing their budgets to the fund or department total level. The City maintains a financial and
budgetary control system. Expenditures and revenues are tracked to ensure adherence to the budget
and awareness of the financial environment. Monthly reports are prepared that compare actual
revenues and expenditures to budgeted amounts and provide a picture of the City’s cash position.
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Timing and Amendment Process: Revenue Neutral Rate
During the 2021 State of Kansas legislative session, the tax lid was removed and the legislature
enacted SB13 and HB2104. This legislation establishes new notice and public hearing requirements if a
municipality’s required property tax revenue in its proposed budget will exceed the amount collected in
property tax in the prior budget year.
The Revenue Neutral Rate (RNR) is the tax rate in mills that would generate the same property tax
revenue in dollars as what the municipality collected the previous year using the current tax year’s total
assessed valuation.
The Revenue Neutral Rate is calculated by using last year’s total property tax raised in dollars divided
by the current year’s assessed valuation as of June 15. The following process is required to exceed the
Revenue Neutral Rate.
The City will receive the assessed value and Revenue Neutral Rate, calculated by the County Clerk, by
June 15th of each year. Once received, the City uses this number to determine the budget needs for the
upcoming budget year. When doing so, the amount of property tax needed to fund the budget is
calculated. From this, it is determined whether the amount needed will require a tax levy that exceeds
the predetermined Revenue Neutral Rate. The following process is required follow the RNR
requirement.
If the Revenue Neutral Rate IS Exceeded:
By July 20th, the County Clerk must be notified of the City’s intent to exceed the Revenue Neutral Rate.
The City must hold a public hearing about its intent to exceed. To inform the public, the City must
publish a notice on the City’s website and in the newspaper for general circulation in the county. This
notice must be published 10 days before the public hearing is scheduled. In addition, this notice must
provide details on both the Revenue Neutral Rate hearing and overall Budget Approval hearing. These
hearings must be completed by September 20th.
The Governing Body votes whether to approve exceeding the Revenue Neutral Rate at the hearing.
Once approved, the Governing Body adopts a resolution to exceed the Revenue Neutral Rate. On or
before October 1st, the City must certify to the County Clerk the amount of property taxes that will be
levied.
If the Revenue Neutral Rate is NOT Exceeded:
If the Revenue Neutral Rate is not exceeded, the City must publish the proposed budget and hearing
notice (which includes the Revenue Neutral Rate) on or before August 5th. A public hearing on the
budget must be held on or before August 15th. Once approved, the City must certify the budget and tax
levied to the County Clerk on or before August 15th.
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FINANCIAL POLICIES
The Kansas State Legislature enacted a cash basis law in 1933 which states in part that it is unlawful,
except where bonds, temporary notes, or no-fund warrants are authorized, “for the governing body of
any municipality to create any indebtedness in excess of the amount of funds actually on hand in the
treasury of such municipality, or to authorize the issuance of any order, warrant or check, or other
evidence of such indebtedness of such municipality in excess of the amount of funds actually on hand
in the treasury of such municipality at the time for such purpose.”
The purpose of the cash basis law is to prevent municipalities from spending more than they receive
annually in operating revenues and to prevent the issuance of short-term debt to cover operating
expenditures. Kansas statutes and regulations of the Kansas Board of Accountancy provide for
municipal accounting in conformance with generally accepted accounting principles (GAAP). Separate
funds are maintained by the City for specific purposes and projects, in compliance with GAAP, State
laws and regulations, bond covenants, tax levies, grant agreements, and City ordinances and
resolutions. The City prepares an Annual Comprehensive Financial Report (ACFR), disclosing the
financial position, results of operations, and changes in fund equities or retained earnings for all funds
and account groups in accordance with GAAP. An independent firm of certified public accountants
performs annual audits of this information. The audited ACFR is filed in the Office of the City Clerk and
with the Nationally Recognized Municipal Securities Information Repositories (NRMSIRs), among other
agencies.
Investment Policy
The City of Topeka recognizes that effective cash management is an integral component of good
financial management. It shall be the policy of the City that funds deemed idle, based on projected cash
flow, be invested in a manner that seeks to maximize their productivity until such time as they are
needed for the operations of the City. The City’s investment portfolio shall be designed and managed in
accordance with this policy to ensure public trust and be consistent with state and local laws.
Investments shall be at the highest rates obtainable at the time of the investment, within the limitations
of the law and the city’s prudent investment policy in accordance with the following criteria.
Liquidity and Return on Investment
The City of Topeka shall remain sufficiently liquid so as to meet all operating needs and expenses. The
City will consider liquidity as a priority, while still recognizing the need to maximize yield.
The investment portfolio shall be designed to attain a market-average rate of return throughout
budgetary and economic cycles, taking into account the City’s investment risk constraints, state
statutes, and cash flow needs of the City. Investments shall be made at the highest rates obtainable at
the time of investment, within the limitation of the law and the City’s prudent investment policy.
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Diversification
Market risk shall be minimized by diversification of investment types. The City shall diversify (where
prudent judgment dictates) its investments so that reliance on any one issuer (financial institution) or
investment type will not place an undue burden on the City. The investment policy also outlines
safeguards, investment procedures, legal authority, and other procedures related to the prudent
investment of funds.
Capital Improvement Policy and Procedure
The Capital Improvement Policy provides a guideline and methodology for the development of the City’s
ten-year Capital Improvement Plan (CIP). The first three years of the Capital Improvement Plan is
called the Capital Improvement Budget (CIB). Thoughtful planning is essential for all departments
submitting CIP requests. The Capital Improvement Policy includes definitions of a capital improvement
project and other terms. It provides the following review principles to be followed in the adoption of the
CIP:
1. The property tax levy for capital improvements should be maintained at a relatively consistent level
from year to year. If movement either upward or downward becomes necessary, it should be done
gradually.
2. When considering a consistent capital improvement property tax levy, the City should include the
property tax requirements for debt service as well as for projects financed by direct appropriation or
other means.
3. The City should maximize utilization of all Federal and State revenue sources for capital
improvements.
4. The CIP is viewed as a long-term program that will continue to address capital requirements far into
the future. The use of long-term debt should be minimized, allowing the City to put money into actual
projects that benefit Topeka residents and businesses rather than into interest payments to financial
institutions and bond holders. The City should issue debt only for major capital projects and not try to
finance the entire capital program with debt. Bonds should not be used to fund operating projects or
costs. Bonds should not be used to fund any project whose expected life does not exceed the maturity
on the bonds. To the extent practicable, bonded indebtedness should be considered only for major
capital projects where the City share is a minimum of $100,000.
5. Approved capital improvement projects should have a funding plan or maintenance and operating
costs identified in the project description and project budget. When feasible, priority should be given to
those that will result in a reduction in operating costs.
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Capital Improvement Policy and Procedure Continued
6. The City should not acquire and hold land that is not needed for existing or near future City purposes.
Land for projects that are not part of the approved ten-year Capital Improvement Plan should not be
acquired, except as part of a long-range annexation plan or other adopted plan.
7. Unless otherwise mandated by City ordinances, revenues derived from the sale and lease of surplus
City real properties should be dedicated to the Capital Improvement Program and programmed after
receipt by the City.
8. Enterprise funds should generate sufficient revenue to finance operations and related capital projects
including debt service.
9. The City should fully investigate alternative financing sources for its capital projects, but should use
such sources only if it can be clearly shown that they are in the best interests of the City.
10. The City should maximize utilization of current facilities and should give higher priority to
maintaining present facilities and infrastructure over new construction where feasible.
11. In order to increase the long-term use of a City facility, as much flexibility as is consistent with
operating efficiency should be built into all new or renovated facilities projects that the City undertakes.
12. Inflation factors for all projects in the capital improvement program should be considered each year
and appropriate adjustments made to all project estimates.
13. All projects shall be reviewed by the CIP Review Committee for a recommendation to the City
Manager and City Council.
In accordance with the definition of a capital improvement, City Departments submit capital
improvement requests for each ten year period of the Capital Improvement Budget and Plan. Projects
are to be submitted by priority and year. The CIP Review Team, which is a cross-departmental group,
will then review all projects and rank them based on established Capital Project Criteria. These rankings
will be provided to the City Manager for use in determining the City Manager’s recommended CIP. The
Public Works City Engineer and the Budget Manager will prepare a status report of prior approved
projects. This status review allows the City Manager and Governing Body the opportunity to stay
informed of these projects. Individual requests and a compilation are forwarded to the City Planning
Commission for their review and input to the City Manager and Governing Body. The City Manager
reviews the capital improvement project requests, considers the recommendations of the Planning
Commission, if available, and develops the City Manager’s Proposed CIP. The Proposed CIP is
presented to the Governing Body, which reviews the document and makes changes as it deems
necessary. The Governing Body has the final responsibility to adopt the CIB and CIP.
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Debt Management Policy
The debt management policy establishes debt issuance management guidelines. The policy is
applicable to all debt financing for the City of Topeka. The City of Topeka projects debt requirements on
a five-year basis to facilitate better short-term decisions in light of other priorities that may arise, and to
examine the long-range implications and effects of existing and contemplated debt. The City does not
fund current operations or routine maintenance costs from the proceeds of long-term debt. The City
confines long-term borrowing and capital leases to capital acquisitions, improvements, projects, or
equipment that cannot be financed from current financial resources, under the following circumstances:
• The project is included in the City’s Capital Improvement Budget;
• The project is the result of growth-related activities within the community that require unanticipated
and unplanned infrastructure or capital improvements by the City;
• The project’s useful life, or the projected service life of the equipment, will be equal to or exceed the
term of the financing;
• Existing or projected revenues are sufficient to service the planned debt;
• The cost of the asset or assets financed would place an undue burden on today’s current tax- or rate-
payers if financed on a “pay-as-you-go” basis; or
• The use of debt is necessary to promote the stability over time of the City’s property tax demands or
user fee levels.
In an effort to conserve statutorily limited debt capacity, the City borrows only when necessary and uses
“pay-as- you-go” financing to the extent possible. The City intends to maintain its overall debt burden
within the following generally accepted benchmarks as established for municipalities by municipal debt
rating agencies:
• Net debt per capita should remain under nine hundred fifty dollars ($950).
• Net debt as a percentage of estimated assessed value of taxable property within the City’s corporate
limits should not exceed thirteen percent (13%).
• The ratio of debt service expenditures as a percent of governmental fund expenditures should not
exceed fourteen percent (14%).
• The debt per capita as a percentage of personal income per capita should not exceed five percent
(5%).
• The City strives to achieve, and maintain a General Fund “Fund Balance” equal to no less than ten
percent (10%) of General Fund “Revenue” for the next year.
The City strives to achieve, maintain, and, whenever possible, improve its bond credit ratings, currently
assigned by Standard & Poor’s Ratings Services for GO and Temp Notes, and Moody’s Rating Services
for Revenue Bonds. Ratings as of Fall 2022 are: General Obligation Bonds “AA”; General Obligation
Temporary Notes rated “SP –1+”, and Revenue Bonds rated “Aa3”. The City understands that such
ratings will facilitate the achievement of favorable interest rates in, and the preservation of its access to,
the credit markets.
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Debt Management Policy Continued
In general, the City adheres to the following debt guidelines:
• When measuring its commitment to its infrastructure and related service delivery potential, the City
addresses both its capital needs and its operating and maintenance requirements.
• In the case of capital needs, when measuring inter-period equity, the City considers the allocation of
any debt burden among generations that will benefit from the financed capital assets, as well as the
need to distribute the financing burden over appropriate fiscal periods.
• The City uses a level debt service strategy as a means to equalize the burden of its debt service
assessment over time. This approach provides a slightly declining percentage of budget over time,
presuming a gradually increasing budget.
• The City maintains a minimum ratio of Combined Utility Fund revenues to annual total revenue bond
debt service requirements of 125%, and maintain operating reserves of 90 days.
• The City strives to keep the average maturity of its general obligation bonds at or below fifteen (15)
years.
• When the City finances capital projects by issuing bonds, it will amortize the debt over a term not to
exceed the average useful life of the projects being financed.
The City shall review at least annually its outstanding debt for economic refunding opportunities. The
City shall evaluate refunding opportunities on a net present value savings basis, considering for
execution those refunding opportunities that stand to produce present value savings as a ratio of
refunded principal of no less than 3%, 5% and 7% for current, advance and synthetic refunding,
respectively. Refunding or restructuring opportunities that do not meet these minimum savings
thresholds, but are otherwise determined to produce substantive economic, strategic, budgetary or
other material benefits to the City may be considered. Unless an alternative structure is deemed to
serve a particularly prudent, economical or strategic purpose, refunding savings shall be structured
substantially evenly over the life of the refunded bonds, or in a manner to reduce the terms of the bond
repayment cycle.
The City shall evaluate each project to determine the most affordable and/or advantageous method of
financing with consideration for the following principles. In general, “pay-as-you-go” capital projects
shall be characterized by a cost of no more than $125,000, an asset life of no more than five years, or
an improvement that is expected to extend the useful life of an existing capital asset by no more than
five years. Debt financing capital projects shall generally be restricted to major, non-recurring capital
expenditures for assets or asset improvements costing in excess of $125,000 and having an expected
useful life in excess of five years.
The City confines long-term debt financing to capital items with useful lives of ten or more years, which
cannot be financed from current revenues or fund equity. When appropriate, the City uses special
assessment taxes or other user-based revenue sources to pay the costs of related debt financing, so
that those benefiting from the improvements will absorb all or most of the cost of the capital item
being financed.
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FINANCIAL POLICIES
Debt Management Policy Continued
The City uses State Revolving Fund (SRF) Loan programs in lieu of revenue bond financing for utility
projects whenever such funds are available at more favorable rates. The City continues to monitor bond
rating agency concerns with overall utility debt levels when participating in the SRF program.
The City will continue to comply with SEC Rules by disclosing and updating its financial information to
nationally recognized municipal securities information repositories, bondholders, and appropriate
municipal debt rating agencies.
The City will continue to follow a policy of full disclosure in its Annual Comprehensive Financial Report
and in its bond offering documents. The Debt Management Policy also lays out guidelines for debt
administration and financing procedures and methods. This includes investment and arbitrage, use of
an independent financial advisor, temporary note financing, conduit financing, and communication with
credit rating agencies.
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GLOSSARY
BOND: A written promise to pay a sum of money (the face value or principal amount) plus interest at a
specified date in the future (the maturity date).
BUDGET: A plan of financial operation for a given time period based on proposed expenditures and
revenues.
CAPITAL ASSET: A tangible asset owned by a government which has an initial cost greater than
$5,000 and a useful life of three years or more. Examples of capital assets include land, buildings,
furniture, fixtures, and equipment.
CAPITAL IMPROVEMENT PLAN (CIP): A capital improvement plan is a long-term multiyear plan for
capital improvement projects (things such as street repair, facility maintenance, and water treatment
plant upgrades). The CAPITAL IMPROVEMENT BUDGET (CIB) is the first three years of this plan.
CAPITAL OUTLAY: A category of expense related to spending money on/related to capital assets that
are not included in the capital project fund.
COMMODITIES: Commodity expenditures include costs for materials. Examples are items such as
asphalt, rock, sand, salt, insecticide, fuel, chemicals, and office supplies.
CONTRACTUALS: Contractual costs are expenditures related to the operations of the City. They
include items such as property insurance premiums, utility costs, printing services, rent, and
maintenance services.
DEBT FINANCING: The borrowing of money by government in order to obtain funding to pay for large
scale projects and assets over the long term.
DEBT SERVICE FUND: Money in the Debt Service fund is used to pay off the City’s debt principal and
interest.
DEFICIT: A budget deficit occurs when the expenses are greater than the collected or expected
revenues.
ENTERPRISE FUND: A fund established to record the financial transactions of an enterprise operation.
An enterprise operation operates like a private sector business (such as the City’s water utility) and
receives revenues from fees charged for services.
EXPENDITURES: Decreases in financial resources for Governmental and Fiduciary Funds (money
going out). Expenditures include current operating expenses funded through resources such as current
assets, intergovernmental payments, or debt service.
EXPENSES: Outflows of assets and/or incurrence of liabilities in Proprietary Funds from activities within
an organization’s typical or central operations (money going out)
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GLOSSARY
FISCAL YEAR: A period of time for the operating budget. The City of Topeka uses the calendar year as
its fiscal year.
FULL-TIME EQUIVALENT (FTE): FTEs are a common unit used when budgeting for personnel costs.
This is an employee position expressed as a decimal equivalent of a full-time position (40 hours a week,
or 2,080 hours worked per year). For example, a City employee working 20 hours a week would
be considered 0.5 FTE, while an employee with a typical full-time schedule is 1 FTE.
FUND: A fiscal and accounting entity where financial resources, liabilities, expenses, and other changes
are recorded. Funds are typically related to a specific activity and often have special regulations or
restrictions.
FUND BALANCE: The total dollars remaining after current expenditures for operations and debt
service for capital improvements are subtracted from the sum of the beginning fund balance and current
resources.
GENERAL FUND: As the City’s largest fund, the General Fund (GF) includes all financial resources
that are not in another fund. Services like public safety, public works, and administration are included in
the GF.
GENERAL OBLIGATION BONDS: A G.O. Bond is debt issued by a government that is backed by the
full faith, credit, and taxing power of the City.
GRANT: A contribution of funding by one governmental unit or organization to another. Often, these
contributions are made to local governments from the Federal and State government for specified
purposes and projects.
INFRASTRUCTURE: A permanent installation, facility, or system that provides service to the public.
Examples include buildings, roads, and water treatment plants.
INTERGOVERNMENTAL REVENUES: Revenues that are collected by one government but shared
with another government.
LEVY: (1) (Verb) to impose taxes, special assessments or service charges for the support of
government activities. (2) (Noun) The amount of taxes, special assessments, or service charges applied
by a government.
MILL: One mill is $1 per $1000 of assessed value. Property tax rates are expressed in mills.
OPERATING BUDGET: The annual operating budget is the primary means by which most of the
revenue collection, spending, and service delivery activities of a government are controlled.
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GLOSSARY
PERSONNEL COST: Salaries, wages, benefits, and other labor costs. Personnel costs comprise a
large portion of the City’s budget.
REVENUE: An increase in the net assets of a fund (money coming in). The City primarily collects
revenues from taxes and fees.
REVENUE BOND: A bond that is payable from a specific source of revenue. For example, water
treatment plant upgrades are often funded through revenue bonds based on revenue from customer
charges. Unlike a General Obligation bond, the full faith and credit of the City’s taxing power is not
pledged.
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Department Fee Name Description Current Fee Proposed Fee Reason for change
Development
Services After hours Inspection Outside working hours - Time and a half $50.00 $150.00 Does not cover our running cost
After hours Inspection-Holiday Holiday - Double time $100.00 $300.00 Does not cover our running cost
Annual access lift certificate Per Unit $20.00 No Change
Annual dumbwaiter certificate Per Unit $20.00 No Change
Annual escalator certificate Per Unit $35.00 No Change
Annual freight elevator certificate Per Unit $50.00 No Change
Annual passenger elevator certificate Per Unit $50.00 No Change
Change of Address Failure to notify Development Services Director $10.00 $30.00 Matches returned check fee
Change of Designated Master $50.00 No Change
CMB Inspection Cereal Malt Beverage $50.00 $55.00
For work not done under a duly issued building
Commercial Trade Permit permit for projects up to $200,000. $100.00 No Change
For work not done under a duly issued building
permit for projects from $200,000-$500,000. $500.00 No Change
For work not done under a duly issued building
permit for projects exceeding $500,000. $1,000.00 No Change
Compliance Letter Fee $100.00 No Change
Condensing Unit replacement Permit Self-Inspected by Licensed Mechanical Contractor $20.00 $50.00 Matches other Permit fees
Dance Hall Inspection $50.00 No Change
Duplicate License $10.00 No Change
Electrical Service Clearance (Evergy) No Permit $50.00 $55.00 Inflation
Exam application $50.00 $120.00 Out dated. Average exam costs are $115
Exam Re-Test $20.00 $120.00
Expedited CMB Inspection Less than 24 hours notice $100.00 No Change
Homeowner Trade Permit $50.00 $55.00 Inflation 10%
Inactive Master or Journeyman $30.00 $33.00 Inflation 10%
Fee in addition to required permit fee if it is
determined work was done without a valid
Investigation Inspection permit. $50.00 $55.00 Inflation 10%
Registration fee for individuals holding trade
licenses issued by another jurisdiction which has
license requirements which comply with the
Journeyman Registration provisions of TMC 5.63.081 $50.00 $55.00 Inflation 10%
25% of License Renewal
Late Fees - Apprentice License 25% Fee
50% of License Renewal
Late Fees - Apprentice License 50% Fee
25% of License Renewal
Late Fees - Contractor License 25% Fee
Page 158 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Development 50% of License Renewal
Services Late Fees - Contractor License 50% Fee
25% of License Renewal
Late Fees - General Contractor G1 License 25% Fee
50% of License Renewal
Late Fees - General Contractor G1 License 50% Fee
25% of License Renewal
Late Fees - General Contractor G2 License 25% Fee
50% of License Renewal
Late Fees - General Contractor G2 License 50% Fee
25% of License Renewal
Late Fees - Journeyman License 25% Fee
50% of License Renewal
Late Fees - Journeyman License 50% Fee
25% of License Renewal
Late Fees - Master License 25% Fee
50% of License Renewal
Late Fees - Master License 50% Fee
25% of License Renewal
Late Fees - Renewal License 25% Fee
50% of License Renewal
Late Fees - Renewal License 50% Fee
Registration fee for individuals holding trade
licenses issued by another jurisdiction which has
license requirements which comply with the
Master Registration provisions of TMC 5.63.080 $100.00 $110.00 Inflation 10%
$40.00 per park plus $2.00
per unit. Maximum fee
Mobile Home Park License limited to $240.00 No Change
New Apprentice Registration $65.00 $75.00 Inflation 10%
New Backflow Tester License $100.00 $110.00 Inflation 10%
New Class B License for Technical activities $250.00 $275.00 Inflation 10%
New Commercial contractor type I 3 Stories or less $500.00 $550.00 Inflation 10%
New Commercial contractor type II Unlimited $900.00 $990.00 Inflation 10%
New Concrete Contractor $300.00 $330.00 Inflation 10%
New Demolition Contractor $300.00 $330.00 Inflation 10%
New Elevator Contractor $300.00 $330.00 Inflation 10%
New Excavation Contractor $300.00 $330.00 Inflation 10%
New Fire Alarm contractor $300.00 $330.00 Inflation 10%
New Fire Sprinkler Contractor $300.00 $330.00 Inflation 10%
New Framing Contractor $300.00 $330.00 Inflation 10%
New Journeyman License $100.00 $110.00 Inflation 10%
New Lawn Irrigation Contractor $500.00 $550.00 Inflation 10%
New Master License $200.00 $220.00
Page 159 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Development
Services New Residential Contractor One and Two Family $400.00 $440.00
New Roofing Contractor $300.00 $330.00 Inflation 10%
New Solid Fuel Contractor $500.00 $550.00 Inflation 10%
New Swimming Pool Contractor $500.00 $330.00 Inflation 10%
New Trade Contractor MEP $500.00 $550.00 Inflation 10%
New Water Softener Contractor $500.00 $550.00 Inflation 10%
On-Site Consultation Free No Change
On-site Consultation (Bid assist) $50.00 $55.00 Inflation 10%
Reinspection Fee Per Hour $50.00 $55.00 Inflation 10%
Re-Inspection Fee $50.00 $55.00 Inflation 10%
Reinstatement Fee $30.00 $35.00 Inflation 10%
Renewal Commercial contractor type I 3 Stories or less $400.00 $440.00 Inflation 10%
Renewal Commercial contractor type II Unlimited $800.00 $880.00 Inflation 10%
Renewal Apprentice Registration $40.00 $44.00 Inflation 10%
Renewal Backflow Tester License $60.00 $66.00 Inflation 10%
Renewal Class B License $400.00 No Change
Renewal Concrete Contractor $200.00 $220.00 Inflation 10%
Renewal Demolition Contractor $200.00 $220.00 Inflation 10%
Renewal Elevator Contractor $200.00 $220.00 Inflation 10%
Renewal Excavation Contractor $200.00 $220.00 Inflation 10%
Renewal Fire Alarm Contractor $200.00 $220.00 Inflation 10%
Renewal Fire Sprinkler Contractor $200.00 $220.00 Inflation 10%
Renewal Framing Contractor $200.00 $220.00 Inflation 10%
Renewal Journeyman License $60.00 $66.00 Inflation 10%
Renewal Lawn Irrigation Contractor $300.00 $330.00 Inflation 10%
Renewal Master License $150.00 $165.00 Inflation 10%
Renewal Residential Contactor One and Two Family $150.00 $165.00 Inflation 10%
Renewal Roofing Contractor $200.00 $220.00 Inflation 10%
Renewal Solid Fuel Contractor $300.00 $330.00 Inflation 10%
Renewal Swimming Pool Contractor $200.00 $220.00 Inflation 10%
Renewal Trade Contractor Plumbing ,Mechanical or Electrical $400.00 $440.00 Inflation 10%
Renewal Water Softener Contractor $300.00 $330.00 Inflation 10%
For work not done under a duly issued building
Residential Trade Permit permit. $50.00 $55.00 Inflation 10%
ROW Excavation $10.00 $55.00 Matches other Permit fees
Returned Check Fee $30.00 No Change
Requested after 4:00 PM on the previous work
Same Day Inspection day $50.00 $55.00 Inflation 10%
Specified Time Inspection Inspection requested at a specified time. $50.00 $150.00 Causes disruption to schedules
Fee for each permit and License to improve
Technology Improvement Fee technology $3.00 $5.00 Inflation 10%
Water Heater Replacement Permit Self-Inspected by Licensed Plumbing Contractor $20.00 $55.00 Matches other Permit fees
Page 160 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
GIS Maps
8 1/2 x 11 No Fee No Fee
11 x 17 (Aerials OR Contours) $2.00 $2.60 Resources are increasing (ink and paper)
Aerials AND Contours $4.00 $5.20 Resources are increasing (ink and paper)
Generic Map N/A $2.60 Resources are increasing (ink and paper)
18 x 24 (Aerials OR Contours) $4.00 $5.20 Resources are increasing (ink and paper)
Aerials AND Contours $8.00 $10.40 Resources are increasing (ink and paper)
Generic Map N/A $5.20 Resources are increasing (ink and paper)
24 x 24 (Aerials OR Contour) $6.00 $7.80 Resources are increasing (ink and paper)
Aerials AND Contours $12.00 $15.60 Resources are increasing (ink and paper)
Generic Map N/A $7.80 Resources are increasing (ink and paper)
24 x 36 (Aerials OR Contours) $6.00 $7.80 Resources are increasing (ink and paper)
Aerials AND Contours $12.00 $15.60 Resources are increasing (ink and paper)
Generic Map N/A $7.80 Resources are increasing (ink and paper)
36 x 36 (Aerials OR Contours) $9.00 $11.70 Resources are increasing (ink and paper)
Aerials AND Contours $12.00 $20.80 Resources are increasing (ink and paper)
Generic Map N/A $11.70 Resources are increasing (ink and paper)
36 x 48 (Aerials OR Contours) $12.00 $15.60 Resources are increasing (ink and paper)
Aerials AND Contours $20.00 $26.00 Resources are increasing (ink and paper)
Generic Map N/A $15.60 Resources are increasing (ink and paper)
Department Fee Name Description Current Fee Proposed Fee Reason for change
Municipal Court Dogs Running At Large $30.00 $60.00 Encourage community to license dogs
Department Fee Name Description Current Fee Proposed Fee Reason for change
per hour staff engineer time for plan review or
project management *Utilities Department needs Actual hours at
Engineering Developer Fee to agree charge this as well since it's a similar fee current labor rate Matches Utilities
per hour for inspection time *Utilities
Department needs to agree charge this as well Actual hours at
Developer Fee since it's a similar fee current labor rate Matches Utilities
Actual charges
incurred by
*Added after 3/3 Overweight Bridge Load Review consultants
per hour staff time for pre-application review Actual hours at
*Added after 3/4 Pre-Application Review and/or pre-application meeting time current labor rate
Page 161 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Made comparison to other agencies in different
Police Per hour Research fee $25.00 No Change counties to determine proposed cost
Local agency comparison, cost to revenue
Copy of Auto Accident Report $5.00 $8.00 comparison of services
DVD copy of Auto Accident Photos $25.00 $30.00 Cost to revenue comparison of services
Local agency comparison, cost to revenue
Copy of Criminal Report (first 5 pages) $2.00 $4.00 comparison of services
per page past 5 pages $1.00 No Change
Misc. list of costs for actual photographs (very
uncommon)
Copy of non-criminal documents (per page, Ex:
CAD notes or grant documentation) $0.25 No Change
Alarm company License (monitor only) $25.00 No Change
Alarm company License (installation and monitor) $300.00 No Change
Alarm company renewal fee (monitor only) $25.00 No Change
Alarm company renewal fee (installation and
monitor) $100.00 No Change
Alarm company transfer fee (transfer license to
new company) $10.00 No Change
Local agency comparison, cost to revenue
New Alarm Agent License/Merchant Guard $30.00 $40.00 comparison of services
Local agency comparison, cost to revenue
Renewal Alarm Agent/Merchant Guard $25.00 $30.00 comparison of services
Increase recommended to incentivize businesses
and home owners to try to find ways to reduce
the number of reoccurring false alarms they
have with their alarms. We want to ultimately
reduce the amount of time needed for officers
to respond to false alarms. We would still offer
no fee for the first 2 false alarms as accidents
happen. Many local agencies do a scale based
on number of false alarms but that would be
$50.00 very labor intensive so we are recommending
False Alarm Fee (no fee for first 2 false alarms Residential/$100.00 one price for residential and one price for
each calendar year) $25.00 Commercial commercial.
$15.00 for up to 2
Finger Printing (unlimited number of fingerprint cards/$5.00 per Local agency comparison, cost to revenue
cards) $10.00 additional card comparison of services
Page 162 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Local agency comparison, cost to revenue
comparison of services (special note this was our
original recommendation however recently at
one of the budget council meetings some of the
City Council members seemed to oppose the
Police Pet license 1 year (spayed/neutered) $8.00 $10.00 idea of increasing animal control licenses)
Local agency comparison, cost to revenue
comparison of services, higher increase on
unspayed/unneutered to incentivize citizens to
spay/neuter their pets (special note this was our
original recommendation however recently at
one of the budget council meetings some of the
City Council members seemed to oppose the
Pet license 1 year (unspayed/unneutered) $20.00 $25.00 idea of increasing animal control licenses)
Requesting to change the late fee calculation
because many citizens are confused by the
current language - this would make the process
Late fee for late pet license renewals after 30 day easier and reduce the number of times we have
grace period ($2.00 per month late) $2.00 $4.00 Flat Fee to refund late fee overpayment.
Cost to revenue comparison of services, doesn't
Replacement for lost pet tag $1.00 $2.00 happen very often
Dangerous Dog $50.00 No Change
Page 163 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Residential accounts $50
Duplex $100 Brings deposit amounts closer to average
Charged for a new account number establish in Apt/Condo $30 per unit monthly invoice amounts, better protects city's
Utilities Service Deposit the billing system $25 - $300 Bus./Comm. $100-$600 interest.
Charged when customer’s security deposit was
Service Transfer Fee Deposit returned but payment history is unfavorable Double Standard Amount No Change
Returned Payment Fee $30.00 No change
Credit/Debit Card Charge TBD No Change
E-Check Charge TBD No Change
Late Payment Fee TBD
Account for increased costs in fuel, labor,
Delinquent (disconnect) Fee $32.00 $35.00 equipment maintenance and insurance
Account for increased costs in fuel, labor,
Same Day Turn-on/Reconnection Fee $24.00 $35.00 equipment maintenance and insurance
Enhance the penalty to discourage repeat
Illegal Water Usage Fee $50.00 $75.00 offenders
Tampering Fee $100.00 No Change
Unauthorized Water Service Fee TBD No Change
By quote, actual fee from
city utility bill print vendor
plus 15% administrative
Utility Billing Insert and/or message fee fee No Change
Based on updated labor rate and testing
Meter Testing 5/8" & 1" meters $110.00 No Change practice.
Based on updated labor rate and testing
Meter Testing 11/2" & 2" meters $330.00 $335.00 practice.
Based on updated labor rate and testing
Meter Testing 3" and larger meters $195.00 $260.00 practice.
Actual hrs at current
overtime labor rate, 1 hour
Non-Emergency After hours response minimum No Change
Assessed when a meter is brought into the meter In addition to the listed price for testing on
**Added after shop to be tested rather than being tested in the meter size. Allows for staff time to bring meter
3/3 Bench Testing Fee field. N/A $75.00 into shop and return to location.
Mobile Home Park Meter Maintenance $30.00 $35.00 20% increase to account for increased costs
Meter Deposit 1" meter hydrant $1,100.00 No Change
Meter Deposit 3" hydrant meter $2,225.00 No Change
Page 164 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Allow for increase in costs of routine
Utilities Monthly rental fee 1" disc hydrant meter $40.00 $60.00 maintenance
Allow for increase in costs of routine
Monthly rental fee 3" turbine hydrant meter $50.00 $100.00 maintenance
**Updated After
3/3 Hydrant Meter Delinquent Account Fee $40.00 $50.00 Reduce delinquency rate, 20% increase
$100.00 if not returned
Annual Testing Fee Penalty w/in 10 days of notification No Change
**Added after
3/3 Hydrant Meter Permit Administrative Fee Assessed on all new hydrant meter rental permits N/A $20.00 Account for staff time
Parts & Materials: Cost
+15%, Equipment: Current
Equipment rate per
maintenance management
system, Labor: Actual
hours at current labor rate,
Excavation Permit: $13.00
(Inside City
Excavations/Installation
only), Engineering &
Administrative Fee: 5% of Excavation Permit Increase is based on
City Installation, Relocation & Maintenance Rates total cost Excavation Permit $60.00 Development Services.
Actual hours at current Account for a portion of staff time spent
Plan Review N/A labor rate reviewing developers plans.
Water Main Tap Fee 2" and smaller $35.00 $65.00 Increased costs. Comp city average $696
Water Main Tap Fee - 3" and larger $180.00 $330.00 Increased costs. Comp city average $1,586
Inside City/Outside City Inside City/Outside City
Fees have been the same dating back to at least
Water System Fee - 1" $350/$613 $760/$1,330 2004
Fees have been the same dating back to at least
Water System Fee - 1 1/2" $700/$1,225 $1,295/$2,266 2004
Fees have been the same dating back to at least
Water System Fee - 2" $1,120/$1,960 $2,072/$3,626 2004
Fees have been the same dating back to at least
Water System Fee - 3" $2,100/$3,675 $3,885/$6,779 2004
Fees have been the same dating back to at least
Water System Fee - 4" $3,500/$6,125 $6,475/$11,331 2004
Fees have been the same dating back to at least
Water System Fee - 6" $7,000/$12,250 $12,950/$22,663 2004
Fees have been the same dating back to at least
Water System Fee - 8" $11,200/$19,600 $20,720/$36,260 2004
5/8" Meter and 1” Tap & Service $1,222.73 $1,410.00 Increased material costs
1” Meter and 1” Tap & Service $1,280.23 $1,490.00 Increased material costs
1 ½” Meter and 1 ½” Tap & Service $4,391.39 $5,515.00 Increased material costs
Page 165 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Utilities 2” Meter and 2” Tap & Service $4,793.47 $6,075.00 Increased material costs
Engineering Division Construction Inspection Fee $49.55 $64.95 Increased labor costs
Increased costs, Fee has been the same dating
Sewer Tap or Connection Fee $200.00 $250.00 back to at least 2004
Inside City/Outside City Inside City/Outside City
Fees have been the same dating back to at least
Sewer System Fee - 5/8" $680/$1,190 $1,258/$2,202 2004
Fees have been the same dating back to at least
Sewer System Fee - 1" $680/$1,190 $1,470/$2,573 2004
Fees have been the same dating back to at least
Sewer System Fee - 1 1/2" $1,360/$2,380 $2,515/$4,401 2004
Fees have been the same dating back to at least
Sewer System Fee - 2" $2,176/$3,808 $4,025/$7,044 2004
Fees have been the same dating back to at least
Sewer System Fee - 3" $4,080/$7,140 $7,550/$13,213 2004
Fees have been the same dating back to at least
Sewer System Fee - 4" $6,800/$11,900 $11,250/$19,688 2004
Fees have been the same dating back to at least
Sewer System Fee - 6" $13,600/$23,800 $25,160/$44,030 2004
Fees have been the same dating back to at least
Sewer System Fee - 8" $21,760/$38,080 $40,260/$70,455 2004
$0.002161 per mg/l per $0.003242 per mg/l per Increased chemical costs for treatment. Comp
Biochemical Oxygen Demand (BODS) Inside 1,000 gallons 1,000 gallons Cities are 62-124% higher
$0.003782 per mg/l per $0.005673 per mg/l per Increased chemical costs for treatment. Comp
Biochemical Oxygen Demand (BODS) Outside 1,000 gallons 1,000 gallons Cities are 62-124% higher
$0.001371 per mg/l per $0.0020570 per mg/l per
Suspended Solids Inside 1,000 gallons 1,000 gallons Increased treatment costs
$0.002399 per mg/l per $0.0035990 per mg/l per
Suspended Solids Outside 1,000 gallons 1,000 gallons Increased treatment costs
Septic Disposal $40.25 per 1,000 gallons $59.40 per 1,000 gallons Increased treatment costs
Hauled Waste Tipping Fee $15.00 per 1,000 gallons $25.00 per 1,000 gallons Increased treatment costs
Grease Disposal $80.00 per 1,000 gallons No Change
Septic Industrial Waste $100.00 per 1,000 gallons No Change
Jetting (JOTJ ) $40.25 per 1,000 gallons $59.40 per 1,000 gallons Increased treatment costs
Bulk Water $0.25 per 50 gallons $0.50 per 50 gallons Increased treatment costs
$300.00 per 16-20 ton
Lime Residual Hauling truck load No Change
Septic Hauler Permit $150 / 3 years + $20/truck No Change
Current Labor Rate $55.00/hr $75.00/hr Increased labor costs
Page 166 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Property
Maintenance 2 x 4's $6/each Actual incurred charges
Admin Penalty Fee $100.00 no change set per ordinance
Admin Penalty Fee $200.00 no change set per ordinance
Administrative Fee $140.00 no change set per ordinance
Blast Media Glass $12.00/per bag Actual incurred charges
Blast Media Soda $15.00/per bag Actual incurred charges
Actual costs of
contractor to complete
Demolition demolition
Demolition Administrative Fee $140.00 no change set per ordinance
Dumpster Fee $85.00 minimum no change this is our cost
Fuel $4.00/gallon Actual incurred charges
Hand Labor $25.00/per hour per person
Hardware & Paint Actual incurred charges
Loader Fee $50.00/per hour No Change
Mileage $0.55/per mile Actual incurred charges
Orange Fencing $3.50/per ft Actual incurred charges
OSB $28.03/per sheet Actual incurred charges
Plywood $30.00/per sheet Actual incurred charges
T-Posts $7.00/each Actual incurred charges
$2.00/each without
Tires rims Actual incurred charges
Tires $5.00/each with rims Actual incurred charges
Truck Time $50.00/per hour Actual incurred charges
Cut Fee (Weeds) Varies Actual cost of contractor
Failure to Register Vacant Property Penalty $250/ per ordinance No Change
Black/White Copies 0.25/per page No Change
Color Copies $1.00/ per page No Change
Research $15.00/per hour No Change
Page 167 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Regulated by the KSA 41-101; License Period
Runs in conjunction with State License;
Clerks Office Alcoholic Liquor Distributor $2000 /2yrs No change Occupational Tax not a License Fee
Term Set by Annual Franchise Ordinance Article
Ambulance Business $25/yr No change XI Expires Dec 31
Term Set by Annual Franchise Ordinance Article
Ambulance Vehicle $275 /yr No change XI Expires Dec 31
Amusement Park $20/day; $80/wk; $150/yr No change REPEALED Ordinance 20299
Annual Year-to-date; limits set by KSA 50-1019 &
Auctioneer $2 / Day $20 /yr No change KSA 50-1023
<6-$50; 6/7-$70; 8 or more- Change to Vehicle Annual Expiration Sept 10; Based on Vehicle
Automobile Bus $100 for Hire, see below Seating Capacity
$2/day; $5/wk; $10/mo;
Bill Poster $25/yr No change REPEALED 2021 Ordinance 20299
Occupational Tax not a License Fee; $200 to City;
Cereal Malt Beverage-General Retailer On-Premise $225/yr No change $25 to State; Expires Dec 31; Require Inspections
Occupational Tax not a License Fee; $50 to City;
$25 to State; 3.2% Beer; Expires June 30;
Cereal Malt Beverage-Limited Retailer Off-Premise $75/yr No change Requires Inspections
Cleaners & Dry Cleaners $20 /yr No change Year-to-Date Issue
Dance Hall-Beer $160/yr No change REPEALED 2021 Ordinance 20299
Dance Hall-Hall $80/yr No change REPEALED 2021 Ordinance 20299
Dance Hall-Non Profit $8/yr No change REPEALED 2021 Ordinance 20299
Dance Hall-Regular $50/yr No change REPEALED 2021 Ordinance 20299
City Manager has Admin Authority to Set Fee
Domestic Partnership Registry $50 One-Time Fee No change 2.50.040(b); NO FEE to cancel
2018 Ord 20112 for Sale June 29 - July 4;
Discharge July 3-4; 2004 Ord 18294 for fee
Fireworks Stand $280.00 No change increase
Flea Market Promoter $100/yr No change Expires Dec 31
REPEALED 2021 Ordinance 20299 Regulated by
Funeral Escort Service $80 initial/$40 renew No change KSA 8-2010
$75/60 days; additional 45 60 Day License; One-Time 45 Day Renewal
Going out of Business days $120 No change Allowed
Haunted House $105.00 No change REPEALED 2021 Ordinance 20299
Jan 1-Dec 13; Not Valid during Special Events;
Mobile Food Service Unit $300 /yr No change Fire Inspection Requirement
Pawnbroker $140 /yr No change Expires Dec 31
Page 168 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
In 2016 Ord 20039 Peddlers, Solicitors &
Itinerant Merchants (Transient Merchants &
Sidewalk Vendor) Regulations & Fees were
Clerks Office Peddlers $250 /yr No change changed.
Precious Metal Dealer $35 /yr No change Expires July 1
Regulated by KSA 41-2601; Occupational Tax not
a License Fee; Runs inconjunction with State
Private Club/Drinking Establishment $500 /2yrs No change License
Professional Boxing/Wrestling $140/yr No change REPEALED 2021 Ordinance 20299
Regulated by KSA 41-102; Occupatonal Tax not a
License Fee; Runs in conjuction with State
Retail Liquor Store $600/2yrs No change License
Second Hand Dealer $32 /yr $40 Expires Dec 31
In 2016 Ord 20039 Peddlers, Solicitors &
Itinerant Merchants (Transient Merchants &
Sidewalk Vendor) Regulations & Fees were
Sidewalk Vendor $10/day No change changed.
Sign Hanger $50 /yr $75 Runs the length of Insurance
In 2016 Ord 20039 Peddlers, Solicitors &
Itinerant Merchants (Transient Merchants &
Sidewalk Vendor) Regulations & Fees were
Solicitors $250 /yr No change changed.
$50 Application Fee,
$50 per day to close
streets, $75 late
$50/Special Event application fee, All Special Events must submit a $250 debris
$25/Block Party $250- debris stays the deposit for less than 2,000 participants; $500
Special Event $500 Debris Deposit same debris deposit for over 2,000 participants.
Change to Vehicle Expires Dec 31; Need to check with Legal on
Taxi Cab Company $20/cab min 8 for Hire, see below State Regulations
All license fees collected shall be deposited to
the law enforcement special revenue fund. Any
Change to Vehicle fines collected for violations of this chapter shall
Taxi Cab Driver $10/yr for Hire, see below be paid into the general fund.
Change to Vehicle
Taxi Cab Inspections $20/cab for Hire, see below Every 6 months
Page 169 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
All license fees collected shall be deposited to
the law enforcement special revenue fund. Any
fines collected for violations of this chapter shall
Clerks Office Tobacco Novelty $500/yr No change be paid into the general fund.
In 2016 Ord 20039 Peddlers, Solicitors &
Itinerant Merchants (Transient Merchants &
Sidewalk Vendor) Regulations & Fees were
Transient Merchant $10/day $15 changed.
Travis Tenbrink is
Tree, Shrub & Vine Service $100/yr $10SS researching $10 fee for single service of dead tree
Regulated by the KSA 41-101; License Period
Runs inconjuction with State License;
Whoesale Beer Distributor $1400/yr No change Occupational Tax not a License Fee
Vacancies/Elections
Temporary ABC License 1 day ABC License Not currently charged $10 each day State sets fee cap at $25 per license
$25 business
application, $50 per
Vehicle for Hire changed from above vehicle
Page 170 7/11/25
Department Fee Name Description Current Fee Proposed Fee Reason for change
Fire Residential Burning Permit Valid for 1 year from purchase date N/A $25.00
Commercial Burning Permit Valid for each burn operation N/A $110.00
Requires individual review of operations and
construction projects to determine how many
permits are required (Example; Smoke Control
Operational and Construction Permit Systems) N/A $100/Year
Businesses not requiring operational or
Fire Inspection construction permits will require fire inspection N/A $100 First Inspection
Fire Re-Inspection - First Re-Inspect N/A
0-49,000 SQ Feet $100.00
50,000 - 199,999 SQ Feet $250.00
>200,000 SQ Feet $400.00
Fire Re-Inspection - Second Re-Inspect N/A
0-49,000 SQ Feet $200.00
50,000 - 199,999 SQ Feet $350.00
>200,000 SQ Feet $500.00
Fire Re-Inspection - Third and Beyond Re-Inspect N/A
0-49,000 SQ Feet $300.00
50,000 - 199,999 SQ Feet $450.00
>200,000 SQ Feet $600.00
Holding an event that requires fire services to
Special Event Permit attend N/A $110.00
Fire protection reports submission via online
Fire Protection Report Submissions portal N/A $5/per report
$50.00
False Alarm Fee (no fee for first 2 false alarms Residential/$100.00
each calendar year) N/A Commercial Match Police Fees
Page 171 7/11/25
Fire Department Permit/Inspections
Proposed Fees Summary
The Topeka Fire Department seeks to enhance its cost recovery strategies by introducing and
revising a range of fees related to fire safety and prevention. The analysis compares Topeka’s
current fee structure with those in neighboring communities and nearby states, noting gaps and
opportunities for revenue generation. Key proposals include:
1. Burning Permits: Establishing fees of $25 for residential (valid for 1 year) and $110 for
commercial burning permits (valid for each burn operation), with potential revenue of
approximately $20,000 per year based on permits issued for 2023.
2. Operational and Construction Permits: Implementing fees based on the 2021 International
Fire Code (IFC) for various fire safety operations and installations. The current code requires
operational permits for 52 different operations and construction permits for 24 different
construction activities. Each permit would cost $100 per year. Businesses could be required to
have multiple permits. Examples include fees for high-piled storage, compressed gas systems,
and smoke control systems. A conservative revenue estimate is $42,100.
3. Fire Inspections and Re-Inspections: Shifting to a model where fees cover re-inspections,
with a tiered structure based on property size. Businesses that do not require an operational or
construction permit will have an initial inspection fee of $100. Estimated re-inspection revenue,
based on current inspection records, is approximately $42,000 per year.
0- 50,000- 200,000
49,999 199,999 or more
SQ SQ Feet SQ Feet
Feet
1st Re- $100 $250 $400
Inspect
2nd Re- $200 $350 $500
Inspect
3rd Re- $300 $450 $600
Inspect
and any
additional
inspections
Page 172 7/11/25
4. Special Event Permits: Charging $110 for events that require public resources like fire or
police services, with potential revenue of $9,000 per year based on 2023 figures. This cost
estimate is to cover Fire Department expenses in reviewing the permits. This does not include
any cost estimate for the services of other departments.
5. Fire Protection Report Submissions: Introducing a $5 fee for fire protection report
submissions via an online portal. The city currently has over 2000 system reports that are
received annually with an estimated revenue of $10,000.
6. False Alarm Response: Enforcing an existing ordinance on false fire alarms to recover costs
from occupancies with frequent occurrences. The expected revenue based on the previous
calendar year of August 1, 2023, to July 31, 2024, was $23,750.
The department acknowledges that fee implementation will require administrative support and
new software systems to streamline billing and payments. The transition to the Tyler
Technologies system is expected to increase efficiency and ease of use for both citizens and the
fire department by 2026.
City of Topeka
Council Action Form
Council Chambers
214 SE 8th Street
Topeka, Kansas 66603
www.topeka.org
September 16, 2025
DATE: September 16, 2025
CONTACT PERSON: DOCUMENT #:
SECOND PARTY/SUBJECT: Public Comment PROJECT #:
Protocol
CATEGORY/SUBCATEGORY
CIP PROJECT: No
ACTION OF COUNCIL: JOURNAL #:
PAGE #:
DOCUMENT DESCRIPTION:
PUBLIC COMMENT PROTOCOL
VOTING REQUIREMENTS:
POLICY ISSUE:
STAFF RECOMMENDATION:
BACKGROUND:
Governing Body Rule 5.5
(c) Public Comment on a specific agenda item: Comments from members of the public concerning a
specific agenda item will be heard at the time the item is considered. Persons will be limited to addressing the
governing body one (1) time on a particular matter unless otherwise allowed by a vote of six (6) or more members
of the governing body.
(d) General public comment: Requests by members of the public to speak during the public comment portion
of a regular governing body meeting will be placed on the agenda on a "first-come, first-served" basis. The
request should state the name of the individual(s) desiring to be heard. Each such individual shall be limited to
addressing the governing body one (1) time and his or her comments shall be limited to topics directly relevant to
business of the governing body; provided however, that comments pertaining to personnel and litigation matters
shall not be allowed.
Procedures for Addressing the Governing Body
In accordance with Governing Body Rules 5.6 and 5.7, the following protocols for public comment apply:
Each person shall state his or her name and city of residence in an audible tone for the record.
All remarks shall be addressed to the Governing Body as a whole -- not to any individual member.
In order to provide additional time for as many individuals as possible to address the Governing Body, each
individual signed up to speak will need to complete his or her comments within four minutes.
The following behavior will not be tolerated from any speaker:
Uttering fighting words
Slander
Speeches invasive of the privacy of individuals (no mention of names) Unreasonably Loud Speech
Repetitious Speech or Debate
Speeches so disruptive of proceedings that the legislative process is substantially interrupted
Any speaker who engages in this type of behavior will be warned once by the presiding office (Mayor). If the
behavior continues, the speaker will be ordered to cease his or her behavior. If the speaker persists in interfering
with the ability of the Governing Body to carry out its function, he or she will be removed from the City Council
Chambers or Zoom meeting room.
Members of the public, Governing Body and staff are expected to treat one another with respect at all times.
Zoom Meeting Protocol
Make sure your Zoom name, email and/or phone number matches what was submitted to the City Clerk
when you signed up for public comment. Any misnamed or unauthorized users will not be admitted to
Zoom.
Please keep your mic muted and your camera off until you are called by the Mayor to give your comment.
If you are cut off during your comment time due to an internet connection or technical issue, you will need
to submit your comments in writing to the City Clerk atcclerk@topeka.orgor 215 SE 7thStreet, Room
012B, Topeka, KS 66603 for attachment to the minutes.
If you break any of the public comment rules, you will receive one warning from the Mayor. If you continue
any prohibited behavior, you will be removed from the Zoom meeting room and will not be allowed to rejoin.
Public comment is limited to four minutes. You may receive an extension at the discretion of the Governing
Body. The timer will be visible to you in the ‘City of Topeka Admin’ window on the Zoom app. Call-in users
will hear one beep when a minute is remaining and then another beep when time has expired.
Please do not share the Zoom login information with anyone. Any unauthorized users will not be admitted to
the Zoom meeting room.
BUDGETARY IMPACT:
SOURCE OF FUNDING: