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Finance Committee

June 23, 2026 ·6:00 PM Final-revised ·Committee of the Whole

City Council Chamber

Agenda — 33 items

  1. 1 (Posted online: 6/18/26 at 11:15 AM) Original (Posted online: 6/23/26 at 12:50 PM) Revised
  2. 1 This meeting was held via Zoom and in the City Council Chamber and was called to order by Chair Wheeler at 6:03 PM and adjourned at 7:30 PM. Councilor Ewen-Campen joined the meeting at 6:09 PM. Councilor Mbah joined the meeting at 6:13 PM. Others present: Jake Wilson - Maypr, Michael Mastrobuoni - Budget Director, Karin Carroll - Director of Health and Human Services, Thomas Galligani Executive Director of the Office of Strategic Planning and Community Development, Madalyn Letellier – Assistant City Clerk.
  3. 2 Pursuant to Chapter 2 of the Acts of 2025, this meeting of a City Council Committee will be conducted via remote participation. We will post an audio recording, audio-video recording, transcript, or other comprehensive record of these proceedings as soon as possible after the meeting on the City of Somerville website and local cable access government channels. Copy & paste the following link into your internet browser to view this meeting live: https://us02web.zoom.us/webinar/register/WN_JuzXsnw-Tqm7iA7pQlxVKA Persons with disabilities who need auxiliary aids and services for effective communication (i.e., CART, ASL), written materials in alternative formats, or reasonable modifications in policies and procedures in order to access the programs, activities, and meetings of the City of Somerville should contact the ADA Coordinator in advance at 617-625-6600 x 2059 or ADA@somervillema.gov.
  4. 3 Roll Call
  5. 1. Review of the FY 2027 Budget
  6. 2. Submission of Orders and Resolutions by City Councilors
  7. 2.1 Resolution by Councilor Strezo 6/9/26 That the collective salaries of Licensing Commissioners be increased to $15,180 with the Chair receiving $5,180 and Licensing Commissioners 2 and 3 receiving $5,000 each annually. Approved Pass
  8. 2.2 Resolution by Councilor Link 6/15/26 That the Administration add $400,000 in funding for Youth Development Services grants so that Teen Empowerment may have full funding. Approved Pass
  9. 2.3 Resolution by Councilor Strezo: That the funding for the previously cut Home Visitor position within the Summer Baby Program be reinstated through Health and Human Services and be inclusive of post-partum care. Approved
  10. 2.4 Resolution by Councilor Strezo: That the Administration allocate $20,000 to support teens on early release Wednesday with additional out of school time programming. Approved
  11. 2.5 Resolution by Councilor Link: That the crossing guards receive a 10% raise in the FY 2027 budget. Approved
  12. 3. Enterprise Funds
  13. 2.6 Resolution by Councilor Mbah: That the Administration restore the funding for the cut positions in the Racial and Social Justice Department and restore funding towards the mission of the Racial and Social Justice Department. Approved
  14. 3.1 Requesting the appropriation of $24,672,499 to fund the Fiscal Year 2027 Water Enterprise Fund budget. 26-0952 Recommended to be discharged with no recommendation Pass
  15. 2.7 Resolution by Councilor Mbah: That the administration utilize the Small Business Stabilization Fund in FY 2027 to infuse spending to local small businesses and educate them on how to use these funds. Approved
  16. 3.2 Requesting the appropriation of $2,000,000 from the Water Enterprise Retained Earnings Account to the Water Capital Stabilization Fund. 26-0963 Recommended to be discharged with no recommendation Pass
  17. 3.3 Requesting the appropriation of $39,633,688 to fund the Fiscal Year 2027 Sewer Enterprise Fund budget. 26-0951 Recommended to be discharged with no recommendation Pass
  18. 3.4 Requesting the appropriation of $16,000,000 from the Sewer Enterprise Retained Earnings Account to the Sewer Capital Stabilization Fund. 26-0962 Recommended to be discharged with no recommendation Pass
  19. 3.5 Requesting the appropriation of $238,791 from the Kennedy School Pool Enterprise Fund Retained Earnings to support the Fiscal Year 2027 Kennedy School Pool Enterprise Fund Budget. 26-0970 Recommended to be discharged with no recommendation Pass
  20. 3.6 Requesting the appropriation of $794,782 to fund the Fiscal Year 2027 Kennedy School Pool Enterprise Fund budget. 26-0953 Recommended to be discharged with no recommendation Pass
  21. 3.7 Requesting the appropriation of $86,200 from the Dilboy Fields Enterprise Fund Retained Earnings Account to subsidize the Fiscal Year 2027 Dilboy Fields Enterprise Fund Budget. 26-0969 Recommended to be discharged with no recommendation Pass
  22. 3.8 Requesting the appropriation of $237,500 to fund the Fiscal Year 2027 Dilboy Fields Enterprise Fund Budget. 26-0954 Recommended to be discharged with no recommendation Pass
  23. 3.9 Requesting approval to appropriate and transfer $1,000,000 from the Community Benefits Stabilization Fund to the Housing Assistance Stabilization Fund for housing assistance. 26-1015 Recommended to be discharged with no recommendation Pass
  24. 4. Infrastructure
  25. 4.1 Requesting the appropriation of $7,150,000 from the Unreserved Fund Balance ("Free Cash") to the Street Reconstruction and Renovation Stabilization Fund to support the 5-Year Capital Investment Plan. 26-0965 Recommended to be discharged with no recommendation Pass
  26. 4.2 Requesting the appropriation of $549,399 from the Unreserved Fund Balance ("Free Cash") to the Traffic Safety Stabilization Fund for traffic safety improvements. 26-1016 Recommended to be discharged with no recommendation Pass
  27. 5. Salary and Retirement
  28. 5.1 Requesting approval of a transfer of $1,676,728 from the Salary Contingency Account-Salaries to the Salary & Wage Stabilization Fund. 26-0961 Recommended to be discharged with no recommendation Pass
  29. 5.2 Requesting the appropriation of $1,000,000 from the Unreserved Fund Balance ("Free Cash") to the Salary & Wage Stabilization Fund. 26-0966 Recommended to be discharged with no recommendation Pass
  30. 5.3 Requesting the appropriation of $1,200,000 from the Unreserved Fund Balance ("Free Cash") to the Other Post Employment Benefits (OPEB) Trust Fund. 26-0967 Recommended to be discharged with no recommendation Pass
  31. 5.4 Requesting the appropriation of $200,000 from the Unreserved Fund Balance ("Free Cash") to the Compensated Absence Liability Fund. 26-1008 Recommended to be discharged with no recommendation Pass
  32. 6. FY27 Budget
  33. 6.1 Requesting the appropriation of $376,778,493 to fund the Fiscal Year 2027 General Fund Operating Budget. 26-0950 Recommended to be approved Pass