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23-0914

Discharge Auditor-Controller/Treasurer-Tax Collector from accountability for a cash shortage in the amount of $1,293.00 in the Tax Collection Division, and approve reimbursement of $1,293.00 from Org 2540, Miscellaneous Expenditures to cover the cash shortage which will be deposited to Fund 2025, Subclass 30650, Tax Collector Deposit Clearing fund

Agenda Item Approved Introduced August 14, 2023
Committee
Auditor - Controller
Requested by
Auditor - Controller
Introduced
August 14, 2023
On agenda
October 10, 2023
Passed
October 10, 2023