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