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26-0516

Receive Fiscal Year 2025-26 First Quarter Financial Report - Appropriate $10,000 to General Fund, Finance-Debt and Treasure Admin-Professional Services expenditure account and $265,051 to Riverwalk LMD Fund, Maintenance and Repair Account - All other accounting and financial transactions on as-needed basis, from available deposits in ASR and GCS Special Deposit Funds, for one-time City costs to be paid by developers of Adrenaline Sports Resorts and Sports and Entertainment District development projects - Interdepartmental Transfer of 2.5 FTEs and transfer of related personnel budget to General Fund, Housing and Human Services, Salary Accounts for $117,533.39 - Appropriate $1,554,623.04 from General Fund, to reimburse developer of Community Facilities District CFD No. 38 an amount equivalent to eligible City fees paid and $500,000 to Capital Outlay Fund to support costs associated with City Hall basement flood damages - Supplemental appropriations - Interfund Transfers - Five affirmative votes required (Finance) (All Wards) (10-minute presentation)

DISCUSSION CALENDAR (Afternoon) Agenda Ready Introduced January 28, 2026
Committee
City Council
Requested by
Finance
Introduced
January 28, 2026
On agenda
February 24, 2026

Where it was heard

City Council Feb 24, 2026 City Council Feb 24, 2026