docketcity.com
26-1205

Fiscal Year 2025-26 Second Quarter Financial Report - Net revenue adjustments of $4,346,713 - Supplemental appropriations/Interfund transfers of $4,862,788 - Interdepartmental transfers of $2,052,951 - Five affirmative votes required (Finance) (All Wards) (15-minute presentation)

DISCUSSION CALENDAR Agenda Ready Introduced March 25, 2026
Committee
City Council
Requested by
Finance
Introduced
March 25, 2026
On agenda
April 14, 2026

Where it was heard

City Council Apr 14, 2026 City Council Apr 14, 2026