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)
- Committee
- City Council
- Requested by
- Finance
- Introduced
- March 25, 2026
- On agenda
- April 14, 2026