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94-19

Committee Report: Finance (Paper #28-19 order that the sum of Eighty Thousand Dollars ($80,000) be and the same is hereby transferred to DPW Equipment Parks from the following accounts: $44,500 from Revenue Reserve, $35,500 from DPW Labor.)

Committee Report Passed Introduced February 28, 2019
Committee
Finance Committee
Introduced
February 28, 2019
On agenda
March 5, 2019
Passed
March 5, 2019