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Public Infrastructure & Utilities Committee

June 11, 2025 Final

Agenda — 1 item

  1. <strong id="isPasted"><u>Item Number 2</u></strong><br><strong>Board Bill Number 22</strong><br><strong>Introduced by Alderwoman Anne Schweitzer</strong><br>An ordinance making appropriation for payment of the operating expenses, capital expenses, including lease purchase agreements and debt service expenses of the Parking Division of the Treasurer’s Office for fiscal year July 1, 2025 through June 30, 2026, in the sum of <strong>Twenty Million, Seven Hundred Sixty-Four Thousand, Nine Hundred Dollars ($20,764,900)</strong> including <strong>One Million, Nine Hundred Eighty Thousand, Four Hundred Forty-Two Dollars ($1,980,442)</strong> for Capital Improvements; containing an emergency clause.

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