26-0053
Ordinance Appropriating $3,427,210 to the Debt Service Fund to Prepay the Remaining Balance Due on the 2023B Taxable Variable Rate Loan Issued for the Acquisition of the Skyline Center
- Committee
- City Council
- Requested by
- City Manager
- Introduced
- March 27, 2026
- On agenda
- April 21, 2026