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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

Ordinance First Reading Introduced March 27, 2026
Committee
City Council
Requested by
City Manager
Introduced
March 27, 2026
On agenda
April 21, 2026