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25-4085

Approval of FY 2025 Mid-Year Supplemental Appropriations to the Following Funds: General Fund in the Amount of $598,483, Debt Service Fund in the Amount of $1,855,940, Hotel/Motel Tax Fund in the Amount of $29,000, Utility Fund in the Amount of $1,339,376, and Tax Increment Reinvestment Zone 3 in the Amount of $74,075.

Agenda Item Consent Agenda Introduced May 7, 2025
Committee
City Council
Requested by
Fire
Introduced
May 7, 2025
On agenda
May 19, 2025

Where it was heard

City Council May 19, 2025