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.
- Committee
- City Council
- Requested by
- Fire
- Introduced
- May 7, 2025
- On agenda
- May 19, 2025