Meeting Time: June 20, 2022 at 6:00pm CDT
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Agenda Item

9. 22-2355 Consideration of the Mid-Year Report and Consideration of Supplemental Appropriations to the following funds: General Fund in the Amount of $1,500,000, Debt Service Fund in the Amount of $15,345,514, Hotel/Motel Fund in the Amount of $90,000, PEG Fund in the Amount of $20,000, Grant Fund in the Amount of $226,458, Utility Fund in the Amount of $366,866, Drainage Fund in the Amount of $374,898, Maintenance and Replacement Fund in the Amount of $336,920, Risk Fund in the Amount of $500,000, and the Other Post-Employment Benefits Liability Fund in the Amount of $290,030.