5. 23-2872 Approval of the Mid-Year Report and Approval of the Supplemental Appropriations to the following funds: Debt Service Fund in the Amount of $2,225,000, Utility Fund in the Amount of $118,534, TIRZ #1 Fund in the Amount of $165,000, TIRZ #3 Fund in the Amount of $464,064, and the Other Post-Employment Benefits Liability Fund in the Amount of $31,452.