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Introducedother

Petitions and Communications received from November 14, 2006 through November 27, 2006 for reference by the President to Committee considering related matters or to be ordered filed by the Clerk on December 5, 2006. From Recreation and Park Department, submitting request for release of reserved funds in the amount of $5,939,315 to address the Golf Fund’s recurring structural deficit. (1) From Office of the Treasurer/Tax Collector, reporting the Cash difference and Overage Fund balance and acti

Introduced December 5, 2006

What This Means

This item covers multiple petitions and communications including a request from the Recreation and Parks Department for release of $5,939,315 in reserved funds to address the golf fund's structural deficit, and reports from the Treasurer/Tax Collector on cash management. Various departmental submissions are compiled for board consideration.

Plain language summary generated by AI · Civitics

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This proposal is not currently open for public comment.

Details

Typeother
IntroducedDecember 5, 2006