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5 results for “fiscal operations” · minutes

  • Select Budget Committee — Minutes 2021-11-18

    Nov 18, 2021

    ·Seattle, WA
    Minutes

    The Select Budget Committee met remotely on November 18, 2021, at 9:32 a.m., presided over by Councilmember Mosqueda with eight members present and one excused (Kshama Sawant). The committee voted on a balancing package and amendments, including four arts-related budget actions and legislative intent statements. The arts actions approved were: $1.5 million in payroll expense tax funding and three temporary positions for public arts and cultural programming (7–0 with Pedersen abstaining); $1 million in Coronavirus Local Fiscal Recovery funds for arts organizations ineligible for Shuttered Venue Operators Grants (7–0 with Pedersen abstaining); and $50,000 in general funds for community mural restoration and a graffiti wall at N 63rd Street under Aurora Avenue (7–0 with Pedersen abstaining). The committee also approved a statement of legislative intent requesting the City Budget Office report on the Community Service Officer program.

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minutes meeting of the court of common council june 12, 2006

Jun 12, 2006

·Hartford, CT
Minutes

On June 12, 2006, the Hartford Court of Common Council held a meeting where Mayor Perez presented ten resolutions for approval through the consent calendar. The council passed resolutions authorizing continued senior center agreements for fiscal year 2006/2007, a state-funded farmers market nutrition program, acceptance of Department of Homeland Security firefighter grants, an operation safe streets traffic enforcement grant, and a general fund transfer to the Department of Registrars of Voters, among others. Several other resolutions regarding community programs, urban development grants, and youth programs were referred to various committees for further review.

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  • MINUTES of REGULAR MEETING of the BOARD of ...

    Knoxville, TN
    Minutes

    The Bowling Green, Kentucky Board of Commissioners held a regular meeting on September 16, 2008, where Mayor Elaine N. Walker recognized local achievements including Boy Scout Troop 79's attendance, Fire Prevention Officer Marlee Boenig's election as Vice President of the National Information Officers Association, and the city website's two national awards. The board conducted public hearings on the proposed 2008 property tax rate of $0.206 per $100 assessed value (a decrease from the previous year that included a 4% growth rate and compensation for the new Warren County Library District tax), with no public comments received, and reviewed proposed uses of Municipal Aid Program funds, including Fiscal Year 2009 Liquid Fuel Tax projected revenues of $955,700. Plant Manager Paul Graham presented on General Motors' 100th Anniversary, discussing the Corvette Plant's operations and GM's future energy diversification goals, leading Mayor Walker to proclaim the day as General Motors Corporation 100th Anniversary Celebration Day.

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    property tax ratemunicipal aid programliquid fuel taxpublic hearinglibrary funding
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  • Minutes of the Meeting of the Board of Trustees Bloomington ...

    Bloomington, IN
    Minutes

    The Bloomington Township Public Water District Board of Trustees met on October 14, 2025, to approve the fiscal year 2025 audited financial statements, which received an unmodified opinion indicating the district's financial position is fairly presented. The board also approved September disbursements totaling approximately $9,676.67, including a customer refund and a service line repair for Crestwicke, and reviewed multiple financial reports comparing actual performance to budget and prior-year results. The district noted ongoing non-revenue water issues in the Crestwicke area related to a leak on Crestwicke Drive, with the City of Bloomington conducting frequent flushing operations in that area.

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    water infrastructurefinancial auditbudget review
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  • Meeting Minutes

    Fresno, CA
    Minutes

    The Citizens Advisory Committee for County Service Area 44D – Monte Verdi met on February 6, 2023, to review financial performance for the second quarter of fiscal year 2023-24. At the end of the second quarter, appropriations were expended at 94%, with major expenses including PG&E ($62,562), Central State Sanitation hauling ($41,265), and an annual loan payment of $160,848.19; revenues collected were at 34% of expected amounts, consistent with prior years. The committee also discussed held charges from the previous fiscal year resulting from salary reversals needed to cover overspent expenses, with the district owing back charges to be addressed in the new fiscal year.

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    budgetfinancial managementservice area operations
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