Meeting Time: November 06, 2024 at 6:30pm EST
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Agenda Item

15-7311 R191 Approves three transfers: (1) $65,422.00 in Parks to correct negative balances: Premium pay is over due to the snow storms and necessary increase of trash pick up and bathroom cleanings due to park usage in the summer; (2) $21,799.20 in Traffic Planning required for purchase of traffic equipment to maintain and upkeep with various projects throughout the city; (3) $20,000.00 in Recreation for funds needed to be transferred to the 50 - other services & charges account to cover the cost of credit card fees assessed by Global Payments (payment processor).