4.1.
CC Regular Session
- Meeting Date:
- 03/24/2015
- By:
- Diana Lund, Finance
Information
Title
Purpose: Receive January and February monthly financial reports for the funds of: General, Water, Sewer, Street Lighting, Recycling and Storm Drainage.
Brief summary of actual revenues and expenditures-to-date in comparison to adopted budget for the respective funds.
Brief summary of actual revenues and expenditures-to-date in comparison to adopted budget for the respective funds.
Action:
No action required. Informational only.
Attachments
- January 2015 General Fund Financial Report Budget to Actual
- February 2015 General Fund Financial Report Budget to Actual
- January-February 2015 Enterprise Funds Financial Reports - Budget to Actual
Form Review
| Inbox | Reviewed By | Date |
|---|---|---|
| Kurt Ulrich | Kathy Schmitz | 03/19/2015 03:46 PM |
- Form Started By:
- Diana Lund
- Started On:
- 03/19/2015 12:55 PM
- Final Approval Date:
- 03/19/2015