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CC Regular Session <br />Meeting Date: 03/24/2015 <br />By: Diana Lund, Finance <br />4. 1. <br />Information <br />Title <br />Purpose: Receive January and February monthly financial reports for the funds of: General, Water, Sewer, Street <br />Lighting, Recycling and Storm Drainage. <br />Brief summary of actual revenues and expenditures -to -date in comparison to adopted budget for the respective <br />funds. <br />Action: <br />No action required. Informational only. <br />Attachments <br />January 2015 General Fund Financial Report Budget to Actual <br />February 2015 General Fund Financial Report Budget to Actual <br />January -February 2015 Enterprise Funds Financial Reports - Budget to Actual <br />Form Review <br />Inbox Reviewed By Date <br />Kurt Ulrich Kathy Schmitz 03/19/2015 03:46 PM <br />Patrick Brama Patrick Brama 03/19/2015 04:37 PM <br />Form Started By: Diana Lund Started On: 03/19/2015 12:55 PM <br />Final Approval Date: 03/19/2015 <br />