File #: 23-2474    Version: 1
Status: Agenda Ready
File created: 7/19/2023 In control: City Council
On agenda: 8/1/2023
Title: CONTINUED FROM JULY 18, 2023 - MEASURE Z - Fiscal Year 2022-23 Third Quarter Financial update - Allocate $10 million of projected General Fund savings with $7 million to General Fund Infrastructure Reserve and $3 million to establish Technology Reserve - Appropriate $500,000 in the General Fund for demolition costs at 3460 Orange Street and $178,155 of Measure Z funds for Riverside Access Center Rehabilitation project - Five affirmative votes required (Finance) (All Wards) (10-minute presentation)
Indexes: CCT – Community Trust, CCT – Equity, CCT – Fiscal Responsibility, CCT – Innovation, CCT – Sustainability & Resiliency, SP 5 – High Performing Government, Strategic Goal 5.3, Ward - ALL, Ward 1, Ward 2, Ward 3, Ward 4, Ward 5, Ward 6, Ward 7
Attachments: 1. Report, 2. Financial Update, 3. Measure Z Spending Plan, 4. Measure Z Accomplishments, 5. Presentation