CITY of RAPID CITY Agenda Item Summary |
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Meeting Date: 1/15/2014 |
L&F Committee: 1/15/2014 |
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Staff Contact: Pauline Sumption/Wade Nyberg |
City Council 1st Reading: 12/2/2013 |
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City Council 2nd Reading: 12/16/2013 |
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Agenda Title: |
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Ordinance No. 5979 An Ordinance to Codify the Method for Calculating the General Fund Cash Reserve Balance by Amending Section 2.40.140 of the Rapid City Municipal Code |
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Summary: |
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Section 2.40.140 requires the Finance Officer to provide a monthly report of the general fund reserve balance. The ordinance does not specify how the reserve balance is calculated, so a method of calculation is proposed that equals 15% of the budgeted general fund expenditures less expenditures for capital outlay. |
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Funding Source & Fiscal Impact (if applicable): |
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Recommendation: |
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Action: Approve Notes: |
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