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CCP 03032025
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CCP 03032025
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Last modified
3/14/2025 2:17:35 PM
Creation date
3/14/2025 2:17:23 PM
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Roseville City Council
Document Type
Council Agenda/Packets
Meeting Date
3/3/2025
Meeting Type
Regular
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Attachment 1 <br /> Operating Fund Reserve Policy <br /> Revised September 20, 2021 <br />As part of the annual audit, the excess funds above the maximum reserve level at December 31 of the previous <br />year (less funds needed for capital expenditures and funds donated to these accounts) shall be transferred to the <br />Cash Reserve Fund before the books are closed for that particular year. The funds transferred to the Cash Reserve <br />Fund shall be tracked on an annual basis and reported to the Finance Commission and approved by the City Council <br />by April of the subsequent year. <br />Any expenditures from the Cash Reserve Fund must be authorized by the City Council. <br />Page 3 of 3 <br />Qbhf!96!pg!242 <br /> <br />
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