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VI. ITEM 2 — Monthly Revenue and Sales Tax Report (Receive and File), (pg <br />60/96) — Jess Zeas, Sales Tax Accountant -Auditor, Melissa Lundgren, Sales <br />Tax, Accountant -Auditor, Travis Anderson, Revenue and Sales Tax Manager <br />VII. ITEM 3 — Marshall Fire Plan Review and Permit Fee Options — <br />Continued from March 20th Committee Meeting, (pg 68/96) Diana Langley, <br />City Manager, Ryder Bailey, CPA, Finance Director <br />VIII. ITEM 4 — Budget Retreat Format Preview, (pg 89/96) — Ryder Bailey, <br />CPA, Finance Director <br />IX. ITEM 5 — Recreation Center Renewal & Replacement Calculation <br />(Receive and File), (pg 93/96) - Ryder Bailey, CPA, Finance Director <br />X. Finance Director Updates <br />XI. Discussion/Future Items for the Finance Committee Special Meeting <br />on the 2026 Budget, July 1st, 4:OOPM <br />• 2026 Budget Special Meeting <br />XII. Discussion/Future Items for Next Regular Committee Meeting, July <br />17th, 4:OOPM <br />• Annual External Auditor's Report <br />• Citywide External Auditor's RFQ/RFP Responses and <br />Recommendation <br />• Initial PWD 2026 Rate Presentation and Discussion <br />• Monthly Revenue & Sales Tax Report <br />XIII. Adjourn <br />