Board Special Meeting
- Agenda
- Write-Up for 2020 Operating & Cash Flow Budget.pdf
- TLHCD FYE 06 30 2020 Narrative r1.pptx
- 2020 Statement of Cash Flows.pdf
- 2020 Statement of Revenues and Expenses.pdf
- Write-Up July 2019 TLHCD Internal Financial Statements.pdf
- TLHCD - Balance Sheet YOY 3-MONTH.pdf
- Statement of revenue and expenditures for rolling 12 months.pdf
- Cash Report Update for 10 Weeks ended 08 23 2019.pdf