Board of Directors Regular Meeting
- Agenda
- TLHCD Projected 2020 Revenue Bond Debt Schedule 2.25.20.pdf
- TLHCD Revenue Bond and City Loan Projection Summary.pdf
- Tulare City Loan Refunding Cost.pdf
- 2020 RevRef (Rev Bond only)(20-year) 2.20.20wh.pdf
- 2020 RevRef (Rev Bond only)(13-year) 2.20.20wh.pdf
- Resolution No. 885 Proceedings Related to Refunding Revenue Bonds.pdf
- WH Municipal Advisor Addendum D.PDF
- QT Bond Counsel Fee Agreement.pdf
- Hilltop Securities Placement Agent Agreement (G-23).pdf
- BNY Revenue Bond Agreement.pdf
- Gem St. Parking Lot Lease FINAL DRAFT [02232020].pdf
- Balance Sheet YOY 2020 01 31.url
- Rev & Exp YTD vs Budget 2020 01 31.url
- Revenue & Expenditures 12 months ending 2020 01 31.url
- Cash Flow FY2020 (Q2 revision).pdf
- Cash Report Update for 10 Weeks Ended 2020 02 21.pdf