Feb282026 Board Meeting - Planning RetreatStrategic Planning Retreat Scheduled from 8:00 AM - 12:00 PM
Dec232020 Special Meeting Agenda Second Amendment to EVO Lease.pdf Kluger Tower 1 Construction Administration Cont Proposal 11-20-2020.pdf
Dec162020 Regular Meeting Agenda Minutes FINAL Extension Lease Amendment No. 3_VA Clinic Tualre CA_4_22_2020.pdf Tulare Medical Center_Lots_Listing Extension C Smith.pdf Evolutions Listing Agreement C Smith.pdf Records Retention Policy and Guidelines 2020.pdf Balance Sheet YOY.pdf Statement of revenue and expenditures with budget.pdf Statement of revenue and expenditures for rolling 12 months.pdf Cash Flow.pdf Cash Report Update for 10 Weeks Ended 2020 12 11.pdf
Nov182020 Regular Meeting Agenda Minutes Resolution 898.Surplus Real Property 4-acre Vacant Land Parcel .pdf TLHCD - Balance Sheet YOY 2020 10 31.pdf TLHCD - Statement of revenue and expenditures with budget 2020 10 31.pdf TLHCD - Statement of revenue and expenditures for rolling 12 months 2020 10 31.pdf TLHCD - Cash Flow 2020 10 31.pdf TLHCD - Cash Report Update for 10 Weeks Ended 2020 11 13.pdf
Oct282020 Regular Meeting Agenda Minutes Special Minutes 2020 10 15 Draft Final.pdf NPC-2 Emergency Lighting Construction Administration Services 2020 10 28.pdf Kluger 19-105 Amendment 5 NPC-2 Construction Administration Draft.pdf Tower Construction Committee Charter DRAFT.pdf Resolution No 896 - Dissolution of EVO Oversight Committee.pdf Position Description - Facilities Manager 2020 10 23.pdf Balance Sheet YOY.pdf Statement of revenue and expenditures with budget.pdf Statement of revenue and expenditures for rolling 12 months.pdf Cash Flow (revised).pdf Cash Report Update for 10 Weeks Ended 2020 10 23.pdf
Oct152020 Special Meeting Agenda Resolution No. 895 Adoption of Rules of Decorum.pdf Rules of Decorum [clean].pdf Exhibit to Supplement to Complaint Filed with State Bar.PDF Grant Management Associates - Tower Funds.pdf
Sep232020 Regular Meeting Agenda Tower Construction Committee Charter DRAFT.pdf Balance Sheet YOY 2020 08 31.pdf Statement of revenue and expenditures with budget 2020 08 31.pdf Statement of revenue and expenditures for rolling 12 months 2020 08 31.pdf Cash Flow 2020 08 31.pdf Cash Report Update for 10 Weeks Ended 2020 09 18.pdf
Aug262020 Regular Meeting Agenda Minutes Special Minutes 2020 08 13 Draft.pdf NPC-2 Emergency Lighting Patch & Paint Services.pdf 2020 08 18 - TRMC NPC-2 Upgrades - GLB PCO-03, Access Panels and Framing.pdf Cash Flow FY2021 20200826.pdf Capital Budget FY2021 20200825.pdf Balance Sheet YOY - final.pdf Statement of revenue and expenditures for rolling 9 months - final.pdf Cash Flow - final.pdf Cash Report Update for 10 Weeks Ended 2020 08 21.pdf
Aug252020 Special Meeting Agenda TLHCD Operating Budget FY2021.pdf TLHCD Cash Flow FY2021.pdf TLHCD Capital Budget FY2021.pdf TLHCD - Balance Sheet YOY - final.pdf TLHCD - Statement of revenue and expenditures for rolling 9 months - final.pdf TLHCD - Cash Flow - final.pdf TLHCD Cash Report Update for 10 Weeks Ended 2020 08 21.pdf
Aug132020 Special Meeting Agenda NPC-2 Emergency Lighting Electrical Services.pdf Howe 19038 PCO #007 - NPC-2 Emergency Lighting Electrical Services.pdf NESM 3396 Adj #01 - 90s Tower Chillers.pdf JWT Associates Engagement Letter for FY2020 Audit.pdf
Jul222020 Regular Meeting Agenda Minutes NPC-2 Emergency Lighting Construction Administration Services R1.pdf Kluger 19-105 Amendment 4 NPC-2 Construction Administration R1.pdf NPC-2 Emergency Lighting Project Management Services r1.pdf GLB PCO-02 NPC-2 Project Management.pdf Consulting Agreement 2020 D Heckathorne FINAL R1.pdf Consulting Agreement 2020 R Dodd FINAL R1.pdf Addendum No. 1 to R Dodd Consulting Agreement 2020 07 22.pdf Craig Smith & Associates - Evolutions Modification of Listing.pdf Resolution No. 892 re Local Agency Investment Fund.pdf Resolution 893.pdf Balance Sheet YOY.pdf Statement of revenue and expenditures with budget.pdf Statement of revenue and expenditures for rolling 12 months.pdf Cash Flow.pdf Cash Report Update for 10 Weeks Ended 2020 07 17.pdf
Jun242020 Regular Meeting Agenda Minutes TLHCD Special Minutes 2020 06 03 draft.pdf Special District Elections Timetable.pdf Candidate Filing Period 2020.pdf AHTulare - Second Amendment to Credit Agreement LW 6-5-v3 revised 06192020 (002) FINAL.pdf Insurance Renewal Proposal 2020-21 Revised.pdf TMC Lots Listing Extension with C Smith.pdf Resolution 891 Blitz Heckathorne Removal of Agency.pdf Balance Sheet YOY - May 2020.pdf Statement of revenue and expenditures with budget - May 2020.pdf Statement of revenue and expenditures for rolling 12 months - May 2020.pdf Cash Flow - May 2020.pdf
Jun32020 Special Meeting Agenda Resolution No. 889 Authorizing Issuance and Sale of Revenue Bonds Series 2020A and 2020B.pdf Indenture 2020 Refunding Revenue Bonds.pdf Escrow Agreement 2020 Refunding Revenue Bonds.pdf Bond Purchase Agreement 2020 Refunding Revenue Bonds.PDF Resolution No. 890 Approving Issuance of Refunding Revenue Bonds Series 2020A Not to Exceed $14,000.pdf TLHCD 2020 Revenue Bond Cash Flow Projections 2020 06 02.pdf Western Alliance - Revised.pdf Revised Bond Schedules 5-27-20.pdf Refunding Summary and Cash Flow Updated.pdf DRAFT-Extension-Lease-Amendment-No.-3_VA-Clinic-Tulare-CA 2020 04 22.pdf
May272020 Regular Meeting Agenda Minutes NPC-2 Exit Sign Alternate #1 Proposal.pdf Howe 19146 - Proposal R2 NPC-2 Exit Signs.pdf Resolution 888 - Board of Directors Election.pdf DRAFT Extension Lease Amendment No. 3_VA Clinic Tualre CA_4_22_2020.pdf Balance Sheet.pdf Statement of Revenue and Expenditures with Budget.pdf Cash Flow.pdf Cash Flow FY2020 (Q3 revision).pdf First Amendment to TLHCD Employment Agreement (EXECUTED).pdf
Apr222020 Regular Meeting Agenda Minutes Special Meeting Minutes 2020 03 10 draft.pdf Special Meeting Minutes 2020 03 19 draft.pdf Regular Board Meeting Minutes 2020 03 25 Draft.pdf Options for the Completion of the Tulare Hospital Tower 2020 04 20 r1.pdf Resolution No. 887 re Surplus Equipment & Supplies.pdf First Amendment to Employment Agreement - CEO.pdf Balance Sheet YOY.url Statement of revenue and expenditures with budget r1 (2020 04 22).url Statement of revenue and expenditures for rolling 6 months r1 (2020 04 22).url Cash Report Update for 10 Weeks Ended 2020 04 17.url
Mar252020 Regular Meeting Agenda Resolution No. 886 State Bar Complaint re Bruce R Greene and Baker Hostetler.pdf State Bar Complaint - Greene and Baker (3-25-20).pdf State Bar Exhibits - Greene and Baker.pdf Earlimart Modular Purchase and Sale Agreement [FINAL].pdf Adventist Health Transition Services Agreement (EXECUTED).pdf Balance Sheet 2020 02 29.url Statement of revenue and expenditures with budget 2020 02 29.url Statement of revenue and expenditures for 6 months ending 2020 02 29.url Cash Flow 2020 02 29-.url Cash Report Update for 10 Weeks Ended 2020 03 20.pdf
Mar102020 Special Meeting Agenda Howe NPC-2 Exit Sign Proposal 19146 R1.pdf Preliminary Lending Parameters -Revenue Refunding Bonds, Series 2020A (2007 Revenue Bonds).v2.pdf Preliminary Lending Parameters -Revenue Refunding Bonds, Series 2020B (Taxable City Loan).v2.pdf Refunding Revenue 12 Years City 20 years.pdf Refunding Revenue 20 Years City 20 Years.pdf Revenue Bond and City Loan Projection Full WH 3.9.20.pdf Revenue Bond and City Loan Projection Summary WH 3.9.20.pdf
Feb262020 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
Jan222020 Regular Meeting Agenda NPC-2 Lighting Patch & Paint - GL Bruno Bid 20191216.pdf NPC-2 Emergency Lighting Patch and Paint r1.pdf DAC Bond Pricing Agreement - 12-19.pdf Medicare Bad Debt Recovery Project 2020 01 22.pdf Genesa-Tulare Medicare Bad Debt Review - BAA & Agreement Letter.pdf Balance Sheet YOY Dec.pdf Statement of revenue and expenditures with Budget Dec.pdf Statement of revenue and expenditures for rolling 6 months.pdf Cash Report Update for 10 Weeks Ended 2020 01 17.pdf