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City reports riverboat and rainy-day balances; refuse department to mail special-pickup notices
Summary
The city clerk reported a riverboat fund balance of $493,323.31, a rainy-day fund balance of $1,848,763.71 and a combined cash position of $2,342,087.02; the refuse department will send residents information about upcoming pickup changes and special-pickup fees.
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The Michigan City clerk reported the city’s statement of cash position for Riverboat Fund (Fund 2235) and the rainy-day fund (Fund 2236). The Riverboat Fund balance was reported as $493,323.31, the rainy-day fund balance as $1,848,763.71, and the grand total cash position as $2,342,087.02 for the fiscal year to date through Feb. 28, 2025.
Councilman Krystielinski, the council’s liaison to the sanitary/refuse district, said the refuse department plans to send a notice to residents in the February water bill with details on special pickups and fee changes. He asked residents to review the mailed notice for the new pickup rules.
No formal action was taken during that report portion; the figures were entered into the record.

