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Live Oak council accepts July financial report showing $597,519 net gain
Summary
Council received and approved the monthly financial report through July 31, 2025, showing $16.4 million in revenues, $15.0 million in expenditures and a general fund net gain of $597,519.
The Live Oak City Council unanimously accepted the monthly financial report for the period ending July 31, 2025, on Sept. 9.
City finance staff reported total revenues through July 31 of $16,400,223 and total expenditures of $15,000,008, producing a net gain of $597,519 and a general fund balance of $14,971,429. "As of the report date total revenues recorded through July 31 is $16,400,223. Total expenditures for the…
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