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County accepts corrected agenda packet and approves routine interfund transfers

Oklahoma County · July 13, 2026
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Summary

Commissioners accepted a corrected agenda packet after conversion errors were fixed and approved several routine interfund transfers including employee benefits and county pharmacy security work; the finance presenter reported a $5.16 million general fund reserve at fiscal year end.

The county accepted a corrected agenda packet after staff explained that converting attachments from Excel to PDF had omitted some pages and distorted some date fields; the corrected packet was emailed that morning and printed for commissioners. After brief questions, the board voted to accept the packet and then approved the consent agenda by voice vote.

Brooke, the finance presenter, summarized the June monthly report: the general fund reserve ended the fiscal year at $5,159,208 and the county recorded about $132,000,000 in total revenue for fiscal year '26. Brooke highlighted capital activity including a newly added JJC chiller project and said roughly $1,700,000 remained unallocated for capital uses.

Commissioners approved several routine interfund transfers and budget adjustments by voice vote: an interfund transfer to employee benefits (item 40), a transfer for county pharmacy security improvements (item 40.1) to build a door and wall, an interfund transfer for HR Safety to cover pre-employment drug testing (item 42), and other small transfers to cover late June expenditures (items 43 46). Board members noted these were regular budget housekeeping actions rather than new programs.

The clerk's office offered to make copies of supporting documents and staff said the full, corrected packet would be posted online after the meeting. No substantive debate postponed approval of these items; all motions were moved, seconded and approved by voice vote at the meeting.