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Discussion and possible action regarding The Estimate of Needs for fiscal year 2024-25, and Financial Statements for the fiscal year ending June 30, 2024, which includes appropriations and certified levies for Harrah SD No. 7, General Fund in the amount of $22,546,008.87 with a levy of 35.89 mills; Building Fund in the amount of $5,842,438.69 with a levy of 5.13 mills; Child Nutrition in the amount of $2,039,316.00 with no mill levy; and Sinking Fund in the amount of $3,268,837.22, with a levy of 30.57 mills.
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