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The Combined Statement of Cash Receipts, Cash Disbursements

The Combined Statement of Cash Receipts, Cash Disbursements, and Changes in Fund Cash Balances for the National Trail Parks and Recreation District for the fiscal year ended December 31, 2018 has been completed and is available for public inspection at the City of Springfield, Finance Office, 76 E. High Street, Springfield, Ohio between hours of 8:00 A.M. and 5:00 P.M. Monday through Friday. A copy of the report can be provided upon request. Mark Beckdahl Finance Director City of Springfield 3-1/2019
March 1, 2019
March 31, 2019
March 31, 2019 8:30pm