Summary
The board reviewed the monthly financial report showing strong cash reserves, with over $7.1 million in operating cash and total cash exceeding $8 million.
At a glance
- Total mentions
- 1
- Last 30 days
- 1
Discussed at 1 meeting in the last 60 days; most recently Oct 6, 2026.
Impact analysis
Ending operating cash balance stands at $7,133,075 with total cash at $8,084,378.
Mansfield residents and local businesses benefiting from ongoing economic development investments.
Mentions & discussions (1)
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