City Council Work Session
The council discussed the March monthly financial update, specifically noting a surplus in the general fund following a deposit from Georgia Power. Clarifications were provided regarding fund balances, budgetary items related to small equipment and building improvements, and expenditures in the hotel-motel fund and tree bank. Furthermore, the council received a high-level overview of the preliminary tax digest and the statutory millage rate rollback process, with a focus on upcoming public hearings.