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| | | | | ***IN-PERSON WITH REMOTE PUBLIC PARTICIPATION*** | | |
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| | | | | The Board meeting began at 9:05 AM. | | |
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| | | | | This meeting of the San Mateo County Board of Supervisors was held in the Board of Supervisors Chambers at 500 County Center, as well as accessible through Zoom online at https://smcgov.zoom.us/j/95176416041, with Webinar ID: 951 7641 6041, and via telephone by dialing +1 669 900 6833 (Local). | | |
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| | | | | HONORING THE LIFE OF / BOARD MEMBER REMARKS | | |
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| | | | | DEPARTMENT BUDGET PRESENTATIONS | | |
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25-650
| 1 | 1. | | Miscellaneous | Coroner’s Office - Robert Foucrault, Coroner | | |
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Video
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25-651
| 1 | 2. | | Miscellaneous | Human Resources Department - Rocio Kiryczun, Director | | |
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Video
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25-652
| 1 | 3. | | Miscellaneous | Information Services Department - Mike Wentworth, Director/Chief Information Officer | | |
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Video
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25-653
| 1 | 4. | | Miscellaneous | Controller’s Office - Juan Raigoza, Controller | | |
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Video
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25-654
| 1 | 5. | | Miscellaneous | Assessor-County Clerk-Recorder and Elections Office - Mark Church, Assessor-County Clerk-Recorder & Chief Elections Officer | | |
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Video
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25-655
| 1 | 6. | | Miscellaneous | County Attorney’s Office - John D. Nibbelin, County Attorney | | |
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Video
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25-656
| 1 | 7. | | Miscellaneous | County Executive’s Office - Michael P. Callagy, County Executive | | |
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25-657
| 1 | 8. | | Miscellaneous | Closing Remarks by Michael P. Callagy, County Executive | | |
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25-658
| 1 | 9. | | Resolution | Adopt a resolution approving the FY 2025-26 Recommended Budget and receiving the FY 2026-27 Preliminary Recommended Budget submitted by the County Executive, including June revisions. | adopted | Pass |
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25-659
| 1 | 10. | | Multi-Item | Approve Appropriation Transfer Requests (ATRs) transferring an aggregate total of $14,538,898 from various County funding and/or organizational accounts to other County accounts as specified in the respective ATRs submitted with this memorandum: Revenues - $8,076,032 ($75,398 Measure K Sales and Use Tax); Fund Balance - $2,469,378; Services and Supplies - $2,468,090; Fixed Assets - $950,000; Other Financing Uses - $75,398; Contingency and Reserves $500,000 to the following: Revenues - $75,398; Salaries and Benefits - $655,238; Services and Supplies - $7,491,896; Other Charges - $4,695,878;Other Financing Uses - $652,398; and Intrafund Transfer - $968,090. | adopted | Pass |
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