| Board Meeting Agenda 7/6/26 - 3/11/26 Items |
| Regular Board Meeting Minutes - December 10, 2025 |
| Directors Report for March 11, 2026 |
| Cash Disbursements for December 2025 |
| Cash Disbursements for January, 2026 |
| Cash Disbursements for February, 2026 |
| YTD Expenses as of 02/28/2026 |
| YTD Revenues as of 02/28/2026 |
| Balance Sheet as of 02/28/2026 |
| Board Meeting Minutes 03/11/2026 |
| Directors Report - July 6 2026 |
| Financial Report for 7/6/2026 |
| March, 2026 Cash Disbursements |
| April, 2026 Cash Disbursements |
| May, 2026 Cash Disbursements |
| Year to Date Expenses as of 05/31/2026 |
| Year to Date Revenues as of 05/31/2026 |
| Balance Sheet as of 05/31/2026 |
| Proposed Bylaws Revision - 03/11/2026 |
| Proposed Plan of Service Revision - 03/11/2026 |
| RIDES Equitable Subsidy 7/1/26 Detailed |
| Budget Revision Summary 7/6/26 |
| Budget Revision Revenues 7/6/26 |
| Budget Revision Expenses 7/6/26 |
| Budget Revision Combined Detail 7/6/26 |
| Budget Revision GLTB Detail 7/6/26 |
| Budget Revision UPRLC Detail 7/6/26 |
| SLC Audit for Year Ended September 30, 2025 |