Board Regular Meeting
- Agenda
- Minutes
- FINAL Extension Lease Amendment No. 3_VA Clinic Tualre CA_4_22_2020.pdf
- Tulare Medical Center_Lots_Listing Extension C Smith.pdf
- Evolutions Listing Agreement C Smith.pdf
- Records Retention Policy and Guidelines 2020.pdf
- Balance Sheet YOY.pdf
- Statement of revenue and expenditures with budget.pdf
- Statement of revenue and expenditures for rolling 12 months.pdf
- Cash Flow.pdf
- Cash Report Update for 10 Weeks Ended 2020 12 11.pdf
Board Regular Meeting
- Agenda
- Minutes
- Resolution 898.Surplus Real Property 4-acre Vacant Land Parcel .pdf
- TLHCD - Balance Sheet YOY 2020 10 31.pdf
- TLHCD - Statement of revenue and expenditures with budget 2020 10 31.pdf
- TLHCD - Statement of revenue and expenditures for rolling 12 months 2020 10 31.pdf
- TLHCD - Cash Flow 2020 10 31.pdf
- TLHCD - Cash Report Update for 10 Weeks Ended 2020 11 13.pdf
Board Regular Meeting
- Agenda
- Minutes
- Special Minutes 2020 10 15 Draft Final.pdf
- NPC-2 Emergency Lighting Construction Administration Services 2020 10 28.pdf
- Kluger 19-105 Amendment 5 NPC-2 Construction Administration Draft.pdf
- Tower Construction Committee Charter DRAFT.pdf
- Resolution No 896 - Dissolution of EVO Oversight Committee.pdf
- Position Description - Facilities Manager 2020 10 23.pdf
- Balance Sheet YOY.pdf
- Statement of revenue and expenditures with budget.pdf
- Statement of revenue and expenditures for rolling 12 months.pdf
- Cash Flow (revised).pdf
- Cash Report Update for 10 Weeks Ended 2020 10 23.pdf
Board Regular Meeting
- Agenda
- Minutes
- Special Minutes 2020 08 13 Draft.pdf
- NPC-2 Emergency Lighting Patch & Paint Services.pdf
- 2020 08 18 - TRMC NPC-2 Upgrades - GLB PCO-03, Access Panels and Framing.pdf
- Cash Flow FY2021 20200826.pdf
- Capital Budget FY2021 20200825.pdf
- Balance Sheet YOY - final.pdf
- Statement of revenue and expenditures for rolling 9 months - final.pdf
- Cash Flow - final.pdf
- Cash Report Update for 10 Weeks Ended 2020 08 21.pdf
Board Regular Meeting
- Agenda
- Minutes
- NPC-2 Emergency Lighting Construction Administration Services R1.pdf
- Kluger 19-105 Amendment 4 NPC-2 Construction Administration R1.pdf
- NPC-2 Emergency Lighting Project Management Services r1.pdf
- GLB PCO-02 NPC-2 Project Management.pdf
- Consulting Agreement 2020 D Heckathorne FINAL R1.pdf
- Consulting Agreement 2020 R Dodd FINAL R1.pdf
- Addendum No. 1 to R Dodd Consulting Agreement 2020 07 22.pdf
- Craig Smith & Associates - Evolutions Modification of Listing.pdf
- Resolution No. 892 re Local Agency Investment Fund.pdf
- Resolution 893.pdf
- Balance Sheet YOY.pdf
- Statement of revenue and expenditures with budget.pdf
- Statement of revenue and expenditures for rolling 12 months.pdf
- Cash Flow.pdf
- Cash Report Update for 10 Weeks Ended 2020 07 17.pdf
Board Regular Meeting
- Agenda
- Minutes
- TLHCD Special Minutes 2020 06 03 draft.pdf
- Special District Elections Timetable.pdf
- Candidate Filing Period 2020.pdf
- AHTulare - Second Amendment to Credit Agreement LW 6-5-v3 revised 06192020 (002) FINAL.pdf
- Insurance Renewal Proposal 2020-21 Revised.pdf
- TMC Lots Listing Extension with C Smith.pdf
- Resolution 891 Blitz Heckathorne Removal of Agency.pdf
- Balance Sheet YOY - May 2020.pdf
- Statement of revenue and expenditures with budget - May 2020.pdf
- Statement of revenue and expenditures for rolling 12 months - May 2020.pdf
- Cash Flow - May 2020.pdf
Board Special Meeting
- Agenda
- Resolution No. 889 Authorizing Issuance and Sale of Revenue Bonds Series 2020A and 2020B.pdf
- Indenture 2020 Refunding Revenue Bonds.pdf
- Escrow Agreement 2020 Refunding Revenue Bonds.pdf
- Bond Purchase Agreement 2020 Refunding Revenue Bonds.PDF
- Resolution No. 890 Approving Issuance of Refunding Revenue Bonds Series 2020A Not to Exceed $14,000.pdf
- TLHCD 2020 Revenue Bond Cash Flow Projections 2020 06 02.pdf
- Western Alliance - Revised.pdf
- Revised Bond Schedules 5-27-20.pdf
- Refunding Summary and Cash Flow Updated.pdf
- DRAFT-Extension-Lease-Amendment-No.-3_VA-Clinic-Tulare-CA 2020 04 22.pdf
Board Regular Meeting
- Agenda
- Minutes
- NPC-2 Exit Sign Alternate #1 Proposal.pdf
- Howe 19146 - Proposal R2 NPC-2 Exit Signs.pdf
- Resolution 888 - Board of Directors Election.pdf
- DRAFT Extension Lease Amendment No. 3_VA Clinic Tualre CA_4_22_2020.pdf
- Balance Sheet.pdf
- Statement of Revenue and Expenditures with Budget.pdf
- Cash Flow.pdf
- Cash Flow FY2020 (Q3 revision).pdf
- First Amendment to TLHCD Employment Agreement (EXECUTED).pdf
Board Regular Meeting
- Agenda
- Minutes
- Special Meeting Minutes 2020 03 10 draft.pdf
- Special Meeting Minutes 2020 03 19 draft.pdf
- Regular Board Meeting Minutes 2020 03 25 Draft.pdf
- Options for the Completion of the Tulare Hospital Tower 2020 04 20 r1.pdf
- Resolution No. 887 re Surplus Equipment & Supplies.pdf
- First Amendment to Employment Agreement - CEO.pdf
- Balance Sheet YOY.url
- Statement of revenue and expenditures with budget r1 (2020 04 22).url
- Statement of revenue and expenditures for rolling 6 months r1 (2020 04 22).url
- Cash Report Update for 10 Weeks Ended 2020 04 17.url
Board Regular Meeting
- Agenda
- Resolution No. 886 State Bar Complaint re Bruce R Greene and Baker Hostetler.pdf
- State Bar Complaint - Greene and Baker (3-25-20).pdf
- State Bar Exhibits - Greene and Baker.pdf
- Earlimart Modular Purchase and Sale Agreement [FINAL].pdf
- Adventist Health Transition Services Agreement (EXECUTED).pdf
- Balance Sheet 2020 02 29.url
- Statement of revenue and expenditures with budget 2020 02 29.url
- Statement of revenue and expenditures for 6 months ending 2020 02 29.url
- Cash Flow 2020 02 29-.url
- Cash Report Update for 10 Weeks Ended 2020 03 20.pdf
Board Special Meeting
- Agenda
- Howe NPC-2 Exit Sign Proposal 19146 R1.pdf
- Preliminary Lending Parameters -Revenue Refunding Bonds, Series 2020A (2007 Revenue Bonds).v2.pdf
- Preliminary Lending Parameters -Revenue Refunding Bonds, Series 2020B (Taxable City Loan).v2.pdf
- Refunding Revenue 12 Years City 20 years.pdf
- Refunding Revenue 20 Years City 20 Years.pdf
- Revenue Bond and City Loan Projection Full WH 3.9.20.pdf
- Revenue Bond and City Loan Projection Summary WH 3.9.20.pdf
Board Regular Meeting
- Agenda
- TLHCD Projected 2020 Revenue Bond Debt Schedule 2.25.20.pdf
- TLHCD Revenue Bond and City Loan Projection Summary.pdf
- Tulare City Loan Refunding Cost.pdf
- 2020 RevRef (Rev Bond only)(20-year) 2.20.20wh.pdf
- 2020 RevRef (Rev Bond only)(13-year) 2.20.20wh.pdf
- Resolution No. 885 Proceedings Related to Refunding Revenue Bonds.pdf
- WH Municipal Advisor Addendum D.PDF
- QT Bond Counsel Fee Agreement.pdf
- Hilltop Securities Placement Agent Agreement (G-23).pdf
- BNY Revenue Bond Agreement.pdf
- Gem St. Parking Lot Lease FINAL DRAFT [02232020].pdf
- Balance Sheet YOY 2020 01 31.url
- Rev & Exp YTD vs Budget 2020 01 31.url
- Revenue & Expenditures 12 months ending 2020 01 31.url
- Cash Flow FY2020 (Q2 revision).pdf
- Cash Report Update for 10 Weeks Ended 2020 02 21.pdf
Board Regular Meeting
- Agenda
- NPC-2 Lighting Patch & Paint - GL Bruno Bid 20191216.pdf
- NPC-2 Emergency Lighting Patch and Paint r1.pdf
- DAC Bond Pricing Agreement - 12-19.pdf
- Medicare Bad Debt Recovery Project 2020 01 22.pdf
- Genesa-Tulare Medicare Bad Debt Review - BAA & Agreement Letter.pdf
- Balance Sheet YOY Dec.pdf
- Statement of revenue and expenditures with Budget Dec.pdf
- Statement of revenue and expenditures for rolling 6 months.pdf
- Cash Report Update for 10 Weeks Ended 2020 01 17.pdf