Supporting Documentation · Jan 7, 2020
13-20 Attachment - Cash Management Plan 2020.pdf
e19512c7f10e3f2abdd0b560cfd84d3d2b2936210f72e867b76828ce9f29dfbfIndexed text · page 6
Show all pages6 provide an accrual of such earnings during the immediately preceding month. F. The fees incurred to undertake such Deposits or Permitted Investments. G. The market value of all Deposits or Permitted Investments as of the end of the immediately preceding month. H. All other information which may be deemed reasonable from time to time by the governing body of the Township of West Orange. IX. TERM OF PLAN. The Plan shall be in effect for the 2020 year. Attached to this Plan is a resolution of the governing body of the Township of West Orange approving this Plan for such period of time. The Plan may be amended from time to time. To the extent that any amendment is adopted by the Council, the Designated Official is directed to supply copies of the amendments to all of the parties who otherwise have received the copy of the originally approved Plan, which amendment shall be acknowledged in writing in the same manner as the original Plan was so acknowledged.
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