No later than the 15th day following the end of each month, the Office shall prepare and publish a written report including, at a minimum, the following information: (1) year-to-date general funds revenues as compared to anticipated revenues; (2) year-to-date general funds expenditures as compared to the then current fiscal year budget as enacted; and (3) any transfers between budget lines pursuant to Section 13.2 of the State Finance Act exceeding 2%. to anticipated revenues; compared to the then current fiscal year budget as enacted; and Section 13.2 of the State Finance Act exceeding 2%.
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