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Homer Glen board approves $1.06 million accounts-payable batch, accepts annual audit and several capital payments
Summary
The Village Board approved its consent agenda including $1,062,051.77 in accounts payable, accepted the FY-ending 04/30/2025 annual comprehensive financial report, and authorized several capital and service payments and renewals during its November meeting.
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The Village of Homer Glen’s board on the record approved a broad consent agenda that included $1,062,051.77 in accounts-payable for the period of Oct. 25–Nov. 13, 2025, and accepted the village’s annual comprehensive financial report for the fiscal year ending April 30, 2025.
Trustees voted to receive the treasury’s report showing $51,883,947.90 in cash and investments as of June 30, 2025. The board also approved payment items on the consent calendar: a $290,156.59 quote for a 2027 Mac plow truck, final payment of $502,156.57 for the RBI road resurfacing program, and a $25,008.75 pay estimate for the Stone Bridge Park drainage improvement project, among other routine invoices and renewals. The village’s Illinois Municipal League Risk Management Association renewal for 2026 and related contributions totaling approximately $132,725.02 were also approved.
Trustees said the approvals support ongoing public-works operations and capital upkeep. Trustee Reinders, who serves on the administration and finance committee, said the board has worked to replace worn equipment since acquiring assets from the township and that stable levy and budgeting help maintain operations.
The motions were approved by roll call without amendment. The board’s approval keeps scheduled capital work on track and provides staff authority to process the listed payments and renewals.

