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Spirit Lake council approves routine business, bills and Treasurer’s Report totaling $391,004.56 in the published bill list
Summary
The council unanimously approved minutes, a detailed bill list with a published total of $391,004.56, and the April Treasurer’s Report summarizing revenues and expenditures for multiple city funds.
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At its May 12 meeting the Spirit Lake City Council handled routine business items. Councilmember Kofoot moved and Councilmember Mensing seconded approval of the April 28 minutes and the bill list for May 2026; both motions carried unanimously.
The published bill list includes numerous line items (selected entries recorded in the minutes) such as a major engineering payment to Beck Engineering, Inc. ($67,352.54), WYNN COMPANY LLC pay application for POP 3rd Add ($97,248.65), payroll ($85,538.26) and a listed total for the bill register of $391,004.56. The minutes show multiple utility and vendor payments but do not include invoice backup in the text of the minutes.
The Treasurer’s Report for April was approved by motion and includes summarized revenues (General Fund $1,688,013.23; Local Option Sales Tax $130,753.69; Water $158,467.85; Trust & Agency $293,923.33; TIF $94,962.70) and expenditures including General Fund $434,370.71 and Water Plant Upgrade $372,385.82. The motions carried unanimously. The council’s approvals complete the formal record of these routine financial items for April/May.
