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Lake City reports $190,583.07 in claims and payroll for period ending July 2

Lake City Council · July 6, 2026
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Summary

The council reviewed a claims report for June 13–July 2, 2026, showing payables of $166,507.91 and payroll of $24,075.16 for a total of $190,583.07; notable costs included Caselle software conversion ($20,377.00) and sewer televising ($19,752.34).

The Lake City Council reviewed and approved the claims report covering June 13 through July 2, 2026, which shows accounts payable of $166,507.91 and payroll checks totaling $24,075.16 for a report total of $190,583.07.

Notable items in the claims list include a software conversion initial payment to Caselle of $20,377.00; sewer televising by Hydro Klean for $19,752.34; services for Well No. 6 & 7 by I & S Group for $20,151.70; and a county sheriff contract payment of $13,477.30. The report also lists smaller recurring and one-time payments such as pool chemicals, library materials, and equipment repairs.

The consent agenda that included the summary list of claims was approved earlier in the meeting. Council did not record additional public comment on the claims report during the session; further documentation for individual line items is available through City Hall.