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Walker posts June payroll and financials; council approves bills for FY26 and FY27
Summary
Clerk reported June payroll of $16,506.76, Q2 payroll $58,229.50 and an ending balance of $1,050,396.27 on June 30; council approved vendor payments and listed fiscal items including a $23,950 UTV purchase and $103,400 transfer to the Sewer Sinking Fund.
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City Clerk and Finance Director Connie Helms presented financial information for June 2026: gross payroll for June was $16,506.76 and second-quarter gross payroll totaled $58,229.50. The city's ending balance on June 30, 2026 was recorded as $1,050,396.27.
Council approved bills for fiscal 2026 and 2027 as listed in the minutes. Notable entries in approved bills included a $23,950.00 purchase for a 2021 JD 835R UTV and a $103,400.00 entry to the Sewer Sinking Fund. Detailed line items and totals for June revenues ($188,143.14) and expenditures ($265,843.54) are recorded in the official minutes and available at city hall.
