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Trustees approve December claims and bills totaling $48,117.19
Summary
The Hosmer Board approved December claims and bills of $48,117.19 on Jan. 13, 2026; the motion to approve was made by Trustee Eisenbeisz and seconded by Grismer with all members present voting aye.
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Trustee David Eisenbeisz moved, with Trustee Grismer seconding, to approve the December 2025 claims and bills, which the minutes list at $48,117.19. The motion carried with all members present voting "aye." The claims ledger includes payroll runs, utilities, vendor payments and a USDA sewer loan of $2,240.00.
The listed disbursements include payroll allocations (first and second payrolls split among Finance Office, Highways & Streets (15%), Water & Sewer (85%), and City Liquor Store), supplier payments such as Hosmer Meat Market ($3,806.09), John Deere ($1,336.62), and Montana Dakota Utilities ($2,026.15), and a total claims and bills figure of $48,117.19 in the board packet.
