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Kadoka council approves December financial statement; bills totalling $56,888.76 paid
Summary
Council approved the December financial statement and the bills list totaling $56,888.76; bank balances and fund-by-fund revenue/expense breakdowns were recorded in the minutes.
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The Kadoka City Council reviewed and approved the financial statement for the month ending Dec. 31, 2025, after a presentation from the finance office. The minutes show fund balances and revenue: General Fund revenue $175,264.68, Liquor Fund $33,698.55 and Water Fund $153,041.83, with checking account balance reported as $1,689,341.04. Ryan Willert moved to accept the report; the motion carried 6-0.
Council also approved payment of bills presented at the meeting, totaling $56,888.76. The bills list includes notable line items such as SDML Workers Compensation Fund $12,491.00, Wohlenberg 2024 audit $11,127.12, and West Central Electric $5,818.07. Finance Officer LaTasha Buchholz was present and will continue to manage the ledger and follow up on vendor payments and state filings.
