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Council reviews May finances; social media outreach and Movie Night announced
Summary
Council Member Cindy Bone presented the May financial report showing a General Fund net balance of $-33,876 and a year-to-date balance of $118,139. Council members also heard reports on maintenance, social media engagement (7.8k views, 14 new followers), and a Movie Night planned for Oct. 24.
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Council Member Cindy Bone presented the May financial report at the June 8 meeting, detailing revenues and expenses across administrative, parks/roads and police accounts. The minutes record: "The 2026 General Fund Operating Budget by the end of May had a Net Balance of $-33,876 and a Year-To-Date balance of $118,139." Specific line items recorded in the minutes include Administrative revenues of $-15,911 (YTD $124,178) and Administrative expenses of $-13,005 (YTD $30,346); Park/Roads expenses for the month were $5,373 (YTD $29,563); Police Department revenues and expenses were recorded in the minutes but the meeting text only shows summary figures.
The council also received department updates. Council Member Tom Hays reported that maintenance staff Darrell and Kermit were conducting ongoing summer grounds maintenance. Council Member Jenny Buley, reporting from staff notes, said the city's Facebook page received "a total of 7.8k views" and gained 14 new followers; the minutes add that Jessica would like to begin highlighting local Arcade businesses on the page. Council Member Denise Black said she would begin work on Movie Night scheduled for Saturday, October 24.
The minutes do not attach staff presentations or supplemental spreadsheets to the record; several figures are listed in the minutes themselves but further departmental detail or follow-up assignments are not specified.
