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Tabor trustees approve routine agenda items, bills and financial reports
Summary
At its May 5 meeting, the Tabor Board of Trustees approved the agenda, financial report, minutes and payment of bills; trustees also advanced readings on two ordinances and approved several contracts and permits.
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The Tabor Board of Trustees met May 5 at the Tabor Community Center and approved routine consent items, including the agenda, the April financial report, the prior month's minutes and payment of bills as presented. Chairperson Laverne Schieffer presided; motions to approve these items carried on voice votes (motions recorded as carried in the minutes).
Trustees heard a detailed ledger of disbursements. The clerk recorded general-fund balances of $272,808.09 with a reserve of $546,133.53; the water fund balance was $139,579.90 (surcharge $61,942.45, reserve $50,426.17) and the sewer fund balance was $749,507.82 (SRF $220,273.36, reserve $461,964.06). The meeting minutes list total disbursements of $32,359.62 for general fund items, $20,795.82 for water and $26,324.98 for sewer.
