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Tabor trustees approve agenda, financial report, minutes and $16,633.73 in bills
Summary
At its Dec. 3 meeting the Tabor Board of Trustees unanimously approved the agenda, accepted the financial report, approved last month’s minutes and authorized payment of presented bills totaling $16,633.73. The finance report showed a general fund balance of $753,398.53.
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The Tabor Board of Trustees voted to approve the evening’s agenda and routine housekeeping items during its Dec. 3 meeting. Trustees also accepted the financial report and approved payment of bills totaling $16,633.73, board minutes show.
The finance report presented by Finance Officer Ev Kloucek listed account balances: General Fund $753,398.53; Water $199,210.70 (surcharge $63,245.01); Sewer $737,353.35 (surcharge $308,655.93); and Park Savings $23,608.50. Multiple line-item expenditures were noted in the general fund, including utilities, snow removal and a $4,116 asphalt expense.
All initial motions—moved by Trustee Ken Carda and seconded by other trustees as recorded—carried without recorded objection. The approvals cleared routine business so the Board could proceed to public delegations and scheduled agenda items later in the session.
