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Tabor trustees approve routine business, review town finances
Summary
At the Feb. 3 Tabor Board meeting trustees approved the agenda, financial report, minutes and payments and reviewed fund balances: General $258,648.18; Water $154,545.89 (SRF $61,275.60); Sewer $558,906.49 (SRF $239,309.62).
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The Tabor Board of Trustees approved routine business and the town's financial report at its Feb. 3, 2026 meeting. Chairperson Laverne Schieffer opened the meeting at 6:30 p.m.; on motions by Ken Carda and seconded by Brian Neumayer the board approved the agenda, the financial report, last month's minutes and payment of bills.
Finance Officer Evelyn Kloucek reported fund balances, including a General Fund balance of $258,648.18; Water fund $154,545.89 with $61,275.60 in SRF-designated funds; Sewer fund $558,906.49 with $239,309.62 in SRF funds; and Park savings $23,516.73. The minutes list line-item disbursements for the general fund totaling $10,391.14 and recorded specific vendor payments such as US Bank SRF payment of $10,274.68 under water fund expenses.
The board carried routine motions unanimously as recorded: Motion Carda, second Neumayer to approve agenda; Motion Neumayer, second Carda to approve financial report; Motion Neumayer, second Carda to approve last month’s meeting as published; Motion Neumayer, second Carda to pay bills as presented. The board set the next meeting for Tuesday, March 3, 2026 at 6:30 p.m.
