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Dupont Board accepts treasurer's report showing $227,332.61 in checking as of April 30
Summary
Clerk/Treasurer Robyn Meek presented the April 30, 2026 Treasurer's Report showing Town checking of $227,332.61 and detailed fund balances; the Board voted to approve the report.
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Clerk/Treasurer Robyn Meek presented the Treasurer's Report for the period ending April 30, 2026, noting the Town checking account balance of $227,332.61. The report listed specific fund balances including General Fund $4,251.18; MVH $20,305.66; MVH Restricted $40,172.92; LRS $41,808.01; CEDIT (LIT) $80,892.49; Public Safety (LIT) $12,611.96; and others. Dupont Sewage checking showed $112,315.95 with a Cash Operating Fund of $27,179.55, Debt Service Fund $44,571.23, and Improvement Fund $40,565.17.
Member Belinda Gill moved to approve the Treasurer's Report as presented; Member Kaleb Malcom seconded and the motion carried. The Board signed bills and vouchers during the meeting and scheduled the next regular monthly meeting for Tuesday, June 9, 2026 at 6:00 p.m.
