Citizen Portal
Sign In

Get Full Government Meeting Transcripts, Videos, & Alerts Forever!

Get email alerts on the Municipal Finance topic

No spam. Unsubscribe anytime.

Dupont board approves monthly treasurer's report showing $233,236 in town checking

Dupont Town Board · June 9, 2026
AI-Generated Content: All content on this page was generated by AI to highlight key points from the meeting. For complete details and context, we recommend watching the full video. so we can fix them.

Summary

The board accepted the May 31, 2026 Treasurer's Report listing a town checking balance of $233,236.22 and detailed fund balances including CEDIT $87,203.16 and Sewage checking $113,183.99; the motion to approve passed unanimously.

At the June 9 meeting Clerk/Treasurer Robyn Meek presented the Treasurer's Report for May 31, 2026. The report listed a Town Checking Account balance of $233,236.22 and itemized balances for multiple funds, including CEDIT (LIT) at $87,203.16 and Sewage Checking Account at $113,183.99.

Member Lonnie Dicken moved to approve the Treasurer's Report as presented; Member Kaleb Malcom seconded the motion, which the board carried. The approval was recorded without a roll-call tally in the minutes. The board did not specify changes to reserves or transfers at this meeting.