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