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Komarek SD 94 board approves $103,967.90 in February bills, hears January financials
Summary
The Komarek School District 94 Board approved $103,967.90 in bills for February and received a January financial report showing $1,486,290 in revenue and $505,271 in expenditures; fund balances totaled $1,998,116 on Jan. 30, 2026.
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The Komarek School District 94 Board of Education on Feb. 10 approved bills payable for February 2026 in the amount of $103,967.90. President Chris Waas moved the measure and Kelly Will seconded; the roll-call vote was recorded as yes from Merrill, Neumann, Waas, Stevens and Will, with two members absent, and the motion carried 5–0.
President Waas also read the district’s January income statement, reporting revenue of $1,486,290 and expenditures of $505,271. He provided a breakdown of fund balances as of Jan. 30: Education $545,040; Building $147,710; Bond $166,685; Transportation $240,573; IMRF $49,848; Working Cash $846,581; Capital Project $15; Life Safety $1,664; total $1,998,116. The board did not request additional action on the report at the meeting.
