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NICE board approves $2.09 million in disbursements, payroll of $833,216.77
Summary
The NICE Community School District board approved General Fund bills of $1,258,448.53, March payrolls of $833,216.77, and Treasurer's reports showing General Fund receipts of $1,645,013.62 and disbursements of $1,687,349.52; motions carried on the consent agenda.
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The NICE Community School District Board of Education approved routine financial items at its April 21, 2025 regular meeting, including General Fund bills totaling $1,258,448.53 for the period March 17 through April 18, 2025 and March payrolls of $833,216.77. The board recorded total disbursements of $2,091,665.30 for the period cited and accepted the Treasurer’s Reports showing General Fund receipts of $1,645,013.62 and disbursements of $1,687,349.52.
Board members moved the consent agenda and approved the minutes and finance items as part of that motion. The minutes record the Sinking Fund balance at $943,625.42 as of March 31, 2025. Motions on these consent items were moved by Scott Mann and supported by John Grove and were recorded as carried in the minutes.
