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Board approves $1.74 million in disbursements, signs off on treasurer's report
Summary
The NICE Community School District board approved General Fund bills of $1,025,528.41 and total disbursements of $1,742,519.07 for the period April 21–May 16, 2025, and accepted treasurer balances including a Sinking Fund balance of $706,723.66 as of April 30, 2025.
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The NICE Community School District Board of Education approved routine financial measures on May 19, 2025, including General Fund bills of $1,025,528.41 for the period April 21 through May 16, 2025, and April payrolls of $716,990.66, yielding total disbursements of $1,742,519.07.
The board also accepted the treasurer’s reports showing total receipts of $1,413,790.38 and disbursements of $1,481,453.86, a Debt Retirement Fund balance of $225.00, and a Sinking Fund balance of $706,723.66 as of April 30, 2025. The motions to approve the bills and treasurer’s report passed after a motion by Kathleen Carlson, supported by John Grove. No opposition or roll-call tallies were recorded in the minutes.
