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Council records August cash balance, approves drain appropriations and routine transfers
Summary
The council recorded a General ending cash balance of $3,425,252.89 for August 2025, approved $60,000 in cumulative drain appropriations and $30,000 for general drain maintenance, tabled a $20,000 Jackson Township sewer request, and approved routine transfers totaling $645.
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The Blackford County Auditor reported a General ending cash balance of $3,425,252.89 for August 2025, with $454,805.23 in expenditures and $587,164.53 in revenue for the month. The council reviewed the financial figures as part of regular business.
Council approved additional appropriations for Cumulative Drain in the amount of $60,000 and General Drain Maintenance for $30,000 on a motion by Patrick Cale, seconded by Jim Weiseman (7–0). A request from the Jackson Township Sewer District for $20,000 was tabled until the October meeting with a request that Sheila Hyer attend to discuss the matter. The council also approved transfers: $500 from Extra Clerical to Office Supplies for the County General Treasurer and $145 from Dues & Subscriptions to Office Supplies for the Auditor (motion by Cale, seconded by Casey Dick, 7–0).
