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Clerk‑Treasurer reports fund balances; Board of Audit scheduled for Feb. 11
Summary
Clerk‑Treasurer Alana Paumen reported fund balances (General $143,837.62; Road & Bridge $504,086.84; Fire $68,359.64; Cemetery $24,714.81; Contingency $24,650.11) and the board scheduled its Board of Audit for Feb. 11, 2025 at 5:00 p.m.
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Clerk‑Treasurer Alana Paumen provided the board with the township fund balances and reminded supervisors that the Board of Audit will be held Tuesday, Feb. 11, 2025 at 5:00 p.m. The figures recorded in the minutes were: General $143,837.62; Road & Bridge $504,086.84; Fire $68,359.64; Cemetery $24,714.81; Contingency $24,650.11.
Board members approved administrative spending of up to $200 for resident notice postcards to support upcoming mailings; the motion was made by Chairman Mike Helman, seconded by Supervisor Andy Christensen and carried 3‑0. The clerk was asked to prepare audit materials and handle the postcard purchase and mailing.
