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Board approves routine financial adjustments, moves rainy‑day funds and reviews reimbursements
Summary
The board approved utility billing adjustments (including a $1,021.34 wastewater adjustment), reviewed warrants and the APB register balance, moved to set aside $35,000 in a rainy‑day (EDIT) account, and approved conference reimbursements; staff were asked to add a council signer to bank accounts.
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The Clerk reported February utility adjustments including a $1,021.34 wastewater adjustment for a mobile‑home community and other small account corrections; the APB register balance was given as $155,412.07. The board approved adjustments and moved forward on routine financial housekeeping items.
The board also moved a resolution to set aside $35,000 in a rainy‑day fund (Resolution 2026‑26) and approved reimbursement requests, including $1,190 for hotel and travel to a rural water conference. Members discussed adding a council member as an authorized bank signer and asked staff to bring the appropriate paperwork to the next meeting.

