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NICE Community School District board approves $3.22 million in June–July disbursements

NICE Community School District Board of Education · July 21, 2025
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Summary

The board approved General Fund bills of $2,474,852.98 and total disbursements of $3,224,796.55 for the June 16–July 18, 2025 period and accepted the June payroll and treasurer’s report during its July 21 meeting.

The NICE Community School District Board of Education approved a package of fiscal items on July 21, 2025, including $2,474,852.98 in General Fund bills for the period June 16 through July 18, 2025, and total disbursements of $3,224,796.55.

"Motion by John Grove supported by Chad Korpi to approve the General Fund Bills in the amount of $2,474,852.98 for the period of June 16, 2025 through July 18, 2025; to approve the June payrolls in the amount of $749,943.57; for total disbursements in the amount of $3,224,796.55; to approve the Treasurer’s Reports..." the minutes record. The motion carried. The board also noted Treasurer’s Report figures showing total receipts of $1,842,115.91 and total disbursements of $1,818,639.47, a Debt Retirement Fund balance of $250.00 and a Sinking Fund balance of $701,167.24 as of June 30, 2025.

Board members moved the finance items through the meeting’s consent agenda; the minutes record that the motions "carried" but do not list a roll-call vote for the financial approvals. The minutes do not include line-item detail for the vendor payments or the Sinking Fund composition; those specifics were not provided in the recorded motion.