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Board approves $2.33 million in disbursements and treasurer's reports

NICE Community School District Board of Education · August 18, 2025
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Summary

The NICE Community School District Board approved General Fund bills of $1,745,017.44 and total disbursements of $2,327,328.08 for the July 21–Aug. 15, 2025 period; Treasurer’s reports showed receipts of $2,842,911.24 and disbursements of $2,650,796.36.

At the Aug. 18, 2025 meeting, the NICE Community School District Board approved the district's financial transactions for late July through mid-August. The board approved General Fund bills totaling $1,745,017.44 for the period July 21 through Aug. 15, 2025, and July payrolls of $582,310.64, producing total disbursements of $2,327,328.08.

Treasurer’s reports cited total receipts of $2,842,911.24 and total disbursements of $2,650,796.36 for the reporting period. The motions to approve the bills and treasurer’s reports were made by John Grove and supported by Chad Korpi and were recorded in the minutes as carried.