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NICE board approves $3.94 million in bills, payroll and finance reports

NICE Community School District Board of Education · October 20, 2025
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Summary

The NICE Community School District board approved General Fund bills totaling $3,140,792.55 and September payrolls of $800,176.18, for total disbursements of $3,940,968.73. Trustees also reviewed fund balances including the Sinking Fund and Capital Projects Fund.

The NICE Community School District Board of Education on Oct. 20 approved the consent agenda that included General Fund bills of $3,140,792.55 for Sept. 15–Oct. 17, 2025, and September payrolls of $800,176.18, for total disbursements of $3,940,968.73. The motion to approve the finance items was moved by Jim Gray and supported by John Grove and was recorded as carried.

Treasurer's reports approved by the board showed General Fund receipts of $996,687.69 and disbursements of $2,644,011.53 for the reporting period. The board also noted balances in other funds: Debt Retirement Fund (2023) $250.00, Debt Retirement Fund (2025) $250.00, Sinking Fund $430,859.54, and the 2025 Capital Projects Fund $3,375,794.25 (as of Sept. 30, 2025). These figures were included in the motion approved as part of the consent agenda.