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NICE board approves $2.4 million in disbursements and posts November balances
Summary
The NICE Community School District Board approved General Fund bills of $1,519,606.08, November payrolls of $887,067.79 and total disbursements of $2,406,673.87; trustees also reviewed Treasurer's reports and several fund balances as of Nov. 30, 2025.
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The NICE Community School District Board of Education on Dec. 15 approved routine financial items including General Fund bills of $1,519,606.08 for Nov. 10–Dec. 12, 2025, November payrolls of $887,067.79 and total disbursements of $2,406,673.87.
During the consent motion, Treasurer's reports showed total receipts of $3,057,091.11 and disbursements of $2,481,548.47. The minutes also list Debt Retirement Fund balances of $250.00 (2023) and $250.00 (2025), a Sinking Fund balance of $270,805.87, and a 2025 Capital Projects Fund balance of $1,065,355.71 (all balances reported as of Nov. 30, 2025). The motions were recorded as "motion carried"; specific vote tallies were not included in the minutes.
