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City presents $163,067.07 in claims and December revenues of $227,283.73
Summary
Council reviewed the city's January expense claims totaling $163,067.07 across funds and a December 2025 revenue summary totaling $227,283.73; notable line items included Alliant Energy ($18,366.67), Cooley Sanitation ($17,451.24) and Homefront Builders ($18,731.28).
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The meeting packet included detailed January 2026 expense claims totaling $163,067.07 allocated across multiple funds: General Fund $28,480.79; Road Use Tax Fund $36,791.02; Employee Benefits Fund $7,850.89; Library Addition Fund $18,731.28; Water Fund $28,730.81; Sewer Fund $17,191.64; Garbage/Recycling Fund $24,974.93; and others.
The minutes list significant line items including Alliant Energy at $18,366.67, Cooley Sanitation contract at $17,451.24, and a Homefront Builders phase 1 down payment of $18,731.28. Council also reviewed December 2025 revenues totaling $227,283.73 across funds (General Fund $41,829.97; Local Option Sales Tax $36,124.94; Sewer Fund $48,464.63; Library Gift & Trust $37,156.52 among others). No objections to the claims totals were recorded during the meeting.
