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Board approves $1.61 million in disbursements and routine financial reports
Summary
The NICE Community School District Board approved $792,423.38 in General Fund bills, $820,995.47 in January payrolls and total disbursements of $1,613,418.85 at its Feb. 16 meeting; trustees also reviewed fund balances and the Treasurer's reports.
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The NICE Community School District Board of Education on Feb. 16 approved its routine financial reports and payments, including General Fund bills of $792,423.38 for Jan. 19–Feb. 13, 2026 and January payrolls totaling $820,995.47. Trustees accepted a motion by Jim Gray, supported by Kathleen Carlson, to approve the Treasurer’s reports showing total receipts of $2,541,671.20 and total disbursements of $2,341,564.38.
Board members also acknowledged small debt retirement fund balances of $250.00 for both the 2023 and 2025 funds, a Sinking Fund balance of $428,145.58, and a 2025 Capital Projects Fund balance of $270,248.71 as of Jan. 31, 2026. The motion to approve the financial items carried, recorded in the minutes as "Motion carried."
