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NICE School Board approves $2.83 million in disbursements, reports fund balances
Summary
The NICE Community School District Board on Jan. 19 approved $1,904,357.59 in General Fund bills and $928,768.58 in payroll, reporting total disbursements of $2,833,126.17 and providing year-end fund balances for debt, sinking and capital accounts.
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At its Jan. 19, 2026 meeting the NICE Community School District Board of Education approved General Fund bills totaling $1,904,357.59 for Dec. 15, 2025–Jan. 16, 2026 and December payrolls of $928,768.58, for total disbursements of $2,833,126.17.
The board accepted the Treasurer’s Report showing General Fund receipts of $1,409,911.83 and General Fund disbursements of $1,728,797.91. Officials also reported Debt Retirement Fund (2023) and Debt Retirement Fund (2025) balances of $250.00 each, a Sinking Fund balance of $289,191.63, and a 2025 Capital Projects Fund balance of $1,068,788.11 as of Dec. 31, 2025. The motions to approve were made by Kathleen Carlson and supported by Jim Gray and were recorded as carried.
