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NICE board approves $2.34 million in disbursements, including $1.51M in General Fund bills
Summary
The NICE Community School District Board approved $1,507,683.73 in General Fund bills and $833,216.77 in March payrolls — total disbursements of $2,340,900.50 — as part of a consent agenda motion that carried unanimously.
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The NICE Community School District Board of Education on April 20 approved routine financial disbursements that included $1,507,683.73 in revised General Fund bills for March 16–April 17, 2026 and $833,216.77 in March payrolls, for total disbursements of $2,340,900.50.
The motion to approve the payments was made by Jim Gray and supported by Kathleen Carlson and carried without further recorded opposition. The board’s Treasurer’s reports, presented with the consent agenda, showed General Fund receipts of $1,645,013.62 and disbursements of $1,687,349.52; the Sinking Fund balance was reported as $1,081,348.69 and the 2025 Capital Projects Fund balance as $240,733.16. Debt Retirement Fund balances (2023 and 2025) were each shown as $250.00.
Board members passed the consent agenda and minutes by voice vote earlier in the meeting. No members offered amendments or requested separate consideration of individual items at the time of the vote.
