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Board approves claims, budget amendments and December payments
Summary
Commissioners approved current claims ($149,877.42), budget amendments and additional December 2025 checks totaling $958,262.53; motions passed unanimously by voice vote.
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The board approved multiple finance items during new business, including payment of current claims and adoption of budget amendments.
Chair John Block presented FA007-26 to approve current claims on the accounts payable report dated Jan. 13, 2026, identifying a general bank account payment of $149,877.42. The board then approved budget amendments (FA008-26) and accepted additional general fund checks charged in December 2025 totaling $958,262.53 (composed of $569,004.87 in ACH payments and $388,775.03 in checks). Each motion was moved, supported, and carried by voice vote with no recorded opposition.
Clerk Leslie Goldendahl recorded motions and votes; the actions clear payables and update fiscal accounts for county operations. No commissioner asked for further breakdown of the December charges at the meeting; staff will provide more detailed finance documents on request.

