Regular Meeting of
the
Agenda
A. Minutes Of February 16 th,2010 & Organizational meeting
B..Clerks report.
C. Disbursements
7.. Audit of Claims.
8..Treasurers Report To Deposit Revenue$
Final totals from treasurer’s written report.
Revenue $129,882.03
Road & Bridge $370,390.08
Available Monies $500,272.11
Fire funds $19,081.53
Building $220.59
Capital Imp. $138,226.72
Contingency $35,550.75
Playground $1000.28
Checks Out $7372.71
Checking $376.28
9. New Business
.( Gravel Hauling Quotes) Acceptance (Bjorklund letter)
A John up date on the 20/20 line project.
B.Dog Ordinance (Silver Creek) review
C. Dust coating Quote
D. Message center sign quote (All Bright sign)
E. Maple Lake Fire Contract
Old Business
A. Olson Campground renew license
B.. Planning and Zoning procedure Manual comments from board.
11. Maintenance Report.
A. General Activity.
12. Adjourn