Regular Meeting of
the
Agenda
A. Minutes Of
B..Clerks report. Resolution
C. Disbursements
7.. Audit of Claims.
8..Treasurers Report To Deposit Revenue$30.00 Bldg $300.00
Final totals from treasurer’s written report.
Revenue $96,487.05
Road & Bridge $168,384.73
Available Monies $264,871.78
Fire funds $100.39
Building $323.77
Capital Imp. $93,673.35
Contingency $25,539.95
Playground $1,000.16
Checks Out $3,562.57
Checking $383.39
9. New Business
A. Employee Hand Book ( Attorney Ronda Pagel has in
B Response from Tom Salkowski on letters sent.
C. Par-Time Employees discussion
Old Business
A. Resolution for change of supervisor terms.
B..New equipment purchase (Tractor) .
11. Maintenance Report.
A. General Activity.
12. Adjourn