Regular Meeting of
the
Agenda
A. Minutes Of November 18th., 2008
B..Clerks
report.
C. Disbursements
6. Audit of Claims.
7.Treasurers
Report( vote to place $1,000.00 into contingency fund)
Deposited $328,828.09 Dec. Settlement
To Deposit $450.00
Bldg .
Final totals
from treasurer’s written report.
Revenue$95,037.06
Road and Bridge$39,151.59
Available Monies $134,188.65
Fire funds $210.84
Building $767.08
Capital Imp. $669.00
Contingency $15,491.27
Checks Out
$1,453.95
Checking $242.12
8.NewBusiness
A.Discussion on what position
B.
9.Old
Business. .
10. Maintenance Report.
A. General Activity.
11. Adjourn