Regular Meeting of
the
Agenda
A. Approval of June 15th, 2010 minutes.
B..Clerks report. (Summer short course suggestions)
C. Disbursements
7.. Audit of Claims.
8..Treasurers Report To Deposit Revenue $2013.90 R&B $2167.12
Final totals from treasurer’s written report.
Revenue $143732.71
Road & Bridge $482508.32
Available Monies $626241.03
Fire funds $56.28
Building $300.63
Capital Imp. $138372.40
Contingency $35567.26
Checks Out $1697.66
Checking $192.39
9. New Business .
A. Shouldering
B. Crack Fill Hall parking lot.
C.. .Sprinkler system
10. Old Business
A..Road projects or ?
11. Maintenance Report.
A. General Activity.
12. Adjourn