Regular Meeting of
the
Agenda
A. Approval of May 18th, 2010 minutes.
B..Clerks report.
C. Disbursements
7.. Audit of Claims.
8..Treasurers Report To Deposit Revenue $138.30 R&B $2755.49
Final totals from treasurer’s written report.
Revenue $81412.07
Road & Bridge $307669.90
Available Monies $389.081.97
Fire funds $3656.19
Building $355.62
Capital Imp. $138,347.38
Contingency $35,564.04
Checks Out $650.56
Checking $1193.96
9. New Business .
A. Letters to residents to appear.
B. Quote for soil boring.
C.. Up-Creek Bar License.
10. Old Business
A Discussion on charter school by John.
B.Employee Manual
C.Health Insurance
D.P&Z Manual
11. Maintenance Report.
A. General Activity.
12. Adjourn