REGULAR
MEETING OF THE SILVER CREEK TOWNSHIP BOARD
MAY
16TH, 2006
7
P.M.
A. FINAL TOTALS FROM
TREASURERS WRITTEN REPORT.
TO DEPOSIT TO BUILDING-
$300.00
REVENUE-$110,057.43
ROAD AND BRIDGE-
$212,420.03
AVAILABLE MONIES
-$322,477.46
FIRE FUNDS- MONTI $1,483.83
–
97TH AMERY
$4,481.09
CHARITABLE $2,864.16
BUILDING $4,541.09
BLACKTOP $771.71
CONTINGENCY $20,279.14
LL-142ND
$31,509.47
CHECKING $589.55
CHECKS OUT 42,263.79
10. NEW BUSINESS
A.
A. SPECIAL AGENDA ITEMS.
B. GENERAL ACTIVITY REPORT.
11.
ADJOURNMENT
Disclaimer: This agenda has been prepared
to provide information regarding an upcoming meeting of the Silver Creek Board
of Supervisors. This document does not claim to be complete and is subject to
change.