Regular Meeting of
the
Agenda
A. Minutes Of
B..Clerks report.
C. Disbursements
7.. Audit of Claims.
8..Treasurers Report To Deposit $1374.27
Final totals from treasurer’s written report.
Revenue $114549.62
Road & Bridge $233630.90
Available Monies $348180.52
Fire funds $15743.56
Building $433.73
Capital Imp. $93649.87
Contingency $25533.55
Playground $1000.08
Checks Out $4616.81
Checking $377.87
9. New Business
A. Applicants for the vacant P&Z position.
10. Old business
11. Maintenance Report.
A. General Activity.
12. Adjourn