Town of Fairview Park
Minutes of the January 11th, 2022 Meeting
The Town Council held their regular meeting on Tuesday January 11th, 2022 at 7:00
p.m. at the Municipal Building. The Pledge to the Flag was recited. Roll call was taken with
council members Jim Hall, Larry Natalie, Tonya Cox and Larry Wilson all present with Jim
Moore and Attorney Henry Antonini absent. A motion was made by Tonya Cox and seconded
by Larry Wilson to accept the minutes of the December meeting and financial report. The
motion carried by voice vote.
First was appointments for 2022, Tonya Cox made the motion to retain everyone in the
positions as they were in 2021 as well as the engineering firm and fire department contract,
Larry Wilson seconded the motion, motion carried by voice vote. The positions are as follows
Town Board President, Larry Natalie- Park Superintendent, Jim Hall- Town Attorney, Henry
Antonini- Town Marshal, Curtis Stoffel- Water Office Manager, Mary Kay Frazier- Street &
Water Employees, Mark Andrews and Ralph Leonard- Superintendent, Susan Crossley-
Engineering Firm, HWC and renew contract with the Fairview Park Volunteer Fire
Department.
Larry informed the board that the backhoe the town’s utility department purchased last
September will finally be delivered by the end of the week.
Curtis spoke briefly about the ongoing cleanup of the properties in town he stated they
are waiting on the weather to break so they can get back on the properties. Larry said he looked
at the property on Lincoln St. and said it will be difficult to get to some of the cars and mess
that is there.
Leonard Akers had a complaint about trash on Rail Road St.
A motion was made by Jim Hall and seconded by Tonya Cox to pay the towns claims
in the amount of $41,769.03, the water department claims in the amount of $19,555.35, the
wastewater claims in the amount of $14,189.18,. The motion carried by voice vote.
The meeting was adjourned at 7:15pm with a motion by Tonya Cox and seconded by
Jim Hall, the motion carried by voice vote.
Attested to by:
Milisa Carty, Clerk/Treasurer
January 11th, 2022
FINANCIAL REPORT
General Fund $27,800.52
CCMG $3,569.15
MVH Fund $4,898.23
MVH Restricted $81,634.06
LR & S Fund $46,310.85
CCD Fund $17,278.53
CCI Fund $34,227.84
Cum Fire Fund $82,184.49
Flag Fund $848.60
Riverboat Wagering $21,881.45
Rainy Day Fund $37,113.67
Police Ed. Fund $3,652.19
Certified Shares . $43,933.34
Public Safety $64,882.99
ARP Funds $103,432.13
Balance as of
January 31th, 2022 573,648.04