Town of Fairview Park
Minutes of the March 8th, 2022 Meeting
                                                         Town of Fairview Park
                                           Minutes of the March 8th, 2022 Meeting

           The Town Council held their regular meeting on Tuesday March 8th, 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, Larry Wilson, Jim Moore and Attorney Henry
Antonini all present. A motion was made by Tonya Cox and seconded by Jim Moore to accept
the minutes of the February meeting and financial report. The motion carried by voice vote.
           The issue of the boarding kennel remained tabled since there was no one in attendance
to speak on it.
           Larry spoke briefly about two trash complaints, one on Rail Road & Third St. and
another on Kibby & Fourth St., Curtis said he would have someone from his department check
on these complaints.
           Tonya mentioned that the mail lady had requested that the pot holes on the unpaved
streets in town be repaired.
           Curtis asked the board when the town hall would be opened back up for rentals, Larry
said not just yet possibly in a month or two.
           A motion was made by Jim Hall and seconded by Tonya Cox to pay the towns claims
in the amount of $64,602.77, the water department claims in the amount of $18,856.55, the
wastewater claims in the amount of $34,813.34, and storm water in the amount of $2,346.34
The motion carried by voice vote.
           The meeting was adjourned at 7:10pm with a motion by Tonya Cox and seconded by
Jim Moore, the motion carried by voice vote.

                                                                                                  Attested to by:
                                                                                                  Milisa Carty, Clerk/Treasurer
                                                                                                  March 8th, 2022
FINANCIAL REPORT
General Fund                                         $16,162.54
CCMG                                                      $3,569.15
MVH                                                Fund $3,432.16
MVH Restricted                                      $86,861.04
LR & S Fund                                           $48,284.44
CCD Fund                                             $17,23 1.10
CCI Fund                                                $31,752.84
Cum Fire Fund                                       $82,184.49
Flag Fund                                                    $848.60
Riverboat Wagering                                $21,881.45
Rainy Day Fund                                     $38,700.17
Police Ed. Fund                                       $3,652.19
Certified Shares                                     $46,642.02
Public Safety                                          $69,639.33
ARP Funds                                           $103,432.13
Balance as of
March 31th, 2022                                 $574,273.65