Fairview Park, Town Council 
Meeting Minutes for May 11, 2021
                                                               Town of Fairview Park
                                                     Minutes of the May 11th, 2021 Meeting

       The Town Council held their regular meeting on Tuesday May 11th, 2021 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 April meeting and financial report. The motion carried by voice vote.
Tonya informed the board of a large hole on Sixth St. between Ninth & Lincoln streets that needs repaired. Larry Wilson spoke about signage on Town St., he mentioned there are nine locations without signs he believes that yield signs could be used with a stop sign at Pike St. Larry Natalie said that an ordinance will have to be passed before the town could proceed with the signs. Curtis mentioned that a stop sign was down at Third & Jackson streets Jim Hall thought it was a yield sign that was there.
      Curtis gave a quick update on the phone issues, the old service has been cancelled and they are waiting on the new phones to arrive, when they do the new numbers will be put in the paper and other outlets so the town residents will have access to them, He said the trailer on Lincoln St that they have been dealing with that his department will have a tow truck come in to tow the cars away, the residence on Davis St. has done some clean up but still has some more to do, And he mentioned there was two lots in town that had not been mowed and his department had taken care of those. Jim Moore asked about golf carts getting registered and inspected Curtis said that him or Mike Ray have not done any in quite a while.
       Brad Thompson informed the board of his intensions of building a new home at First and Davis streets he mentioned the town has a right of way on the property for the town’s utilities.
       Resident Mike Harlow asked the board if the town would sale a piece of property that is right next to his property, the property in question is the driveway for the old town hall, he explained that he would like to expand his garage for possible business purposes, Larry said no since the property is not considered surplus property by the town, Larry said the town’s attorney will have to give some advice on this, after some discussion Henry said for Mr. Harlow to submit a proposal of his intensions to the board for them to consider, Mr. Harlow asked if he does go ahead with his improvements will he be held to all the restrictions of the property lines since his lot is small, Larry said they will have to check on that and that there are several other things to consider and more information is needed before the board could make a decision on this.
      A motion was made by Tonya Cox and seconded by Jim Moore to pay the towns claims in the amount of $33,048.22, the water department claims in the amount of $12,128.41, the wastewater claims in the amount of $19,551.95 with bond payment in the amount of $26,531.25. The motion carried by voice vote.
     The meeting was adjourned at 7:20pm with a motion by Tonya Cox and seconded by Jim Moore, the motion carried by voice vote.

                                                                                                                  Attested to by:
                                                                                                                  Milisa Carty, Clerk/Treasurer
                                                                                                                  May 11th, 2021
FINANCIAL REPORT
General Fund                                          $10,012.33
CCMG                                                       $4,562.77
MVH Fund                                                 $6,550.32
MVH Restricted                                        $68,311.02
LR & S Fund                                            $39,953.17
CCD Fund                                               $18,925.45
CCI Fund                                                 $31,380.17
Cum Fire Fund                                        $77,789.87
Flag Fund                                                     $868.58
Riverboat Wagering                                 $13,680.58
Rainy Day Fund                                       $46,185.04
Police Ed. Fund                                         $4,006.83
Certified Shares                                       $32,886.25
Public Safety                                           $52,201.98
Balance as of
April 30th, 2021                                     $407,314.36