Town of Fairview Park
Minutes of the November 12th, 2019 Meeting
                                                  Town of Fairview Park
                             Minutes of the November 12th, 2019 Meeting

             The Town Council held their regular meeting on Tuesday November 12th, 2019 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, Tonya Cox, Larry Wilson, Jim Moore and Attorney Henry Antonini all present, Larry Natalie was absent. A motion was made by Tonya Cox and seconded by Larry Wilson to accept the minutes of the October meeting and financial report. The motion carried by voice vote.
             Curtis gave the town marshal update he spoke about the grant for the towns police car he said that he has been in contact with Fletcher Chrysler they are the dealership who has the states bids. Curtis said he has found out that the Dodge Chargers will not be available for the town due to the amount of time we have left on the grant so they are looking at the Dodge Durango’s Curtis said he has spoken to other agencies who have Durango’s and they are pleased with them, he explained the difference in price between the Charger’s and Durango’s and it amounts to about $1,000.00
             Larry Wilson asked Sue about the street light’s that was out around town, she said that all of them have been taken care of.
             A motion was made by Tonya Cox and seconded by Jim Hall to pay the towns claims in the amount of $10,405.19 the water department claims in the amount of $14,093.69 and the wastewater claims in the amount of $15,814.40. The motion carried by voice vote.
             The meeting was adjourned at 7:10pm with a motion by Tonya Cox and seconded by Jim Hall, The motion carried by voice vote.

                                                                                                                             Attested to by:
                                                                                                                             Milisa Carty, Clerk/Treasurer
                                                                                                                             November 12th, 2019
FINANCIAL REPORT
General Fund                                      $16,596.21
MVH Fund                                          $24,278.24
MVH Restricted                                   $27,302.59
LR & S Fund                                       $32,698.13
CCD Fund                                          $26,232.93
CCI Fund                                            $29,951.28
Cum Fire Fund                                    $71,708.17
Flag Fund                                               $268.58
Riverboat Wagering                             $32,398.78
Rainy Day Fund                                  $32,150.76
Police Ed. Fund                                    $3,184.13
Certified Shares                                   $28,054.50
Public Safety                                       $48,797.87
Balance as of
November 30th, 2019                         $373,622.17