Fairview Park, Town Council 
Meeting Minutes for October 8, 2024
                                                           Town of Fairview Park Minutes
                                                               of the October 8th, 2024 Meeting

            The Town Council held their regular meeting on Tuesday October 8th, 2024 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 Larry Wilson
to accept the minutes of the September meeting and financial report. The motion carried by
voice vote.
             Larry Wilson asked if the town had received the order of street signs yet, Larry Natalie
informed him that all the signs had been delivered and a few have already been installed.
Larry W. also asked where the solar speed limit sign was located at now and Larry N. said it
currently was on Davis St.
            Ordinance 2024-2 Adopting the 2025 Budget was read in full and again by title only.
Tonya Cox made the motion to allow the 2025 budget with Jim Moore seconding the motion,
motion carried by voice vote.
            Trick or Treat hours was briefly discussed with Tonya Cox making a motion to allow
trick or treating on October 31st from 5:00 to 8:00pm. Jim Moore seconded the motion, motion
carried by voice vote
            Fire Chief Chad Moore mentioned that his department could be getting an enclosed
trailer donated to them and asked if they could store it by the old town hall, the board said that
would be fine.
             A motion was made by Tonya Cox and seconded by Jim Moore to pay the towns claims
in the amount of $25,744.79, the water department claims in the amount of $23,119.88, the
wastewater claims in the amount of $7,193.33, and storm water in the amount of $2,346.34.
The motion carried by voice vote.
            The meeting was adjourned at 7:12 pm with a motion by Tonya Cox and seconded by
Jim Moore, the motion carried by voice vote.

                                                                                                                     Attested to by:
                                                                                                                     Milisa Carty, Clerk/Treasurer
                                                                                                                     October 8th 2024
FINANCIAL REPORT
General Fund                                       $105,874.0 I
MVH Fund                                              $22,931.46
MVH Restricted                                      $155,330.2
LR & S Fund                                           $57,543.87
CCD Fund                                              $14,532.60
CCI Fund                                                $20,206.14
Cum Fire Fund                                        $95, II0.93
Flag Fund                                                      $60.68
RainyDayFund                                        $68,764.18
Police Ed. Fund                                        $2,260.19
Public Safety                                          $85,287.92
CCMG                                                      $3,569.15
ARP Funds                                            $66,795.50
Opioid Distribution                                   $3,509.28
Opioid Unrestricted                                  $3,958.45
Balance as of
October 31th, 2024                              $705,734.63