The Town Council held their regular meeting on Tuesday, September 11, 2007 at 7:00 p.m. at the Municipal Building. The Pledge to the Flag was recited. Roll call was taken with council members James Hall, Tonya Smith, David Crane and Norma Snedeker and Attorney Henry L. Antonini present. Council member Larry Natalie was absent. Council member Tonya Smith presided over the meeting.
The minutes of the August meetings and financial report were approved with a motion by Norma and seconded by David. The motion carried by voice vote.
There was no public comment on the 2008 budget. A motion was made by Norma and seconded by David to pass the 2008 budget as presented. The motion carried by voice vote.
Joe Summers asked about a house at 5th and Towne. He was advised that the Health Department was working with the residents.
Teresa presented information on a quote from Tim Wells Valuation Services for compiling fixed assets for the Town. After a short discussion, it was decided not to contract Mr. Wells' services at this time.
Leonard Akers requested that the Council consider setting Trick or Treating for one night this year. A motion was made by Norma and seconded by David to allow Trick or Treating on Halloween night only. The motion passed by voice vote.
John Newman Jr. requested that the park be sprayed for hornets. It has been sprayed once, but will be sprayed again.
Jim Moore advised that they would need to have the power off one day to run new electrical. He will advise Sue and Mary Kay when it is set.
A motion was made by Norma and seconded by David to pay the Town claims in the amount of $21,750.05, the wastewater claims of $5,805.97 and the Water department claims in the amount of $8,396.99. The motion carried by voice vote.
The meeting adjourned at 7:12 p.m. with a motion by David and seconded by Jim. The motion carried by voice vote.
Attested to by:
Teresa Baker, Clerk-Treasurer September 11, 2007
FINANCIAL REPORT
General Fund 1,548.96
MVH Fund 38,779.68
LR & S Fund 18,594.04
CCD Fund 19,125.14
CCI Fund 467.74
Cum Fire Fund 13,055.57
Police Ed. Fund 1,055.75
Flag Fund 331.90
Riverboat Wagering 31,745.35
Rainy Day Fund 2,476.00
Park Grant Fund 369.96
Excess Levy Fund 129.00
Balance as of
Sep. 30, 2007 $127,679.09