MONTHLY BOARD MEETING – February 14, 2024

Chair Laura Rusk called the Board of Supervisors meeting to order at 5:00 p.m.; present via Teleconference were Laura Rusk, Mark Phillips, Dennis Clagett & Cindy Gutsch.  Present at the Town Hall, Patty Swaffield

The January 10, 2024 Monthly Board Meeting and January 23, 2024 Special Meeting were reviewed: no changes were heard; minutes approved.

 Treasurer’s Report:
$  81,365.34   12/31/2023 Bank Statement Balance
$      -651.64   Less 3 Outstanding Checks
$  80,713.70   01/01/2024 Beginning Check Book Balance

January Bank Statement Activity
$  44,057.68     Deposits
$583,251.03-   Checks Cleared
$557,027.77    Transfer January Settlement from MMDA
$           2.28     Interest
$  99,202.04    01/31/2024 Bank Statement Balance
$         55.27-    Less 1 Outstanding Check
$  99,146.77    01/31/2024 Ending Check Book Balance

MMDA           
$ 664,152.78      Beginning Balance
$ 557,027.77-    Transfer January Settlement to Checking
$1,199,801.76    Tax Collections
$    3,802.32       Dog Licenses & Overpaid Taxes
$           70.80     Interest
$1,310,799.89   01/31/2024 Ending Bank Statement Balance

$1,409,946.66  Total all Accounts

General Fund $6,795.72
Tax Collections $1,224,590.43
Equipment Fund $60,00.00
Building Fund $10,000.00
Overpaid Taxes $8,973.74
Dog Licenses $440.00

Treasures report was reviewed; no changes were heard; Treasurers report approved.

ROAD REPORT:  Gary plowed roads one time and sanded 3 times; hauled salt/sand from the County; cut a few more leaning trees; put up weight limit signs; worked on equipment; started culvert inventory.

No NEW BUSINESS

PAYMENT OF DISBURSEMENTS AND PAYROLL will be approved at a later date since the Board did not have a payment list to review.

The Chair ended the meeting at 5:12 p.m.
Patricia R. Swaffield, Clerk