Town of
Regular Board Meeting
Meeting called to order by Roger Stewart at
Present: Roger Stewart Chairman, Joe Edlin First Supervisor, Lindsay Bergquist Second Supervisor, Sharon Stewart Treasurer, Patty Scharr Clerk.
1. Minutes for the
2. Treasurers report was read by Sharon Stewart. The February 28 balance on had was $46,541.74. Deposits in March $341.50 and the March Disbursements were $25,064.16 for a total balance of $21,819.08 on March 31, 2009. A CD was purchased in the amount of $5,500.00 to be set aside for crushed rock and $5,763.00 was put into the Money market account. This brings our total assets to $33,082.08. Joe made a motion to approve the Treasurers report Lindsay Seconded.
3. Road
Discussion:
4. Bills for the
month: Durand publishing $85.30,
A tentative date for the Board of Review is
Joe made a motion to adjourn the meeting Lindsay seconded.
Meeting adjourned at
Next regular town meeting will be 3rd Monday in May;
Patty Scharr
Clerk