December 10,2020
Meeting Called to Order 7:05
Attendance: Kapin, Jeff, Gerre, Kathy, Roma
Previous minutes read and approved
Old Business: Liz completed lettering on front wall
Getting quote for road repair to
compare
New business:
Treasurer’s Report: The Treasurer’s report stated the month-end fund
balance for December was $33,0000.00 This
amount will be carried over into 2021.
2021Budget: The 2021 Budget meeting was held on November 12th
at 6:00 PM. A budget was compiled, Kathy Nelson presented the
final draft for approval at the board meeting. Jimmy Smith approved and Gerre Slaton seconded
Jimmy to get estimate for front
drainage ditch plan to fix in spring
Went over insurance quote
Architectural Committee:
Discussed fencing requests
Meeting adjourned: 8:15