AGENDA
BOARD OF FINANCE
REGULAR MEETING
MONDAY, July 23, 2007 7:30 P.M.
COUNTRYSIDE PARK, 335 HUCKLEBERRY HILL ROAD
I. CALL TO ORDER
II. PLEDGE OF ALLEGIANCE
III. COMMUNICATION FROM AUDIENCE
IV. MINUTES OF PRECEDING MEETING: April 9, 2007
April 10, 2007
April 23, 2007
V. OLD BUSINESS
06/07-03 Supplemental Appropriation: $156,962: Board of
Education: Gary Franzi, Finance Director,
Board of Education
a. Request for Transfer of Funds Between
Projects: $ 4,970.75
b. Request for Transfer of Funds Between
Projects: $11,350.00
c. Request for Use of Insurance Reimbursement Funds
to Apply to Projects : $14,792.13
Additional Supplemental Appropriation from
Undesignated Fund Balance: $15,881.62
Transfer of Appropriations: $30,673.75
d. Unplanned Capital Expenditures; $18,626.25
VII. NEW BUSINESS
07/08-01 Supplemental Appropriation: General Fund Undesignated
Fund Balance: $19,325, Avon High School Gymnasium Compressors:
Gary Franzi, Finance Director, Board of Education
VI. NEW BUSINESS
VII. MISCELLANEOUS
VIII. OTHER BUSINESS
IX. ADJOURN
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