February 2024 Meeting Minutes

 

MINUTES

February 19, 2024

 

Meeting opened at 6:30 PM by Mayor, Louis Guido with the Pledge to the Flag. In attendance were Trustee Ian Feulner, Trustee Edward Harvey, Linda Bouck, Clerk-Treasurer, Wayne Valentine, DPW Superintendent, residents Jacob Smoot and Anne Weeks.

Approval of the January minutes as members received in written form. It was upon motion of Trustee Feulner seconded by Trustee Harvey, unanimously carried, to accept the minutes as written.

TREASURER’S REPORT 

Checking Account

 

1/31/24 Balance

General

 

$224,182.61

Water

 

$61,391.93

Total Fund

 

$286,114.54

Trust & Agency

 

                 $143.69

Savings Accounts     

 

1/31/24 Balance

Water System Repair Reserve

 

$2,901.14

Cemetery Capital Reserve

 

$10,844.43

Unemployment Insurance Reserve

 

$2,642.33

Water Debt Service Reserve

 

$20,941.43

Parks & Recreation Reserve

 

$3,575.94

General Fund Savings

 

$25,058.82

 

 

 

                                               

Water

Taxes

Taxes Unpaid

Water Unpaid 12/31/2023

 

$8,279.30

 

Paid in January

$36,905.78

 

Billed in January

$58,060.89

 

Adjusted in January

$1,042.84

 

Unpaid 1/31/24

 

$21,155.11

 

It was upon motion of Trustee Harvey, seconded by Trustee Feulner, unanimously carried, to accept the report as given.

DPW

DPW Superintendent Valentine informed the Board of Trustees that he and Maintenance Worker VanBuren have installed 60 new water meters, and are continuing to do so. Superintendent Valentine stated that he has someone from Rural Water coming out to help with items on the Lead and Copper Rule, for better understanding of what needs to be done to submit the testing and fill out the report. Superintendent Valentine is planning for what needs to be done this Spring as far as sidewalks and street repairs, and also figuring out options on how to get water back into the cemetery.

CHURCH PROPERTY

            A letter will be sent to the Presbyterian Church about the land they donated to the Village for cemetery use. The Board of Trustees have decided it will be too costly for both the Village and the Church, therefore have decided to nullify the transfer of said property. As a result, the Presbyterian Church will no longer be billed per thousand gallons used, and will instead be billed regular rates as prescribed by the Village.

            RESOLVED, upon motion of Trustee Feulner, seconded by Trustee Harvey, unanimously carried.

HYDE CLARK’S CONTRACT

            The Board of Trustees have placed the decision on hold until next months meeting on March 18th. However, Mayor Guido asked Clerk-Treasurer Bouck to contact a few local lawyers with letters of interest.

EMPLOYEE POLICIES

            Adopting the new employee policies have been tabled until next months meeting, so all the Board Members have a chance to go over them.

BUDGET

            DPW Superintendent Valentine stated that they need digging equipment in order to do water digs, and burials in the cemetery, also he needs water replacement parts to restock. Superintendent Valentine also stated that the dump truck needs new tires. Clerk-Treasurer Bouck asked the Board of Trustees what percentage of Deputy Clerk-Treasurer Bouboulis’ pay that they would like taken from the water account. The Board stated that Deputy Clerk-Treasurer Bouboulis’ percentage will be the same as Clerk-Treasurer Bouck’s at a 75/25 ratio.

OTHER BUSINESS

           Resident Jacob Smoot asked the Board of Trustees to be allowed to utilize the park again, in which the Board explained to Jacob that if there’s any more trouble, then he will be permanently banned, in which Jacob responded that he is sorry for what happened and promises nothing will happen again. The Board of Trustees approved his request.

            RESOLVED, upon motion of Trustee Harvey, seconded by Trustee Feulner, unanimously carried.

            Clerk-Treasurer Bouck requested approval to pay American Express bills as they come in to keep from getting late fees, since bills are due before Board Meeting.

             RESOLVED, upon motion of Trustee Feulner, seconded by Trustee Harvey, unanimously carried.

             Clerk-Treasurer Bouck presented the Board of Trustees with a draft of the upcoming Spring/Summer Newsletter, and it was approved. Also, Clerk-Treasurer Bouck stated the Annual Water Quality Report will be finished before next Board Meeting.                                                                             

AUDIT OF CLAIMS

After review by the board, it was upon motion of Trustee Harvey, seconded by Trustee Feulner, unanimously carried to make payment on bills and budget amendments and modifications as follows:

 

General Fund

Ch. #’s 15932-15978

$37,001.13

Water Fund                

Ch. #’s 15900-15931

$7,828.78

Total Fund

Ch. #’s 15932-15978

$44,829.91

Trust and Agency Fund

Ch. # Auto deductions

$3,264.10

 

 

EXECUTIVE SESSION

            Regular Monthly meeting closed at 7:21 PM, upon motion of Trustee Harvey, seconded by Trustee Feulner, unanimously carried.

 Executive Session opened at 7:21 PM, upon motion of Trustee Feulner, seconded by Trustee Harvey, unanimously carried. Closed Executive Session at 7:46 PM.

ADJOURNMENT

            The meeting adjourned at 7:47 PM upon motion of Trustee Harvey, seconded by Trustee Feulner, unanimously carried.

 

Respectfully Submitted,

 

Linda Bouck, Clerk-Treasurer

February 20, 2024

 

January 2024 Meeting Minutes

 

MINUTES

January 15, 2024

 

Meeting opened at 6:30 PM by Deputy Mayor, Ian Feulner with the Pledge to the Flag. In attendance were Deputy Mayor Ian Feulner, Trustee Edward Harvey, Linda Bouck, Clerk-Treasurer, Wayne Valentine, DPW Superintendent, and Mike Hutcherson from NFP.

 

Approval of the December minutes as members received in written form. It was upon motion of Trustee Harvey seconded by Deputy Mayor Feulner, unanimously carried, to accept the minutes as written.

 

TREASURER’S REPORT 

 

Checking Account

 

12/31/23 Balance

General

 

$216,916.51

Water

 

$28,974.94

Total Fund

 

$245,891.45

Trust & Agency

 

                 $30.30

Savings Accounts     

 

12/31/23 Balance

Water System Repair Reserve

 

$2,901.09

Cemetery Capital Reserve

 

$10,844.25

Unemployment Insurance Reserve

 

$2,642.29

Water Debt Service Reserve

 

$20,941.07

Parks & Recreation Reserve

 

$3,575.88

General Fund Savings

 

$25,058.82

 

 

 

                                               

Water

Taxes

Taxes Unpaid

Water Unpaid 12/1/2023

 

$8,447.30

 

Paid in December

$168.00

 

Billed in December

$0.00

 

Adjusted in December

$0.00

 

Unpaid 12/31/23

 

$8,279.30

 

It was upon motion of Deputy Mayor Feulner, seconded by Trustee Harvey, unanimously carried, to accept the report as given.

 

DPW

DPW Superintendent Valentine informed the Board of Trustees that he is getting pricing to replace piping at the DPW shop since his inventory is getting low, and needs more in case there are more water breaks. Superintendent Valentine discussed that after the new pumps were replaced that it took days to fill the tank, but the water quality is better now than it has been in a few years. Superintendent Valentine also discussed that he and maintenance worker Stacy VanBuren have been working hard to make sure any and all equipment is maintained to keep up with snow removal this winter.

 

WATER BILLS

            3 water bills were approved to be adjusted, resident Sherry Harrington, since her water has been turned off since November of 2022, the Presbyterian Church, since something is wrong with their new meter, and an unknown that was generated by the water software program.

 

MIKE HUTCHERSON-VILLAGE INSURANCE

            Mike discussed with the Board of Trustees that the Village now has Selective Insurance Company, instead of Trident since Trident wanted over $16,000.00 and Selective Insurance is offering us the same coverage for just under $13,000.00. Mike also discussed the policy on abuse prevention and why it’s important for the Village to have it in place, and asked the Board to adopt it.

            RESOLVED, upon motion of Trustee Harvey, seconded by Deputy Mayor Feulner, unanimously carried.

 

BUDGET

            Clerk-Treasurer Bouck asked the Board and DPW Superintendent to start thinking about upcoming items they may need so she can start working on the new 2024-2025 fiscal year budget.

 

OTHER BUSINESS

           Clerk-Treasurer Bouck asked the Board for approval for Deputy Clerk-Treasurer Eve Bouboulis to take the Introduction to Accounting in March, the registration fee is $85.00.

            RESOLVED, upon motion of Deputy Mayor Feulner, seconded by Trustee Harvey, unanimously carried.

 

AUDIT OF CLAIMS

After review by the board, it was upon motion of Trustee Harvey, seconded by Deputy Mayor Feulner, unanimously carried to make payment on bills and budget amendments and modifications as follows:

 

General Fund

Ch. #’s 15900-15931

$16,067.67

Water Fund                

Ch. #’s 15900-15931

$3,912.89

Total Fund

Ch. #’s 15900-15931

$19,980.56

Trust and Agency Fund

Ch. # 2040 & Auto deductions

$3,393.52

 

ADJOURNMENT

            The meeting adjourned at 7:39 PM upon motion of Deputy Mayor Feulner, seconded by Trustee Harvey, unanimously carried.

 

Respectfully Submitted,

 

Linda Bouck, Clerk-Treasurer

January 16, 2024

July 2023 Meeting Minutes

 

 MINUTES

July 17, 2023

 

Meeting opened at 6:30 PM by Mayor Guido with the Pledge to the Flag. In attendance were Mayor Louis Guido, Trustee Ian Feulner, Trustee Edward Harvey, Linda Bouck, Clerk-Treasurer, and Wayne Valentine, DPW Superintendent. Also in attendance was resident Deb Whiteman

 

 

Approval of the June minutes as members received in written form. It was upon motion of Trustee Feulner, seconded by Trustee Harvey, unanimously carried, to accept the minutes as written.

 

TREASURER’S REPORT 

 

Checking Account

 

06/30/23 Balance

General

 

$264,174.25

Water

 

$65,483.80

Total Fund

 

$329,658.05

Trust & Agency

 

                 $356.84

Savings Accounts     

 

06/30/23 Balance

Water System Repair Reserve

 

$2,900.79

Cemetery Capital Reserve

 

$10,843.17

Unemployment Insurance Reserve

 

$2,642.05

Water Debt Service Reserve

 

$20,938.95

Parks & Recreation Reserve

 

$3,575.52

General Fund Savings

 

$25,055.04

 

 

 

                                               

Water

Taxes

Taxes Unpaid 6/1/2023

Water Unpaid 6/1/2023

 

$0.00

 

Paid in June

$0.00

$152,297.72

Billed in June

$0.00

$213,858.01

Adjusted in June

$0.00

$145.26

Unpaid 7/1/2023

 

$0.00

 

$61,560.29

 

It was upon motion of Trustee Feulner, seconded by Trustee Harvey, unanimously carried, to accept the report as given.

 

DPW

 

            DPW Superintendent Valentine discussed that he is getting a list together of surplus items that the Village will be putting up for public auction. Superintendent Valentine stated that he and maintenance worker, Stacy VanBuren will be starting to put new meters into residents’ homes. Superintendent Valentine also stated that he would like to order parts that are needed for water repairs, and that pump 2 is leaking. The Board requested that he get quotes and bring them to the next Board meeting for review.

 

OTHER BUSINESS

            Resident Deb Whiteman asked the Board of Trustees permission to hang “Cherry Valley Heroes” banners on the poles within the Village, and was permitted to do so, but the Board did ask that she get them the size of banners and type of brackets that will be used, in which Ms. Whiteman agreed to do. Trustee Feulner asked for permission to use the parking lot next to the bank for the Folkfest for Food on August 10th, 17th, and 24th. The Board of Trustees approved for the use of the parking lot, and asked Superintendent Valentine to block off the parking lot on those days.

 

AUDIT OF CLAIMS

 

            After review by the board, it was upon motion of Trustee Harvey, seconded by Trustee Feulner, unanimously carried to make payment on bills and budget amendments and modifications as follows:

 

General Fund

Ch. #’s 15653-15687

$18,980.05

Water Fund                

Ch. #’s 15653-15687

$4,357.13

Total Fund

Ch. #’s 15653-15687

$23,337.18

Trust and Agency Fund

Ch. #’s Auto Deductions

$2,984.64

 

Budget Modifications 2023-2024

To                                                                    From                                                              

 

Budget Amendments 2023-2024

From                                       To                                                                                             

 

ADJOURNMENT

 

The meeting adjourned at 7:13 PM upon motion of Trustee Feulner, seconded by Trustee Harvey, unanimously carried.

 

Respectfully Submitted,

 

Linda Bouck, Clerk-Treasurer

July 18, 2023