City of Carson

Regular City Council Meeting

July 14, 2008

Mayor Taylor called the Regular City Council Meeting to order at 7:30 PM. 
Present: Weuve, Damgaard, Pracht, Hendricks, Riddle
Hendricks made a motion to approve the agenda, seconded by Pracht – 5 ayes.
There were no public. 
Maintenance Reports were given regarding ongoing operation issues at the Waste Water Treatment Plant, dangerous trees on private property.
The City Clerk gave the Council a report on the 1998 TIF District Finances. 
Hendricks made a motion to approve the Clerk to draft an Ordinance for Dangerous – Abandoned Buildings by using SWIPCO’s example and to include the City Attorney’s suggestions, seconded by Damgaard – 4 ayes:   Hendricks, Damgaard, Riddle, Weuve.  1 nay: Pracht.  Motion carried. 
Riddle made a motion to approve the consent agenda, seconded by Weuve – 5 ayes.  The consent agenda consisted of the June 9th July 7th minutes, July Bills, Utility Report, Overtime Report, Municipal Infraction Report, Community Center Reports, City Clerk/Treasurer Reports, Sheriffs Report, Fire Department Report, Approved Building Permit Report, Approval of the Tin Cup’s Beer Permit Extend Outdoor Privilege for street dance on 8/1/08-8/2/08. 
Commissioner Reports:  Mayor Taylor appointed Riddle as the City Nuisance Commissioner. 
Hendricks made a motion to adjourn at 7:53 PM, seconded by Damgaard – 5 ayes. 
ATTEST:  Brianne Duede, City Clerk                                                                                                  Lyndon K. Taylor, Mayor
City of Carson June 2008 Revenues:  General $15,519.48; Road Use $4,808.22; TIF Revenue $4,917.54; Employee Benefit Levy $86.39; Debt Service Levy $1,675.99; Community Center Capital Project $200.00; Water $10,226.27; Sewer $9,292.25; Garbage $5,039.16.  Total Revenues $51,765.30.
City of Carson June 2008 Expenses: General $12,626.17, $8.38, $.64, $.51; Road Use $4,424.07; TIF Expense $2,756.27; Employee Benefit $0; Debt Service $205,525.11; Tibbles Subdivision $3,050.00; Water $6,150.80; Sewer $67,420.74; Garbage $4,910.25.  Total Expenses $306,872.94.