Public Notices

Woonsocket School Board proceedings

UNAPPROVED MINUTES – REGULAR MEETING HELD OCTOBER 9, 2023

The Woonsocket Board of Education met in regular session on October 9th, 2023, at 4:30 p.m. in the Boardroom of the Woonsocket School.   Members attending were Jason White, Lisa Snedeker, Becca Grassel, and Rikki Ohlrogge. Todd Olinger was absent.  Others attending were Superintendent Rod Weber, Jason Bruce, Brooke King, Armando Rodriguez, and Sarah Swenson. The Pledge of Allegiance was recited and the meeting was called to order at 4:30 p.m.  

On a motion by Lisa Snedeker, seconded by Becca Grassel, the Board approved the meeting agenda. Motion carried.

The minutes of the regular board meeting held on September 11, 2023, were approved as presented on a motion by Rikki Ohlrogge, seconded by Becca Grassel. Motion carried.  

On a motion by Becca Grassel, seconded by Rikki Ohlrogge, the Board approved the claims presented and the September 2023 financial report as follows. Motion carried.

GENERAL FUND, Beginning balance: $1,007,198.84; Add receipts: Taxes $6,922.24; Interest $7,490.12; Admissions $1,210.00; Other local $2,618.32; State $134,631.00; Federal $0.00; Total to be accounted for: $1,160,070.52; less disbursements $185,106.45;   Cash balance: $974,964.07; less contracts and accounts payable/transfers $0.00; plus accounts receivable $0.00; Fund balance: $974,964.07.

CAPITAL OUTLAY, Beginning balance: $1,840,126.24; Add receipts: Taxes $8,684.98; Federal:  $0.00. Total to be accounted for:  $1,848,811.22; less disbursements $109,247.68; Cash balance: $1,739,563.54; less accounts payable $0.00; plus accounts receivable $0.00; Fund balance:  $1,739,563.54.

SPECIAL EDUCATION, Beginning balance: $593,185.13; Add receipts: Taxes $4,943.93; Other local $0.00; State $0.00; Federal $0.00; Total to be accounted for: $598,129.06; less disbursements $41,333.39; Cash balance: $556,795.67; Less contracts and accounts payable/transfers $0.00; plus accounts receivable $0.00; Fund balance: $556,795.67.

FOOD SERVICE, Beginning balance: $40,388.75; Add receipts: Interest $50.06; Adult receipts $0.00; Pupil receipts $16,662.34; Other local $0.00; State $0.00; Federal reimbursement $5,434.22; Total to be accounted for: $62,535.37; less disbursements $23,388.91; Cash balance: $39,146.46; Less contracts/accounts payable $0.00; plus accounts receivable $0.00; Fund balance: $39,146.46.   

ENTERPRISE FUND #53, Beginning balance: $75,225.99; Add receipts: Pupil Receipts: $8,975.00; Other local $40.00; Total to be accounted for: $84,240.99; less disbursements $23,958.71; Cash balance: $60,282.28; Less contracts/accounts payable $0.00; plus accounts receivable $0.00; Fund balance: $60,282.28. 

TRUST AND AGENCY, Beginning balance: $24,274.34; Add receipts: Interest $29.69; Pupil activities $3,990.00; Other local $446.00; Total to be accounted for: $28,740.03; less disbursements $1,844.95; Fund balance: $26,895.08.

Salaries and benefits for the month of September 2023 were as follows:

General Fund: $148,292.34

Special Education:  $39,336.57

Food Service: $10,239.47

Enterprise #53: $20,219.10

GENERAL FUND                            

AMAZON CAPITAL SERVICES, SUPPLIES – LIBRARY BOOKS $150.20

ARROWWOOD, LODGING – BUSINESS MANAGER FALL  CONFERENCE $222.40

AT&T, CELL PHONE $217.65

ATTORNEY RODNEY FREEMAN, CONTRIBUTION TO CONFERENCE FEE $160.00

BAKERS DESIGN, HOMECOMING FLOWERS $103.25

CHS, PROPANE – PRE-K BUILDING $100.00

CITY OF WOONSOCKET, WATER SERVICE $82.57

CORE EDUCATIONAL COOPERATIVE, ONLINE COURSES (3) $785.00

CREATIVE PRINTING, WRESTLING BANNER $168.66

DB ELECTRIC, REPAIR/INSTALL BALLAST – OUTLET $217.98

DECKER EQUIPMENT, CUSTODIAN SUPPLIES $113.36

DIAL CORPORATION, DIAL MEMBERSHIP DUES 2023-24 $100.00

EXPRESS 2, GAS $218.88

EXPRESS STOP, GAS $1,465.56

FENWORKS, INC., E-SPORTS FEE 2023-24 SEASON $1,000.00

FIRST NATIONAL BANK OF OMAHA, CELL PHONE $55.00

HEGG INSURANCE, 2023-2024 PREMIUMS $50,825.00

HILLYARD, CUSTODIAL SUPPLIES $1,050.86

IMAGINE LEARNING, INC., SITE LICENSE $880.00

[IMPREST FUND

ARLINGTON SCHOOL, CROSS COUNTRY FEE $25.00

ARLINGTON ORAL INTERP SPEECH CLUB, ORAL INTERP MEET $24.00

CHAMBERLAIN SCHOOL, CROSS COUNTRY FEE $50.00

COLEMAN-EGAN SCHOOL, CROSS COUNTRY FEE $20.00

COUNCIL ON COLLEGE ADMISSIONS, COUNSELOR WORKSHOP $55.00

DUXBURY, DEAN, VOLLEYBALL OFFICIAL AND MILEAGE $147.94

MOUNT VERNON SCHOOL, CROSS COUNTRY FEE $30.00

NIHART, TIM, VOLLEYBALL OFFICIAL AND MILEAGE $125.50

RUTH, MIKE, VOLLEYBALL OFFICIAL AND MILEAGE $125.50

SANBORN COUNTY TREASURER, TITLE AND PLATE FEES $26.70

WAGNER, SCOTT, VOLLEYBALL OFFICIAL $100.00

TOTAL IMPREST CLAIMS – CROSS COUNTRY FEES – ORAL INTERP – VOLLEYBALL: $729.64

JM SPECIALTIES, BUS LIGHT, $12.32

K&D BUSING INC.,  CONTRACTED BUSING $16,857.97

KIMBALL SCHOOL, REGION 3 PRINCIPAL GROUP FEE 2023-24 $50.00

KROHMER PLUMBING, LABOR AND REPAIR $520.73

LEHR, DAVE, TECH SERVICE FEE $175.00

LIMINEX, INC., GO GUARDIAN SITE LICENSE $4,050.80

MIDWEST FIRE, FIRE EXTINGUISHER SERVICE $250.50

NORTHWESTERN ENERGY, ELECTRIC SERVICE $1,683.07

PETTY CASH, POSTAGE EXPENSE $3.72

RUNNINGS SUPPLY INC., STORAGE BINS $131.83

SANBORN WEEKLY JOURNAL, PUBLICATIONS – NEWSPAPER  RENEWAL $277.93

SANTEL COMMUNICATIONS, PHONE/INTERNET SERVICES $179.94

TEACHER INNOVATIONS,  PLANBOOK LICENSE FEE $337.50

TRAINING ROOM, TRAINING ROOM SUPPLIES $1,128.22

WASTE MANAGEMENT OF WI-MN, GARBAGE SERVICE $381.64

WOONY FOODS, CUSTODIAL SUPPLIES – FOOD $170.18

Fund Total: $84,857.36

CAPITAL OUTLAY

A&B BUSINESS EQUIPMENT, COPIER LEASE $1,035.45

FLOOR TEC, GYM FLOOR WATER DAMAGE RESTORATION $33,538.76

KARL’S, DISHWASHER $599.99

KO’S PRO SERVICE, TIRES AND WIPER BLADES AND PARTS $946.27

RAPID CREEK SOD, LLC, SOD INSTALLATION – FOOTBALL FIELD $21,700.00

RIDDELL-ALL AMERICAN SPORTS, FOOTBALL HELMETS AND PANTS $10,343.14

SIGN PRO, MEMORIAL SIGN – FOOTBALL FIELD $3,328.13

Fund Total: $71,491.74

SPECIAL EDUCATION

AVERA ST. LUKE’S, CLIENT SERVICES $1,071.51

COLLABORATIVE SOLUTIONS, LLC, TRAINING AND OBSERVATION $3,496.91

PARENT/GUARDIAN, GUARDIAN TRAVEL $220.32

Fund Total: $4,788.74

ENTERPRISE FUND #53

AMAZON CAPITAL SERVICES, SUPPLIES $43.50

FRY, CARIE, REIMBURSE – BIRTH 4-PREK SUPPLIES $224.43

SANTEL COMMUNICATIONS, PHONE/INTERNET SERVICES $166.23

WOONY FOODS, BIRTH 4-PREK SUPPLIES/FOOD $141.31

Fund Total: $575.47

Checking Account Total: $161,713.31

FOOD SERVICE                            

AMAZON CAPITAL SERVICES, SUPPLIES $141.97

BIMBO BAKERIES USA, FOOD $417.50

BUHLS DRY CLEANING, LAUNDRY SERVICE $34.94

CHILD AND ADULT NUTRITION SERVICE, FOOD $1,718.93

DB ELECTRIC, REPAIR/INSTALL BALLAST – OUTLET $369.18

DEHAAI’S PROCESSING LLC, BEEF PROCESSING $638.64

DRAMSTAD’S REFRIGERATION, WALK-IN FREEZER REPAIR $14,174.78

EAST SIDE JERSEY DAIRY, FOOD $596.32

FIRST NATIONAL BANK OF OMAHA, SUPPLIES $111.01

LARSON, JOSH, MELONS $50.00

PERFORMANCE FOODSERVICE, FOOD AND SUPPLIES $8,682.09

SPRINGS FOOD MARKET, FOOD $2,078.52

WATER WALKERS INC. DBA HEALTH-E PRO, MENU PLANNING SOFTWARE $2,870.00

WOONY FOODS, FOOD $8.25

Fund Total: $31,892.13

Checking Account Total: $31,892.13

CUSTODIAL ACCOUNTS

AMAZON CAPITAL SERVICES, SUPPLIES $43.98

HOWARD SCHOOL, CROSS COUNTRY FEE 10-2-2023 $30.00

NIHART, TIM, VOLLEYBALL OFFICIAL AND MILEAGE $125.50

NORTHERN STATE UNIVERSITY, ALL-STATE CHORUS WORKSHOP $60.00

PARKSTON SCHOOL, CROSS COUNTRY FEE 10-5-23 $15.00

TSCHETTER, STEPHANIE, VOLLEYBALL OFFICIAL AND MILEAGE $125.50

WOONY FOODS, STUDENT COUNCIL HOMECOMING PRIZES $81.48

WORLD’S FINEST CHOCOLATE, INC., JUNIORS CHOCOLATE BAR FUNDRAISER $2,880.14

Fund Total: $3,361.60

Checking Account Total: $3,361.60

Sarah Swenson gave the financial report and advised that the school’s property/liability premiums are included in this month’s bills. The district was warned this spring that major changes were happening with wind/hail deductibles ($25,000 deductible/occurrence). The board was offered an additional premium for $3,330 for a deductible buyback option. This was applicable for all schools state-wide.

Mr. Weber updated that staff attended a professional development session on Friday. Mr. Weber updated that the school (Mrs. Kohlmeyer) is hosting an oral interp meet on Saturday, October 14th. The Board has received a quote to put school logos/decals on the transit vans. This will be funded using some of the donation money received for the gym sign advertising. Mr. Weber would also like to extend a huge thank you to the Scott and Crystal Lammey family and to Olson Farms and Grassel family for each donating beef to the school’s Farm to School lunch program. This has helped feed the students with locally grown beef. 

Mr. Bruce updated that the lunch program is going very well. Mrs. Anderson has added a variety of items for the seventh through 12th grade students which has resulted in more students eating the school lunches. Mr. Bruce updated that busing is also going very well. Having the two transit vans has made running all bus routes and co-curricular activities so much smoother.

Mrs. King updated that progress reports will be sent home at the end of the quarter. Her team has continued training on IEPs, and they are working on updating student’s individual IEPs.

Mr. Rodriguez updated that he has been in classrooms performing observations. He has worked with other teachers to produce a “Data Wall” which shows, collectively, where the school’s students are scoring in math and reading. 

Motion was made by Becca Grassel, seconded by Lisa Snedeker, to approve an executive session for personnel reasons SDCL1-25-2(1) – out at 5:05 p.m. – in at 5:24 p.m. Motion carried.

With no further business to come before the Board, the October 9, 2023, regular school board meeting was adjourned at 5:24 p.m. on a motion by Becca Grassel, with a second by Rikki Ohlrogge. Motion carried.  

JASON WHITE

Chair

SARAH SWENSON

Business Manager

Published once on October 19, 2023, at the total approximate cost of $130.50 and may be viewed free of charge at www.sdpublicnotices.com.

Letcher Town Board proceedings

October 2nd, 2023

Mark Chada called the meeting to order with Angie Larson, Sean Gromer, and Angie Meier in attendance. Ed Hoffman was a visitor.

A motion was made by Larson, seconded by Gromer, carried to approve the September 18th, 2023, minutes as read.

A motion was made by Gromer, seconded by Larson, carried, to approve the financials as presented.

Old Business: Discussion was held on Rossy Park signs being done. The signs are at the office, and Gromer will get them installed.  Update: The signs have been installed.  

Discussion was held on street signs that are starting to peel.  Extra signs have been located and Gromer and Meier will work on getting the ones that need to be replaced taken care of.  

Gary and Diane Moody attended the meeting to discuss a few things with the board. Discussed first was ways to try and smooth out the trail around the lake. They were wondering about a box scraper.  Gromer is going to look at trying to take a disk out there and try to work on smoothing it with the disk or with the box scraper.  

Also, they discussed about the entrance to the tree pile. They were wondering about the holes and if it is possible to try to fix, possibly with gravel, and smooth them out. Gromer was going to try and work on smoothing them out.  

New Business: Discussion was held on an estimate received from Conrad Plumbing for installing meters.  The estimate was for $175.00 per meter being installed. A motion was made by Larson, seconded by Gromer, to approve to hire Conrad Plumbing for installing the water meters. Meier was told from Conrad Plumbing their plans are to start in two weeks.  

Meier talked to Dan from Dust lock.  He said he would come talk to the board about a cost and information about placing dust control on Main Street. Meier will call Dan and see when it would work for him to come.  

A motion was made by Larson, seconded by Gromer, carried, to approve the following claims for payment:

General and Water/Sewer: Menards – $28.61 – Supplies, Department of Health – $196.00 – Water Samples, Runnings – $35.96 – Supplies, NorthWestern Energy – $1,206.57 Utilities – Electric: Street Lights – $541.18, Water Valve – $10.63, Lagoon – $15.00, Rossy Park – $28.24, Community Center – $308.09, Ball Park – $140.96, Water Plant – $38.07, Lift Station – $124.40, Santel Communications – $237.04 – Utilities: Office – Phone – $30.14, Office – Internet – $80.50, Community Center – Internet – $55.00, Community Center – Phone – $25.17, Lift Station – Phone – $46.23, Tori Hoffman – $92.35 – Meter Reader, Mark Chada – $629.92 – Meetings – July-September, Sean Gromer – $1,754.65 – Wages:  Meetings – July-September, Maintenance Worker And Spraying Bugs For The Summer (Seven Times), Angie Meier – $680.87 – Wages – Finance Officer, Ed Hoffman – $631.80 – Wages – Water Superintendent and Reimbursement For Mailing Water Samples – $93.70, Angela Larson – $547.10 – Wages – Meetings – July-September. 

The next board meeting will be held on October 16th, 2023, at 7:00 p.m. at the Town Office.

Angie Meier

Finance Officer

Published once on October 12, 2023, at the total approximate cost of $34.25 and may be viewed free of charge at www.sdpublicnotices.com.

Woonsocket City Council proceedings

September 11, 2023, Minutes

The regular meeting of the Woonsocket City Council was called to order by Mayor Richard Reider at 7:00 p.m., Monday, September 11, 2023, with the following members present, Darin Kilcoin, Brandon Goergen, Arin Boschee, and Derek Foos. Finance Officer Tara Weber was also present. John Baysinger was absent.

Motion by Goergen, seconded by Rassel, to approve the Agenda. Motion carried.

Motion by Foos, seconded by Boschee, to approve the August Minutes. Motion carried.

Motion by Goergen, seconded by Boschee, to approve the June Financial Statement. Motion carried.

Motion by Rassel, seconded by Foos, to approve the following bills for September:

Runnings Supply $163.86 Shop

Agtegra $162.50 Parks

Woony Foods $106.67 Shop

Waste Management $6,770.71 Garbage

Sherwin-Williams $721.30 Parks

Scott Supply $89.50 Shop

Santel Communications $1,026.11 Parks/Phone

Palace Motor Sports $603.22 Parks

Public Health Lab $28.00 Water

NorthWestern Energy $1,601.25 Utilities

Northwest Pipe Fitting $194.25 Water

Milbank Winwater $2,819.00 Water

Michael Todd & Company $1,801.40 Streets

Local Lumber & Supply $294.06 Parks

KO’s Pro Service $301.55 Shop

Hawkins Water Treatment $524.38 Water

Express Stop $834.83 Shop

Express 2 $1,286.42 Shop

Carquest of Mitchell $109.99 Shop

Doug’s Custom Paint & Body $160.98 Parks

Dick’s Welding $200.00 Storm

Clark Paving $124,353.24 Streets

Budde Septic $320.00 Parks

Aramark $261.36 Shop

Sanborn Weekly Journal $330.00 Publishing

First National Bank of Omaha $8,967.02 Payroll Tax

South Dakota Retirement Plan $1,918.08 Retirement

Department of Revenue $232.58 Sales Tax

OLD BUSINESS

The Council discussed the cameras. They have been installed, and a demonstration was given. The cameras allow the ability to see the whole lake, campground, and baseball field. 

The Council discussed the radios.

The Council discussed the alley paving between the school and the church. Council member Goergen reported that it is working great, and it has made dropping off and picking up kids more safe.

The Council discussed the roads. It was decided that the City would need to chip seal next year.

The council discussed the Cleanup report. A couple cars have been removed from town, and they will keep working on following through on the notice and order letters that were sent out. 

Motion by Rassel, seconded by Boschee, to give a 50 cent raise to all full-time and part-time employees for the 2024 year. 

Motion by Foos, seconded by Kilcoin, to approve the first reading to amend the Water Rate Ordinance. The minimum charge will be increased by $1.00.

Motion by Boschee, seconded by Rassel, to approve the first reading to amend the Sewer Rate Ordinance. The minimum charge will be increased by $1.00.

Motion by Rassel, seconded by Goergen, to approve the second reading of the 2024 Budget Appropriations. Motion carried. 

NEW BUSINESS

A quick claim deed was received from Megan Baysinger for lot number five. Baysinger has been approved for a governor’s house, but there is a three year wait. Motion by Foos, seconded by Boschee, to approve the quick claim deed. Motion carried.

Motion by Rassel, seconded by Kilcoin, to approve the purchase of a mixer for the water tower in the amount of $16,750.00. Motion carried. 

With no further business to be discussed, motion by Foos, seconded by Boschee, to adjourn the meeting. The meeting was adjourned at 8:00 p.m.

Richard Reider, 

Mayor

(SEAL)

Tara Weber, 

Finance Officer

Published once on October 5, 2023, at the total approximate cost of $44.75 and may be viewed free of charge at www.sdpublicnotices.com.

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