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LAB 10-06-1997 SCHERTZ PUBLIC LffiRARY ADVISORY BOARD (LAB) MINUTES The LAB met on October 6, 1997 with the following members present: John Grosskopf Margaret Riley Ruth Tienor Julie Parr Barbara Quates Pattie Lovelady Mary McAllister Gail Douglas, Librarian Charles McDonald, City Council Minutes for the August meeting were presented. (No meeting held in Sept.) Mary made the motion to accept the minutes, and Ju1ie seconded. Motion carried. An amended treasurer's report was presented for April. Print-outs for May, June, July, and August were distributed. September's report was presented. Motion to accept the reports was made by Barbara Quates. Margaret seconded. Motion carried. Librarian's Report: · Gail has been working on a technology grant. Tony VanderHeyden has been hired as a consultant for this grant. · Gina is continuing to work. A half time Children's Program Director will begin to work in April. · Gail has found unusual things in the library. (e.g. bottles and a knife. A police report was ftIed when the knife was found.) A witchcraft book has disappeared. · The portion of the bond issue related to the library passed. Soon the city will begin the bond sales. No Committee Reports. Old Business: · Gail had asked for some guidelines as when to send flowers or cards for illnesses, funerals, etc. After discussion, consensus was that Gail will take care of volunteer concerns, and the LAB will tend to board member concerns. No New Business. Ruth made the motion to adjourn, and Pattie seconded it. Motion carried. The next LAB meeting will be on November 3, 1997 at 7:00 P.M. TREASURER'S REPORT FOR AUGUST 1997 CASH ACCOUNT PREVIOUS BALANCE $ 6676.34 INCOME BOOK STORE $ 220.40 MEMORIAL DONATIONS (AW) $ 20.00 MISC. DONATIONS $ .88 $ 241. 28 $+ 241.28 DISBURSEMENTS CONTRERAS FLOWERS $ 41.00 LI BRA R Y BIN DIN G $ 145.43 $ 186.43 $- 186.43 BALANCE (8-31-97) $ 6731.19 CD CASHED ($6975.00 plus $14.40 Interest) CD PURCHASED (8-27-97) TO BE POSTED TO CASH ACCOUNT IN SEPTEMBER $ 6989.40 $- 6989.00 $ .40 TREASURER'S REPORT FOR SEPTEMBER 1997 CASH ACCOUNT PREVIOUS BA LANC E $ 6731.19 INCOME BOOKSTORE $ 295.50 DONATION-BUFFALO VALLEY LIONS C LUB$ 399.99 MISC. DONATIONS $ .05 CHANGE FROM CASHING CD'S(.40+.44) $ .84 $ 696.38 $+ 696.38 DISBURSEMENTS BRODART (Shelving) BOOKMAN'S WEEKLY (One year subscription & yearbook) V.G.DOUGLAS (Bookshelf materials) SIMON & SCHUSTER (Books) $ 684.00 $ 80.00 $ 33.22 $ 213.31 $ 1010.53 $- 1010.53 BALANCE (9-30-97) $ 6417.04 CD CASHED ($6989.00 plus $29.44 Interest) CD PURCHASED (9-30-97) TO CASH ACCOUNT $ 7018.44 $- 7018.00 $ .44 TREASURER'S REPORT FOR OCTOBER 1997 CASH ACCOUNT PREVIOUS BALANCE INCOME BOOKSTORE MISC. DONATIONS $ 262.80 $ .95 $ 263.75 DISBURSEMENTS LARRY PARNELL-Bookshelf Materials $ 117.44 AUDIT ADJUSTMENT ????? $ 20.88 $ 138.32 BALANCE (10-31-97) CD IN EFFECT $ 6417.04 $+ 263.75 $- 138.32 $ 6542.47 $ 7018.00