State representative to update county on help offered for balancing account
The Seneca County Board of Commissioners is expected to meet today with a representative from Local Government Services.
LGS is a division of Ohio State Auditor Mary Taylor's office. Belinda Miller of LGS has been offering informal assistance to Seneca County in efforts to account for variances in the main county checking account. Miller is to discuss the checking account balancing issue with the commissioners.
Local attorney Dean Henry is expected to meet with the board to discuss the hiring of Isaac Brant Ledman and Teeter.
Jim Bischof of the Fostoria Economic Develop Corp. is to meet with the board.
Franklin Conaway of the Seneca County Courthouse Development Group is expected to meet with the commissioners as well.
The commissioners are expected to consider a resolution accepting and escrow agreement as submitted by Seneca Industrial and Economic Development Corp. as part of the development group in regard to the 1884 courthouse.
In other business, the commissioners are expected to consider resolutions for the following:
* Rescinding the board's orders of Oct. 2 accepting TR 1198 and the extension of TR 1195 in Clinton Township, and transferring maintenance.
* Establishing a tap fee for Sunny Farms Landfill.
* A supplemental appropriation of $1,000 to the Concealed Carry Weapons fund.
* An appropriation adjustment of $9 within the general fund from contract services to other expenses.
* An appropriation adjustment of $1,000 within the general fund from advertising to travel.
* Appropriation adjustments totaling $5,500 within the general fund from Relief to van supplies and drive salary.
* Appropriation adjustments totaling $40,000 within the maintenance and repair fund from pipe and concrete to road materials.
* Appropriation adjustments totaling $1,821 within the Soil and Water fund from workers compensation and contract repairs to contract services.
* Appropriation adjustments totaling $25,000 within the Workforce Investment Act fund from advertising and WIA shared costs to other.
* An appropriation adjustment of $500 within the Sewer District fund from other expenses to supplies.
* Repayment to the general fund of $15,000 from the Flex Spending account fund.
- By Kevin Risner, Staff Writer


