After the Pledge of Allegiance, Lot 145 owner said that
TABC is incorrectly being described as the reason why our Board prohibits
owners from bringing in their own alcohol during events.
We were told most of the recently laid sod was paid for
by the Golf Committee. Management has started an inventory list on items valued
at over $25.
There has been a location finally agreed upon on where to
put dredging spoils and are waiting for a letter of confirmation from Mr.
Freeland.
The Profit Centers showed in the first two months of this
year the restaurant ($13,345 loser), golf course ($15 big winner), rentals
($3995 loser), laundry ($1,291 winner), and the newsletter ($712 winner).
The Minutes were approved but it was not stated as to
which month.
VP White said D.E. will purchase additional card and
round tables for the Rec. Hall along with new curtains for the restaurant.
Treasurer Sandberg said the Golf Committee will have the rest of the water area
retaining walls completed soon.
Bridge Board Annual meeting will be held April 7th.
The Board unanimously elected owner Steve Fowler to the Bridge Board.
With Berry Pools contract being up April fool’s day, the
Board passed a motion to change all pools and spas to a saline system.
The Board cut short debating on paying for outside
sources to monthly update LIV’s website rental info when it was learned the
rental office had only five units currently rented.
The 2012 Budget was approved along with implementing
measures to assure the 2013 budget will be ready by January 2013.
The condo fee increase of $20 a month will begin on July
1st.
Motion passed to have LIV auditors do quarterly
assessments.
Motion passed to purchase the bank note for foreclosed
Lot 706.
Motion passed to prioritize the dredging of Canal “A”
five feet six inches deep and to award the plaintiff that sued our Village over
dredging, up to ten grand in attorney fees.
Motion was passed to provide the same schedule as
provided last year for additional security between Memorial Day to Labor Day.
Motion passed to approve the 2012 schedule and have no
meetings in August.
Treasurer Sandberg wants to change the use management’s
use of company credit cards, revise cell phone use, and get rid of
non-essential computer usage. She also feels the GM should provide the Board management
goals.
VP White told the Board the renewal of the music contract
fee needs to be reviewed.
The water restrictions introduced by Director Kelmis were
tabled.
One final note, at 10:30 the Board had a two hour long
executive meeting with LIV’s attorney over numerous subjects.
1 comment:
I'm so glad that nobody has read this.
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