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Showing posts from May, 2025

May 12 Minutes

Victoria Village Atrium Association Board of Directors’ Meeting May 12, 2025 Board members present: Sarah Wise, president; Larry Sagstetter, vice president; Margie St. Jacques, treasurer; Jill Griffith, secretary; Ann McNattin, member at large. Also present: Mike Severson, building manager. Call to Order: The meeting was called to order at 6:37 p.m. Secretary’s Report: Moved, seconded, and voted to approve the minutes for the April 2025 board meeting as written. Treasurer’s Report:  For April 2025, the opening balance was $557,652.10, and the closing balance was $572,359.03. This represents an increase from the opening balance of $14,706.93. As of the end of April, we had $63,539.55 in our operating checking account, and $465,503.21 in reserve accounts. (Note: The reserve accounts are one operating CD with North American Bank, a money market account with Premier Bank, a Premier CD, an NAB CD, a savings account with Royal Credit Union, and three CDs with Royal Credit Union.)...

April 2025 Minutes

Victoria Village Atrium Association Board of Directors’ Meeting April 14, 2025 Board members present: Sarah Wise, president; Larry Sagstetter, vice president; Margie St. Jacques, treasurer; Jill Griffith, secretary; Ann McNattin, member at large. Also present: Mike Severson, building manager. 10 homeowners were present. Call to Order: The meeting was called to order at 6:30 p.m. Secretary’s Report: Moved, seconded, and voted to approve the minutes for the March 2025 board meeting as written. Treasurer’s Report:  For March 2025, the opening balance was $526,328.27, and the closing balance was $557,652.10. This represents an increase from the opening balance of $31,323.83. As of the end of March, we had $59,815.37 in our operating checking account, and $497,836.73 in reserve accounts. (Note: The reserve accounts are one operating CD with North American Bank, a money market account with Premier Bank, a Premier CD, an NAB CD, a savings account with Royal Credit Union, and three CD...

March Minutes 2025

Victoria Village Atrium Association Board of Directors’ Meeting March 10, 2025 Board members present: Sarah Wise, president; Larry Sagstetter, vice president; Margie St. Jacques, treasurer; Jill Griffith, secretary; Ann McNattin, member at large. Also present: Mike Severson, building manager. Call to Order: The meeting was called to order at 6:30 p.m. Secretary’s Report: Moved, seconded, and voted to approve the minutes for the February 2025 board meeting as written. Treasurer’s Report:  For February 2025, the opening balance was $489,912.33 and the closing balance was $526,328.27. This represents an increase from the opening balance of $36,415.94. As of the end of February, we had $92,868.04 in our operating checking account, and $433,460.23 in reserve accounts. (Note: The reserve accounts are one operating CD with North American Bank, a money market account with Premier Bank, a Premier CD, an NAB CD, a savings account with Royal Credit Union, and three CDs with Royal Credit ...

February Minutes

Victoria Village Atrium Association Board of Directors’ Meeting February 6, 2025 Board members present: Sarah Wise, president; Larry Sagstetter, vice president; Margie St. Jacques, treasurer; Jill Griffith, secretary; Ann McNattin, member at large. Also present: Mike Severson, building manager. 5 homeowners were present. Call to Order: The meeting was called to order at 6:30 p.m. Secretary’s Report: Moved, seconded, and voted to approve the minutes for the January 2025 board meeting as written. Treasurer’s Report:  For January 2025, the opening balance was $469,477.65, and the closing balance was $489,912.33. This represents an increase from the opening balance of $20,434.68. As of the end of January, we had $66,247.07 in our operating checking account, and $423,665.26 in reserve accounts. (Note: The reserve accounts are one operating CD with North American Bank, a money market account with Premier Bank, a Premier CD, an NAB CD, a savings account with Royal Credit Union, and t...