Table of Contents
The Cincinnati Northern Model Railroad Club, Inc
Quarterly Meeting
3 April 2023
This quarterly meeting was held at Ricks Tavern Fairfield, Ohio. There were ten Regular Active Members present. Attending this meeting were; Joe Suttman Greg Klinker Monty Stein Dan Webb Kurt Albrecht John Pasqualetti Jeremy Scarth George Roos Kevin Geiger Mark Mannypenny
The Secretary, Greg Klinker read the minutes of the 3 January, 2023 meeting. Motion to accept as read was male by Kevin Geiger and seconded by George Roos. Unanimous
The Treasurer Dan Webb reported that the club has a current balance of $1,807.00 in the bank. Motion to accept was made by Monty Stein and seconded by Greg Klinker. Unanimous
The President, Kurt Albrecht, had nothing to report.
OLD BUSINESS; The shirt style Kurt wanted is no longer available.
NEW BUSINESS; Joe Suttman , the Vice President spoke of a meeting with Ms Tess Catlin at the Oxford Branch of the Lane Library concerning grant researches. Grant durations are from 4 to 24 years in length, Joe told Ms Catlin we are looking for a new place to set up the club layout and conduct our weekly meetings. Joe also has two prospective members lined up.
Kurt Albrecht reported the club made $366.00 at the Spring Flea Market put on by NMRA Division 7. Kurt also sent &Mails to 13 Development Offices looking for space in the area.
George Roos bought five non-DCC turnouts at the Division 7 Flea Market; all are #8 turnouts code 100. He has also taken on the job of rolling stock super from Dave Millman who has moved to Florida. The next meeting will be at Monty Steins' to work on the new layout. The meeting adjourned at 7:40.
Respectfully submitted
Greg Klinker, Secretary, Historian
The Cincinnati Northern Model Railroad Club,Inc.
Treasurer's Report as of March 31 2023
April 4, 2023
Members' dues NOT up-to-date as of these report.
Beginning Balance as of 12/31/22 $11,736.17
Deposits:
January 720.00
February 90.00
March 884.71
Total Deposits: 1,694.71
Expenses:
January -369.00
February -40.00
March - 406.80
Total Expense: - 815.80
Ending Balance as of 03/31/23 $12,615.00
Deposits and Expense after the Ending-Balance:
Deposits/Receivables as of this Meeting
Expenses paid as of this Meeting
New Balance as of this Meeting $12,615.00
Balance of Funds:
General Fund 9,515.08 Rainy Day Fund 3,100.00
Respectfully Submitted,
Dan Webb Treasurer
