Our new Police Officer will be sworn in at 5:55 p.m.


Public Notice is hereby given that a Regular Session of the Lamar Board of Aldermen will be held on Tuesday, January 20, 2026, at 6:00 p.m. in the Thiebaud Meeting Rooms, located at 105 E 11th Street, Lamar, Missouri.

 

This Agenda may be modified with the express or implied consent of the City Council during the meeting.

 

REGULAR SESSION BOARD OF ALDERMEN MEETING 

THIEBAUD MEETING ROOMS    

Tuesday, January 20, 2026

6:00 p.m.

 

  1. Call to Order

 

  1. Silent Prayer

 

  1. Pledge of Allegiance

 

  1. Roll Call

 

  1. Approve Agenda

 

  1. Approval of Minutes
    1. December 15, 2025, Regular Session Board of Aldermen Minutes

 

  1. Public Good and Welfare

 

  1. Department Reports
    1. Building Inspector – Jim Buzzard
      1.  Nuisance Structures Report
    2. Police Chief Crouch
      1.  Police Report, Nuisance Abatement Report, Abatement Photos
    3. Fire Chief Heinen
      1.  Fire Report, Rural Calls

 

  1. Report of Committees
    1. Park Board, 1-5-26 meeting, Alan Ray, MAP

 

  1.  Approve List of Bills to be Paid

 

  1.  Approve Treasurer’s Report

 

  1.   General Business 
  1. First and Second Reading of Council Bill No.1968 AN ORDINANCE OF THE CITY OF LAMAR, MISSOURI TO AUTHORIZE THE CITY ADMINISTRATOR OF THE CITY OF LAMAR FOR TRUMAN AREA TRANSPORTATION (TATS) TO APPLY FOR FEDERAL FINANCIAL ASSISTANCE ON BEHALF OF THE CITY OF LAMAR AND TO EXECUTE ANY CONTRACT(S) RESULTING FROM SUCH APPLICATION FOR ANY GRANTS BETWEEN THE CITY OF LAMAR AND THE MISSOURI HIGHWAYS AND TRANSPORTATION COMMISSION AND THE AREA AGENCY ON AGING PROVIDING FOR CAPITAL, OPERATING, AND/OR MARKETING ASSISTANCE, COMPRISED OF FEDERAL FUNDS TO BE EXPENDED FOR COMMISSION-APPROVED TRANSIT PROJECTS. 

    b. Res No 535 A RESOLUTION OF THE CITY OF LAMAR, MISSOURI AMENDING OR REVISING THE 2025-2026 BUDGET, PARK FUND, AND AUTHORIZING EXPENDITURES OF FUNDS.

    c. Res No 536 A RESOLUTION OF THE CITY OF LAMAR, MISSOURI AMENDING OR REVISING THE 2025-2026 BUDGET, PARK FUND, AND AUTHORIZING EXPENDITURES OF FUNDS.

    d. Assistant City Administrator agreement  

  1.   Reports

 

Budget Analysis

Cash and Investments by Fund

Comparison of Bills and Financial Statements

Electric Sales

Expenses – Not Budgeted

Methane Gas Generator Income and Expense

Pooled Cash Report

Sales Tax Revenue

TATS

 

  1.   City Administrator’s Report

 

  1.   Mayor’s Round Table

 

  1.   Adjournment

 

 

 

 

Felicia Costley, City Clerk

Posted Wednesday, December 17, 2025, 11:00 a.m.