March 4, 2026 at 7:30 AM - BASC Governing Board Meeting
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I. Call meeting to order.
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II. Approval of Agenda.
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III. Approval of minutes from previous meeting.
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IV. Financial Report for approval or review.
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IV.A. Monthly Revenue Status Report.
Description:
Pg. 1 - 01 056 3300 $385,278.00 = ND CTE Partial Interim Payment
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IV.B. Monthly Expenditure Status Report.
Description:
Pg. 1 - 01 056 500 330 1000 610 Health Careers Supplies ($750.00) = Grant/Donation
Pg. 2 - 01 056 500 380 1003 580 Curricular Travel ($548.94) = Reimbursement from Corps of Discovery for Travel JohnJus Pg. 4 - 01 056 500 300 2900 300 Support Service Professional Services ($1,068.50) = RACTC portion of GTI contract |
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IV.C. Monthly Balance Sheet and Bank Balance.
Description:
Remaining Balance = $369,048.82
Cornerstone Cash Balance = $1,543,256.26 All reserve balances were moved from Fund 07 to Fund 06, respectively, to comply with NDDPI |
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IV.D. BASC Bills February.
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V. Reports.
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V.A. Director.
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V.B. Assistant Director.
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V.B.i. Staff Shout-outs.
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V.B.ii. Showcase Flyer
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VI. Unfinished Business.
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VII. New Business.
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VII.A. NDTSG - CDL Simulator
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VII.B. NDTSG - Mobile Expansion Initiative
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VII.C. Director Evaluation
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VII.D. NDESC membership form
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VII.E. CMLabs Simulators Maintenance & Support
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VII.F. 2026-2027 BASC Teacher Salary Schedule
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VIII. Next Meeting.
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VIII.A. Wednesday April 1, 2026
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IX. Adjournment.
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