Minutes of Regular Monthly Meeting
of the
Haworth Volunteer Firefighters Association

CALL TO ORDER
    The Haworth Volunteer Firefighters Association held a regularly scheduled monthly business meeting on Tuesday, May 7, 2002 at the Haworth Fire Station.  Meeting was called to order at 7:00 p.m. by Vice-President Donaldson.  Members present were: Farley, Boyd, Marsh, Batson, Owens, Middleton, White, Cowart, Donaldson, Wright, M. Carrell, Smith and Storey.  Others present: Ricky Whisenhunt.

MINUTES OF PREVIOUS MEETING
    Minutes of the previous meeting were read.  Cowart moved to accept.  Middleton seconded.  All members in favor.  Minutes approved.

PRESIDENT REPORT
    None

FINANCIAL REPORT
    Beginning Balance:    $13,707.22
    Income:                    $     727.20    Rural Water - $1 Donations
    Expenses:                 $       28.43    Haworth Station - Fuel
                                    $       10.39    Bailey Lumber - RediMix
                                    $       49.50    OK Tax Commission - Tag & Title for ‘70 Ford
                                    $       10.58    Crow-Burlingame - Parts
                                    $     670.00    Affordable Fire Equipment - 2 1 ½" Nozzles, Attic Ladder, Gated Wye,
                                                          Pike Pole, Spanner Wrenches for Pollard Substation
                                    $     692.32    Gall’s Inc - Equipment for New Brush Truck
                                    $  3,977.38    Chief Fire & Safety - Equipment for New Brush Truck
                                    $     110.77    Bemac - Parts for New Brush Truck
                                    $     125.00    Haworth Station - Fuel
                                    $       32.27    Country Store - Fuel
                                    $     214.88    Mallory Co. - Equipment for New Brush Truck
                                    $     100.71    Bailey Lumber - Equipment for New Brush Truck
                                    $     308.38    1st State Bank - Loan Payment
                                    $       76.08    Choctaw Electric - Redland & Pollard Substations
                                    $       56.88    McCurtain Gazette - Ad from November Fundraiser at Pollard
                                    $     146.98    Crow-Burlingame - Parts
                                    $       71.07    Smith Equipment - Hose for Truck-1
                                    $       23.69    Redland Store - Supplies
                                    $       71.10    O’Reiley’s Auto - Parts
                                    $       10.83    Crow-Burlingame - Parts
    Ending Balance:        $  7,647.18
    Boyd moved to accept.  Cowart seconded.  All members in favor.  Report approved.

OLD BUSINESS
    New brush truck has been equipped and is operational.
    New hose installed on Truck-1.  50' provided by Garvin Vol. Fire Dept.

NEW BUSINESS
    Middleton reported that side-running lights have been installed on all department apparatus.  He also reported that seat belts need to be installed.
    M. Carrell reported that Town of Haworth water customers will begin $1 per month donations next month.  The money will be deposited in the Fire Department checking account.

ADJOURN
    Wright moved to adjourn.  Boyd seconded.  Meeting adjourned at 7:23 p.m.

Signed:

Chris Hall, President

Keith Donaldson, Vice-President

Kirk Storey, Secretary/Treasurer