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Board meetings and strategic plans from Tami Russell's organization
The Board of Directors discussed and authorized the payment of various voucher-checks across the Maintenance Fund, Cedar Creek Construction Fund, Cedar Creek Revenue Fund, and Social Security Fund. The Board further authorized the District to enter into contracts for the purchase of multiple land tracts required for the Cedar Creek Reservoir, including tracts held by Fred Mosley, Roy D. Pate, Ella Mae Templeton, Frank Blair, Hal F. Simmons, Ennis Davis, Eugene L. Dickens, J. R. Simmons, and S. R. Blair et al. Additionally, the monthly financial report concerning receipts and disbursements from the previous month was presented, accepted, and placed on file.
The board discussed a joint proposal from local banks to purchase District Series D bonds. Decisions were made regarding a settlement for a specific performance suit involving land conveyance and flood easements. The directors reviewed and approved bond sales reports, authorized the transfer of a lease, and confirmed a previously unauthorized sale of a house. Additionally, the board approved the pledge of government securities to the District's depository to secure deposits.
The Board authorized the payment of various voucher-checks across multiple funds, including the General Fund, Cedar Creek Project, Revenue Fund, and Richland-Chambers Project. They appointed an Election Officer and authorized an upcoming election for the selection of new Directors. Additionally, the Board approved the purchase of specific tracts of land for the Richland Creek Project and authorized the sale of surplus land in the Cedar Creek area. The meeting also included an executive session to discuss ongoing litigation matters.
The Board authorized several financial and operational actions, including an audio/video improvement contract for the boardroom, an insurance policy for the district's helicopter, and reimbursement resolutions related to reservoir and dam stability projects. Contracts were approved for construction and geotechnical analysis on various Eagle Mountain projects, alongside an amendment to an architectural design contract. The Board moved forward with land acquisitions for the Trinity River Vision - Central City Project and approved the sale of an encroachment tract. Furthermore, the Board authorized a joint application to vacate Pecan Street and approved the procurement of digital kiosk systems to support educational initiatives.
The Board discussed a claim from the Chicago, Rock Island and Gulf Railway Company regarding reservoir construction and authorized legal counsel to address a pending lawsuit. They reviewed claims against a subcontractor and approved payments for current district obligations. The board also approved a request from the depository bank regarding the withdrawal of pledged securities and authorized a salary increase for a staff member. Furthermore, the directors approved construction estimates for the Bridgeport Dam, changed the weekly meeting schedule, and reviewed several land purchase and rental proposals presented by the Land Committee.
Extracted from official board minutes, strategic plans, and video transcripts.
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