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Maintenance and Repairs - April 2026
Posted on Apr 29th, 2026

The Spence's Point Board approved these projects during its regular meeting on Monday, April 27.
 
Reserve Account Funded Projects:
  • Repairs to all entrance ramps and stairways by Complete Solutions Contracting (CSC) - $153,064
  • Power washing of all stairways and halls, staining of wood stair treads and railings by Prizm Decorating - $60,200
  • Staining of marina deck that was not completed in 2025 by Prizm Decorating - $5,000
  • Foundation skim coat and stucco repairs on Building #5 and six other structures caused by siding installation and deterioration by Complete Solutions Contracting (CSC) - $10,140.64
Total of Reserve Fund Expenditures: $228,404.57

Operating Account Funded Projects:
  • Spring cleaning of gutters on Bldgs 2,4,5,7,8 and 9  including downspouts by Gutter Kings - $1,165
  • Repairs identified by an engineer in the crawlspace under a first floor unit, "including cracked and improperly modified floor joists, plumbing support failures, and additional mechanical and electrical concerns" as well as water damage - $2,061 
    Co-owner's responsibility for missing dryer vent line and electrical work total - $818

Total Operating Account Expenditures: $3,226
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