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Board accepts January treasurer reports and approves bills, including General Fund and HS/MS project accounts
Summary
Board approved the treasurer reports for month ending Jan. 31, 2026 and bills and claims, noting large balances and several account totals; all financial approvals were recorded as carried unanimously.
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At the Feb. 23 meeting the Slippery Rock Area School Board approved treasurer reports for the month ending Jan. 31, 2026 and a set of bills and claims.
The treasurer reports recorded these balances: General Fund (First National Bank of PA) $8,363,599.94; Capital Reserve $(60,485.46); Activities Fund $57,496.80; Athletics Fund $79,202.55; Food Service Fund $1,048,170.48; and the HS/MS Project Account $2,863,633.69. The board also approved bills and claims including a General Fund disbursement of $925,034.11 and manual checks totaling $2,167,158.54.
Motions were made and seconded by board members and recorded as unanimously carried. The minutes do not break down individual line-item vendors or the purposes for the manual checks; those records typically appear in disbursement reports in business-office files.
