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Catskill trustees approve audited bills, accept financial reports and review operating statements
Summary
At its March 12 meeting the board approved payment of audited bills (General Fund A $124,275.50; Water Fund F $49,415.86; Sewer Fund G $23,470.40), accepted department reports and the treasurer's report, and reviewed detailed operating statements through Feb. 28, 2025.
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The Village of Catskill Board of Trustees on March 12 approved payment of audited bills and accepted routine financial reports for February.
By unanimous motion the board approved payment of audited bills with the minutes listing fund totals of General Fund A at $124,275.50, Water Fund F at $49,415.86 and Sewer Fund G at $23,470.40. The board also accepted department reports for February 2025 and the treasurer’s report as presented in the meeting minutes.
During the session trustees reviewed the village operating statements through Feb. 28, 2025, which contain line-by-line appropriation and revenue figures across general, water and sewer funds (records in the minutes include multiple budget-to-date lines for accounts such as police, public works, street lighting, retirement and medical insurance). The minutes do not show any amended budget resolutions or changes to levy or fee rates at this meeting.
The minutes include detailed departmental schedules (DPW activity logs, police activity totals, building-permit receipts) that the board received for its record. The minutes do not attribute the financial presentation to a single speaker in the transcript; the acceptance motions are recorded as having been moved and seconded by trustees and approved unanimously.
