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Peck council reviews audit, posts March 31 fund balances
Summary
At its Sept. 17 meeting the Village of Peck council received an audit presentation and reviewed fund statements showing a General Fund balance of $74,990 as of March 31, 2025; the council discussed revenues, expenditures and several fund-by-fund figures from the audit packet.
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The Village of Peck council received the village's latest audit at its Sept. 17 meeting and reviewed fund statements covering the period ending March 31, 2025. Wes Messing of King & Messing CPAs presented the audit to the council.
The presentation included the General Fund balance of $74,990 and detailed revenue and expenditure lines across several funds. The packet shows total General Fund revenues of $433,263 and expenditures of $392,184 for the period, producing a change in fund balance of $23,435. The Major Street, Local Street, Park, Municipal Street, Senior Citizen, Sewer, Water and Equipment funds were also included in the materials.
Council members did not record extended debate in the minutes following the presentation. The audit and fund tables were entered into the official record; the village clerk's minutes note the audit was presented as the latest financial review. The council adjourned at 7:14 p.m.
