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Bel-Nor reports positive April operating balance; general fund near $995,000
Summary
City officials reported April revenue of about $71,421 and expenditures of about $50,382, leaving an approximate operating surplus of $21,038; General Fund balance reported at approximately $995,000.
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City Administrator Rachel St. Pierre and the Treasurer presented monthly reports to the Board of Aldermen at the May 18 meeting, outlining city operations and the April 2026 financial position. The Treasurer reported account balances as of April 30, 2026, including a General Fund balance of approximately $995,000 and a positive operating balance for April of approximately $21,038 (revenue ~ $71,421; expenditures ~ $50,382). The board heard additional operational updates on code enforcement, permitting and public works coordination.
Alderperson Capstick requested additional supporting documentation for code enforcement reports and expressed concerns about the format and timing of those reports. City staff did not announce any immediate changes to reporting at the meeting; staff listed ongoing administrative process improvements and continued coordination with vendors and inspectors. The Treasurer’s figures were presented as approximate in the minutes and are recorded here as reported by the Treasurer in the May 18 record.
