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Glassport council approves monthly financial reports and pays $637,384.27 in May bills

Glassport Borough Council · June 17, 2025
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Summary

Council approved the monthly financial reports and authorized payment of $480,560.77 in General Fund bills and $156,823.50 in Sewer Revenue Fund bills for May; motions passed unanimously with one absence.

Glassport Borough Council approved its Treasurer's Report and authorized payments covering May municipal bills during the June 17 meeting.

Treasurer Elaina Skiba presented the report; Councilwoman Amy Nabors moved to approve the Monthly Financial Reports, seconded by Meghan DeVerse, and the motion passed 6–0 with one absent. The council then approved payment of General Fund bills totaling $480,560.77 (motion by Poul Trunzo, second by Dave Kowalski) and Sewer Revenue Fund bills totaling $156,823.50 (motion by Meghan DeVerse, second by Bob Miskanin); both votes were recorded Yes 6, No 0, Absent 1.

The meeting minutes record the payment amounts and the roll-call votes but do not break down line-item expenditures in the minutes; copies of the Treasurer's Report were noted as available on the public desk.