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Campbell bookkeeper reports tax receipts, sales tax and long-term bond plan for water extension
Summary
Bookkeeper reported January receipts, real property tax distributions by fund, Q4 sales tax and host-fee totals, and said Municipal Solutions has started paperwork for a long-term funding plan for a water extension with an estimated annual bond payment of $62,580 until 2055.
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At the Feb. 9 meeting the town bookkeeper submitted monthly reports and financial figures for January and fourth-quarter 2025. The minutes list real property tax revenue by fund (General $228,762.00; Highway $402,378.00; Lighting $11,500.00; Fire #1 $223,268.00; Fire #2 $139,267.00) and fourth-quarter receipts including Sales Tax $129,120.19 and Casella host fees $41,024.67.
The bookkeeper said Municipal Solutions has started paperwork for long-term funding for a water-extension project and expects an annual bond payment of $62,580 until 2055, noting that figure is close to prior estimates. The bookkeeper also reported paying January invoices for the new highway barn from the town's Money Market Fund. The board accepted the bookkeeper report and the associated budget modifications by roll call vote (Ayes 5). No direct quotes are recorded in the minutes.
