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Marlborough trustees adopt 2026 budget, cite $1.54 million available cash
Summary
The Village of Marlborough Board of Trustees unanimously adopted Ordinance No. 25-012, approving the 2026 fiscal-year budget after a public hearing with no public comment. Treasurer figures show available cash of $1,544,507.73 and designated reserves for stormwater and capital improvements.
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The Village of Marlborough Board of Trustees voted unanimously on Nov. 10 to adopt the 2026 fiscal-year budget as Ordinance No. 25-012. The bill was read twice by title and passed on a roll-call vote of all five trustees: Chairman Bornmueller and Trustees Hollander, Boergadine, Doebber and Fulton voted 'aye.'
Chairman Bornmueller presented October financials before the vote: opening balance $3,685,680.42; receipts $76,618.03; disbursements $66,818.93; ending cash $3,695,479.82. After subtracting designated accounts (lateral sewer $25,456.71; capital improvements $968,092.98; storm water $1,154,792.59; court funds $2,629.81), the available cash listed for 10/31/2025 was $1,544,507.73. A public hearing on the proposed budget drew no public comments.
Trustees also discussed the sewer lateral reimbursement timeline during work-session follow-up and agreed to review potential ordinance language at a future meeting; Trustee Boergadine will research suggested updates. The Board entered the budget adoption into the record as Ordinance No. 25-012.
Next steps: the ordinance was entered as adopted and will be reflected in the Village’s 2026 fiscal planning documentation.
