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Montour board accepts January finances; general fund shows $63.1M in revenues to date
Summary
The Montour School District board approved the January Treasurer’s Report showing General Fund revenues of $63,125,782.36 and expenditures of $40,779,948.79, ratified bills and approved budget transfers and capital-project summaries including a $14.83M grand total of completed projects.
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The Montour School District Board of School Directors approved the Treasurer’s Report through January 2026, with General Fund year-to-date revenues of $63,125,782.36 and expenditures of $40,779,948.79. Director of Finance Anna Borsos presented cash and investment positions, including several FNB certificates of deposit and ICS holdings and pooled accounts.
The board also voted to approve and ratify bills across funds (General Fund bills to be approved $3,619,049.29; bills to be ratified $2,700,719.09) and accepted a summary of completed capital projects with a reported grand total of $14,832,304.58. Borsos outlined active capital work, including high-school stormwater repair and an athletic-training building study that together accounted for $714,911.79 in active project expenditures to date.
The board approved a set of January 2026 budget transfers reallocating modest amounts between program codes to cover professional services, tuition, and supplies in special-education and psychological-services lines. No board member requested additional action beyond approving the items as presented.
