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Montour SD reports $69.1 million in general fund revenues through March; board signs off on March payments
Summary
The Montour SD board approved the Treasurer’s Report through March 2026 showing General Fund revenues of $69,144,591.64 and expenditures of $55,559,433.95, and authorized payment and ratification of several large bills totaling more than $6.8 million combined.
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The Montour School District Board approved the Treasurer’s Report through March 2026 at its April 16 regular meeting. Director of Finance Anna Borsos reported General Fund year-to-date revenues of $69,144,591.64 and expenditures of $55,559,433.95 and listed multiple short-term investment balances and maturities.
Borsos presented bills for approval, with General Fund bills to be approved totaling $5,543,035.57 and bills to be ratified totaling $1,355,732.22; cafeteria and activity fund ratifications were also recorded. The board voted to approve the Treasurer’s Report and the payments by roll call, with the motion carried by all present.
