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Council accepts April financial report and approves vendor payments
Summary
At its April 6 meeting the council accepted the April 6, 2026 financial report showing General Fund $224,637.65; Highway Fund $48,520.29; Act 13 Impact Fund $41,422.42, and approved payment of presented invoices.
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The Picture Rocks Borough Council accepted the April 6, 2026 financial report and approved payment of vendor invoices presented at the meeting.
On a motion by Matt Charles and Mary Brink, the council accepted the financial report as presented and filed it for audit. Reported fund balances were: General Fund $224,637.65; Highway Fund $48,520.29; Act 13 Impact Fund $41,422.42. Council then approved payment of invoices presented (including charges from De Lage Financial, UGI, PPL and others) on a motion by Jeff Rishel, seconded by Matt Charles; the motion carried.
Minutes list paid and presented invoices and direct staff to file the financial report for audit; no additional appropriations or budget amendments were recorded.
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