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Montour board OKs March financials, approves $9 million in general-fund bills
Summary
The Montour School Board approved the Treasurer’s Report through March 2025 showing $69.45 million in year-to-date General Fund revenues and $56.60 million in expenditures, and authorized General Fund bills to be paid totaling $9,048,681.51; all present voted yes.
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The Montour School District Board on April 24 approved its Treasurer’s Report through March 2025, which shows General Fund revenues year-to-date of $69,448,625.38 and expenditures of $56,599,865.70. Director of Finance Anna Borsos presented bank and investment balances and a list of completed capital projects before asking the board to ratify payments.
Borsos told the board the General Fund bills to be approved totaled $9,048,681.51, with an additional $2,049,462.69 to be ratified. The board approved the motion by roll call; according to meeting minutes, all eight members present voted “YES.” The treasurer’s presentation also listed cafeteria and capital reserve balances and month-to-date statistics for meals served.
