PUBLIC NOTICE SADSBURY TOWNSHIP 2012 AUDITOR REPORT Assessed Real Estate Value: $74,551,012 Tax Millage: 3.55 General Fund: Cash Balance January 1, 2012 $590,620 Revenue: Taxes $673,284 Licenses & Permits $765 Fines & Forfeits $13,082 Interest & Rents $9,082 State Revenues $41,055 Charges for Service $22,734 Other Financing $4,544 Special Assessments & other Unclassified Revenue $34,473 Total Revenue: $799,019 Total Available: $1,389,639 Expenditures: General Government $131,274 Public Safety $273,902 Public Works Sanitation $590 Public Works Highways & Streets $254,125 Other Public Works $545 Culture and Recreation $3,981 Employer Paid Benefits & Withholdings $40,034 Insurance $97,573 Other Financing Use $12,500 Total Expenditures: $814,524 Cash balance December 31, 2012 $575,115 Total Expended and Unexpended: $1,389,639 State Liquid Fuels Funds: Cash balance January, 1, 2012 $51,080 Revenue: Interest $68 Liquid Fuel Tax $143,081 Total Revenue: $143,149 Total Available: $194,229 Expenditures: Highway Maintenance $154,112 Total Expenditures $154,112 Cash balance December 31, 2012 $40,117 Total Expended and Unexpended: $194,229 Auditors: Steve Fecik - Chairman, Shari Bronson, Meg Hilla 03/06/13
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