Budget | State College, PA - Official Website
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This webpage is the State College, PA budget information center, providing access to the municipality's annual operating budgets and related financial documents. The page lists operating budgets from 2006 through 2026, with historical summaries showing General Fund revenues ranging from $14.9 million (2006) to $24.2 million (2015) and total expenditures growing from $26.4 million to $44.6 million over that period. The site also provides links to other financial documents including capital improvement plans, audits, and pension compliance reports.
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Skip to Main Content I WANT TO... SERVICES OUR COMMUNITY GOVERNMENT Billing Temporary Retail Dealers Budget Capital Improvement Plan (CIP) Annual Audit Financial Trend Monitoring Report Quarterly Financial Reports Budget Information Center DCED Annual Financial Report IDA Audit Pension Compliance Reports Act 13 Report Liquid Fuels Audits Firemen's Relief Audit Vendor Payments Home Government Departments Administration Financial ServicesBudget Budget 2026 Operating Budget 2025 Operating Budget 2024 Operating Budget 2023 Operating Budget 2022 Operating Budget 2021 Operating Budget 2020 Operating Budget 2019 Operating Budget 2018 Operating Budget 2017 Operating Budget 2016 Operating Budget Budget Documents from Previous Years 2006 Operating Budget Summary (PDF): The General Fund budget is balanced with revenues of $14.9 million and expenditures of $14.8 million. Total budget after adjustments for inter-fund transfers is $26.4 million. 2007 Operating Budget Summary (PDF): The General Fund Budget is balanced with revenues of $15.3 million, allocation of $0.5 million from unreserved fund balance, and expenditures of $15.8 million. Total expenditures is $28.0 million. 2008 Operating Budget Summary (PDF): The General Fund Budget is balanced with revenues of $16.4 million, allocation of $0.6 million from unreserved fund balance, and expenditures of $17.0 million. Total expenditures is $30.2 million. 2009 Operating Budget (PDF): The General Fund Budget is balanced with revenues of $15.8 million, allocation of $1.3 million from unreserved fund balance, and expenditures of $17.1 million. Total expenditures is $29.5 million. 2010 Operating Budget (PDF): The General Fund Budget is balanced with revenues of $18.4 million, allocation of $0.2 million from unreserved fund balance, and expenditures of $18.6 million. Total expenditures is $30.4 million. 2011 Operating Budget (PDF): The General Fund Budget is balanced with revenues of $19.9 million, allocation of $0.7 million from unreserved fund balance, and expenditures of $20.6 million. Total expenditures is $33.5 million. 2012 Operating Budget (PDF): The General Fund Budget is balanced with revenues of $20.3 million, an allocation of $0.7 million from unreserved fund balance and expenditures of $21.0 million. Total expenditures is $37.5 million. 2013 Operating Budget (PDF): The General Fund Budget is balanced with revenues of $21.0 million an allocation of $1.2 million from unreserved fund balance and expenditures of $22.2 million. Total expenditures is $47.4 million. 2014 Operating Budget (PDF): The General Fund expenditures are balance with expected revenues of $23.3 million, and total expenditures for the Borough after adjustments for inter-fund transfers is $51.9 million. 2015 Annual Operating Budget (PDF): General Fund expenditures are balanced with expected revenues of $24.2 million and $811,523 from fund balance. Total expenditures, after adjustments for inter-fund transfers, is $44.6 million. 2016 Operating Budget (PDF): The General Fund budget is balanced with revenues of $25.2 million and expenditures of $25.2 million. The budget requires a 2 million increase in the Real Estate Tax millage rate. Proposed 2017 Budget (PDF) Budget Presentations 10-26-2016 Proposed 2017 BudgetAdministration (PDF) 2017 DNCS and Police Budget Presentations for November 15 (PDF) 2017 Parking Budget Presentation for November 14 (PDF) 2017 Proposed 2017 Budget (PDF) 2017 Public Works Budget Presentation for November 7 (PDF) 2017 Public Works Budget Presentation for November 9 (PDF) 2019 Budget Executive Summary and Highlights (PPT) 2019 Budget Highlights Parking (PPT) 2019 Budget Lunch n Learn (PPT) 2019 Budget Police (PPT) 2019 REVIEW OF REGIONAL PROGRAMS (PPT) 2019 Review of DPW and CIP (PPT) 2019 Review of NCS Division (PPT) 2019 Review of Receipts Tax Information Technology Insurance Reserve Finance and Administration (PDF) Budget 101 (PDF) Budget 101 Road Show (PDF) May 2010 Budget Report (PDF) Parking Budget Slides (PDF) Planning--Bellaire 2019 Budget Presentation (PPT) What is Taxable as EIT_ (PDF) Fee Schedule Schedule of Fees (PDF) Government Websites by CivicPlus®
More budgets from State College
The Borough of State College's 2026 Proposed Budget is a comprehensive 406-page document outlining the municipality's financial plan across multiple departments and funds, including General Fund, Capital Fund, Asset Replacement Fund, and Debt services. The budget covers diverse areas such as police, public works, parking, planning, public health, and regional programs, with detailed capital improvement projects including parking garage repairs, street reconstruction, sanitary sewer work, and park improvements. The document includes financial policies, demographic information, organizational structure, departmental budgets with receipt details, and a fee resolution appendix covering various municipal services and licenses.
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