Town Crier
Request a township
All typesagendaminutesproposalbudgetother
All time30 days90 days1 year

4 results for “liquid fuel tax” · budget

  • POTTER TOWNSHIP 2020 ANNUAL OPERATING BUDGET Board of Supervisors

    Pottsville, PA
    Budget

    Potter Township's Board of Supervisors approved the 2020 Annual Operating Budget with no millage rate increase, comprising seven funds: General Fund, State Fund, Capital Fund, Wage Tax Fund, Escrow Fund, Public Safety Fund, and DCNR Grant Fund. The General Fund budget totaled $3,812,580 in receipts and appropriations, with estimated tax revenue of $2,362,600 and major expenditures including Highway Maintenance ($1,290,795), Parks ($1,019,000), and Planning & Zoning ($433,250). The State Fund received a $24,861.54 liquid fuels allocation, while the Capital Fund maintained a balance of $52,268.07 with no estimated expenditures for the year.

    AI summary

    budgethighway maintenanceparksplanning and zoningpublic safety
    View PDF
Source
  • TOWNSHIP OF BETHLEHEM NORTHAMPTON COUNTY, PA 2023 ADOPTED BUDGET (ALL FUNDS)

    Bethlehem, PA
    Budget

    The Township of Bethlehem's 2023 Adopted Budget document, finalized December 19, 2022, presents comprehensive revenue and expenditure projections across six funds: General Fund, Sewer Fund, Liquid Fuels Fund, Capital Reserve Fund, Fire Tax Fund, and Stormwater Fund. Total General Fund tax revenue is budgeted at $15,976,510 for 2023, with earned income tax constituting $5,450,000, real estate tax at $7,103,510, and real estate transfer tax at $1,275,000. Licenses and permits revenue totals $841,700, and the budget includes detailed expenditure summaries and minor equipment allocations across all operating funds.

    AI summary

    budgettax revenuesewer infrastructurestormwater managementcapital reserve
    View PDFSource
  • YORK TOWNSHIP 2026 BUDGET

    York, PA
    Budget

    The York Township 2026 Budget document is a comprehensive 52-page budget plan outlining the township's financial allocations across multiple funds including the General Fund, Sewer Fund, Recreation Capital Reserve Fund, Stormwater Fund, and others. The budget includes detailed information on revenue sources, expense appropriations, tax rates, and capital reserves, with sections dedicated to explaining how tax dollars are allocated across township services. Key components covered are the General Fund budget, sewer operations, intermunicipal sewer arrangements, liquid fuel allocations, and stormwater management.

    AI summary

    budgettax planninginfrastructure fundingpublic servicescapital reserves
    View PDFSource
  • 2024 Budget Statement and Report

    Hazleton, PA
    Budget

    The City of Hazleton's 2024 proposed operating budget totals $25,025,850 across six fund budgets, with the General Fund comprising $15,943,945, the Pension Fund $6,629,877, Recreation Fund $201,150, Airport Fund $895,730, Debt Service Fund $519,667, and Liquid Fuels Fund $835,481. After successfully exiting ACT 47 in 2023, Mayor Jeff Cusat's administration is proposing a 1.15 million dollar increase in real estate taxes to address three major obligations, while recommending a 50 percent reduction in ACT 205 EIT taxes, with the expectation that most city workers will see a net tax reduction. The Debt Service Fund sees a significant increase in 2024 due to a balloon principal payment related to unfunded debt borrowing from 2018. The budget was presented by Mayor Jeff Cusat and City Administrator Dan Lynch.

    AI summary

    View PDFSource