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17 results for “liquid fuels”

  • 11/19/2024 2025 PROPOSED Budget The Honorable Michael Helfrich, Mayor

    Nov 19, 2024

    ·York, PA
    Budget

    On November 19, 2024, Mayor Michael Helfrich presented the FY2025 proposed budget totaling $143.4 million in expenses, funded by $108.0 million in revenue and $35.6 million in fund balance, with a projected surplus of $181,471. The General Fund comprises the largest portion at $70.3 million in expenses supported by $57.7 million in revenue and $12.6 million in fund balance, while significant allocations include American Rescue Plan Act funds ($21.4 million), capital projects ($6.8 million), and special projects ($4.3 million). The budget includes salary and wage adjustments for city employees and council members, along with various departmental allocations for benefits and operational expenses across multiple specialized funds including recreation, liquid fuels, housing grants, and infrastructure projects.

    AI summary

    budgetfiscal year 2025municipal spendingcapital projectsemployee compensation
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  • - 1 - Finance/Operations August 16, 2023 Minutes Attendance:

    Aug 16, 2023

    ·Eugene, OR
    Minutes

    The Finance/Operations Committee met on August 16, 2023, to address maintenance, planning, and engineering matters. Key updates included the arrival of a new street sweeper awaiting registration, receipt of the 2022 Liquid Fuels Audit Report, discussion of the Hanover Soccer Club's request to use Clark's fields in spring 2024, and approval needed for the Sherry Village Stormwater Basin Retrofit final payment at the next Board of Supervisors meeting. The Township was awarded a Green Light Go Grant for traffic signal upgrades and advertised the ARLE Grant with bids to be awarded in September, though an issue was noted with a Growing Greener Grant from 2018 due to unused funds.

    AI summary

    street maintenancestormwater infrastructuregrant fundingtraffic signalsequipment acquisition
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  • City Council Meeting Minutes November 14, 2022 Approved November 28, 2022

    Nov 14, 2022

    ·Coatesville, PA
    Minutes

    The Coatesville City Council met on November 14, 2022, to advance the 2023 budget approval process, with key highlights including a balanced General Fund for the fourth consecutive year with no tax increase for the eighth year and no use of reserves. The council approved accounts payables and voted to advertise the preliminary 2023 budget, which includes $4.5 million in capital infrastructure investments and $400,000 in paving through the Liquid Fuels fund, with a public forum scheduled for December 5 before final approval on December 12. Finance Director Rich Troutman also reported on the city's Chester tax commission meeting, noting the city receives several million dollars annually in Earned Income Tax while contributing just over $700 to the commission's budget.

    AI summary

    budgettaxinfrastructurecapital projectsroad maintenance
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  • City of Wilkes-Barre 2023 Budget Mayor George C. Brown

    Wilkes-Barre, PA
    Budget

    The City of Wilkes-Barre's 2023 budget, presented by Mayor George C. Brown, reflects recovery and operational improvements following the COVID-19 pandemic, with significant support from the American Rescue Plan Act (ARPA) funding. ARPA funds enabled multiple community initiatives including business and non-profit assistance programs, home improvement and down payment assistance, resident stimulus packages, infrastructure repairs, street paving, equipment purchases, and recreational enhancements such as the new Special Needs Playground at Kirby Park. The budget document outlines the city's governmental structure, departmental organization, and comprehensive financial planning across general funds, debt statements, salary schedules, and specialized budgets for liquid fuels and Kirby Park operations.

    AI summary

    budgetinfrastructure repairscommunity developmentarpa fundingstreet paving
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  • Carbondale, City of - Lackawanna County - Liquid Fuels ...

    Carbondale, PA
    Other
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  • Penn Township Financial Statements and Supplementary Information

    Pottsville, PA
    Budget

    Penn Township's financial statements for the year ended December 31, 2017 include government-wide and fund-level financial statements prepared on a modified cash basis, accompanied by an independent auditor's report. The document presents statements of net position, activities, receipts and disbursements across governmental funds, proprietary funds (water and sewer), and fiduciary funds, along with budgetary comparison schedules for the general fund, state liquid fuels, storm water management, and capital improvements. The audit was conducted in accordance with modified cash basis accounting standards, with management responsible for the preparation and fair presentation of the financial statements.

    AI summary

    financial statementswater infrastructurebudget comparisonsewer managementcapital improvements
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  • Worcestertwp

    Worcester, MA
    Agenda

    The Worcester Township Board of Supervisors held a business meeting on January 20, 2021, with action items including approval of the December 2020 treasurer's report and meeting minutes, submission of Meadow Lane to the Pennsylvania Department of Transportation's Liquid Fuels inventory, execution of easements for the Adair Storm Sewer Project, and certification of qualified volunteers for the Act 172 Earned Income Tax Credit for 2020. The agenda also included public comment periods and upcoming meetings scheduled for various township boards and commissions in late January and February 2021.

    AI summary

    road maintenancestorm sewer projecttax credittreasurer reportpublic meetings
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  • MINUTES of REGULAR MEETING of the BOARD of ...

    Knoxville, TN
    Minutes

    The Bowling Green, Kentucky Board of Commissioners held a regular meeting on September 16, 2008, where Mayor Elaine N. Walker recognized local achievements including Boy Scout Troop 79's attendance, Fire Prevention Officer Marlee Boenig's election as Vice President of the National Information Officers Association, and the city website's two national awards. The board conducted public hearings on the proposed 2008 property tax rate of $0.206 per $100 assessed value (a decrease from the previous year that included a 4% growth rate and compensation for the new Warren County Library District tax), with no public comments received, and reviewed proposed uses of Municipal Aid Program funds, including Fiscal Year 2009 Liquid Fuel Tax projected revenues of $955,700. Plant Manager Paul Graham presented on General Motors' 100th Anniversary, discussing the Corvette Plant's operations and GM's future energy diversification goals, leading Mayor Walker to proclaim the day as General Motors Corporation 100th Anniversary Celebration Day.

    AI summary

    property tax ratemunicipal aid programliquid fuel taxpublic hearinglibrary funding
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  • Penn Township Financial Statements and Supplementary Information

    Pottstown, PA
    Budget

    Penn Township's financial statements for the year ended December 31, 2017 include an independent auditor's report and comprehensive financial documentation using the modified cash basis of accounting. The statements encompass governmental activities, business-type activities, and fiduciary funds, along with budgetary comparisons and supplementary information for various funds including the General Fund, Water and Sewer Fund, State Liquid Fuels Fund, Storm Water Management Fund, and Capital Improvements Fund. The audited financial statements present the Township's net position, activities, fund balances, and changes in fund net positions across all operational and proprietary funds for the fiscal year.

    AI summary

    financial statementsbudgetwater infrastructurefund managementmunicipal accounting
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  • Moore Township Board of Supervisors

    Moore Township, XX
    Minutes

    The Moore Township Board of Supervisors met on August 1, 2023, and approved minutes, the financial report, bills totaling $161,421.65 (General Checking and Liquid Fuels combined), and payroll. During the meeting, the Public Works Department reported completion of road preparation for seal coating scheduled for August, and the Nazareth Council of Governments discussed regional fire department staffing challenges and a comprehensive plan resolution requiring board review and approval.

    AI summary

    road maintenancebudgetpublic worksfire departmentcomprehensive plan
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  • Page 1 of 4 Moore Township Board of Supervisors 2491 Community Drive

    Moore Township, XX
    Minutes

    Moore Township Board of Supervisors held its regular monthly meeting on December 3rd, 2024, with Vice Chairman David Shaffer presiding. The Board approved minutes from November 12th and 19th meetings, accepted the Financial Report, and authorized payment of bills totaling $110,214.21 from General Funds, $434 from Liquid Fuels, $552.50 from Open Space, and $1,972.25 from Community Days. The Board approved payroll and received reports from the Police Department, Fire & Ambulance, Emergency Management, Public Works, First Regional Compost Authority, and Recreation Commission. Public Works announced leaf collection would end December 13th, and the Recreation Commission reported that park lights would operate 5–8 PM on Tuesdays, Thursdays, and Saturdays, with deep cleaning of snack stands completed.

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  • 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
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  • Independent Auditor’s Report Board of Supervisors Fairview Township

    York, PA
    Other

    Brown Plus CPA (formerly Brown Schultz Sheridan Fritz CPA's) has completed annual audits of Fairview Township and its various departments and authorities for 2024, including audits of the township general fund, EMS, Fire Department, DCED Fairview Township Authority, West Shore Recreation, and Liquid Fuels, with originals available at the Township Office during business hours. The document provides a comprehensive listing of completed audits spanning from 2013 through 2024 across multiple township departments, authorities, and related entities, though no specific financial figures or policy decisions are detailed.

    AI summary

    financial audittownship governancebudget review
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  • 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
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  • 1 BOROUGH OF WIND GAP 545 East West Street WIND GAP, PA 18091 610-863-7288

    Wind Gap, PA
    Minutes

    The Borough of Wind Gap Council held a meeting on May 22, 2018, to discuss several infrastructure matters including the dedication of East First Street as a Borough street (requiring coordination with the developer and PennDOT regarding liquid fuels collection) and deteriorated curbing on Alpha and Fairview Avenues that may require property owner notification and repairs before a planned paving project. The meeting included five councilmen, the Mayor, Borough Solicitor, Borough Engineer, and Borough Administrator, with discussion of procedures for road acceptance, curb assessment criteria, and an incomplete agenda item regarding fire company cost recoupment.

    AI summary

    road infrastructurestreet maintenancepublic worksfire company costs
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  • Page 1 of 4 Moore Township Board of Supervisors 2491 Community Drive

    Moore Township, PA
    Minutes

    The Moore Township Board of Supervisors held its regular monthly meeting on December 3rd, 2024, at 6:00 PM, presided over by Vice Chairman David Shaffer, with Supervisor Michael Tirrell, Township Manager Stephen Nowroski, Township Solicitor David Backenstoe, and Township Engineer Kevin Horvath present. The board approved minutes from November 12th and 19th meetings, accepted the financial report, and authorized payment of bills totaling $110,214.21 from General Funds, $434 from Liquid Fuels, $552.50 from Open Space, and $1,972.25 from Community Days. The board also approved payroll and received departmental reports from Police, Fire and Ambulance, Public Works (noting leaf collection ending December 13th), and Recreation Commission (which scheduled park lighting for 5–8 PM on Tuesdays, Thursdays, and Saturdays). The Emergency Management Coordinator reported completing a NIMS 300 course and recommended the Fire Company obtain a functioning generator for shelter operations.

    AI summary

    board meetingsfinancial reportpublic worksemergency managementrecreation
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  • SKIPPACK TOWNSHIP BOARD OF SUPERVISORS Re-Organization Meeting Agenda

    Indianapolis, IN
    Agenda

    The Skippack Township Board of Supervisors held a re-organization meeting on January 5, 2026, to swear in newly elected and re-elected officials, including supervisors Karen Lynch and Justin Glennon, tax collector Laurie Augustine, and auditor Sara Weiss, followed by elections for chairperson and vice chairperson positions and appointments to various township roles and boards. The meeting agenda included administrative actions such as approving bills totaling approximately $268,123 across multiple funds, establishing new employee HRA categories ($3,000–$7,500 depending on coverage type), and discussing a $250,000 multi-modal grant for engineering costs on the Perkiomen Creek Road Bridge project, with 2026 road improvement allocations of $600,000 from the capital fund and $400,000 in liquid fuels. The agenda also covered adoption of resolutions establishing meeting dates, holiday schedules, fee schedules, and tax rates for the township.

    AI summary

    board organizationbudget approvalroad infrastructureemployee benefitstax rates
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