PUBLIC NOTICE 2015 AUDITORS REPORT SUBMITTED BY THE BEAVER TOWNSHIP BOARD OF AUDITORS GENERAL FUND Beginning Balance 1/1/15 $76,795.91 Outstanding Liabilities $382.48 RECEIPTS Tax Revenue $92,777.79 Fines & Forfeits $2,401.97 Interest & Royalties $1,393.46 Intergovernmental Revenue $8,863.49 Act 13 $120.95 Permits & Sales $7,997.93 Cemeteries $2,842.11 Other Income $6,178.28 Total Revenue $122,575.98 EXPENDITURES General Government $37,335.79 Public Safety $7,402.30 Public Works $69,858.88 Cemeteries $2,322.64 Debt Service $11,083.59 Employer Paid Benefits $35,945.91 Insurance $18,276.00 Total Expenditures $182,225.11 BALANCE $16,764.30 LIQUID FUELS Beginning Balance 1/1/15 $50,191.00 RECEIPTS Interest $17.18 Liquid Fuels/ Turnback $127,204.07 Total Revenue $127,221.25 EXPENDITURES Public Works $145,731.00 Debt Service $9,685.00 Total Expenditures $155,416.00 BALANCE $21,996.25 03/29/16
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