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Rescheduled April
Meeting Notice
The Board of Supervisors of Woodbury Township, Bedford County, has rescheduled the regular April meeting. The April 2, 2020, meeting is rescheduled for Thursday, April 16, 2020 at 7 p.m. at the township office, located at the Woodbury Area Community Center Annex, Woodbury, PA 16695.
The meeting will be closed to the public due to the COVID-19 Virus, however, if there are any public concerns or comments, please call and let a message at the office (814-766-3200), or for any written public comments or concerns, please place them in the drop-slot in the door of the White Annex Township Office building prior to the meeting. Thank You.
Denise L. Ott, Secretary
Woodbury Township
Meeting
The Roaring Spring Borough Council Meeting April 13, 2020 has been canceled.
Lisa A. Peel
Borough Manager
2019 Auditors Reports
Woodbury Township, Bedford County
General State Highway
Fund Aid Fund
Revenue Receipts
Real Estate $ 30,509.00
Per Capita 2,916.00
Real Estate Transfer Tax 24,625.00
Earned Income 118,348.00
Other Revenue
Cable Television $ 4,982.00
Fines 2,665.00
Interest 1.00 $ 2,125.00
Intergovernmental Revenues 12,411.00 95,589.00
Local Government Revenues 450.00
Charges for Services 14,443.00
Other Finance Sources
Prior Year Refunds $ 2,989.00
Total Revenue &
Financial Services $214,339.00 $ 97,714.00
Cash on Hand 1/1/2019 81,801.00 57,680.00
Total Revenue & Cash $296,140.00 $155,394.00
Governmental Expenditures
General Government $ 49,472.00
Public Safety 19,441.00
Health & Human Services 50.00
Highways 66,010.00 $ 145,276.00
Culture & Recreation 450.00
Payroll Tax Expenses 5,336.00
Insurance 11,621.00
Total Expenditures $152,380.00 $ 145,276.00
Total Cash on Hand 12/31/2019 143,760.00 10,118.00
Total Expenditures & Cash $296,140.00 $155,394.00
Respectfully Submitted,
Denise L. Ott, Sec./Treas.
Woodbury Township, Bedford County
H. Richard Sell, Auditor Chair
Barry Crawford, Auditor Sec.
Rebecca Smith, Auditor
BLOOMFIELD TOWNSHIP AUDITORS’ REPORT FOR 2019
GENERAL FUND
Opening Cash Balance Jan. 1 329,491
REVENUE
Taxes 132,505
Licenses and Permits 75
Fines 2,052
Interest, Rents and Royalties 2,079
State 8,709
Local 27,399
Charges for Services 8,875
Miscellaneous 191
TOTAL REVENUE 181,881
TOTAL FUNDS AVAILABLE 511,372
EXPENDITURES
General Government 76,821
Public Safety 9,683
Public Works 10,597
Highway and Streets 57,704
Storm Water & Flood Control 21,271
Insurance 5,245
Miscellaneous 65
TOTAL EXPENDITURES 181,386
ENDING CASH BALANCE DEC. 31 329,986
STATE LIQUID FUELS FUND
Opening Cash Balance Jan. 1 365
REVENUE
Interest 237
State 55,699
TOTAL REVENUE 55,936
TOTAL FUNDS AVAILABLE 56,301
EXPENDITURES
Highways and Streets 56,000
TOTAL EXPENDITURES 56,000
ENDING CASH BALANCE DEC. 31 301
Auditors: Susie Mohr, Donnette Fisher, Brian Hinkle
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