Annual Borough Budget

FundRevenueExpensesSurplus/Deficit 
01 General$15,021,896$15,021,896
$0.00
03 Fire$1,937,920$1,937,920
$0.00
04 Special Roads Projects
$311,000
$311,000$0.00
05 Street Lights
$140,600
$140,600
$0.00
06 Water$15,761,727$15,761,727
$0.00
08 Sewer$7,525,068
$7,525,068$0.00
23 Dept Services$954,827$954,827$0.00
30 Capital Projects$1,209,038$1,209,038$0.00
35 Liquid Fuels$527,600$527,600$0.00
Total All Funds$43,389,676$43,389,676$0.00
2025 Budget Pie Chart