Overview of the Finance Department’s Responsibilities
- Assists the Administration with the preparation of an annual budget.
- Administers financial policies and procedures.
- Receives and has control of all Borough’s cash receipts for deposit in approved depositories.
- Controls the disbursement of all Borough funds.
- Processes paychecks for all Borough’s employees. Handles the payment of payroll withholding’s and reporting to all appropriate agencies.
- Manages funds to maintain cash flow for the payment of bills.
- Maintenance of Borough’s accounting system and records all financial transactions.
- Controls expenditures.
- Prepares annual financial reports.
2024 Finance Department Reports and Statements
Introduction to Budget
Revenue and Appropriations Summaries
Adopted Budget
2023 Budget
2023 Audit Report
2023 Annual Financial Statement
2023 Annual Debt Statement
2022 Audit Report
2022 Annual Financial Statement
2022 Annual Debt Statement
Notice of Competitive Sale
2022 Budget
Contributing Factors for Tax Increase
Tax Rate Increase
Appropriations Pie Chart
Revenue Pie Chart
2021 Annual Synopsis
2021 Audit Report
2021 Best Practice Checklist
2020 Annual Financial Statement Notice of Sale of Bond Anticipation Notes, Series 2021 (Click here for more information)