Public Notice — Fairview
Official courthouse record · Indexed in NoticeRegistry archive · AI-enriched for research
Fairview Township Supervisor Brad Tessier reports the Corporate Town Fund financial statement for fiscal year April 1, 2025–March 31, 2026, showing beginning balance $161,518.86, total revenues $43,842.93, expenditures $43,119.66, and ending balance $162,242.13.
Key Takeaways
- Fiscal year: April 1, 2025–March 31, 2026
- Beginning balance: $161,518.86 (includes $30,000 in CDs)
- Total revenues: $43,842.93
- Total expenditures: $43,119.66
- Ending balance: $162,242.13 (includes $30,000 in CDs)
What to do next
- 1
Review the statement
Residents or officials should review the full Corporate Town Fund report for accuracy and ask the township for supporting documents if needed.
- 2
Contact the township supervisor
Direct questions to Supervisor Brad Tessier or Fairview Township offices for clarifications about revenues or expenditures.
Frequently asked questions
- What period does this financial statement cover?
- It covers the fiscal year from April 1, 2025 through March 31, 2026.
- Who prepared and certified this statement?
- Brad Tessier, Supervisor of Fairview Township, prepared and swore to the statement.
- How much did the township spend on salaries?
- Salaries for the year totaled $22,100.64.
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Full Notice Text
SUPERVISOR'S STATEMENT OF FINANCIAL AFFAIRS FAIRVIEW TOWNSHIP CORPORATE TOWN FUND I, Brad Tessier, Supervisor of Fairview Township, Fulton County, Illinois, being duly sworn, depose and say that the following statement is a correct report for the fical year beginning April 1, 2025 and ending March 31, 2026. BEGINNING BALANCE April 01, 2025 $161,518.86 (Incl $30k in CDs) REVENUES IL Replacement Tax 31,136.05 County Property Tax 10,011.29 TOIRMA Insurance Dividends 552.00 Interest Income 2,143.59 TOTAL REVENUES: $43,842.93 EXPENDITURES Annual Meeting Transfer to General Assistance 1,000.00 Salaries 22,100.64 Payroll Taxes 8,661.11 Accounting & Audit Services 4,420.00 Insurance 3,740.00 Dues & Publications 945.15 Travel Expense 155.52 Building Rental 600.00 Office Supplies 227.24 Other Contractual Services 1,030.00 Recycing Fees 240.00 TOTAL EXPENDITURES: $43,119.66 ENDING BALANCE March 31, 2026 $162,242.13 (Incl $30k in CDs) TOWNSHIP--- EXPENDITURE SUMMARY: