Annual Treasurer's Report for the Village of Trout Valley for fiscal year ended August 31, 2025.
Official Courthouse Record · AI-summarized for clarity
- Published
- Category
- Other
- City
- Trout Valley
What You Should Do Next
- 1
Review the Report
Examine the financial details provided in the report for accuracy.
- 2
Contact the Treasurer
Reach out to Laurie Almeraz for any questions regarding the report.
- 3
Attend Village Meetings
Participate in upcoming village meetings to discuss financial matters.
Frequently Asked Questions
- What is the Annual Treasurer's Report?
- It summarizes the financial activities of the Village for the fiscal year.
- When does the fiscal year end for Trout Valley?
- The fiscal year for Trout Valley ends on August 31.
- Who certifies the Treasurer's Report?
- The report is certified by the Village Treasurer, Laurie Almeraz.
The above suggestions and answers are AI-generated for informational purposes only. They may contain errors. NoticeRegistry assumes no responsibility for their accuracy. Consult a qualified professional before taking action.
Full Notice Text
PUBLIC NOTICE VILLAGE of TROUT VALLEY ANNUAL MUNICIPAL TREASURER'S REPORT Year Ended August 31, 20254 Receipts Summary State Income$91,949 Local Use$12,470 Sales$22,770 Motor Fuels$23,310 Road & Bridge$13,302 Franchise$10,420 Interest – total$17,777 Grants$5,827 Miscellaneous revenue$2,603 TOTAL: $200,428 Disbursement Summary Vendors in Excess of $2,500.00 MSUFCU $3,009 Polach Appraisal Group $4,500 HR Green Inc$5,000 Trout Valley Preservation Society$5,000 Red Oak Tree Service $5,550 ABC Remodelers $5,850 Superior Systems $7,700 GW & Associates $8,000 The Davey Tree Expert Company $9,900 Trout Valley Association $ 11,150 Franks Kelly Matuszewich & Andrle P.C.$14,495 Signal 88, LLC $20,457 McHenry Savings Bank $38,135 Total for Vendors in Excess of $2,500.00$138,746 Total for Vendors Less than $2,500.00$16,034 Compensation Summary None General Fund Special Fund Receipts$167,624$32,804 Disbursements$102,540$52,240 Excess of Receipts Over / (Under)Disbursements$65,084$(19,436) Transfer In/Out$(41,044)$41,044 Net Change in Fund Balance$24,040$21,608 Balance, beginning of year$195,550$203,738 Balance, end of year$219,590$225,346 I hereby certify that this is a true copy of the Annual Treasurer's Report of the Village of Trout Valley for the fiscal year ended August 31, 2025. Laurie Almeraz Treasurer, Village of Trout Valley (Published in the Northwest Herald on March 5, 2026) 2309426