Financial statements for the Borough of Sellersville for the year ended December 31, 2025.
Official Courthouse Record · AI-summarized for clarity
- Published
- Category
- Other
- City
- Sellersville
What You Should Do Next
- 1
Visit Borough Office
Go to the Borough Office to review the 2025 Municipal Annual Report.
- 2
Review Financial Statements
Examine the published financial statements for insights into the borough's finances.
Frequently Asked Questions
- What are the financial statements for Sellersville?
- They include a balance sheet and statement of revenues and expenditures for 2025.
- Where can I find the 2025 Municipal Annual Report?
- A copy is available in the Borough Office.
- What is the total revenue for Sellersville in 2025?
- The total revenue is $5,012,116.
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
BOROUGH OF SELLERSVILLE CONCISE BALANCE SHEET DECEMBER 31, 2025 ASSETS Cash $5,355,707 Accounts receivable 510,718 Property, plant and equipment – net proprietary fund 2,938,083 Other assets 351,012 TOTAL ASSETS $9,155,520 LIABILITIES AND FUND BALANCES Liabilities: Accounts payable and accrued expenses $328,416 Escrow deposits 51,926 Notes payable - Proprietary Funds 236,398 Total Liabilities 616,740 Fund Balances: Restricted 2,679,441 Unrestricted 5,859,339 Total Fund Balances 8,538,780 TOTAL LIABILITIES AND FUND BALANCES $9,155,520 CONCISE STATEMENT OF REVENUES, EXPENSES, AND CHANGES IN FUND BALANCES YEAR ENDED DECEMBER 31, 2025 Revenues: Taxes, penalties and interest $2,131,170 Intergovernmental revenue 524,895 Charges for municipal services 759,132 Permits, fines, and assessments 71,840 Sewer fund revenue 1,301,682 Interest and other revenue 223,397 Total Revenues 5,012,116 Expenditures: General government $647,054 Public safety 1,714,278 Refuse 562,329 Public works 760,022 Recreation and special services 233,124 Sewer expenses 1,485,552 Other operating expenses 149,402 Total Expenditures 4,551,761 Excess of Revenues Over Expenditures ($539,645) NOTICE These concise financial statements are published pursuant to the appropriate provisions of the Borough Code. A copy of the 2025 Municipal Annual Report is on file in the Borough Office. NH - Apr 6 -1a