2025 - FINANCIAL STATEMENT - 2025
Auditor's 2025 Report for Upper Makefield Township
Concise Financial Statements
For the Year Ended December 31, 2025
Concise Balance Sheet
Assets
Cash $ 26,982,960
$ 26,982,960
Liabilities and Fund Balances
Fund Balances 26,982,960
$ 26,982,960
Concise Statement of Revenues and Expenditures
Fund Balance - January 1, 2025 $ 25,458,355
Revenues
Real Estate Taxes $ 1,591,546
Real Estate Transfer Taxes 869,972
Earned Income Taxes 5,251,730
Licenses and Permits 288,757
Fines and Forfeits 27,978
Interest 2,212,826
Intergovernmental Revenues 768,539
Charges for Services 1,972,331
Other Financing Sources 2,129,617
Total Revenues 15,113,296
Expenditures
General Government 1,649,871
Public Safety 4,838,381
Public Works - Highways and Streets 1,446,172
Public Works - Water & Sewer System 1,144,099
Culture & Recreation 398,633
Community Development 5,000
Debt Service 122,820
Miscellaneous Expenditures 2,630,455
Other Financing Uses