Red Hook WatchIndependent Community Resource

Treasurer's Report

Meetings/Documents/wd::dc_2092_20250811_treasurer_report
Working document2025-08-11

VILLAGE OF RED HOOK TREASURER’S REPORT August 11, 2025

ACCOUNT BALANCES (07/31/2025)

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General Fund$ 362,093.07
NYCLASS General Fund$ 1,301,181.79
Water Fund$ 203,435.93
NYCLASS Water Fund$150,136.36
Sewer Fund$ 32,803.45
Payroll Clearing Account$ 59,357.18
Hardscrabble Account$ 5,994.48
Village Green$ 5,264.68
Health Insurance Deductible Account $ 10,390.57

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RESERVE CHECKING BALANCES
Fire Department (M&T)$ 10,574.79
Police Department (M&T)$ 18,170.97
USDA Water Reserve (M&T)$ 147,850.84
Highway Reserve (M&T)$ 606.76
Snow Reserve (M&T)$ 3,491.51
Tower Reserve (M&T)$ 18,856.52
Unemployment Reserve (M&T)$ 7,479.62
Court Reserve (M&T)$ 3,511.86
Office Reserve (M&T)$ 1,035.39
MONTHLY EXPENSES (July 2025)
General Fund$ 202,860.42
Water Fund$ 150,139.55
Payroll Clearing Account$ 2,600.72
Sewer Fund$ 19,784.74

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Respectfully Submitted,

Marybeth De Filippis Treasurer