Red Hook WatchIndependent Community Resource

Treasurer's Report

Meetings/Documents/wd::doc_2698
Working document2026-04-09
Original file not available online (local: data/sources/village_docs/doc_2698.pdf)View version history →Meeting on 2026-04-09 →

Village of Red Hook TREASURER’S REPORT April 13, 2026

Account Balances as of March 31, 2026

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General Fund$ 168,367.83
NYCLASS General Fund$425,461.18
Water Fund$ 90,006.35
NYCLASS Water Fund$153,978.41
Sewer Fund$15,389.58
Payroll Clearing Account$ 87,188.39
Hardscrabble Account$ 42.76
Village Green$ 5,156.35
Health Insurance Deductible Account $ 9,308.61

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Reserve Savings Accounts as of March 31, 2026

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Fire Department (M&T)$ 10,702.52
Police Department (M&T)$ 18,390.45
NYCLASS USDA Water Reserve$ 151,135.20
USDA Water Reserve (M&T)$7.93
Highway Reserve (M&T)$ 614.09
Snow Reserve (M&T)$ 3,533.68
Tower Reserve (M&T)$ 19,084.29
Unemployment Reserve (M&T)$ 7,569.97
Court Reserve (M&T)$ 3,554.28
Office Reserve (M&T)$ 1,047.90

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MONTHLY EXPENSES for March 2026

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General Fund$449,023.51
Water Fund$ 66,769.60
Payroll Clearing Account$ 0.00
Sewer Fund$ 233,596.06

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Respectfully Submitted,

Marybeth De Filippis Treasurer