July 15, 2026

Bradford Township December 31, 2025 Concise Financial Statement Assets Cash

Bradford Township

December 31, 2025

Concise Financial Statement

Assets

Cash and Investments $ 13,482,300

Receivables 457,771

Other Current Assets 83,380

Land and Buildings, Net of Depreciation 975,643

Infrastructure, Net of Depreciation 6,763,181

Equipment, Net of Depreciation 1,352,815

Other Noncurrent Assets 2,141,583

Total $ 25,256,673

Liabilities and Net Position

Accounts Payable and Payroll Liabilities 252,251

Long-term Liabilities 1,578,556

Total Liabilities 1,830,807

Net Position 23,425,866

Total $ 25,256,673

Revenues

Taxes $ 1,574,576

Licenses, Permits, Fines, Forfeits, & Interest 837,807

Intergovernmental Revenues 647,662

Charges for Services and Other Operating Revenues 2,049,287

Asset Disposals and Miscellaneous 194,575

Total Revenue 5,303,907

Expenditures

General Government 85,786

Public Safety 1,043,455

Health and Human Service –

Public Works 2,485,360

Culture and Recreation 25,000

Community Development 500

Debt Service 17,539

Employee Benefits 644,821

Insurance 66,211

Fiduciary Fund Expenses 332,535

Other Financing Uses 65

Total Expenditures 4,701,272

Excess (Deficit) of Revenues over Expenditures $ 602,635

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The Bradford Era

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