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Public Notice: 07/24/2025 [f07d2aae5374b585a7c70e178d99bbb9]

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Submitted by public.notices on
Thu, 24 Jul 2025 00:00:00

PUBLIC NOTICE Notice is hereby given that Stroud Township has caused an audit to be made by a Certified Public Accountant of its books and records for the year ended December 31 2024 When published the complete report will be on file at the Township Office and will be available for public inspection Monday through Friday from 8 00 a m to 5 00 p m A concise summary of such report is as follows STROUD TOWNSHIP CONCISE COMBINED BALANCE SHEET ALL FUND TYPES AS OF DECEMBER 31 2024 ASSETS Cash and Cash Equivalents Investments Accounts Receivable Prepaid Expenses Due from Other Funds Capital Assets Total Assets LIABILITIES AND FUND BALANCE Liabilities Accounts Payable Other Current Liabilities Due to Other Funds Deferred Revenue Long Term Liabilities Total Liabilities FUND BALANCE Fund Balance Net Investment in Capital Assets Assigned Held for Others Held for Pensions Unassigned Total Fund Balance Total Liabilities and Fund Balance 10 351 744 4 132 439 175 198 14 083 60 125 714 097 15 447 686 272 067 102 981 60 125 1 043 031 179 546 1 657 750 511 069 2 856 062 156 802 4 406 246 5 859 757 13 789 936 15 447 686 PH 42251818 STROUD TOWNSHIP CONCISE COMBINED STATEMENT OF REVENUES EXPENDITURES AND CHANGES IN FUND BALANCES ALL FUND TYPES AS OF DECEMBER 31 2024 Revenues Taxes Collected License and Permits Fines and Forfeitures Interest and Rents Intergovernmental Charges for Services Unclassified Operating Revenues Other Financing Sources Total Revenue Expenditures General Government Public Safety Public Works Sanitation Public Works Highway and Streets Culture and Recreation Community Development Debt Service Employer Paid Benefits and Taxes Capital Purchases Unclassified Operating Expenses Other Financing Uses Total Expenditures Net Change in Fund Balance Fund Balance January 1 Fund Balance December 31 Outstanding Debt Latest Maturity 2029 Assessed Valuation 2 58 mills Assets In Sinking Funds 9 079 325 229 268 55 524 270 798 2 617 024 1 495 905 579 992 51 422 14 379 258 921 729 5 448 401 1 613 496 2 989 636 874 782 72 191 618 816 813 756 1 119 669 307 711 14 325 14 794 512 415 254 14 205 190 13 789 936 2 153 555 1 554 880 060