NOTICE

Commonwealth of Pennsylvania

Clearfield County

Township of Penn

2024 AUDITOR’S REPORT

General Fund

Cash balance, January 1, 2024 $342,692

Revenues and Other Financing Sources:

Taxes $ 216,560

Licenses and permits 11,608

Fines 2,526

Interest and rents 1,695

Intergovernmental revenues 333,151

`Proceeds from general long-term debt 35,000

Interfund operating transfers 7,007

Miscellaneous 2,638 610,185

$952,877

Expenditures:

General government $45,669

Public safety 25,190

Public works – highways 317,740

Employee taxes and benefits 52,249

Insurance 13,027

Equipment purchases 199,196

Miscellaneous 2,662

Debt service 18,434 674,167

Cash balance, December 31, 2024 278,710

$952,877

State Liquid Fuels Fund

Cash balance, January 1, 2024 $43,883

Revenues and Other Financing Sources:

Interest $48

Liquid fuels allocation 143,116 143,164

$187,047

Expenditures:

Highway maintenance $91,778

Debt Service 59,506 $151,284

Cash balance, December 31, 2024 35,763

$187,047

Capital Projects Fund

Cash balance, January 1, 2024 $9,780

Revenues and Other Financing Sources:

Act 13 Impact fee $5,203

Interest 4 5,207

$14,987

Expenditures

Interfund operating transfers 7,007

Cash balance, December 31, 2024 7,980

$14,987

NOTE: This financial statement is not intended to present the financial position and results of operations of Township of Penn in conformity with generally accepted accounting principles. The complete audit report is available for inspection at the Township office.

Joseph M. Lazore, CPA

11/14/2025