Municipal Building | 724.224.1818
Finance Director | Alice Drisko | x112
Accounts Payable | Michele Williams | x111
Borough Manager | Dwight Boddorf | x115
Utility Bill Payments: Utility Bill Payment Page
Property Tax Payments: Tax Office Page
Attached are the most recent Tarentum Borough annual budgets. When reviewing these budgets, please remember that a variety of Borough costs are split equally between the three major funds, General Fund (01), Water Fund (06) and Electric Fund (07).
Should you have questions regarding any of the information contained in a specific budget, please contact the Borough Manager.
The Tarentum Borough annual municipal audit is an overall review of the municipal financial activities of each calendar year. The audit consists of basic financial statements, business-type activities, each major fund and the aggregate remaining fund information for the fiscal year.
2022 Annual Audit (To Be Completed)
The Tarentum Liquid Fuels compliance audits are conducted periodically by the PA Auditor General office. The objective of the audit is to determine if the municipality liquid fuel tax funding is spent in accordance with state laws and regulations.
2009 – 2010 (Completed 03/2012)
2011 (Completed 02/2013)
2014 – 2015 (Completed 11/2016)
2016 (Completed 05/2018)
2017 (Completed 04/2019)
2018 (Completed 06/2020)
2019 – 2020 (Completed 12/2021)
2020 – 2021 (Completed 12/2022)
The Tarentum Fire Department Relief Association compliance audits are conducted periodically by the PA Auditor General office. The objective of the audit is to determine if the association complied with applicable laws, regulations and policies relative to their receipt of state aid.
2003 – 2004 (Completed 08/2005)
2005 – 2007 (Completed 04/2008)
2010 – 2012 (Completed 03/2014)
2013 – 2015 (Completed 07/2016)
2016 – 2017 (Completed 10/2018)
2018 – 2020 (Completed 04/2021)
The Tarentum Borough Police Pension Plan compliance audits are conducted periodically by the PA Auditor General office. The objectives of the compliance audit are to determine if municipal officials are taking appropriate corrective action on any prior audit findings and to determine if the pension plan was administered in compliance with applicable laws, regulations and policies.
2007 – 2009 (Completed 07/2010)
2010 – 2012 (Completed 10/2013)
2013 – 2014 (Completed 12/2015)
2015 – 2016 (Completed 01/2018)
2017 – 2020 (Completed 03/2022)
2021 – Current (To Be Completed)
The Tarentum Non-Uniform Pension Plan compliance audits are conducted periodically by the PA Auditor General office. The objectives of the compliance audit are to determine if municipal officials are taking appropriate corrective action on any prior audit findings and to determine if the pension plan was administered in compliance with applicable laws, regulations and policies.
2007 – 2009 (Completed 07/2010)
2010 – 2012 (Completed 10/2013)
2013 – 2014 (Completed 12/2015)
2015 – 2016 (Completed 01/2018)
2017 – 2020 (Completed 03/2022)
2021 – Current (To Be Completed)
Tarentum Borough financial reports are presented at the monthly regular council meeting. When reviewing these reports, please remember that a variety of Borough costs are split equally between the three major funds, General Fund (01), Water Fund (06) and Electric Fund (07). Additionally, it is not uncommon for adjustments and reclassification of funds to occur throughout the year. This applies to both revenues and expenses.
This portion of the finance webpage is updated periodically. For the most current information, please see the individual council meeting pages for these, and other reports.
January 2020 | Budget Report | Check Register | Revenue-Expenditures
February 2020 | Budget Report | Check Register | Revenue-Expenditures
March 2020 | Budget Report | Check Register | Revenue-Expenditures
April 2020 | Budget Report | Check Register | Revenue-Expenditures
May 2020 | Budget Report | Check Register | Revenue-Expenditures
June 2020 | Budget Report | Check Register | Revenue-Expenditures
July 2020 | Budget Report | Check Register | Revenue-Expenditures
August 2020 | Budget Report | Check Register | Revenue-Expenditures
September 2020 | Budget Report | Check Register | Revenue-Expenditures
October 2020 | Budget Report | Check Register | Revenue-Expenditures
November 2020 | Budget Report | Check Register | Revenue-Expenditures
December 2020 | Budget Report | Check Register | Revenue-Expenditures
January 2021 | Budget Report | Check Register | Revenue-Expenditures
February 2021 | Budget Report | Check Register | Revenue-Expenditures
March 2021 | Budget Report | Check Register
April 2021 | Budget Report | Check Register
May 2021 | Budget Report | Check Register
June 2021 | Budget Report | Check Register
July 2021 | Budget Report | Check Register
August 2021 | Budget Report | Check Register
September 2021 | Budget Report | Check Register
October 2021 | Budget Report | Check Register
November 2021 | Budget Report | Check Register
December 2021 | Budget Report | Check Register
January 2022 | Budget Report | Check Register
February 2022 | Budget Report | Check Register
March 2022 | Budget Report | Check Register
April 2022 | Budget Report | Check Register
May 2022 | Budget Report | Check Register
June 2022 | Budget Report | Check Register
July 2022 | Budget Report | Check Register
August 2022 | Budget Report | Check Register
September 2022 | Budget Report | Check Register
October 2022 | Budget Report | Check Register
November 2022 | Budget Report | Check Register
December 2022 | Budget Report | Check Register