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    **Notice to Mifflin Township Residents

Cinders will no longer be available to township residents as the township has discontinued purchasing them for use on township roads.  Salt and anti-skid are for use on township roads only, not private driveways.  

Thank you.  The Mifflin Township Board of Supervisors.


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Receipts and Expenditures of Act 13 Monies Received

Ending Balance 2013                                                 126,142.44

1/31/2014 Interest Received                                                12.10

2/12/2014 Ck LCWSA Sewage Fac Planning                  -7,887.49

Balance as of 2/17/2014                                             118,267.05

​2/28/14 Interest Received                                                     9.61

​3/31/14 Interest Received                                                   10.05

​4/30/14 Interest Received                                                    9.66

​Balance as of 4/30/14                                                118,296.37        

5/27/2014 Ck LCWSA Fac Planning                             -1,112.51

Interest 5/31/14                                                                  8.04

​Balance as of 5/31/14                                                117,191.90

6/30/14 Impact Fee Receipt                                     196,448.68

6/30/14 Interest Received                                                 7.71
​                                                                                 
​Balance as of 6/30/14                                              313,648.29

Interest 7/31/14                                                               20.88


​Balance as of 7/31/14                                               313,669.17

​Interest 8/31/14                                                                  21.31

Balance as of 8/31/14                                                313,690.48

Paving Expense Canoe Run Road                               -178,516.57

​Interest 9/30/14                                                                  14.37

Balance as of 9/30/14                                               135,188.28

Interest 10/31/14                                                                  8.00

Balance as of 10/31/14                                              135,196.28

Interest 11/30/14                                                                  6.67

Balance as of 11/30/14                                              135,202.95

Interest 12/31/14                                                          6.89

Balance as of 12/31/14                                              135,209.84  

Interest 1/31/15                                                                     6.89

Balance as of 1/31/15                                                135,216.73

Interest 2/28/15                                                                     6.22

Balance as of 2/28/15                                               135,222.95

Interest 3/31/15                                                                    6.89

Balance as of 3/31/15                                               135,229.84

Interest 4/30/15                                                                   6.67     

Balance as of 4/30/15                                               135,236.51  

Interest 5/29/15                                                                    6.89

Balance as of 5/29/15                                                135,243.40

Interest 6/30/15                                                                     6.67

Balance as of 6/30/15                                                135,250.07

Act 13 Monies Received 7/6/15                                165,410.41

Balance as of 7/9/15                                                  300,660.48

Interest 7/31/15                                                                   12.06

Balance as of 7/31/15                                                300,672.54

Interest 8/31/15                                                                    15.32

Balance as of 8/31/15                                                 300,687.86

Capital Purchase                                                         - 25,035.00                

Transfer to GF/Park Fund                                            -  7,530.00    

Sewage Planning MMHA                                              - 3,423.99        

Interest 9/30/15                                                                    14.23

Balance as of 9/30/15                                                  264,713.10

Transfer to GF/Park Fund                                            -10,000.00

Interest 10/30/15                                                                  13.43

Balance as of 10/30/15                                                254,726.53

Interest 11/30/2015                                                                12.56

Balance as of 11/30/2015                                            254,739.09

Interest 12/31/2015                                                                12.98

Balance as of 12/31/2015                                            254,752.07

Interest 1/31/2016                                                                  12.98

Balance as of 1/31/16                                                  254,765.05

Interest 2/29/16                                                                      12.15    

Balance as of 2/29/16                                                  254,777.20

Interest                                                                                   12.98

Balance as of 3/31/16                                                   254,790.18

Interest                                                                                   12.57

Balance as of 4/30/16                                                   254,802.75

Interest                                                                                    12.98

Balance as of 5/31/16                                                    254,815.73

Sewage Planning  MMHA                                                 -3,861.00    

Interest                                                                                    12.55       

Balance as of 6/30/16                                                    250,967.28

Act 13 Monies Received 7/5/16                                      135,811.06

Interest                                                                                     17.48   

Balance as of 7/31/16                                                    386,795.82      

Sewage Planning MMHA                                                 - 4,496.72

Interest                                                                                    19.60

Balance as of  8/31/16                                                   382,318.70

GOH Paving Contract                                                   -151,763.24     

Sewage Planning MMHA                                                 -7,826.27    

Interest                                                                                   15.98

Balance as of 9/30/16                                                     222,745.17

Sewage Planning MMHA                                                  - 1987.60     

Reimb. Paving Contract                                                  113,116.55        
(Sall. Borough, Anadarko, Williams)

Interest                                                                                     12.64        

Balance as of 10/31/16                                                   333,886.76        

Sewage Planning MMHA                                                - 5,302.05

Outside Repairs Ford 550                                             -  4,863.97   

Interest                                                                                    16.33

Balance as of 11/30/16                                                  323,737.07

Sewage Planning MMHA                                                    -612.47

Interest                                                                                   16.50

Balance as of 12/31/16                                                  323,141.10

Sewage  Planning MMHA                                              -11,303.28

Credit Memo Anadarko                                                       -180.00

Interest                                                                                    16.21

Balance as of 1/31/17                                                   311,674.03

Sewage Planning                                                            -7,653.84

Interest                                                                                  14.16

Balance as of 2/28/17                                                   304,034.35

Sewage Planning                                                            -1,618.00

Interest                                                                                  15.46

Balance as of 3/31/17                                                  302,431.81

Sewage Planning                                                           -1,319.25

Interest                                                                                 14.89

Balance as of 4/30/17                                                 301,127.45

Interest as of 5/31/17                                                           15.34

Balance as of 5/31/17                                                 301,142.79

Interest as of 6/30/17                                                           14.85

Balance as of 6/30/17                                                 301,157.64

Act 13 Impact Fee Allocation                                      118,872.49

Interest                                                                                19.65

Balance as of 7/31/17                                                420,049.78

Park Expenditure Swing Set                                       -12,872.43

Interest                                                                               21.24

Balance as of 8/31/17                                                407,198.59

Park Expenditure Foot Bridge                                          707.00

Interest                                                                               20.07

Balance as of 9/30/17                                               406,511.66

Interest                                                                              20.72

Balance as of 10/31/17                                            406,532.38