Page 29 - 2025 Brighton VT Annual Report
P. 29
Reservoir Maintenance 15,000.00 11,195.00 15,000.00
Engineering Services 15,000.00 - 15,000.00
Building Maintenance 10,000.00 135.52 5,000.00
Insurance 2,500.00 3,421.93
Truck Reserve Fund 12,325.38 -
Infrastructure Improvement Fund 40,000.00 -
Secretary/Minutes 425.00 425.00 425.00
Total Expenses $408,096.04 $470,755.14 $448,181.39
Net Water $66,249.90 $46,152.24 $46,402.24
Water Operator - H2O Innovations Team
From Left - Andrew Vera, Kean Galunas, &
Zack Letourneau
Water Sewer Commissioners
Heather McElroy, Bruce Webster
&Mark Vaillancourt
Delinquent Water & Sewer Accounts
DUE TO PREVIOUS ISSUES WITH THE SOFTWARE BILLING FOR
THE WATER & SEWER BILLS, WE CANNOT CONFIDENTLY POST THE
NAMES OF THE DELINQUENT WATER & SEWER CUSTOMERS AS OF
DECEMBER 31, 2025. LISTED BELOW ARE THE GRAND TOTALS OF
DELINQUENCIES.
WE ARE WORKING ON COLLECTIONS OF ALL DELINQUENCIES AS
OF DECEMBER 31, 2025, AND WILL CONTINUE TO WORK ON THE
COLLECTION OF THESE ACCOUNTS.
TOTAL DELINQUENT WATER DEBT SERVICE 12/31/2025 $24,935.11
TOTAL DELINQUENT SEWER DEBT SERVICE 12/31/2025 $18,302.98
GRAND TOTAL AS OF DECEMBER 31,2025 $43,238.09
2025 Annual Report 27

