Shaniko Finances

2025 Financials

Approved 2025-26 Budget

Note: There are a number of months missing due to the lack of quorum in Spring 2025. Quorum was reinstated on June 30, 2025.

July 17 @ 4pm Initial Budget Committee Meeting (Click here to listen to the audio)

July 17, 2025. Financial Report

July 28, 2025 Approved 2025-26 Budget

Financial document listing expenses and income for January 2025, including recurring expenses for electricity, water, and internet, other expenses like legal fees and CPA audit, and income sources such as general, water, sanitation, and lodging tax, totaling over 4,472 dollars.
Financial statement with expenses and income details from January 2025, including recurring monthly expenses, recurring debt expenses, other expenses, and income sources, totaling a balance of approximately $3,943.69.

Finances were not approved in the March 2025 Meeting

Finances feature a number of errors, as noted by Diana Marrs during the meeting, including the date at the top should read “expenses from February 2025”. We are awaiting an updated version.

Additionally, there are 2 more city bank accounts not reflected in this report:

  1. OSFM Fire Staffing Grant Funds | Balance: approximately $30,000

  2. Business Oregon Block Grant Water Funds | Balance: $52

Not included in Jan 2025 Finance Report:

The City has 3 bank accounts:

  1. OSFM Fire Staffing Grant Funds | Balance: approximately $30,000

  2. Business Oregon Block Grant Water Funds | Balance: $52

  3. Main Operating Account | Balance: $10,420.75

Remainder on CPA Audit payment: $1900

Below is the June 2024 budget meeting video.

Financial report detailing expenses for December 2024, including recurring monthly expenses for utilities and services, recurring debit expenses for cell phone, internet, and Amazon, other expenses like Zoom, audit, and insurance, along with income sources such as general, water, sanitation, and tourism, with total expenses of $5,168.98 and total income of $3,627.68, signed by the mayor and city recorder.
Financial expense report for August 2024 showing recurring monthly expenses, recurring debit expenses, other expenses, income, total, and total deposits, with signatures of the mayor and city recorder.
A financial statement showing expenses and income for November 2024, divided into sections for recurring expenses, debit expenses, other expenses, and income, with a total expense of $2,916.92 and total income of $8,245.37.
Financial report detailing expenses and income for July 2024, including recurring monthly and debit expenses, other expenses, and income from various sources, with totals and signatures of city officials.
A financial statement showing expenses and income for September 2024. Expenses include electricity, water, sanitation services, and various service fees totaling over $3,000. Income includes general, fire, water, sanitation, schoolhouse, and tourism revenue totaling over $1,500. The document is signed by the mayor and city recorder.

Stay tuned as we catalogue the rest of the finance sheets presented at the monthly City Council meetings.