Report 26-19 2 appearances active
26-19 : Cash Flow Report - November, 2025
Topics
Summary
This document presents the November 2025 Cash Flow Report for the City of Buffalo and the Buffalo Board of Education. It details projected cash receipts and disbursements for the fiscal year 2025-2026.
Key Financials for November 2025:
- City of Buffalo:
- Beginning Cash & Investments: $56,373,000
- Cash Receipts: $18,695,000
- Cash Disbursements: $46,149,000
- Ending Cash & Investments: $28,919,000
- Buffalo Board of Education:
- Beginning Cash & Investments: $257,861,000
- Cash Receipts: $81,700,000
- Cash Disbursements: $115,845,000
- Ending Cash & Investments: $223,716,000
The report also includes a combined projection for both entities, showing a projected ending cash and investments of $252,635,000 for November 2025.
Committee Timeline
Common Council - Regular Meeting
January 6, 2026
Finance Committee - Council Committee Meeting
January 13, 2026
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