LGC staff have updated the FY 2025 Management of Cash and Taxes and Fund Balance Available report for municipalities to incorporate revised data along with including information from additional municipalities that was not previously available. The corresponding report for counties has also been updated to include newly available data from additional counties.
The revised reports are now available through our online report server. They contain the most accurate and complete information currently available and should be used in place of any previously generated versions.
The Management of Cash and Taxes and Fund Balance Available reports provide comparative information on cash and investments, fund balance available and tax levies for North Carolina local governments. The information and averages presented in each report are based on data reported by local governments to the Local Government Commission as of the report date. Data that has not been reported may affect the averages shown in the reports’ summaries and charts.
To access the report server, please visit our Data and Reports webpage. The link to generate a report is located in the “Financial Analysis Tools and Reports” section. You can generate the desired report by selecting the audit year and unit type—county or municipality.
Please contact SLGFD@nctreasurer.gov with any questions.