A. CALL BUSINESS MEETING TO ORDER—6:30 p.m.
B. PLEDGE OF ALLEGIANCE
C. ROLL CALL
D. PUBLIC COMMENT
E. CONSENT AGENDA
- Approval of Minutes
a. Community Development /Parks & Rec- April 10, 2025
b. Council Regular Business Meeting—June 19, 2025
c. Council Work Session Meeting—July 3, 2025 - Approval of the financial reports for July 2025
- Approval of the list of monthly bills as presented:
a. General Fund ………………………………………….$ 432,264.37
b. Fire Fund …………………………………………………$ 63,994.96
c. Stormwater Fund……………………………………… $ 70,655.00
d. Sewer Fund……………………………………………..$ 156,699.88
e. Swimming Pool Fund ………………………………..$ 25,972.53
f. General Fund Capital Reserve …………………….$ 28,061.75
g. Sewer Fund Capital Reserve……………………… $ 46,319.00
h. Liquid Fuel Fund………………………………………. $94,304.87
i. Payroll Fund ……………………………………………….$ 3,778.64
F. COMMITTEE REPORTS
- Administration
a. Motion to authorize execution of the 2025-2026 Municipal Winter Agreement for the amount of $2,249.88 with Penn DOT for snow removal operations on Market Street.
b. Motion to authorize staff to advertise solid waste and recycling bids as the current contract is due to expire on December 31, 2025. - Sewer
a. Motion to approve Application for Payment No. 5 from Farhat Excavating LLC in the amount of $101,373.28 for the 2025 Sanitary Sewer and Storm Sewer Improvement Project. - Stormwater
a. Motion to approve the release of the financial security for the stormwater plan for 415 Summit Street. - Streets
a. Motion to approve Application for Payment No. 1 from Kinsley Construction, in the amount of $94,304.87 for the 2025 Roadway Project – Contract #2.
G. PUBLIC COMMENT
H. COUNCIL/MAYOR COMMENTS
I. ADJOURNMENT



