The Management of Cash and Taxes and Fund Balance Available for Counties and the Management of Cash and Taxes and Fund Balance Available for Municipalities reports for fiscal years 2022 and 2023 are available through our online report server. This online interface provides access to reports for audit years 2021 and later, as available. For reports for fiscal years 2004 through 2020, please visit our Memos webpage and search for “Fund Balance.”
To access the report server, please visit our Financial Analysis Tools and Reports webpage. A link to generate this report is offered in the “Reports” section of the webpage. Accessing the report online allows you to generate the desired report by selecting the audit year and the unit type (either county or municipality).
The Management of Cash and Taxes and Fund Balance Available Reports provide comparative cash and investment, fund balance available, and tax levy information for local governments in North Carolina. Information and averages presented in these reports are based on data reported by local governments to the Local Government Commission as of the date of the report. Unreported data may affect averages in the various summaries and charts presented.
For questions on the report, please contact us at SLGFD@nctreasurer.com.