Monday-Friday 8:30 A.M. - 4:30 P.M.
Treasurer's Office (413) 786-0400 ext. 221
Collector's Office (413) 786-0400 ext. 218
| TREASURER'S OFFICE GENERAL OVERVIEW |
Receiving, Taking charge of, and Accounting for All Monies Belonging to the Town Safekeeping of all funds: investing to ensure safety and iquidity while obtaining maximum yield on investments. Maintaining a cash book reflecting the breakdown of all receipts, disbursements, and cash balances.
Furnishing the Auditor with a detailed record of cash Receipts.
Paying All Amounts Due for Bills Payable, Salaries and Wages and Payroll Taxes
Managing cash so that all obligations such as payroll, bills, payments on bonds and notes and other remittances are paid in a timely manner.
Preparing payroll tax returns, accounting for taxes, insurance, retirement, deferred compensation, attachments and other amounts withheld from wages.
Performing payroll research and completing wage information requests, auditing health insurance bills, preparing payroll histories for individual employees and collective bargaining groups.
Debt Negotiating all borrowing.
Preparing necessary offering documents and debt disclosures Preparing bank notes and reports on the same to the Auditor and to the Department of Revenue