Library finances and town updates
The July cash-flow report lists $4,258,648.84 in year-to-date checking inflows and $3,039,124.42 in outflows, against a 2026 budget of $6,460,550.00. The ending checking balance was $957,899.03, total available funds were $1,045,073.26, and the Colorado Trust balance was $12,016,112.41. The capital-improvements table lists $3,361,670.19 paid to date and $37,281.52 pending. An August building-permit report lists 342 single-family residential permits issued year to date, including 37 in the current month, and year-to-date fees of $15,883,239.48 for residential permits and $3,725,686.94 for commercial permits. A September 18 town memo included photographs depicting corrections to YMCA maintenance repairs requested by Town Council at its June 22, 2026, special meeting.