Harper County: Treasurer’s Report 4-30-26

Harper County

Treasurer’s Quarterly Publication Report 

Selected Date Range : 2/01/2026 thru 04/30/2026

FUND FUND NAME ENDING CASH 

001 GENERAL FUND $7,431,341.45

002 ROAD AND BRIDGE $881,013.00

003 SPECIAL HIGHWAY IMPROV. $269,274.90

005 SPECIAL BRIDGE $237,944.47

006 EMS $584,593.54

008 HEALTH DEPARTMENT $405,532.79

009                 APPRAISER                                            $154,910.66

010                 CAPITAL ROAD IMPROVEMENT          $4,499,618.10

011                 PROSECUTING ATTORNEY                   $2,980.53

013                 NOXIOUS WEED                                    $78,277.80

014                 EMPLOYER PAID BENEFIT                   $1,814,208.81

015                 PAYROLL CLEARING                             $22,303.82

016                 DEPARTMENT ON AGING                     $83,440.98

018                 PLUMB THICKET TONNAGE FEE         $3,381,545.90

021                 CAPITAL EQUIPMENT RESERVE         $4,758,026.70

022                 CAPITAL IMPROVEMENT RESER         $145,246.92

023                 SHERIFF EQUIPMENT FUND                $37,871.25

024                 SPECIAL ALCOHOL                                $46,220.78

025                 SHERIFF ASSET FORFEITURE FUND  $6,823.95

026                 SPECIAL LIABILITY                                 $14,990.82

027                 911 EMERGENCY TAX                           $269,722.51

028                 SPECIAL M.V.L.S.                                    $9,785.82

029                 GAME LICENSES                                    -$45.00

030                 CURRENT TAX                                        $1,126,753.52

031                 REDEMPTIONS-DELINQ. R.E.               $64,316.65

032                 DELINQ. PERSONAL PROPERTY         $30,293.51

034                 TECHNOLOGY FUND FOR R.O.D         $40,631.73

035                 PUBLIC SAFETY EQUIPMENT FUND   $102,866.73

037                 HARPER COUNTY CID                          $138,071.07

038                16/20M DELINQUENT TAX                     $1,223.06

039 PUBLIC TRANSPORTATION SVC $64,424.76

040 M/V LICENSE-REG-TITLE -$171.25

041 MOTOR VEHICLE SALES TAX $10,967.12

042 M/V PROPERTY TAX $226,685.93

043 16/20M VEHICLE TAX $1,558.50

049 OPERATING FND/RET CHECKS -$2,599.90

056 OVERPAY CLEARING FUND $458.75 

057 CO ATTORNEY EQUIP FUND $21,006.82

060 MEMORIAL FUND $304.49

064 EMS EDUCATION GRANT $900.00

066 CAP EQUIP RES/ATTY EQUIP $26,683.59

068 DARE PROGRAM $23,997.14

069 HEALTH INSURANCE SAVINGS $83,718.65

070 CLERK TECHNOLOGY FUND $10,102.41

071 TREASURER TECHNOLOGY FUND $11,472.07

075 MUNICIPALITIES FIGHT ADDICTION $20,000.02

099 BANK TRANSF CLEARING FUND $0.03

830 USD 331 – GENERAL -$349.92

832 USD 331 – CAPITAL OUTLAY -$102.48

835 USD 331 RECREATION -$64.06

836 USD 331-REC-EMPLOYEE BEN -$5.60

838 USD 331 SUPP GENERAL -$222.99

839 USD 331 – GENERAL/OTHER $8.08

TOTAL $27,138,558.93

Bank Balances as of  04/30/2026           Ending Balances 

Bank of the Plains $557,331.18

Bank of Commerce $8,986,407.75 

DreamFirst Bank $365,021.05 

Cash on Hand Bank $440.00 

Peoples Bank & Trust $548,819.14 

St of KS KMIP $7,997,888.74 

Peoples Bank & Trust-Daycare $136,395.71 

DreamFirst Bank – ICS $3,430,062.56 

Bank of The Plains ICS 1 $3,545,523.94 

Bank of The Plains ICS 2 $1,570,668.86 

Total: $27,138,558.93 

County Treasurer: Cynthia Hekel