(845) 534-8009 Ext. 7107
The District Treasurer is responsible for accurately maintaining all the District financial records and providing monthly financial reports to the Board of Education.
Please note: Any funds (i.e., cash, checks, coins) collected by a school employee must be sent to the Treasurer within three days and must be accompanied with a deposit form. Links to these forms are listed below. Employees will receive a receipt for funds sent in.