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CERRITOS COLLEGE 2010-11 PROPOSED ADOPTED BUDGET SUMMARY DAVID EL FATTAL LOLA RIZKALLAH BUSINESS SERVICES OCTOBER 6, 2010.

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Presentation on theme: "CERRITOS COLLEGE 2010-11 PROPOSED ADOPTED BUDGET SUMMARY DAVID EL FATTAL LOLA RIZKALLAH BUSINESS SERVICES OCTOBER 6, 2010."— Presentation transcript:

1 CERRITOS COLLEGE 2010-11 PROPOSED ADOPTED BUDGET SUMMARY DAVID EL FATTAL LOLA RIZKALLAH BUSINESS SERVICES OCTOBER 6, 2010

2 2010-11 BUDGET 2 Although the State of California has yet to adopt its own budget, the College is required to have its 2010-11 annual budget adopted by the Board of Trustees. This Budget provides a snapshot-in-time view of the District’s projected revenues and expenditures. Projections are based upon the best and most current information available from both internal and external sources. Budget revisions will be presented to the Board of Trustees throughout the year as new information becomes available. An amended budget will be presented to the Board of Trustees after the District receives detailed budget information via the Chancellor’s Office Budget workshop.

3 GENERAL FUND UNRESTRICTED 3

4 2010-11 BUDGET ASSUMPTIONS ESTIMATED EXPENDITURES: Expenditures reflect a net marginal increase as follows: Health & Welfare: $400,000 Step and Column: $500,000 Utilities and other rate driven: $250,000 PERS Rate Increase: $306,588 No Board Election for 2010: ($726,600) District support for Categorical Programs$717,000 $1,446,988 4 ESTIMATED REVENUES: Revenue assumptions reflect the marginal loss of $320,600 negative COLA.

5 2010-11 BUDGET ASSUMPTIONS CASH FLOW PROJECTION As of September 20, 2010, Cerritos College has on hand in the General Fund-Unrestricted a total of $4,657,334.32 in cash, of which $2,500,000 was borrowed from another fund (Fund 41.0). The State will not provide any 2010-11 apportionment revenues to community colleges until a state budget is adopted. The College has not yet received any apportionment payments for fiscal year 2010-11. 5

6 PROJECTED REVENUE 6

7 BEGINNING BALANCE & PROJECTED REVENUE 7

8 PROJECTED EXPENDITURES 8 CERRITOS COMMUNITY COLLEGE DISTRICTCERRITOS COMMUNITY COLLEGE DISTRICT ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04 GENERAL FUND SUMMARYGENERAL FUND SUMMARY CERRITOS COMMUNITY COLLEGE DISTRICTCERRITOS COMMUNITY COLLEGE DISTRICT ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04 GENERAL FUND SUMMARYGENERAL FUND SUMMARY CERRITOS COMMUNITY COLLEGE DISTRICTCERRITOS COMMUNITY COLLEGE DISTRICT ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04 GENERAL FUND SUMMARYGENERAL FUND SUMMARY CERRITOS COMMUNITY COLLEGE DISTRICTCERRITOS COMMUNITY COLLEGE DISTRICT ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04 GENERAL FUND SUMMARYGENERAL FUND SUMMARY CERRITOS COMMUNITY COLLEGE DISTRICTCERRITOS COMMUNITY COLLEGE DISTRICT 2004-05 PROPOSED TENTATIVE BUDGET2004-05 PROPOSED TENTATIVE BUDGET GENERAL FUND - UNRESTRICTED SUMMARY ( FUND 01.0 )GENERAL FUND - UNRESTRICTED SUMMARY ( FUND 01.0 )

9 9

10 PROJECTED RESERVES & ENDING BALANCE 10

11 GENERAL FUND RESTRICTED- CATEGORICAL 11

12 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: For the fiscal year 2010-11, budget reductions have been implemented. 2009-10 programs were affected as follows: CalWORKs EOPS Matriculation (credit & non-credit) DSPS The District has allocated a total of $717,000 as support for Categorical Programs.We anticipate this amount changing once solid information for 2010-11 becomes available. The Adopted Budget only includes salaries & benefits for the above programs. 12

13 PROJECTED REVENUE 13 CERRITOS COMMUNITY COLLEGE DISTRICTCERRITOS COMMUNITY COLLEGE DISTRICT ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04 GENERAL FUND - RESTRICTED SUMMARY ( 03 FUND )GENERAL FUND - RESTRICTED SUMMARY ( 03 FUND ) CERRITOS COMMUNITY COLLEGE DISTRICTCERRITOS COMMUNITY COLLEGE DISTRICT ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04ACTUAL YEAR END 2002-03 AND PROPOSED ADOPTED BUDGET 2003-04 GENERAL FUND - RESTRICTED SUMMARY ( 03 FUND )GENERAL FUND - RESTRICTED SUMMARY ( 03 FUND )

14 BEGINNING BALANCE & PROJECTED REVENUE 14

15 PROJECTED EXPENDITURES 15

16 PROJECTED EXPENDITURES & ENDING BALANCE 16

17 CERTIFICATES OF PARTICIPATION FUND 17

18 2010-11 BUDGET ASSUMPTIONS BALANCE FROM THE DISTRICT’S COPS ISSUE: This fund was designated to provide COPS money for major technology and construction/remodeling projects on campus. Currently the remainder of the fund is being utilized for software conversions. 18

19 BEGINNING BALANCE & PROJECTED REVENUE 19

20 PROJECTED EXPENDITURES & ENDING BALANCE 20

21 SPECIAL REVENUE FUND 21

22 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: This fund was established to account for the financial activities of the following entities with total revenue and expenditures, including carryover, projected as follows: Community Education: $1,299,280 Contract Education: $ 80,234 Cosmetology: $ 200,000 Culinary Arts: $ 172,600 Parking: $1,227,897 $2,989,011 22

23 PROJECTED REVENUE 23

24 BEGINNING BALANCE & PROJECTED REVENUE 24

25 PROJECTED EXPENDITURES 25

26 PROJECTED EXPENDITURES & ENDING BALANCE 26

27 VINTAGE CERRITOS STUDENT SUCCESS 27

28 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: This fund was established to account for income generated from ground lease payments received as a result of the senior care project. Funds have been designated to be used exclusively for activities related to student success as designated by the Board. Revenue: Ground Lease: $380,267 (plus occupancy rate incentives) Expenditures: Sakai r-Smart: $28,000 Library Information System: $52,297 28

29 BEGINNING BALANCE & PROJECTED REVENUE 29

30 PROJECTED EXPENDITURES 30

31 PROJECTED EXPENDITURES & ENDING BALANCE 31

32 CAPITAL OUTLAY FUND 32

33 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: This fund was established to account for State Scheduled Maintenance and Construction/ Remodeling projects. Other activities include District Match (when funds are available), Technology Needs and Construction Augmentation. Expenditures: GYM Seismic Retrofit: $8,734,000 Scheduled Maintenance: $ 699,441 Local Projects: $1,793,223 33

34 PROJECTED REVENUE 34

35 BEGINNING BALANCE & PROJECTED REVENUE 35

36 PROJECTED EXPENDITURES 36

37 PROJECTED EXPENDITURES & ENDING BALANCE 37

38 REVENUE AND CONSTRUCTION FUND 38

39 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: This fund was established to track all projects generated by the GO Bond funds. Expenditure highlights: Auto Tech Modernization: $4,645,931 Physical Science/Technology (CLO #1): $4,546,243 Facilities/Warehouse/Purchasing: $3,747,304 Aquatic Center (shade/storage) $ 750,000 Fire Alarm Upgrade: $ 774,454 39

40 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: Expenditure highlights (cont’d): Liberal Arts Project: $1,250,000 Parking Lot Renovations:$2,682,037 Parking Lot-New:$1,138,605 Social Science Project:$1,185,281 40

41 BEGINNING BALANCE & PROJECTED REVENUE 41

42 PROJECTED EXPENDITURES 42

43 PROJECTED EXPENDITURES & ENDING BALANCE 43

44 44 SELF-INSURANCE FUND

45 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: This fund was established in 2004-05 to provide for self-insured risk-management expenses. Transfers in/Expenditures: $25,000 45

46 BEGINNING BALANCE & PROJECTED REVENUE 46

47 PROJECTED EXPENDITURES & ENDING BALANCE 47

48 STUDENT HEALTH SERVICES FUND 48

49 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: This fund was established to capture the income and expenditures generated by the Student Health Services Program. This is a self-supporting program. It is estimated that $880,268 will be generated in revenue with expenditures budgeted at $797,740. 49

50 50 PROJECTED REVENUE

51 BEGINNING BALANCE & PROJECTED REVENUE 51

52 PROJECTED EXPENDITURES 52

53 PROJECTED EXPENDITURES & ENDING BALANCE 53

54 54 RETIREE HEALTH BENEFIT FUND GASB 45

55 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: This fund was established in 2004-05 to initialize the funding of the District’s liability for future payment of employees retirement health benefits. The District will transfer in $500,000 which will bring the balance to $3.7 million in the 2010-11 year. 55

56 BEGINNING BALANCE & PROJECTED REVENUE 56

57 PROJECTED EXPENDITURES & ENDING BALANCE 57

58 FINANCIAL AID FUND 58

59 2010-11 BUDGET ASSUMPTIONS ESTIMATED REVENUES/EXPENDITURES: This fund distributes financial aid to students. Programs include: Pell Grant: $40,000,000 SEOG: $ 355,912 Cal Grants: $ 2,002,615 Nursing Grants: $ 14,989 Academic Competitiveness Grant: $ 250,000 Expenditures consist of cash grants 59

60 PROJECTED REVENUE 60

61 BEGINNING BALANCE & PROJECTED REVENUE 61

62 PROJECTED EXPENDITURES & ENDING BALANCE 62

63 The End For any questions, please contact David El Fattal delfattal@cerritos.edudelfattal@cerritos.edu Ext 2242 Lola Rizkallah rizkallah@cerritos.edurizkallah@cerritos.edu Ext 2266 Thank You 63


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