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MAY 2010 Jeff Wooten, Ed.D. Superintendent Board Members: Farrell Southern, President Don Pendergrass, Vice President Pam Doyle Mike Elliott Willis Thompson.

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Presentation on theme: "MAY 2010 Jeff Wooten, Ed.D. Superintendent Board Members: Farrell Southern, President Don Pendergrass, Vice President Pam Doyle Mike Elliott Willis Thompson."— Presentation transcript:

1 MAY 2010 Jeff Wooten, Ed.D. Superintendent Board Members: Farrell Southern, President Don Pendergrass, Vice President Pam Doyle Mike Elliott Willis Thompson

2 Bank Accounts May 2010 1.76 months GENERAL/SPECIAL/CAPITAL Beginning Bank Balance General Fund$2,200,436.50 Beginning Bank Balance Special Funds-$80,818.17 Beginning Bank Balance Capital Funds$793,959.53 Total Beginning Bank Balance $2,913,577.86 General Fund CD1,000,000.00 Revenues1,842,092.51 Extended Day Income20,213.52 Interest Income3,885.79 Total Income1,866,191.82 Expenditures Transferred to CD0.00 Accounts Payable203,828.29 Payroll1,555,366.99 Transfers out- to CNP48,643.66 Total Expenditures1,807,838.94 Ending Bank Balance 3,971,930.74 Less Public School Fund788,193.53 Expendiable Money $3,183,737.21 General Fund-Bank$2,073,735.41 General Fund-CD$1,000,000.00 Special Funds$110,001.80 Total Expndiable Money$3,183,737.21 CHILD NUTRITION Beginning Bank Balance$87,644.68 CD200,000.00 Revenues62,930.94 Transfer in from Gen Fund48,696.96 Total Income 111,627.90 Expenditures: Transferred to CD Accounts Payable63,334.99 Payroll84,418.25 Total Expenditures 147,753.24 Ending Bank Balance $251,519.34

3 I have not received the revenue collections from the state for May, 2010, will put in board packet on the 21 st.

4 General Fund Comparison of Budget and Actual May 2010 State and Local Revenues REVENUESBUDGETACTUALDIFFERENCE STATE$8,777,667$8,801,946$24,279 FEDERAL$550$702$152 LOCAL$5,368,396$5,239,538-$128,858 OTHER$207,498$315,168$107,670 TOTAL REVENUES$14,354,111 $14,357,354 $3,243 EXPENDITURES INSTRUCTIONAL SERVICES$8,555,267$8,276,600-$278,667 INSTRUCTIONAL SUPPORT$2,477,112$2,412,529-$64,583 OPERATIONS & MAINTENANCE$1,175,082$1,083,653-$91,429 AUXILIARY SERVICES$103,995$128,487$24,492 GENERAL ADMINISTRATIVE$722,985$721,794-$1,191 CAPITAL OUTLAY$0 OTHER$538,907$527,482-$11,425 TOTAL EXPENDITURES$13,573,348 $13,150,545 -$422,803 EXCESS REVENUE OVER (UNDER EXPENDITURES)$780,763$1,206,809$426,046 ActualBudgetTo the good

5 General Fund Revenues and Expenditures By Function Code May 2010 Revenues $14,357,354 Expenditures $13,150,545

6 Local Revenue Comparison May 2010 – May 2009 May 2010May 2009Difference 4 Mill Property Tax$663,871$608,856$55,015 County Sales Tax$594,619$664,021-$69,402 County Alcohol Bev Tax$24,762$26,602-$1,840 3 Mill Property Tax$438,140$418,143$19,997 13 Mill Property Tax$1,898,606$1,809,649$88,956 District Alcohol Bev Tax$30,244$28,921$1,324 City Council$840,000 $0 TVA$524,931$509,083$15,848 Total$5,015,174 $4,905,275 $109,899

7 General Fund Expenditures By Object Code May 2010 $13,150,545 $11,355,330 Payroll Expense $ 339,120 Transfer out to CNP for Benefits $ 1,456,095 Operational Expenses School Systems Match 752.00 Insurance per employee per month 12.51 Retirement 7.65 Medicare and Social Security.07 Unemployment 20.23 Per every dollar earned

8 Total Budget Comparison of Budget and Actual May 2010 General, Federal, CNP, Principal Accounts & Capital REVENUESBUDGETACTUALDIFFERENCE STATE$9,299,141$9,480,777$181,636 FEDERAL$2,035,271$1,946,375-$88,896 LOCAL$7,562,031$7,310,878-$251,153 OTHER$1,817,637$1,963,635$145,998 TOTAL REVENUES $20,714,081 $20,701,665 -$12,416 EXPENDITURES INSTRUCTIONAL SERVICES$10,096,126$9,589,827-$506,299 INSTRUCTIONAL SUPPORT$2,853,316$2,756,941-$96,375 OPERATIONS & MAINTENANCE$2,013,191$1,681,908-$331,283 AUXILIARY SERVICES$1,462,042$1,602,007$139,965 GENERAL ADMINISTRATIVE$774,828$758,472-$16,356 CAPITAL OUTLAY$1,420,162$1,107,315-$312,847 OTHER$1,061,218$1,031,793-$29,425 TOTAL EXPENDITURES $19,680,883 $18,528,263 -$1,152,620 EXCESS REVENUE OVER (UNDER EXPENDITURES)$1,033,198$2,173,402$1,140,204 BudgetActualTo the good

9 Total Funds Revenues and Expenditures By Function Code May 2010 Revenues $20,701,665 Expenditures $18,528,263

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