COMMUNITY UNIT SCHOOL DISTRICT NO. 300 BOARD of
Transcription
COMMUNITY UNIT SCHOOL DISTRICT NO. 300 BOARD of
COMMUNITY UNIT SCHOOL DISTRICT NO. 300 For your Information Only Follow-up to Request by Member: BOARD of EDUCATION MEMO DATE: 04/14/2014 TO: Michael Bregy, Superintendent FROM: Susan Harkin, CFO RE: Treasurers Report – March 2014 X Presented at the following Board Committees: On: Education Facility/Construction Policy/Legislative Finance Discipline Present as 1st Reading “New Business” Present as 2nd Reading “Old Business” Consent 04/28/2014 Discuss in Closed Session/On: Included in your board package is the March 2014, Treasurer’s and Financial Report. Report highlights are as follows: Treasurer’s Report As of March 31, 2014, the District had $ 52,434,145 of investments. The investment balance by fund was: $ 32,463.898 - Operating Fund $ 11,507,153 - Bond & Interest Fund $ 8,463,095 - Site & Construction Financial Report Expenditures – If the District were to spend their dollars evenly each month, expenditures through March, should be 75.00% of total expenditures. Listed below is a summary of cash expenditures to date as a percentage of total expenditures by fund. % of Budget 66.30% 71.11% 57.17% 63.91% 67.67% 86.84% Fund Education Operations & Maintenance Bond & Interest Transportation IMRF/Social Security Site & Construction Comment This fund appears to be under budget. This fund appears to be under budget. This fund is slightly over budget - next bond payment 6/1/2014 This fund appears be slightly over budget. This fund appears be under budget. This fund will be under budget, Please note salaries for July and August payrolls are in prior year. Reminders - Financial information presented is unaudited. Revenues – The District has booked 56.58% of projected revenue. COMMUNITY UNIT SCHOOL DISTRICT NO 300 FINANCIAL REPORT NO. 9 MARCH 31, 2014 APRIL 28, 2014 ED FUND CASH BALANCE FEBRUARY 28, 2014 O&M FUND $ (7,436,657) $ 6,306,383 CASH RECEIPTS 5,710,449 TRANSFERS LAWSON INTERCOMPANY TRANSFERS INSURANCE TRANSFERS TRANSPORTATION TRIP TRANSFERS INTERFUND TRANSFERS/LOANS DEBT SERVICE TRANSFER-TAWS TOTAL TRANSFERS CASH DISBURSEMENTS 55,577 B&I FUND TRANS FUND IMRF FUND $ 11,415,867 $ 6,163,116 $ 1,069,932 91,286 1,420,062 17,206.70 $ S&C FUND WORKING CASH FUND 8,406,300 $ 35,934,423 50,356 1,834 TOTAL $ 61,859,364 2,101,670 (1,368,356) - (275,986) (463,767) 6,439 - 2,101,670 (1,368,356) - (275,986) (463,767) 6,439 - 7,346,770.93 (0.00) (0) - - (16,551,842) (16,551,842) CASH BALANCE MARCH 31, 2014 $(16,176,380) $ 4,993,604 INVESTMENT INCOME YEAR TO DATE $ 33,604 $ 11,507,153 $ 7,307,192 $ 623,372 $ 8,463,095 $ 35,936,257 $ 52,654,293 TREASURER'S REPORT FOR THE MONTH OF MARCH, 2014 INVESTMENTS AT COST: (See attached schedule for investment detail) MONTHLY PAYROLL: Construction Fund Educational Fund O&M Fund Transportation Fund $ $ $ 8,673,102.04 533,269.36 21,854.28 PAYROLL RELATED EXPENDITURES: (Not reflected in A/P Bill Listing) Educational Fund; Teachers, Retirement System $ 589,907.85 Total Educational Fund Illinois Municipal Retirement Fund IMRF FICA Medicare Total IMRF/FICA/Medicare Fund Total Payroll and Related Expenditures Treasurer's Report 14.xlsx $ $ $ $ 35,143,111.67 $ 9,228,225.68 $ 589,907.85 $ 463,767.37 225,395.15 117,837.17 120,535.05 10,281,900.90 4/22/2014 COMMUNITY UNIT SCHOOL DISTRICT #300 Financial Report #9 -March 2014 By Fund, By Object FY14 Budget FY14 Actual Local State Federal Total Revenues 192,902,388 33,893,290 13,525,008 240,320,686 106,283,754 20,466,120 9,214,563 135,964,437 55.10% 60.38% 68.13% 56.58% Salaries Benefits Purchased Services Supplies/Materials Capital Outlay Other Tuition Total Expenditures Revenues Over Disbursements Other Financing Sources Excess with Other Financing 117,447,135 30,474,326 28,757,074 9,888,211 7,797,077 40,979,696 0 235,343,519 4,977,167 0 4,977,167 76,244,022 21,430,646 19,196,518 7,304,100 6,149,237 25,011,360 0 155,335,883 (19,371,445) 0 (19,371,445) 64.92% 70.32% 66.75% 73.87% 78.87% 61.03% All Funds % of FY14 Budget Q:\Besonen\Financials\2014\Object Comparison 14.xlsxObject Comparison 14.xlsxmARCH 66.00% 4/22/2014 COMMUNITY UNIT SCHOOL DISTRICT #300 Financial Report #9 -March 2014 By Fund, By Object Summary of All Funds Except for 3,6&7 % of FY14 Budget FY14 Budget FY14 Actual Local State Federal Total Revenues 157,134,593 33,893,290 13,525,008 204,552,891 81,467,186 20,466,120 9,214,563 111,147,869 51.85% 60.38% 68.13% 54.34% Salaries Benefits Purchased Services Supplies/Materials Capital Outlay Other Tuition Total Expenditures Revenues Over Disbursements Other Financing Sources Excess with Other Financing 117,447,135 30,474,326 28,539,648 9,888,211 2,921,247 15,299,396 0 204,569,963 (17,072) 0 (17,072) 76,244,022 21,430,646 19,003,247 7,304,100 1,919,641 10,329,621 0 136,231,276 (25,083,407) 0 (25,083,407) 64.92% 70.32% 66.59% 73.87% 65.71% 67.52% Q:\Besonen\Financials\2014\Object Comparison 14.xlsxObject Comparison 14.xlsxmARCH 66.59% 4/22/2014 COMMUNITY UNIT SCHOOL DISTRICT #300 Financial Report #9 -March 2014 By Fund, By Object Fund 1-Educational FY14 Budget FY14 Actual % of FY14 Budget Local State Federal Total Revenues 131,772,912 27,647,071 13,525,008 172,944,991 67,321,319 17,643,000 9,214,563 94,178,882 51.09% 63.82% 68.13% 54.46% Salaries Benefits Purchased Services Supplies/Materials Capital Outlay Other/Tuition 109,890,835 23,168,133 17,250,643 4,506,899 2,173,454 14,496,848 71,056,064 16,414,385 11,431,549 3,235,152 1,226,021 10,327,255 64.66% 70.85% 66.27% 71.78% 56.41% 71.24% Total Expenditures Revenues Over Disbursements Other Financing Source Transfers Excess with Other Financing 171,486,812 1,458,179 113,690,426 (19,511,545) 66.30% 1,458,179 (19,511,545) Fund 2-Operations & Maintenance Local State Total Revenues 16,000,972 16,000,972 9,597,245 9,597,245 59.98% 0.00% 59.98% Salaries Benefits Purchased Services Supplies/Materials Capital Outlay Other Total Expenditures Revenues Over Disbursements Other Financing Source Transfers Excess with Other Financing 7,276,576 1,350,186 2,757,055 3,727,162 704,293 495,913 16,311,185 (310,213) 0 (310,213) 4,999,231 986,923 2,039,761 2,947,173 622,897 2,365 11,598,352 (2,001,107) 68.70% 73.10% 73.98% 79.07% 88.44% 0.48% 71.11% Fund 3-Bond & Interest Local Total Revenues 25,680,300 25,680,300 12,773,370 12,773,370 49.74% 49.74% Other Total Expenditures Revenues Over Disbursements Other Financing Source Transfers Excess with Other Financing 25,680,300 25,680,300 0 0 0 14,681,739 14,681,739 (1,908,369) 0 (1,908,369) 57.17% 57.17% (2,001,107) Q:\Besonen\Financials\2014\Object Comparison 14.xlsxObject Comparison 14.xlsxmARCH 4/22/2014 COMMUNITY UNIT SCHOOL DISTRICT #300 Financial Report #9 -March 2014 By Fund, By Object Fund 4-Transportation FY14 Budget FY14 Actual FY14 % of Act/Budg Local State Total Revenues 4,212,198 6,246,219 10,458,417 2,082,846 2,823,120 4,905,966 49.45% 45.20% 46.91% Salaries Benefits Purchased Services Supplies/Materials Capital Outlay Other Total Expenditures Revenues Over Disbursements Other Financing Sources Excess with Other Financing 279,724 23,045 8,531,950 1,654,150 43,500 306,635 10,839,004 (380,587) 0 (380,587) 188,727 14,533 5,531,936 1,121,774 70,723 0 6,927,693 (2,021,727) 67.47% 63.06% 64.84% 67.82% 0.00% 0.00% 63.91% (2,021,727) 5,148,511 5,148,511 2,465,777 2,465,777 47.89% 47.89% 5,932,962 5,932,962 (784,451) 4,014,805 4,014,805 (1,549,028) 0 (1,549,028) 67.67% 67.67% 12,008,330 12,008,330 119.48% 119.48% 0 0 217,426 0 4,875,830 0 5,093,256 4,957,244 0 0 0 193,272 0 4,229,596 0 4,422,867 7,585,463 0 0.00% 0.00% 88.89% 0.00% 86.75% 4,957,244 7,585,463 Fund 7-Working Cash Local Total Revenues 36,995 36,995 34,867 34,867 94.25% 94.25% Total Expenditures Revenues Over Disbursements Other Financing Uses Excess with Other Financing 0 36,995 0 36,995 0 34,867 0 34,867 0.00% Fund 5-IMRF/Social Security Local Total Revenues Benefits Total Expenditures Revenues Over Disbursements Other Financing Sources Excess with Other Financing (784,451) Fund 6-Site & Construction With Impact Fees Local 10,050,500 Total Revenues 10,050,500 Salaries Benefits Purchased Services Supplies/Materials Capital Outlay Other Total Expenditures Revenues Over Disbursements Other Financing Sources Other Financing Uses Excess with Other Financing Q:\Besonen\Financials\2014\Object Comparison 14.xlsxObject Comparison 14.xlsxmARCH 86.84% 4/22/2014 March 31, 2014 OMMUNITY UNIT SCHOOL DISTRICT #300 mary of Fiscal Year Investment Activity-All Funds Depository or Instrument Type # 03/31/14 Date of Term Maturity (Days) Bank Year Date Purchased 365 365 365 365 9/27/2013 10/30/2013 9/27/2013 11/20/2013 9/27/2013 12/23/2013 9/27/2013 1/27/2014 Rate (%) Yield % 360/Yr Earnings to Maturity Principal Invested Par/Face Principal Invested @ 03/31/14 OPERTATING FUND INVESTMENTS ISDLAF+ TERM SERIES - 20131030AA02 ISDLAF+ TERM SERIES - 20131120AA02 ISDLAF+ TERM SERIES - 20131223AG02 ISDLAF+ TERM SERIES - 20140127AC02 TS TS TS TS Savings Deposit Account - Bank of China sda PMA/ISDLAF Liquid #10254-101 Short term trust deposit 365 PMA/ISDLAF Max #10254-101 Short term trust deposit 365 Total Operating Investments with PMA PMA Checking TOTALS OPERATING FUNDS AS OF TOTALS BOND AND INTEREST FUNDS AS OF (see page 2 for details): TOTAL CONSTRUCTION FUND INVESTMENTS AS OF (see page 3 for details): TOTAL FUNDS INVESTED (Including Construction and Bond & Interest Fund) as needed as needed as needed 31-Mar-14 31-Mar-14 31-Mar-14 31-Mar-14 31-Mar-14 33 54 87 122 n/a n/a n/a 4,400,199 1,450,129 6,600,944 5,001,170 4,400,000 1,450,000 6,600,000 5,000,000 18,023,022.44 799,592.42 6,840,173.73 0.50% 0.35% $ 31-Mar-14 Page 1 of 3 - - $ - $ $ $ $ - $ $ $ 18,023,022.44 799,592.42 6,840,173.73 25,662,788.59 6,801,109.15 32,463,897.74 11,507,152.85 8,463,094.56 $ - $ 52,434,145.15 6,801,109.15 OMMUNITY UNIT SCHOOL DISTRICT #300 Fiscal Year Investment Activity-Bond and Interest Fund Depository or Bank Instrument Type # Year BOND AND INTEREST FUND INVESTMENTS ISDLAF+ Term series -20130207AB02 TS 360 ISDLAF+ Term series -20121101AE02 TS 360 PMA 1994 Escrow Fund; #10254-103-LiquShort term trust deposit 365 PMA 1994 Escrow Fund; #10254-103-MaxShort term trust deposit 365 Total B&I Investments with PMA USbank Intercept Escrow Fund 400554.1 MMA USBank Bond Pool Fund 431613.1 MMA Total B&I Investments with Us Bank TOTALS BOND AND INTEREST FUNDS AS OF: Date Purchased 03/31/14 Date of Term Maturity (Days) 24-Aug-12 11/28/2012 14-Sep-12 11/1/2012 as needed as needed 0 0 n/a n/a Yield % 360/Yr Rate (%) 0 0.0000 0 0.0000 0.01% 0.04% 0.000 0.000 Par/Face Principal Invested 315,033.06 3,136,066.81 3,451,099.87 2,827.77 7,962,035.01 Earnings to Maturity 0.00 0.00 0.00 7,964,862.78 11,415,962.65 Interfund Transfer Cash Balance Per General Ledger 31-Mar-14 Page 2 of 3 Principal Invested @ 03/31/14 315,033.06 3,136,066.81 3,451,099.87 2,827.77 7,962,035.01 7,964,862.78 11,415,962.65 91,190.20 11,507,152.85 OMMUNITY UNIT SCHOOL DISTRICT #300 of Fiscal Year Investment Activity-Construction Fund 03/31/14 Depository or Instrument PMA/ISDLAF Max #10254-209 PMA/ISDLAF Liquid #10254-209 Savings Deposit Account - Bank of China PMA/ISDLAF Max #10254-207 TOTAL FUNDS INVESTED AS OF: Type # Short term trust deposit Short term trust deposit SDA Short term trust deposit Bank Year Date Purchased 365 365 Date of Term Maturity (Days) as needed as needed as needed as needed 365 31-Mar-14 n/a n/a n/a n/a Rate (%) 0.04% 0.01% 0.01% 0.04% 0.00% Page 3 of 3 Yield % 360/Yr 0.000 0.000 0.000 0.000 Par/Face Principal Invested Earnings to Maturity 1,873,017.12 2,524,507.44 4,000,894.32 0.00 8,398,418.88 $ Interfund Transfer Cash Balance Per General Ledger Principal Invested @ 03/31/14 $ 1,873,017.12 2,524,507.44 4,000,894.32 8,398,418.88 64,675.68 8,463,094.56 Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 10 - Educational Fund Balance Sheet For Period 9 Ending March 31, 2014 USD Educational Fund Consolidated Consolidated Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash 8012-0000 Imprest Fund 8014-0000 Payroll Account 8015-0000 Flex Account 8016-0000 Board Account Deposits Total Cash RECEIVABLES 8100 8190-0000 8191-0000 8192-0000 110-122 Grants Receivable CPPRT Receivable Property Taxes Receivable Other Current Assets Invoice Tolerance Inventory Add On Costs Total Other Current Assets Total Receivables Total Current Assets 8500 Previous Year --------------------- Change Percent --------------------- ---------- 19,451,830.8410,241.80 68,805.28 200,287.36 1,345,008.24 --------------------17,827,488.16- 15,199,933.2010,241.80 4,867.02389,159.61 0.00 --------------------14,805,398.81- 4,251,897.640.00 73,672.30 188,872.251,345,008.24 --------------------3,022,089.35- 132,481.97 295,449.00 55,655,937.00 --------------------56,083,867.97 1,147.98 295,449.00 55,655,937.00 --------------------55,952,533.98 131,333.99 0.00 0.00 --------------------131,333.99 --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- .14 189.00 --------------------189.14 .11 189.00 --------------------189.11 .03 0.00 --------------------.03 --------- --------------------- --------------------- --------------------- --------- 56,084,057.11 --------------------- 55,952,723.09 --------------------- 131,334.02 --------------------- .2 --------- 2,890,755.33- 7.0- 28.0 1513.748.5--------20.4 11440.4 --------.2 38,256,568.95 41,147,324.28 27.3 General Fixed Assets Total General Fixed Assets Total Assets LIABFBAL LIABILITIES Current Year --------------------- Other Receivables Total Other Receivables 8400 8486-0000 8492-0000 Fiscal Year 2014 Interfund Receivables Total Interfund Receivables 8300 1 Receivables Total 110-122 8200 Page Liabilities & Fund Equity Liabilities --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 38,256,568.95 ===================== 41,147,324.28 ===================== 2,890,755.33===================== 7.0========= Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 10 - Educational Fund Balance Sheet For Period 9 Ending March 31, 2014 USD Educational Fund Consolidated Consolidated Account Nbr Description ------------ --------------------------------------9000 Current Liabilities 9011-0000 Accounts Payable 9021-0000 Accured Payroll 9022-0000 Deferred Revenue 9098-0000 Premium Group Term Life (Noncash) ( Total Current Liabilities 9100 Payroll Deductions Federal Withholding Tax Payable SIT Payable Annuities Payable Employee Disability/Life Payable FSA Employee Health Payable Employee Dental Payable Employee Vision Payable TRS TRS Refund THIS-Employee THIS - Retired Teachers Garnishments Total Payroll Deductions 9400 9401-0000 9402-0000 9403-0000 9410-0000 9411-0000 9412-0000 9413-0000 9414-0000 9415-0000 9416-0000 9417-0000 9418-0000 9419-0000 9420-0000 9421-0000 9422-0000 9423-0000 9424-0000 Fiscal Year 2014 Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- 15,904.5822,353.18 55,284,318.12197,998.98--------------------55,475,868.50- 178,112.2422,353.18 55,284,318.12168,818.78--------------------55,608,895.96- 162,207.66 0.00 0.00 29,180.20--------------------133,027.46 --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 367.31 149.84 0.00 10,891.00406,076.26155,058.5182,653.94 1,394.97525.19 26,301.0120,309.69 4,666.48 106.19 --------------------490,943.11- 142.2976.7991.7959,969.72137,121.71 66,122.61139,352.7621,955.4017,023.7711.8744.6234,825.02 22.22 --------------------132,822.67- 509.60 226.63 91.79 49,078.72 543,197.9788,935.90222,006.70 20,560.43 17,548.96 26,289.1420,354.31 30,158.5483.97 --------------------358,120.44- 358.1295.1100.081.8396.1134.5 159.393.6103.1221475.5 45617.086.6377.9 --------269.6 2.71 755.92250.00321,569.8337,464.37389,124.80132,837.73544,004.97239,411.3428,096.25245,791.942,668.00193,120.715,360.0010,220.7523,066.1997,976.2720,099.87- 2.71 30.000.00 440,940.4059,925.52333,047.98150,747.991,097,755.53246,188.2225,719.25196,512.912,850.00314,073.850.00 10,220.7540,005.2189,058.5620,389.79- 0.00 725.92250.00119,370.57 22,461.15 56,076.8217,910.26 553,750.56 6,776.88 2,377.0049,279.03182.00 120,953.14 5,360.000.00 16,939.02 8,917.71289.92 91.117.3 --------.2- Interfund Loans Total Interfund Loans 9300 9301-0000 9302-0000 9310-0000 9320-0000 9321-0000 9322-0000 9323-0000 9324-0000 9330-0000 9331-0000 9340-0000 9341-0000 9362-0000 2 Interfund Payables Total Interfund Payables 9200 Page Other Payables Accrued Expenses Owed to Foundation Owed to Settlement Owed to Building-Vending Owed to Building-Picture Money Owed to Building-ACT Prep Program Owed to Building-Physical Education Owed to Building-Athletics Owed to Building-Yearbook Owed to Building-Year in Review Vid Owed to Building-Athletic Tournamen Owed to Building-Assignment Books Owed to Building-Other Owed to Building - Spec Olympics Owed to Building - Admin Mentoring Owed to Building - Corporate Sponso Owed to Building - Athletc Donation Owed To Building - Musical 2419.7 27.137.516.8 11.950.42.89.2 25.1 6.438.542.310.0 1.4- Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 10 - Educational Fund Balance Sheet For Period 9 Ending March 31, 2014 USD Educational Fund Consolidated Consolidated Account Nbr Description ------------ --------------------------------------9400 Other Payables 9425-0000 Owed to Building - Summer Camps 9426-0000 Owed to Building - Library 9429-0000 Owed to Building - BPAC 9430-0000 Owed to Building - Donations 9431-0000 Technology Lease 9433-0000 Owed to Building - District Music F 9460-0000 Other Payables 9461-0000 Credit Card Payable 9463-0000 Summer Camp-Bowling 9464-0000 Summer Camp-Girls Basketball 9465-0000 Summer Camp-Boys Basketball 9466-0000 Summer Camp-Tennis 9467-0000 Summer Camp-Football 9468-0000 Summer Camp-Volleyball 9469-0000 Summer Camp-Wrestling 9470-0000 Summer Camp-Baseball 9471-0000 Summer Camp-Softball 9472-0000 Sports Camp-Elementary 9473-0000 Summer Camp-Soccer 9474-0000 Summer Camp-Cheerleading Total Other Payables 9500 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9900-0000 9950-0000 9998-0000 9999-0000 Equity Fund Balance Current Year Net Change in Fund Balan Error Suspense Payroll Error Suspense Total Equity Total Liabilities & Fund Equit Page 3 Fiscal Year 2014 Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- 2,004.2033,089.81360.641,279.6416,430.713,218.0021,311.28 482.96328.6017,228.4710,289.7224,530.3836,686.8310,982.823,207.7232,949.978,329.733,535.5729,438.803,562.50--------------------2,508,442.02- 3,833.4532,578.90360.64225.0016,430.710.00 22,613.28 482.960.00 13,182.8044,376.8622,588.9224,335.0020,153.501,161.7735,894.646,579.602,200.5716,186.000.00 --------------------3,245,421.29- 1,829.25 510.910.00 1,054.640.00 3,218.001,302.000.00 328.604,045.6734,087.14 1,941.4612,351.839,170.68 2,045.952,944.67 1,750.131,335.0013,252.803,562.50--------------------736,979.27 --------22.7- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 58,475,253.63- 58,987,139.92- 703,720.83 19,511,544.59 476.51 2,942.75 --------------------20,218,684.68 4,877,892.4522,714,256.51 476.51 2,975.07 --------------------17,839,815.64 5,581,613.28 3,202,711.920.00 32.32--------------------2,378,869.04 1.1--------13.3 --------------------- --------------------- --------------------- --------- 38,256,568.95===================== 41,147,324.28===================== 2,890,755.33 ===================== 7.0========= 511,886.29 47.71.6 468.7 5.830.7 76.88.6 50.8 45.5176.1 8.226.6 60.7 81.9 .9114.414.1- Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 11 - Health Insurance Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Health Insurance Fund Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 Total Current Assets Total Assets Change Percent --------------------- ---------- 1,661,349.77 --------------------1,661,349.77 0.00 --------------------0.00 1,661,349.77 --------------------1,661,349.77 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 1,661,349.77 0.00 1,661,349.77 --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 1,661,349.77 ===================== 0.00 ===================== 1,661,349.77 ===================== ========= --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- Liabilities & Fund Equity Liabilities Current Liabilities Total Current Liabilities Interfund Payables Total Interfund Payables 9200 Previous Year --------------------- General Fixed Assets Total General Fixed Assets 9100 Current Year --------------------- Other Current Assets Total Receivables LIABFBAL LIABILITIES 9000 Consolidated Other Receivables Total Other Current Assets 8500 Fiscal Year 2014 Interfund Receivables Total Other Receivables 8400 4 110-122 Total Interfund Receivables 8300 Page Receivables Total 110-122 8200 USD Interfund Loans Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 11 - Health Insurance Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Health Insurance Fund Account Nbr Description ------------ --------------------------------------Total Interfund Loans 9300 9322-0000 9323-0000 9324-0000 Payroll Deductions Employee Health Payable Employee Dental Payable Employee Vision Payable Total Payroll Deductions 9400 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL Page 5 Fiscal Year 2014 Consolidated Current Year ----------------------------------------0.00 Previous Year ----------------------------------------0.00 Change Percent --------------------- ------------------------------ --------0.00 1,709,006.3640,548.13 7,108.46 --------------------1,661,349.77- 0.00 0.00 0.00 --------------------0.00 1,709,006.3640,548.13 7,108.46 --------------------1,661,349.77- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- --------- Other Payables Total Other Payables 9500 USD 1,661,349.77- 0.00 1,661,349.77- Equity Total Equity Total Liabilities & Fund Equit --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 1,661,349.77===================== 0.00 ===================== 1,661,349.77===================== ========= Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 20 - Operations & Maintenance Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Operations & Maintenance Fund Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 8192-0000 110-122 Property Taxes Receivable Other Current Assets Invoice Tolerance Total Other Current Assets Total Receivables Total Current Assets 8500 Consolidated Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- 4,993,604.95 --------------------4,993,604.95 4,612,622.37 --------------------4,612,622.37 380,982.58 --------------------380,982.58 8.3 --------8.3 7,299,046.00 --------------------7,299,046.00 7,299,046.00 --------------------7,299,046.00 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 334.89--------------------334.89- 334.91--------------------334.91- .02 --------------------.02 --------- --------------------- --------------------- --------------------- --------- 7,298,711.11 --------------------- 7,298,711.09 --------------------- .02 --------------------- --------- 12,292,316.06 11,911,333.46 380,982.60 3.2 General Fixed Assets Total General Fixed Assets Total Assets LIABFBAL LIABILITIES 9000 9011-0000 9020-0000 9022-0000 Fiscal Year 2014 Other Receivables Total Other Receivables 8400 8486-0000 6 Interfund Receivables Total Interfund Receivables 8300 Page Receivables Total 110-122 8200 USD Liabilities & Fund Equity Liabilities Current Liabilities Accounts Payable PO Receipt Accrual (PO) Deferred Revenue Total Current Liabilities --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 12,292,316.06 ===================== 11,911,333.46 ===================== 380,982.60 ===================== 3.2 ========= 26,993.9624.007,199,474.00--------------------7,226,491.96- 34,314.0524.007,199,474.00--------------------7,233,812.05- 7,320.09 0.00 0.00 --------------------7,320.09 21.3--------.1- Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 20 - Operations & Maintenance Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Operations & Maintenance Fund Account Nbr Description ------------ --------------------------------------9100 Interfund Payables Total Interfund Payables 9200 Payroll Deductions Employee Disability/Life Payable FSA Total Payroll Deductions 9400 9410-0000 Other Payables Owed to Building-Vending Total Other Payables 9500 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9900-0000 9950-0000 Page 7 Fiscal Year 2014 Consolidated Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 14,095.8427,972.26--------------------42,068.10- 8,621.063,346.02--------------------11,967.08- 5,474.7824,626.24--------------------30,101.02- 63.5 736.0 --------251.5 440.83--------------------440.83- 440.83--------------------440.83- 0.00 --------------------0.00 --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 7,269,000.89- 7,246,219.96- 22,780.93- 7,024,421.932,001,106.76 --------------------5,023,315.17- 4,305,345.99359,767.51--------------------4,665,113.50- 2,719,075.942,360,874.27 --------------------358,201.67- 63.2 656.2--------7.7 --------------------- --------------------- --------------------- --------- 12,292,316.06===================== 11,911,333.46===================== 380,982.60===================== 3.2 ========= Interfund Loans Total Interfund Loans 9300 9320-0000 9321-0000 USD Equity Fund Balance Current Year Net Change in Fund Balan Total Equity Total Liabilities & Fund Equit .3 Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 30 - Bond & Interest Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Bond & Interest Fund Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 8192-0000 110-122 Property Taxes Receivable Total Receivables Total Current Assets Total Assets Liabilities & Fund Equity Liabilities Current Liabilities Deferred Revenue Total Current Liabilities 9100 Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- 11,507,152.85 --------------------11,507,152.85 1,660,763.12 --------------------1,660,763.12 9,846,389.73 --------------------9,846,389.73 592.9 --------592.9 10,820,499.00 --------------------10,820,499.00 10,820,499.00 --------------------10,820,499.00 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 10,820,499.00 --------------------- 10,820,499.00 --------------------- 0.00 --------------------- --------- 22,327,651.85 12,481,262.12 9,846,389.73 78.9 General Fixed Assets Total General Fixed Assets LIABFBAL LIABILITIES 9000 9022-0000 Consolidated Other Current Assets Total Other Current Assets 8500 Fiscal Year 2014 Other Receivables Total Other Receivables 8400 8 Interfund Receivables Total Interfund Receivables 8300 Page Receivables Total 110-122 8200 USD --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 22,327,651.85 ===================== 12,481,262.12 ===================== 9,846,389.73 ===================== 78.9 ========= 10,670,624.00--------------------10,670,624.00- 10,670,624.00--------------------10,670,624.00- 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- Interfund Payables Total Interfund Payables Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 30 - Bond & Interest Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Bond & Interest Fund Account Nbr Description ------------ --------------------------------------9200 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9900-0000 9950-0000 Fiscal Year 2014 Consolidated Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 10,670,624.00- 10,670,624.00- 13,565,396.811,908,368.96 --------------------11,657,027.85- 12,697,316.4410,886,678.32 --------------------1,810,638.12- 868,080.378,978,309.36--------------------9,846,389.73- 6.8 82.5--------543.8 --------------------- --------------------- --------------------- --------- 22,327,651.85===================== 12,481,262.12===================== 9,846,389.73===================== 78.9 ========= Other Payables Total Other Payables 9500 9 Payroll Deductions Total Payroll Deductions 9400 Page Interfund Loans Total Interfund Loans 9300 USD Equity Fund Balance Current Year Net Change in Fund Balan Total Equity Total Liabilities & Fund Equit 0.00 Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 40 - Transportation Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Transportation Fund Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 8190-0000 8192-0000 110-122 Grants Receivable Property Taxes Receivable Other Current Assets Invoice Tolerance Total Other Current Assets Total Receivables Total Current Assets 8500 Consolidated Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- 7,307,191.68 --------------------7,307,191.68 6,498,139.49 --------------------6,498,139.49 809,052.19 --------------------809,052.19 12.5 --------12.5 .01 3,464,841.00 --------------------3,464,841.01 .01 3,464,841.00 --------------------3,464,841.01 0.00 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------0.00 .01--------------------.01- .01 --------------------.01 100.0--------100.0- --------------------- --------------------- --------------------- --------- 3,464,841.01 --------------------- 3,464,841.00 --------------------- .01 --------------------- --------- 10,772,032.69 9,962,980.49 809,052.20 8.1 General Fixed Assets Total General Fixed Assets Total Assets LIABFBAL LIABILITIES 9000 9011-0000 9022-0000 Fiscal Year 2014 Other Receivables Total Other Receivables 8400 8486-0000 10 Interfund Receivables Total Interfund Receivables 8300 Page Receivables Total 110-122 8200 USD Liabilities & Fund Equity Liabilities Current Liabilities Accounts Payable Deferred Revenue Total Current Liabilities --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 10,772,032.69 ===================== 9,962,980.49 ===================== 809,052.20 ===================== 8.1 ========= 65,779.773,432,313.00--------------------3,498,092.77- 1,655.94 3,432,313.00--------------------3,430,657.06- 67,435.710.00 --------------------67,435.71- 4072.4--------2.0 Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 40 - Transportation Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Transportation Fund Account Nbr Description ------------ --------------------------------------9100 Interfund Payables Total Interfund Payables 9200 Payroll Deductions Employee Disability/Life Payable FSA Total Payroll Deductions 9400 9410-0000 Other Payables Owed to Building-Vending Total Other Payables 9500 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9900-0000 9950-0000 9999-0000 Page 11 Fiscal Year 2014 Consolidated Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 511.091,345.02--------------------1,856.11- 398.72680.00--------------------1,078.72- 112.37665.02--------------------777.39- 28.2 97.8 --------72.1 208.80--------------------208.80- 96.40--------------------96.40- 112.40--------------------112.40- 116.6 --------116.6 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 3,500,157.68- 3,431,832.18- 68,325.50- 2.0 9,293,607.282,021,727.27 5.00 --------------------7,271,875.01- 6,538,590.317,437.00 5.00 --------------------6,531,148.31- 2,755,016.972,014,290.27 0.00 --------------------740,726.70- 42.1 27084.7 --------11.3 --------------------- --------------------- --------------------- --------- 10,772,032.69===================== 9,962,980.49===================== 809,052.20===================== 8.1 ========= Interfund Loans Total Interfund Loans 9300 9320-0000 9321-0000 USD Equity Fund Balance Current Year Net Change in Fund Balan Error Suspense Total Equity Total Liabilities & Fund Equit Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 50 - Municipal Retirement Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Municipal Retirement Fund Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 8192-0000 110-122 Property Taxes Receivable Total Receivables Total Current Assets Total Assets Liabilities & Fund Equity Liabilities Current Liabilities Deferred Revenue Total Current Liabilities 9100 Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- 1,320,312.14 --------------------1,320,312.14 582,958.26 --------------------582,958.26 737,353.88 --------------------737,353.88 126.5 --------126.5 3,325,678.00 --------------------3,325,678.00 3,325,678.00 --------------------3,325,678.00 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 3,325,678.00 --------------------- 3,325,678.00 --------------------- 0.00 --------------------- --------- 4,645,990.14 3,908,636.26 737,353.88 18.9 General Fixed Assets Total General Fixed Assets LIABFBAL LIABILITIES 9000 9022-0000 Consolidated Other Current Assets Total Other Current Assets 8500 Fiscal Year 2014 Other Receivables Total Other Receivables 8400 12 Interfund Receivables Total Interfund Receivables 8300 Page Receivables Total 110-122 8200 USD --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 4,645,990.14 ===================== 3,908,636.26 ===================== 737,353.88 ===================== 18.9 ========= 3,279,669.00--------------------3,279,669.00- 3,279,669.00--------------------3,279,669.00- 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- Interfund Payables Total Interfund Payables Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 50 - Municipal Retirement Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Municipal Retirement Fund Account Nbr Description ------------ --------------------------------------9200 Payroll Deductions IMRF Payable FICA Payable Medicare Only Payable Total Payroll Deductions 9400 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9900-0000 9950-0000 9999-0000 13 Fiscal Year 2014 Consolidated Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 71,460.84 35,559.31 105,785.63 --------------------212,805.78 73,972.36 37,654.04 103,175.48 --------------------214,801.88 2,511.522,094.732,610.15 --------------------1,996.10- 3.45.62.5 --------.9- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 3,066,863.22- 3,064,867.12- 1,996.10- .1 2,431,981.75852,087.90 766.93 --------------------1,579,126.92- 1,269,657.73425,121.66 766.93 --------------------843,769.14- 1,162,324.02426,966.24 0.00 --------------------735,357.78- 91.5 100.4 --------87.2 --------------------- --------------------- --------------------- --------- 4,645,990.14===================== 3,908,636.26===================== 737,353.88===================== 18.9 ========= Other Payables Total Other Payables 9500 Page Interfund Loans Total Interfund Loans 9300 9303-0000 9304-0000 9305-0000 USD Equity Fund Balance Current Year Net Change in Fund Balan Error Suspense Total Equity Total Liabilities & Fund Equit Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 51 - Social Security/Medicare Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Social Security/Medicare Fund Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 Total Current Assets Total Assets Change Percent --------------------- ---------- 696,940.00--------------------696,940.00- 0.00 --------------------0.00 696,940.00--------------------696,940.00- --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 696,940.00- 0.00 696,940.00- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 696,940.00===================== 0.00 ===================== 696,940.00===================== ========= --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- Liabilities & Fund Equity Liabilities Current Liabilities Total Current Liabilities Interfund Payables Total Interfund Payables 9200 Previous Year --------------------- General Fixed Assets Total General Fixed Assets 9100 Current Year --------------------- Other Current Assets Total Receivables LIABFBAL LIABILITIES 9000 Consolidated Other Receivables Total Other Current Assets 8500 Fiscal Year 2014 Interfund Receivables Total Other Receivables 8400 14 110-122 Total Interfund Receivables 8300 Page Receivables Total 110-122 8200 USD Interfund Loans Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 51 - Social Security/Medicare Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Social Security/Medicare Fund Account Nbr Description ------------ --------------------------------------Total Interfund Loans 9300 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9950-0000 15 Fiscal Year 2014 Consolidated Current Year ----------------------------------------0.00 Previous Year ----------------------------------------0.00 Change Percent --------------------- ------------------------------ --------0.00 --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- Other Payables Total Other Payables 9500 Page Payroll Deductions Total Payroll Deductions 9400 USD Equity Current Year Net Change in Fund Balan Total Equity Total Liabilities & Fund Equit 0.00 0.00 0.00 696,940.00 --------------------696,940.00 0.00 --------------------0.00 696,940.00 --------------------696,940.00 --------- --------------------- --------------------- --------------------- --------- 696,940.00 ===================== 0.00 ===================== 696,940.00 ===================== ========= Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 60 - Site & Construction Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Site & Construction Fund Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 Other Current Assets Invoice Tolerance Total Receivables Total Current Assets Total Assets Liabilities & Fund Equity Liabilities Current Liabilities Accounts Payable Total Current Liabilities 9100 Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- 7,294,727.53 --------------------7,294,727.53 1,002,717.51 --------------------1,002,717.51 6,292,010.02 --------------------6,292,010.02 627.5 --------627.5 --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- .01 --------------------.01 .01 --------------------.01 0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- .01 --------------------- .01 --------------------- 0.00 --------------------- --------- 7,294,727.54 1,002,717.52 6,292,010.02 627.5 General Fixed Assets Total General Fixed Assets LIABFBAL LIABILITIES 9000 9011-0000 Consolidated Other Receivables Total Other Current Assets 8500 Fiscal Year 2014 Interfund Receivables Total Other Receivables 8400 8486-0000 16 110-122 Total Interfund Receivables 8300 Page Receivables Total 110-122 8200 USD --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 7,294,727.54 ===================== 1,002,717.52 ===================== 6,292,010.02 ===================== 627.5 ========= 5,168.30 --------------------5,168.30 5,168.30 --------------------5,168.30 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- Interfund Payables Total Interfund Payables Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 60 - Site & Construction Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Site & Construction Fund Account Nbr Description ------------ --------------------------------------9200 Payroll Deductions Employee Disability/Life Payable Total Payroll Deductions 9400 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9900-0000 9950-0000 9999-0000 17 Fiscal Year 2014 Consolidated Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------0.00 259.58--------------------259.58- 259.58 --------------------259.58 100.0--------100.0- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- Other Payables Total Other Payables 9500 Page Interfund Loans Total Interfund Loans 9300 9320-0000 USD Equity Fund Balance Current Year Net Change in Fund Balan Error Suspense Total Equity Total Liabilities & Fund Equit 5,168.30 4,908.72 259.58 5.3 882,800.097,117,624.75700,529.00 --------------------7,299,895.84- 1,969,340.47961,714.23 0.00 --------------------1,007,626.24- 1,086,540.38 8,079,338.98700,529.00 --------------------6,292,269.60- 55.2840.1--------624.5 --------------------- --------------------- --------------------- --------- 7,294,727.54===================== 1,002,717.52===================== 6,292,010.02===================== 627.5 ========= Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 61 - Impact Fees Fund Balance Sheet For Period 9 Ending March 31, 2014 USD Impact Fees Fund Consolidated Consolidated Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 Total Current Assets Total Assets 0.00 --------------------0.00 1,168,367.03 --------------------1,168,367.03 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 1,168,367.03 0.00 1,168,367.03 --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 1,168,367.03 ===================== 0.00 ===================== 1,168,367.03 ===================== ========= --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- Liabilities & Fund Equity Liabilities Current Liabilities Total Current Liabilities Interfund Payables Total Interfund Payables 9200 1,168,367.03 --------------------1,168,367.03 General Fixed Assets Total General Fixed Assets 9100 Change Percent --------------------- ---------- Other Current Assets Total Receivables LIABFBAL LIABILITIES 9000 Previous Year --------------------- Other Receivables Total Other Current Assets 8500 Current Year --------------------- Interfund Receivables Total Other Receivables 8400 Fiscal Year 2014 110-122 Total Interfund Receivables 8300 18 Receivables Total 110-122 8200 Page Interfund Loans Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 61 - Impact Fees Fund Balance Sheet For Period 9 Ending March 31, 2014 USD Impact Fees Fund Consolidated Consolidated Account Nbr Description ------------ --------------------------------------Total Interfund Loans 9300 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9950-0000 9999-0000 Fiscal Year 2014 Current Year ----------------------------------------0.00 Previous Year ----------------------------------------0.00 Change Percent --------------------- ------------------------------ --------0.00 --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- Other Payables Total Other Payables 9500 19 Payroll Deductions Total Payroll Deductions 9400 Page Equity Current Year Net Change in Fund Balan Error Suspense Total Equity Total Liabilities & Fund Equit 0.00 0.00 0.00 467,838.03700,529.00--------------------1,168,367.03- 0.00 0.00 --------------------0.00 467,838.03700,529.00--------------------1,168,367.03- --------- --------------------- --------------------- --------------------- --------- 1,168,367.03===================== 0.00 ===================== 1,168,367.03===================== ========= Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 70 - Working Capital Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Working Capital Fund Account Nbr Description ------------ --------------------------------------ASSETS Assets CURASSETS Current Assets 8000 Cash 8010-0000 Cash Total Cash RECEIVABLES 8100 8192-0000 110-122 Property Taxes Receivable Total Receivables Total Current Assets Total Assets Liabilities & Fund Equity Liabilities Current Liabilities Deferred Revenue Total Current Liabilities 9100 Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- 35,936,256.48 --------------------35,936,256.48 35,889,769.66 --------------------35,889,769.66 46,486.82 --------------------46,486.82 .1 --------.1 9,823.00 --------------------9,823.00 9,823.00 --------------------9,823.00 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 9,823.00 --------------------- 9,823.00 --------------------- 0.00 --------------------- --------- 35,946,079.48 35,899,592.66 46,486.82 .1 General Fixed Assets Total General Fixed Assets LIABFBAL LIABILITIES 9000 9022-0000 Consolidated Other Current Assets Total Other Current Assets 8500 Fiscal Year 2014 Other Receivables Total Other Receivables 8400 20 Interfund Receivables Total Interfund Receivables 8300 Page Receivables Total 110-122 8200 USD --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------- --------------------- --------------------- --------- 35,946,079.48 ===================== 35,899,592.66 ===================== 46,486.82 ===================== .1 ========= 9,684.00--------------------9,684.00- 9,684.00--------------------9,684.00- 0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- Interfund Payables Total Interfund Payables Balance Sheet GL292 Date 04/22/14 Time 15:40 Company 70 - Working Capital Fund Balance Sheet For Period 9 Ending March 31, 2014 Consolidated Working Capital Fund Account Nbr Description ------------ --------------------------------------9200 Long-Term Liabilities Total Long-Term Liabilities Total Liabilities FUNDBAL 9900-0000 9950-0000 Fiscal Year 2014 Consolidated Current Year --------------------- Previous Year --------------------- Change Percent --------------------- ---------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- --------------------0.00 --------------------0.00 --------------------0.00 --------- 0.00 --------------------- 0.00 --------------------- 0.00 --------------------- --------- 9,684.00- 9,684.00- 35,901,528.1534,867.33--------------------35,936,395.48- 35,863,061.2226,847.44--------------------35,889,908.66- 38,466.938,019.89--------------------46,486.82- .1 29.9 --------.1 --------------------- --------------------- --------------------- --------- 35,946,079.48===================== 35,899,592.66===================== 46,486.82===================== .1 ========= Other Payables Total Other Payables 9500 21 Payroll Deductions Total Payroll Deductions 9400 Page Interfund Loans Total Interfund Loans 9300 USD Equity Fund Balance Current Year Net Change in Fund Balan Total Equity Total Liabilities & Fund Equit 0.00 Income Statement GL293 Date 04/22/14 Time 15:41 Company 10 - Educational Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated USD Page Fiscal Year 2014 Educational Fund Budget 1 1 Consolidated Account Nbr -----------REVENUE LOCAL 1111-0000 1112-0000 1113-0000 1121-0000 1122-0000 1141-0000 1142-0000 1143-0000 1231-0000 1311-0000 1321-0000 1342-0000 1511-0000 1611-0000 1612-0000 1613-0000 1621-0000 1691-0000 1721-0000 1724-0000 1725-0000 1726-0000 1727-0000 1728-0000 1791-0000 1811-0000 1812-0000 1819-0000 1921-0000 1922-0000 1923-0000 1941-0000 1951-0000 1991-0000 1998-0000 1999-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources CUR YR General Levy 908,717.33 0.00 0.00 908,717.33 57,425,154.00 1.58 First PR YR General Levy 492,816.170.00 0.00 56,637,303.88 56,987,352.00 99.39 Other PR YR General Levies 0.00 0.00 0.00 8,020.40 0.00 0.00 CUR YR Tort Immunity Levy 933.82 0.00 0.00 933.82 36,704.00 2.54 First PR YR Tort Immunity Levy 506.430.00 0.00 35,289.04 35,876.00 98.36 CUR YR Special Education Levy 12,244.88 0.00 0.00 12,244.88 4,984,474.00 .25 First PR YR Special Education 6,640.650.00 0.00 3,979,954.65 4,014,982.00 99.13 Other PR YR Special Education 0.00 0.00 0.00 102.44 0.00 0.00 Corporate Personal Property Re 85,524.97 0.00 0.00 1,045,155.79 1,573,080.00 66.44 Tuition from Pupils or Parents 114,061.45 0.00 0.00 951,621.95 1,080,000.00 88.11 Summer School Tuition from Pup 4,880.00 0.00 0.00 34,631.54 75,000.00 46.18 Special Education Tuition from 0.00 0.00 0.00 26,743.34 175,000.00 15.28 Interest on Investments 5.11 0.00 0.00 4,618.57 10,000.00 46.19 Sales to Pupils - Lunch 122,706.59 0.00 0.00 947,542.52 1,200,000.00 78.96 Sales to Pupils - Breakfast 11,737.22 0.00 0.00 90,534.53 111,735.00 81.03 Sales to Pupils - A La Carte 61,515.07 0.00 0.00 474,493.69 585,630.00 81.02 Sales to Adults 4,534.38 0.00 0.00 34,975.73 43,000.00 81.34 Other Food Service Revenue 0.00 0.00 0.00 48.95 250.00 19.58 Locker Rental Fees 71.24 0.00 0.00 4,952.24 6,000.00 82.54 Technology Fees 0.00 0.00 0.00 8,000.00 0.00 0.00 Course Fees 15.00 0.00 0.00 6,544.00 0.00 0.00 Musical Instrument Rental 0.00 0.00 0.00 725.00 250.00 290.00 Athletic Fees 54,447.36 0.00 0.00 377,657.90 400,000.00 94.41 Driver Education Behind the Wh 575.00 0.00 0.00 45,831.18 60,000.00 76.39 Other Pupil Activities 907.00 0.00 0.00 131,607.26 135,000.00 97.49 Regular Textbook Rental 41,406.46 0.00 0.00 796,399.88 1,308,000.00 60.89 Summer School Textbook Rental 0.00 0.00 0.00 0.00 2,000.00 0.00 Other Textbook Rental 926.99 0.00 0.00 9,188.45 23,000.00 39.95 Contributions & Donations from 0.00 0.00 0.00 713.43 0.00 0.00 Foundation Donations 0.00 0.00 0.00 45.00 0.00 0.00 Homeless Donations 0.00 0.00 0.00 842.16 0.00 0.00 Technology E-Rate Revenue 0.00 0.00 0.00 356,581.23 350,000.00 101.88 Refund of PR YRs' Expenditiure 0.00 0.00 0.00 16,187.76 100,000.00 16.19 Payment from Other LEAs 0.00 0.00 0.00 34.56 50,000.00 .07 Other Revenue-Athletics 0.00 0.00 0.00 177.00 0.00 0.00 Other Revenue-General 41,109.75 0.00 0.00 372,898.55 1,000,000.00 37.29 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 966,356.37 0.00 0.00 67,321,318.65 131,772,487.00 51.09 STATE 3001-0000 3100-0000 3105-0000 3110-0000 3120-0000 3130-0000 3145-0000 3220-0000 3275-0000 Revenue from State Sources General State Aid Special Ed-Pvt Facility Tuitio Special Ed-Extra Ordinary Special Ed-Personnel Special Ed-Orphanage Individua Special Ed-Orphange Summer Special Ed-Summer School Voc Ed School Improvement Voc Ed Elem Career 1,462,667.58 669,175.02 640,732.00 841,176.62 11,369.24 4,149.00 36,871.95 7,554.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 11,701,545.90 1,395,758.15 1,281,464.00 1,682,353.24 17,592.91 4,149.00 36,871.95 111,062.00 1,852.00 16,091,093.00 2,377,292.00 2,633,394.00 3,688,867.00 20,525.00 8,287.00 25,844.00 186,668.00 13,000.00 72.72 58.71 48.66 45.61 85.71 50.07 142.67 59.50 14.25 Income Statement GL293 Date 04/22/14 Time 15:41 Company 10 - Educational Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated USD Page Fiscal Year 2014 Educational Fund Budget 2 1 Consolidated Account Nbr -----------STATE 3305-0000 3360-0000 3370-0000 3621-0000 3696-0000 3705-0000 3999-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue from State Sources Bilingual-TPI & TBE 0.00 0.00 0.00 468,414.00 1,175,610.00 39.84 State Free Lunch & Breakfast 9,952.40 0.00 0.00 37,878.77 79,300.00 47.77 Driver Education 0.00 0.00 0.00 61,210.18 102,891.00 59.49 School Library 0.00 0.00 0.00 0.00 14,300.00 0.00 Safe School Grant 0.00 0.00 0.00 59,697.13 30,000.00 198.99 Early Childhood-State PreK 227,304.00 0.00 0.00 779,769.00 1,200,000.00 64.98 Other State Grants 0.00 0.00 0.00 3,382.00 0.00 0.00 --------------------------------------------------------------------------------------Total Revenue from State Sourc 3,910,951.81 0.00 0.00 17,643,000.23 27,647,071.00 63.82 FEDERAL 4210-0000 4220-0000 4225-0000 4226-0000 4240-0000 4300-0000 4600-0000 4620-0000 4625-0000 4745-0000 4900-0000 4902-0000 4909-0000 4910-0000 4932-0000 4950-0000 4999-0000 Revenue from Federal Sources National School Lunch Program School Breakfast Program Summer Food Program Child & Adult Food Care Progr Fresh Fruit and Veg. Program Title I-Low Income Special Ed-Preschool Flow Thro Special Ed-IDEA Flow Through Special Ed-IDEA Room & Board Perkins-III Medicaid Matching Medicaid Fee for Service LIPLEPS-III Learn & Serve Title II-Teacher Quality Dept of Rehab Svcs Other Federal Revenue I 300,827.69 0.00 0.00 2,152,196.90 3,330,530.00 64.62 77,995.40 0.00 0.00 457,917.87 1,040,135.00 44.02 261.190.00 0.00 100,710.64 61,110.00 164.80 23,250.70 0.00 0.00 164,108.43 250,000.00 65.64 0.00 0.00 0.00 33,490.47 45,879.00 73.00 148,648.00 0.00 0.00 1,610,204.00 2,078,533.00 77.47 7,171.00 0.00 0.00 79,445.00 117,018.00 67.89 186,487.00 0.00 0.00 2,811,636.00 3,867,213.00 72.70 37,463.44 0.00 0.00 258,072.79 250,000.00 103.23 1,351.00 0.00 0.00 106,025.00 152,066.00 69.72 0.00 0.00 0.00 259,689.90 510,065.00 50.91 92,303.95 0.00 0.00 576,800.84 980,050.00 58.85 17,287.00 0.00 0.00 341,675.00 346,350.00 98.65 0.00 0.00 0.00 0.00 12,220.00 0.00 17,468.00 0.00 0.00 245,794.00 478,839.00 51.33 0.00 0.00 0.00 20,178.00 5,000.00 403.56 0.00 0.00 0.00 3,382.000.00 0.00 --------------------------------------------------------------------------------------Total Revenue from Federal Sou 909,991.99 0.00 0.00 9,214,562.84 13,525,008.00 68.13 OTHER SOURCE Other Financing Sources 7331-0000 Compensation of Loss of FA Total Other Financing Sources Total Revenue EXPENSE 100 111-0000 112-0000 113-0000 114-0000 115-0000 116-0000 117-0000 118-0000 Expense Salaries Certified Administrator Certified Directors/Superviors Certified Teachers Other Certified Non-Certified Supervision/Head Non-Certified Sec/Spec Non-Certified Paras/Custodial Other Non-Certified 0.00 0.00 0.00 0.00 425.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 425.00 0.00 --------------------------------------------------------------------------------------5,787,300.17 0.00 0.00 94,178,881.72 172,944,991.00 54.46 --------------------------------------------------------------------------------------- 621,262.04 167,016.28 5,297,366.57 509,406.42 121,912.49 448,809.78 711,632.37 115,711.73 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 5,971,789.68 1,552,201.27 41,990,024.01 4,372,706.73 1,111,293.44 4,275,548.62 5,149,299.25 1,091,053.40 8,128,877.00 2,170,293.00 69,005,290.00 6,827,388.00 1,453,087.00 5,976,696.00 7,992,449.00 1,581,380.00 73.46 71.52 60.85 64.05 76.48 71.54 64.43 68.99 Income Statement GL293 Date 04/22/14 Time 15:41 Company 10 - Educational Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Account Nbr -----------100 119-0000 121-0000 122-0000 123-0000 124-0000 125-0000 132-0000 133-0000 134-0000 135-0000 138-0000 143-0000 148-0000 149-0000 200 211-0000 215-0000 217-0000 218-0000 221-0000 222-0000 223-0000 224-0000 225-0000 231-0000 232-0000 235-0000 311-0000 312-0000 313-0000 314-0000 315-0000 317-0000 318-0000 319-0000 323-0000 325-0000 327-0000 331-0000 332-0000 333-0000 334-0000 335-0000 Page Fiscal Year 2014 Educational Fund Budget 3 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Salaries Other 113,683.34 0.00 0.00 826,782.08 1,192,241.00 69.35 Substitute-Teacher 144,272.14 0.00 0.00 860,309.05 1,282,500.00 67.08 Substitute-Paraprofessionals 15,309.08 0.00 0.00 120,838.92 25,000.00 483.36 Substitute-Conferences 32,882.50 0.00 0.00 187,166.50 228,949.00 81.75 INACT-Substitute-Grant Support 0.00 0.00 0.00 .410.00 0.00 Substitute-Other Non-Certified 0.00 0.00 0.00 65.90 0.00 0.00 1.5 Overtime 2,349.18 0.00 0.00 26,220.99 11,820.00 221.84 2.0 Overtime 12.21 0.00 0.00 912.36 0.00 0.00 Subs-Conferences/Prof Develop 472.50 0.00 0.00 6,522.50 73,000.00 8.93 Long Term Certified Subs 33,715.00 0.00 0.00 174,250.00 0.00 0.00 Subs-Grants 51,592.50 0.00 0.00 343,079.53 311,366.00 110.19 Overload 65,405.71 0.00 0.00 206,494.07 400,000.00 51.62 Extra Pay-Non-Certified 22,080.49 0.00 0.00 242,927.43 42,084.00 577.24 Extra Pay-Certified 198,209.71 0.00 0.00 2,546,578.77 3,191,081.00 79.80 --------------------------------------------------------------------------------------Total Salaries 8,673,102.04 0.00 0.00 71,056,064.09 109,893,501.00 64.66 Employee Benefits Teachers Retirement (TRS) One-Time TRS Early Retirement TRS Federal Contribution THIS Fund Employer Contributio Life Insurance Medical Insurance Dental Insurance Vision Insurance Disability Insurance Certified Tuition Reimbursemen DESA Tuition Reimbursement Admin Tuition Reimbursement Total Employee Benefits 300 USD Purchased Services Professional Services-Administ Staff Development-On Site Staff Development-Off Site Professional Services-Instruct Food-Contracted Audit/Financial Services Legal Services Other Professional & Technical Repair & Maintenance Rentals Computer Maintenance Pupil Transportation-General In-District Travel Out of District Travel Professional Meetings Pupil Transportation-Vocationa 484,528.57 0.00 0.00 3,850,972.51 5,609,269.00 68.65 0.00 0.00 0.00 110,173.93 155,378.00 70.91 34,070.96 0.00 0.00 333,208.93 500,000.00 66.64 69,688.12 0.00 0.00 556,747.23 804,558.00 69.20 9,147.08 0.00 0.00 76,490.63 110,655.00 69.13 1,673,366.27 0.00 0.00 10,665,145.11 14,798,663.00 72.07 76,142.70 0.00 0.00 570,088.05 895,304.00 63.68 14,692.51 0.00 0.00 111,020.41 150,085.00 73.97 3,138.88 0.00 0.00 29,948.58 41,221.00 72.65 357.820.00 0.00 86,289.47 100,000.00 86.29 0.00 0.00 0.00 0.00 3,000.00 0.00 0.00 0.00 0.00 24,300.00 0.00 0.00 --------------------------------------------------------------------------------------2,364,417.27 0.00 0.00 16,414,384.85 23,168,133.00 70.85 19,938.74 36,601.08 10,423.00 134,314.86 5,516.44 0.00 16,817.85 100,605.25 7,513.37 6,429.46 0.00 94.89 3,323.16 6,831.51 35.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 319,127.60 248,789.75 98,064.77 2,641,854.88 41,792.89 52,700.00 137,341.22 700,433.52 377,981.60 66,142.87 1,002.00 3,245.36 19,336.76 151,103.50 12,964.07 177.22 393,235.00 425,750.00 453,112.00 3,691,055.00 58,593.00 47,600.00 197,000.00 1,020,419.00 469,743.00 79,190.00 19,500.00 14,675.00 50,380.00 175,190.00 7,900.00 17,000.00 81.15 58.44 21.64 71.57 71.33 110.71 69.72 68.64 80.47 83.52 5.14 22.11 38.38 86.25 164.10 1.04 Income Statement GL293 Date 04/22/14 Time 15:41 Company 10 - Educational Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Account Nbr -----------300 336-0000 337-0000 338-0000 339-0000 341-0000 342-0000 343-0000 344-0000 345-0000 347-0000 351-0000 352-0000 353-0000 361-0000 381-0000 382-0000 384-0000 385-0000 390-0000 391-0000 392-0000 393-0000 394-0000 395-0000 396-0000 397-0000 398-0000 400 411-0000 412-0000 414-0000 415-0000 416-0000 417-0000 421-0000 422-0000 423-0000 425-0000 426-0000 427-0000 428-0000 431-0000 441-0000 464-0000 471-0000 472-0000 481-0000 USD Page Fiscal Year 2014 Educational Fund Budget 4 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Purchased Services Pupil Transportation-Field Tri 2,986.92 0.00 0.00 15,868.34 27,887.00 56.90 Pupil Transporation-Cocurricul 0.00 0.00 0.00 719.42 0.00 0.00 Pupil Transportation - Athleti 2,800.00 0.00 0.00 2,830.00 0.00 0.00 Other Transporation Services 0.00 0.00 0.00 1,524.77 8,500.00 17.94 Postage & Shipping Charges 8,091.16 0.00 0.00 74,817.50 116,720.00 64.10 Telephone-Local 52,793.43 0.00 0.00 407,915.05 597,700.00 68.25 Telephone-Security 250.13 0.00 0.00 1,958.75 6,853.00 28.58 Telephone-Long Distance 0.00 0.00 0.00 110.48 4,000.00 2.76 Telephone-Utilities 0.00 0.00 0.00 67.236,100.00 1.10Telephone-Cellular 0.00 0.00 0.00 60,230.97 103,900.00 57.97 Recruiting 1,240.00 0.00 0.00 1,240.00 5,000.00 24.80 Legal Notices 3,751.25 0.00 0.00 38,410.19 75,450.00 50.91 License & Registration 975.00 0.00 0.00 4,575.00 1,800.00 254.17 Printing & Binding 38,337.50 0.00 0.00 166,200.24 184,093.00 90.28 Liability Insurance 0.00 0.00 0.00 224,390.58 222,333.00 100.93 Fidelity Bond Premiums 0.00 0.00 0.00 23,665.00 17,500.00 135.23 Worker's Compensation 538.45 0.00 0.00 488,799.45 483,961.00 101.00 Unemployment Insurance 0.00 0.00 0.00 77,288.18 100,000.00 77.29 Officials-Tournaments 30.00 0.00 0.00 300.00 150.00 200.00 Officials-IHSA Sponsored 10,326.00 0.00 0.00 135,366.50 141,890.00 95.40 License & Registrations 0.00 0.00 0.00 0.00 500.00 0.00 Investigations 0.00 0.00 0.00 12,780.00 20,000.00 63.90 Health Services 563.52 0.00 0.00 9,211.93 15,000.00 61.41 Management Fees 639,162.33 0.00 0.00 4,143,096.40 6,549,340.00 63.26 Recruiting 0.00 0.00 0.00 0.00 500.00 0.00 Software Licensing 9,013.33 0.00 0.00 615,753.61 1,404,924.00 43.83 Banking/Credit Card Fees 5,418.67 0.00 0.00 52,505.88 37,000.00 141.91 --------------------------------------------------------------------------------------Total Purchased Services 1,124,722.30 0.00 0.00 11,431,549.02 17,251,443.00 66.26 Supplies & Materials Supplies-General Supplies-Testing Materials Supplies-Warehouse Supplies-Computer Supplies-Athletic Fields Supplies-Uniform Textbooks-Replacement Textbooks-Rebound Textbooks-New Adoptions Textbooks-Consumables Textbooks-Suppl Materials Supplemental Reading Materials Textbooks - Electronic Library Books Periodicals Gasoline System Software Instructional Software Equipment < $500 60,359.40 201.30 12,535.003,598.42 0.00 1,957.00 5,491.46 0.00 0.00 13,000.74 3,108.04 0.00 0.00 6,605.86 564.94 9,350.13 1,510.95 0.00 2,302.82 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 1,596,736.36 55,880.35 10,027.50127,098.38 0.00 59,883.84 206,693.87 16,066.95 3,581.82 206,299.35 591,566.24 7,735.15 5,645.59 29,700.26 42,323.94 88,944.61 102,497.16 43,893.85 44,830.17 2,736,762.00 58.34 125,000.00 44.70 1,000.00 1002.75316,044.00 40.22 5,000.00 0.00 51,800.00 115.61 84,000.00 246.06 27,200.00 59.07 276,034.00 1.30 156,684.00 131.67 129,548.00 456.64 0.00 0.00 55,000.00 10.26 31,300.00 94.89 38,402.00 110.21 110,000.00 80.86 156,334.00 65.56 104,750.00 41.90 196,350.00 22.83 Income Statement GL293 Date 04/22/14 Time 15:41 Company 10 - Educational Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Account Nbr -----------400 482-0000 484-0000 491-0000 500 541-0000 542-0000 544-0000 545-0000 546-0000 547-0000 Educational Fund 612-0000 613-0000 621-0000 641-0000 651-0000 671-0000 672-0000 673-0000 691-0000 Capital Outlay Equipment-New Equipment-Replacement Leased Equipment Computer Equipment > $500 Software Network Equipment > $500 Other Objects Lease Purchase Principle - Com Lease Payment - Copiers Interest Dues & Fees Judgements Private Facility Tuition Room and Board General Tuition Miscellaneous Objects Total Other Objects 700 Budget 1 Consolidated 18,584.94 0.00 0.00 287,161.08 506,600.00 56.68 0.00 0.00 0.00 92,054.55 85,835.00 107.25 0.00 0.00 0.00 479.40 500.00 95.88 38,087.52 0.00 0.00 721,610.59 690,784.00 104.46 0.00 0.00 0.00 124,715.51 20,125.00 619.70 0.00 0.00 0.00 0.00 749,835.00 0.00 --------------------------------------------------------------------------------------56,672.46 0.00 0.00 1,226,021.13 2,053,679.00 59.70 0.00 0.00 0.00 36,964.76 207,430.00 17.82 0.00 0.00 0.00 199,669.56 306,982.00 65.04 0.00 0.00 0.00 1,120.07 7,010.00 15.98 8,501.44 0.00 0.00 237,601.38 213,426.00 111.33 0.00 0.00 0.00 0.00 147,000.00 0.00 421,719.67 0.00 0.00 3,593,631.18 5,725,000.00 62.77 14,138.48 0.00 0.00 385,068.17 300,000.00 128.36 1,878,727.57 0.00 0.00 5,852,100.88 7,590,000.00 77.10 0.00 0.00 0.00 21,099.03 0.00 0.00 --------------------------------------------------------------------------------------2,323,087.16 0.00 0.00 10,327,255.03 14,496,848.00 71.24 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Termination Benefits Total Tuition 900 Fiscal Year 2014 5 Transfers Total Transfers 800 Page Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Supplies & Materials Parts-Transportation 0.00 0.00 0.00 6,870.60 4,500.00 152.68 Computer Related Equip < $500 0.00 0.00 0.00 5,712.70 0.00 0.00 Mat & Sup-Shipping 45.00 0.00 0.00 3,218.50 17,500.00 18.39 --------------------------------------------------------------------------------------Total Supplies & Materials 95,561.06 0.00 0.00 3,235,152.19 4,623,208.00 69.98 Total Capital Outlay 600 USD --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------14,637,562.29 0.00 0.00 113,690,426.31 171,486,812.00 66.30 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------8,850,262.120.00 0.00 19,511,544.591,458,179.00 1338.08======================================================================================= Income Statement GL293 Date 04/22/14 Time 15:41 Company 20 - Operations & Maintenance Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated USD Page Fiscal Year 2014 Operations & Maintenance Fund Budget 6 1 Consolidated Account Nbr -----------REVENUE LOCAL 1111-0000 1112-0000 1113-0000 1122-0000 1511-0000 1910-0000 1951-0000 1960-0000 1999-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources CUR YR General Levy 116,464.90 0.00 0.00 116,464.90 6,621,031.00 1.76 First PR YR General Levy 63,161.320.00 0.00 6,425,744.36 6,471,731.00 99.29 Other PR YR General Levies 0.00 0.00 0.00 1,062.22 0.00 0.00 First PR YR Tort Immunity Levy 0.00 0.00 0.00 359.24 0.00 0.00 Interest on Investments .67 0.00 0.00 106.58 500.00 21.32 Building Rental 3,970.00 0.00 0.00 58,671.42 85,000.00 69.03 Refund of PR YRs' Expenditiure 0.00 0.00 0.00 0.00 15,000.00 0.00 Surplus from TIF Funds 0.00 0.00 0.00 2,971,339.73 2,737,710.00 108.53 Other Revenue-General 0.00 0.00 0.00 4,609.42 10,000.00 46.09 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 57,274.25 0.00 0.00 9,578,357.87 15,940,972.00 60.09 STATE Revenue from State Sources Total Revenue from State Sourc FEDERAL --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Revenue from Federal Sources Total Revenue from Federal Sou --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 OTHER SOURCE Other Financing Sources 7331-0000 7334-0000 Compensation of Loss of FA Recoveries from Vandalism Total Other Financing Sources Total Revenue EXPENSE 100 111-0000 115-0000 116-0000 117-0000 119-0000 132-0000 133-0000 Expense Salaries Certified Administrator Non-Certified Supervision/Head Non-Certified Sec/Spec Non-Certified Paras/Custodial Other 1.5 Overtime 2.0 Overtime Total Salaries 200 211-0000 218-0000 221-0000 222-0000 223-0000 224-0000 Employee Benefits Teachers Retirement (TRS) THIS Fund Employer Contributio Life Insurance Medical Insurance Dental Insurance Vision Insurance 0.00 0.00 0.00 18,737.00 60,000.00 31.23 0.00 0.00 0.00 150.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 18,887.00 60,000.00 31.48 --------------------------------------------------------------------------------------57,274.25 0.00 0.00 9,597,244.87 16,000,972.00 59.98 --------------------------------------------------------------------------------------- 11,822.16 0.00 0.00 112,286.97 153,665.00 73.07 134,965.42 0.00 0.00 1,272,499.92 1,783,247.00 71.36 2,737.42 0.00 0.00 27,171.19 36,044.00 75.38 371,829.85 0.00 0.00 3,515,064.61 5,092,340.00 69.03 5,828.36 0.00 0.00 33,509.45 200,000.00 16.75 4,089.75 0.00 0.00 25,801.78 9,780.00 263.82 1,996.40 0.00 0.00 12,897.53 1,500.00 859.84 --------------------------------------------------------------------------------------533,269.36 0.00 0.00 4,999,231.45 7,276,576.00 68.70 1,302.80 219.90 479.28 123,300.48 6,529.31 1,275.97 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 12,374.01 2,088.61 4,711.19 898,092.77 57,508.63 11,266.57 17,002.00 2,960.00 5,974.00 1,231,636.00 76,283.00 15,125.00 72.78 70.56 78.86 72.92 75.39 74.49 Income Statement GL293 Date 04/22/14 Time 15:41 Company 20 - Operations & Maintenance Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Account Nbr -----------200 225-0000 300 312-0000 313-0000 319-0000 320-0000 321-0000 322-0000 323-0000 325-0000 326-0000 328-0000 332-0000 333-0000 334-0000 341-0000 345-0000 347-0000 353-0000 361-0000 363-0000 364-0000 365-0000 366-0000 367-0000 368-0000 369-0000 371-0000 384-0000 385-0000 389-0000 397-0000 411-0000 415-0000 416-0000 417-0000 464-0000 465-0000 466-0000 481-0000 482-0000 485-0000 486-0000 Page Fiscal Year 2014 Operations & Maintenance Fund Budget 7 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Employee Benefits Disability Insurance 92.80 0.00 0.00 881.60 1,206.00 73.10 --------------------------------------------------------------------------------------Total Employee Benefits 133,200.54 0.00 0.00 986,923.38 1,350,186.00 73.10 Purchased Services Staff Development-On Site Staff Development-Off Site Other Professional & Technical Repair & Maint-Vandalism Sanitation Services Cleaning Services Repair & Maintenance Rentals Alarm System Services Rentals B&G-Schools In-District Travel Out of District Travel Professional Meetings Postage & Shipping Charges Telephone-Utilities Telephone-Cellular License & Registration Printing & Binding Repair & Maint-Equip Elec Repair & Maint-Finishing Matl Repair & Maint-Plumbing Repair & Maint-Roofing Repair & Maint-HVAC Repair & Maint-Snowplowing Repair & Maint-Athletic Fields Water/Sewer Services Worker's Compensation Unemployment Insurance Insurance-Fire-Theft-All Other Software Licensing Total Purchased Services 400 USD Supplies & Materials Supplies-General Supplies-Computer Supplies-Athletic Fields Supplies-Uniform Gasoline Natural Gas Electricity Equipment < $500 Parts-Transportation Supplies - Air Filters Supplies - Mop Heads, Towels, 0.00 0.00 0.00 64.66 0.00 0.00 0.00 0.00 0.00 1,149.00 5,000.00 22.98 66,369.33 0.00 0.00 358,297.09 541,050.00 66.22 0.00 0.00 0.00 0.00 9,000.00 0.00 11,506.78 0.00 0.00 95,424.31 138,025.00 69.14 0.00 0.00 0.00 0.00 400.00 0.00 11,182.41 0.00 0.00 203,583.04 301,500.00 67.52 5,868.05 0.00 0.00 24,137.88 16,000.00 150.86 4,340.50 0.00 0.00 32,509.87 26,300.00 123.61 0.00 0.00 0.00 0.00 250.00 0.00 0.00 0.00 0.00 0.00 125.00 0.00 0.00 0.00 0.00 51.42 500.00 10.28 0.00 0.00 0.00 0.00 250.00 0.00 0.00 0.00 0.00 54.86 750.00 7.31 0.00 0.00 0.00 0.00 2,000.00 0.00 0.00 0.00 0.00 8,700.23 13,000.00 66.92 0.00 0.00 0.00 0.00 500.00 0.00 0.00 0.00 0.00 1,269.76 125.00 1015.81 5,377.74 0.00 0.00 56,735.12 111,500.00 50.88 584.90 0.00 0.00 22,261.89 38,000.00 58.58 2,898.60 0.00 0.00 44,872.90 35,000.00 128.21 545.00 0.00 0.00 19,425.75 80,000.00 24.28 23,270.26 0.00 0.00 207,640.79 188,000.00 110.45 0.00 0.00 0.00 154,710.00 500,000.00 30.94 0.00 0.00 0.00 600.00 0.00 0.00 20,299.48 0.00 0.00 123,954.96 204,800.00 60.52 59.52 0.00 0.00 393,861.43 241,980.00 162.77 0.00 0.00 0.00 0.00 10,000.00 0.00 0.00 0.00 0.00 284,096.21 284,100.00 100.00 0.00 0.00 0.00 6,360.00 8,900.00 71.46 --------------------------------------------------------------------------------------152,302.57 0.00 0.00 2,039,761.17 2,757,055.00 73.98 29,244.42 0.00 467.00 11,362.61 318.20 228,452.22 227,307.94 734.16 0.00 0.00 1,408.20 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 362,869.32 0.00 12,886.77 15,466.44 9,297.74 510,453.19 1,559,592.31 22,106.47 40,532.15 34,510.98 44,829.75 502,678.00 3,000.00 13,250.00 17,500.00 36,000.00 466,975.00 2,128,125.00 24,172.00 26,000.00 52,075.00 68,887.00 72.19 0.00 97.26 88.38 25.83 109.31 73.28 91.45 155.89 66.27 65.08 Income Statement GL293 Date 04/22/14 Time 15:41 Company 20 - Operations & Maintenance Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Account Nbr -----------400 492-0000 493-0000 494-0000 495-0000 496-0000 497-0000 498-0000 500 521-0000 531-0000 541-0000 542-0000 545-0000 Operations & Maintenance Fund 612-0000 613-0000 621-0000 641-0000 Capital Outlay Buildings Improvements Other than Buildi Equipment-New Equipment-Replacement Computer Equipment > $500 Other Objects Lease Purchase Principle - Com Lease Payment - Copiers Interest Dues & Fees Total Other Objects 700 Budget 1 Consolidated 13,905.00 0.00 0.00 256,068.95 30,000.00 853.56 2,950.00 0.00 0.00 119,811.99 298,398.00 40.15 844.99 0.00 0.00 120,412.11 330,350.00 36.45 10,061.20 0.00 0.00 125,873.93 38,045.00 330.86 0.00 0.00 0.00 729.99 7,500.00 9.73 --------------------------------------------------------------------------------------27,761.19 0.00 0.00 622,896.97 704,293.00 88.44 0.00 0.00 0.00 0.00 413,731.00 0.00 0.00 0.00 0.00 1,721.49 3,500.00 49.19 0.00 0.00 0.00 0.00 76,882.00 0.00 0.00 0.00 0.00 644.00 1,800.00 35.78 --------------------------------------------------------------------------------------0.00 0.00 0.00 2,365.49 495,913.00 .48 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Termination Benefits Total Tuition 900 Fiscal Year 2014 8 Transfers Total Transfers 800 Page Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Supplies & Materials Supplies-Life Safety 0.00 0.00 0.00 57,518.89 65,500.00 87.82 Supplies-Equip Elec 2,998.20 0.00 0.00 21,933.80 35,000.00 62.67 Supplies-Finishing Matl 1,336.36 0.00 0.00 25,792.78 12,000.00 214.94 Supplies-Plumbing 5,307.70 0.00 0.00 34,300.28 45,000.00 76.22 Supplies-Roofing 0.00 0.00 0.00 1,217.14 500.00 243.43 Supplies-HVAC 6,038.37 0.00 0.00 90,194.98 155,000.00 58.19 Supplies-Bagged Salt 10,654.56 0.00 0.00 103,670.18 75,500.00 137.31 --------------------------------------------------------------------------------------Total Supplies & Materials 525,629.94 0.00 0.00 2,947,173.17 3,727,162.00 79.07 Total Capital Outlay 600 USD --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------1,372,163.60 0.00 0.00 11,598,351.63 16,311,185.00 71.11 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------1,314,889.350.00 0.00 2,001,106.76310,213.00- 645.08 ======================================================================================= Income Statement GL293 Date 04/22/14 Time 15:41 Company 30 - Bond & Interest Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Bond & Interest Fund USD Page Fiscal Year 2014 Budget 9 1 Consolidated Account Nbr -----------REVENUE LOCAL 1111-0000 1112-0000 1113-0000 1511-0000 1951-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources CUR YR General Levy 199,242.31 0.00 0.00 199,242.31 12,495,933.00 1.59 First PR YR General Levy 108,053.220.00 0.00 12,569,587.26 12,477,314.00 100.74 Other PR YR General Levies 0.00 0.00 0.00 1,572.36 0.00 0.00 Interest on Investments 97.30 0.00 0.00 982.35 2,000.00 49.12 Refund of PR YRs' Expenditiure 0.00 0.00 0.00 44.99 0.00 0.00 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 91,286.39 0.00 0.00 12,771,429.27 24,975,247.00 51.14 STATE Revenue from State Sources Total Revenue from State Sourc FEDERAL --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Revenue from Federal Sources Total Revenue from Federal Sou --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 OTHER SOURCE Other Financing Sources 7231-0000 7401-0000 7501-0000 Accrued Interest on Bonds Sold Trans to Debt Svc to Pay Princ Trans to Debt Svc to Pay Intre Total Other Financing Sources Total Revenue EXPENSE 100 Expense Salaries Total Salaries 200 0.00 0.00 0.00 1,941.13 0.00 0.00 0.00 0.00 0.00 0.00 621,161.00 0.00 0.00 0.00 0.00 0.00 83,892.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 1,941.13 705,053.00 .28 --------------------------------------------------------------------------------------91,286.39 0.00 0.00 12,773,370.40 25,680,300.00 49.74 --------------------------------------------------------------------------------------- --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Employee Benefits Total Employee Benefits 300 319-0000 Purchased Services Other Professional & Technical Total Purchased Services 400 0.00 0.00 0.00 6,825.00 20,000.00 34.13 --------------------------------------------------------------------------------------0.00 0.00 0.00 6,825.00 20,000.00 34.13 Supplies & Materials Total Supplies & Materials 500 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Capital Outlay Total Capital Outlay --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Income Statement GL293 Date 04/22/14 Time 15:41 Company 30 - Bond & Interest Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Bond & Interest Fund USD Page Fiscal Year 2014 Budget 10 1 Consolidated Account Nbr -----------600 611-0000 612-0000 621-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Other Objects Redemption of Principal 0.00 0.00 0.00 5,089,128.61 9,788,842.00 51.99 Lease Purchase Principle - Com 0.00 0.00 0.00 196,144.78 698,039.00 28.10 Interest 0.00 0.00 0.00 9,389,640.97 15,173,418.00 61.88 --------------------------------------------------------------------------------------Total Other Objects 0.00 0.00 0.00 14,674,914.36 25,660,299.00 57.19 700 Transfers Total Transfers 800 Termination Benefits Total Tuition 900 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------0.00 0.00 0.00 14,681,739.36 25,680,299.00 57.17 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------91,286.39 0.00 0.00 1,908,368.961.00 0.00 Large Percent of Budget 0.00 190836896.00======================================================================================= Income Statement GL293 Date 04/22/14 Time 15:41 Company 40 - Transportation Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated USD Page Fiscal Year 2014 Transportation Fund Budget 11 1 Consolidated Account Nbr -----------REVENUE LOCAL 1111-0000 1112-0000 1113-0000 1442-0000 1510-0000 1511-0000 1951-0000 1994-0000 1999-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources CUR YR General Levy 30,280.87 0.00 0.00 30,280.87 2,028,338.00 1.49 First PR YR General Levy 16,421.940.00 0.00 1,971,799.73 1,982,600.00 99.46 Other PR YR General Levies 0.00 0.00 0.00 515.19 0.00 0.00 Spec Ed Trans from other LEAs 0.00 0.00 0.00 0.00 21,000.00 0.00 Interest on Investments 0.00 0.00 0.00 .52 0.00 0.00 Interest on Investments .33 0.00 0.00 32.10 260.00 12.35 Refund of PR YRs' Expenditiure 0.00 0.00 0.00 525.00 0.00 0.00 Field Trips 2,433.16 0.00 0.00 62,096.72 150,000.00 41.40 Other Revenue-General 0.00 0.00 0.00 17,596.07 30,000.00 58.65 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 16,292.42 0.00 0.00 2,082,846.20 4,212,198.00 49.45 STATE 3500-0000 3510-0000 Revenue from State Sources Transportation-Regular Transportation-Special Ed FEDERAL 4300-0000 Revenue from Federal Sources Title I-Low Income 426,242.43 0.00 0.00 848,745.50 1,095,227.00 77.49 978,298.36 0.00 0.00 1,962,732.07 4,837,339.00 40.57 --------------------------------------------------------------------------------------Total Revenue from State Sourc 1,404,540.79 0.00 0.00 2,811,477.57 5,932,566.00 47.39 0.00 0.00 0.00 11,642.40 313,653.00 3.71 --------------------------------------------------------------------------------------Total Revenue from Federal Sou 0.00 0.00 0.00 11,642.40 313,653.00 3.71 OTHER SOURCE Other Financing Sources Total Other Financing Sources Total Revenue EXPENSE 100 115-0000 116-0000 132-0000 148-0000 149-0000 Expense Salaries Non-Certified Supervision/Head Non-Certified Sec/Spec 1.5 Overtime Extra Pay-Non-Certified Extra Pay-Certified Total Salaries 200 211-0000 218-0000 221-0000 222-0000 223-0000 224-0000 225-0000 Employee Benefits Teachers Retirement (TRS) THIS Fund Employer Contributio Life Insurance Medical Insurance Dental Insurance Vision Insurance Disability Insurance --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------1,420,833.21 0.00 0.00 4,905,966.17 10,458,417.00 46.91 --------------------------------------------------------------------------------------- 6,735.58 0.00 0.00 63,974.59 87,548.00 73.07 3,236.51 0.00 0.00 30,976.64 42,550.00 72.80 19.97 0.00 0.00 312.16 1,000.00 31.22 3,537.41 0.00 0.00 21,607.87 29,563.00 73.09 8,324.81 0.00 0.00 71,855.31 119,063.00 60.35 --------------------------------------------------------------------------------------21,854.28 0.00 0.00 188,726.57 279,724.00 67.47 43.55 53.95 34.09 1,508.87 81.72 17.28 26.26 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 242.48 299.01 323.12 12,549.99 718.52 150.40 249.47 689.00 856.00 142.00 19,565.00 955.00 200.00 638.00 35.19 34.93 227.55 64.15 75.24 75.20 39.10 Income Statement GL293 Date 04/22/14 Time 15:41 Company 40 - Transportation Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Transportation Fund USD Page Fiscal Year 2014 Budget 12 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Account Nbr Description Amount Budget Budget Amount Budget Budget ------------ ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------200 Employee Benefits --------------------------------------------------------------------------------------Total Employee Benefits 1,765.72 0.00 0.00 14,532.99 23,045.00 63.06 300 312-0000 313-0000 319-0000 321-0000 323-0000 329-0000 331-0000 333-0000 334-0000 335-0000 336-0000 339-0000 341-0000 342-0000 343-0000 347-0000 353-0000 361-0000 371-0000 389-0000 392-0000 395-0000 Purchased Services Staff Development-On Site Staff Development-Off Site Other Professional & Technical Sanitation Services Repair & Maintenance Other Property Services Pupil Transportation-General Out of District Travel Professional Meetings Pupil Transportation-Vocationa Pupil Transportation-Field Tri Other Transporation Services Postage & Shipping Charges Telephone-Local Telephone-Security Telephone-Cellular License & Registration Printing & Binding Water/Sewer Services Insurance-Fire-Theft-All Other License & Registrations Management Fees Total Purchased Services 400 411-0000 462-0000 464-0000 465-0000 482-0000 Supplies & Materials Supplies-General Oil Gasoline Natural Gas Parts-Transportation Total Supplies & Materials 500 541-0000 542-0000 545-0000 Capital Outlay Equipment-New Equipment-Replacement Computer Equipment > $500 Total Capital Outlay 600 611-0000 621-0000 Other Objects Redemption of Principal Interest Total Other Objects 0.00 0.00 0.00 64.66 0.00 0.00 0.00 0.00 0.00 0.00 2,000.00 0.00 0.00 0.00 0.00 38,945.00 0.00 0.00 3,751.40 0.00 0.00 11,050.89 9,000.00 122.79 7,432.44 0.00 0.00 26,793.57 70,000.00 38.28 712.50 0.00 0.00 4,837.50 9,000.00 53.75 72,972.48 0.00 0.00 380,610.90 320,000.00 118.94 0.00 0.00 0.00 2,488.99 2,500.00 99.56 0.00 0.00 0.00 0.00 1,500.00 0.00 0.00 0.00 0.00 0.00 200.00 0.00 0.00 0.00 0.00 231,932.00 315,000.00 73.63 0.00 0.00 0.00 11,642.40 0.00 0.00 0.00 0.00 0.00 4,300.00 5,000.00 86.00 0.00 0.00 0.00 3,863.29 5,000.00 77.27 0.00 0.00 0.00 0.00 750.00 0.00 0.00 0.00 0.00 1,281.17 2,000.00 64.06 0.00 0.00 0.00 1,720.00 0.00 0.00 0.00 0.00 0.00 0.00 2,000.00 0.00 461.24 0.00 0.00 2,391.83 3,200.00 74.74 0.00 0.00 0.00 284,096.21 284,100.00 100.00 2,101.20 0.00 0.00 9,759.50 12,000.00 81.33 0.00 0.00 0.00 4,516,158.48 7,488,700.00 60.31 --------------------------------------------------------------------------------------87,431.26 0.00 0.00 5,531,936.39 8,531,950.00 64.84 0.00 0.00 0.00 8,608.17 4,500.00 191.29 8,051.59 0.00 0.00 27,770.47 45,000.00 61.71 216,543.76 0.00 0.00 849,170.09 1,295,400.00 65.55 7,049.97 0.00 0.00 12,992.37 9,250.00 140.46 0.00 0.00 0.00 223,233.39 300,000.00 74.41 --------------------------------------------------------------------------------------231,645.32 0.00 0.00 1,121,774.49 1,654,150.00 67.82 0.00 0.00 0.00 58,250.27 40,000.00 145.63 0.00 0.00 0.00 12,472.73 2,925.00 426.42 0.00 0.00 0.00 0.00 575.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 70,723.00 43,500.00 162.58 0.00 0.00 0.00 0.00 290,140.00 0.00 0.00 0.00 0.00 0.00 16,495.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 306,635.00 0.00 Income Statement GL293 Date 04/22/14 Time 15:41 Company 40 - Transportation Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Transportation Fund USD Page Fiscal Year 2014 Budget 13 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Account Nbr Description Amount Budget Budget Amount Budget Budget ------------ ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------600 Other Objects 700 Transfers Total Transfers 800 Termination Benefits Total Tuition 900 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------342,696.58 0.00 0.00 6,927,693.44 10,839,004.00 63.91 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------1,078,136.63 0.00 0.00 2,021,727.27380,587.00- 531.21 ======================================================================================= Income Statement GL293 Date 04/22/14 Time 15:41 Company 50 - Municipal Retirement Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Municipal Retirement Fund USD Page Fiscal Year 2014 Budget 14 1 Consolidated Account Nbr -----------REVENUE LOCAL 1111-0000 1112-0000 1113-0000 1153-0000 1511-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources CUR YR General Levy 17,469.74 0.00 0.00 17,469.74 1,163,872.00 1.50 First PR YR General Levy 9,474.200.00 0.00 1,128,462.22 1,137,628.00 99.19 Other PR YR General Levies 0.00 0.00 0.00 227.86 0.00 0.00 Other PR YR Soc Sec/Medicare L 0.00 0.00 0.00 256.54 0.00 0.00 Interest on Investments .30 0.00 0.00 40.22 180.00 22.34 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 7,995.84 0.00 0.00 1,146,456.58 2,301,680.00 49.81 STATE Revenue from State Sources Total Revenue from State Sourc FEDERAL --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Revenue from Federal Sources Total Revenue from Federal Sou --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 OTHER SOURCE Other Financing Sources Total Other Financing Sources Total Revenue EXPENSE 100 Expense Salaries Total Salaries 200 212-0000 Employee Benefits Municipal Retirement (IMRF) Total Employee Benefits 300 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Capital Outlay Total Capital Outlay 600 225,395.15 0.00 0.00 1,998,544.48 2,765,920.00 72.26 --------------------------------------------------------------------------------------225,395.15 0.00 0.00 1,998,544.48 2,765,920.00 72.26 Supplies & Materials Total Supplies & Materials 500 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Purchased Services Total Purchased Services 400 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------7,995.84 0.00 0.00 1,146,456.58 2,301,680.00 49.81 --------------------------------------------------------------------------------------- --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Other Objects Total Other Objects --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Income Statement GL293 Date 04/22/14 Time 15:41 Company 50 - Municipal Retirement Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Municipal Retirement Fund USD Page Fiscal Year 2014 Budget 15 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Account Nbr Description Amount Budget Budget Amount Budget Budget ------------ ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------600 Other Objects 700 Transfers Total Transfers 800 Termination Benefits Total Tuition 900 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------225,395.15 0.00 0.00 1,998,544.48 2,765,920.00 72.26 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------217,399.310.00 0.00 852,087.90464,240.00- 183.54 ======================================================================================= Income Statement GL293 Date 04/22/14 Time 15:41 Company 51 - Social Security/Medicare Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated USD Social Security/Medicare Fund Page Fiscal Year 2014 Budget 16 1 Consolidated Account Nbr -----------REVENUE LOCAL 1151-0000 1152-0000 1231-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources CUR YR Soc Sec/Medicare Levy 20,125.14 0.00 0.00 20,125.14 1,338,507.00 1.50 First PR YR Soc Sec/Medicare L 10,914.280.00 0.00 1,299,194.93 1,308,324.00 99.30 Corporate Personal Property Re 0.00 0.00 0.00 0.00 200,000.00 0.00 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 9,210.86 0.00 0.00 1,319,320.07 2,846,831.00 46.34 STATE Revenue from State Sources Total Revenue from State Sourc FEDERAL --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Revenue from Federal Sources Total Revenue from Federal Sou --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 OTHER SOURCE Other Financing Sources Total Other Financing Sources Total Revenue EXPENSE 100 Expense Salaries Total Salaries 200 213-0000 214-0000 Employee Benefits Federal Insurance Contribution Medicare Only Total Employee Benefits 300 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Capital Outlay Total Capital Outlay 600 117,837.17 0.00 0.00 1,015,322.23 1,497,530.00 67.80 120,535.05 0.00 0.00 1,000,937.84 1,669,512.00 59.95 --------------------------------------------------------------------------------------238,372.22 0.00 0.00 2,016,260.07 3,167,042.00 63.66 Supplies & Materials Total Supplies & Materials 500 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Purchased Services Total Purchased Services 400 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------9,210.86 0.00 0.00 1,319,320.07 2,846,831.00 46.34 --------------------------------------------------------------------------------------- --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Other Objects Total Other Objects --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Income Statement GL293 Date 04/22/14 Time 15:41 Company 51 - Social Security/Medicare Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated USD Social Security/Medicare Fund Page Fiscal Year 2014 Budget 17 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Account Nbr Description Amount Budget Budget Amount Budget Budget ------------ ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------700 Transfers --------------------------------------------------------------------------------------Total Transfers 0.00 0.00 0.00 0.00 0.00 0.00 800 Termination Benefits Total Tuition 900 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------238,372.22 0.00 0.00 2,016,260.07 3,167,042.00 63.66 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------229,161.360.00 0.00 696,940.00320,211.00- 217.65 ======================================================================================= Income Statement GL293 Date 04/22/14 Time 15:41 Company 60 - Site & Construction Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Account Nbr -----------REVENUE LOCAL 1511-0000 1999-0000 STATE Site & Construction Fund Page Fiscal Year 2014 Budget 18 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources Interest on Investments 355.74 0.00 0.00 1,936.74 500.00 387.35 Other Revenue-General 0.00 0.00 0.00 697,547.45 0.00 0.00 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 355.74 0.00 0.00 699,484.19 500.00 0.00 Large Percent of Budget 0.00 139896.84 Revenue from State Sources Total Revenue from State Sourc FEDERAL USD --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Revenue from Federal Sources Total Revenue from Federal Sou --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 OTHER SOURCE Other Financing Sources 7211-0000 7321-0000 Principal on Bonds Sold Sale of Buildings & Grounds Total Other Financing Sources Total Revenue EXPENSE 100 Expense Salaries Total Salaries 200 0.00 0.00 0.00 10,023,500.00 10,000,000.00 100.24 0.00 0.00 0.00 747,015.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 10,770,515.00 10,000,000.00 107.71 --------------------------------------------------------------------------------------355.74 0.00 0.00 11,469,999.19 10,000,500.00 114.69 --------------------------------------------------------------------------------------- --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Employee Benefits Total Employee Benefits 300 319-0000 323-0000 329-0000 Purchased Services Other Professional & Technical Repair & Maintenance Other Property Services Total Purchased Services 400 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 8,188.680.00 0.00 24,588.68 100,000.00 24.59 0.00 0.00 0.00 161,316.00 117,426.00 137.38 1,750.00 0.00 0.00 7,367.00 0.00 0.00 --------------------------------------------------------------------------------------6,438.680.00 0.00 193,271.68 217,426.00 88.89 Supplies & Materials Total Supplies & Materials 500 521-0000 531-0000 541-0000 Capital Outlay Buildings Improvements Other than Buildi Equipment-New --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 4,127,632.76 4,768,441.00 86.56 0.00 0.00 0.00 31,470.00 0.00 0.00 0.00 0.00 0.00 0.00 37,389.00 0.00 --------------------------------------------------------------------------------------- Income Statement GL293 Date 04/22/14 Time 15:41 Company 60 - Site & Construction Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Site & Construction Fund USD Page Fiscal Year 2014 Budget 19 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Account Nbr Description Amount Budget Budget Amount Budget Budget ------------ ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------500 Capital Outlay Total Capital Outlay 0.00 0.00 0.00 4,159,102.76 4,805,830.00 86.54 600 Other Objects Total Other Objects 700 Transfers Total Transfers 800 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Termination Benefits Total Tuition 900 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------6,438.680.00 0.00 4,352,374.44 5,023,256.00 86.64 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------6,794.42 0.00 0.00 7,117,624.75 4,977,244.00 143.00 ======================================================================================= Income Statement GL293 Date 04/22/14 Time 15:41 Company 61 - Impact Fees Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Impact Fees Fund USD Page Fiscal Year 2014 Budget 20 1 Consolidated Account Nbr -----------REVENUE LOCAL 1930-0000 1937-0000 1939-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources Impact Fees 0.00 0.00 0.00 0.00 50,000.00 0.00 Impact Fees-Hampshire 50,000.00 0.00 0.00 220,500.00 0.00 0.00 Impact Fees-Algonquin/Carpente 0.00 0.00 0.00 317,831.03 0.00 0.00 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 50,000.00 0.00 0.00 538,331.03 50,000.00 1076.66 STATE Revenue from State Sources Total Revenue from State Sourc FEDERAL --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Revenue from Federal Sources Total Revenue from Federal Sou --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 OTHER SOURCE Other Financing Sources Total Other Financing Sources Total Revenue EXPENSE 100 Expense Salaries Total Salaries 200 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------50,000.00 0.00 0.00 538,331.03 50,000.00 1076.66 --------------------------------------------------------------------------------------- --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Employee Benefits Total Employee Benefits 300 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Purchased Services Total Purchased Services 400 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Supplies & Materials Total Supplies & Materials 500 521-0000 531-0000 Capital Outlay Buildings Improvements Other than Buildi Total Capital Outlay 600 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 70,000.00 0.00 0.00 0.00 0.00 70,493.00 0.00 0.00 --------------------------------------------------------------------------------------0.00 0.00 0.00 70,493.00 70,000.00 100.70 Other Objects Total Other Objects --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Income Statement GL293 Date 04/22/14 Time 15:41 Company 61 - Impact Fees Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Impact Fees Fund USD Page Fiscal Year 2014 Budget 21 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Account Nbr Description Amount Budget Budget Amount Budget Budget ------------ ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------700 Transfers --------------------------------------------------------------------------------------Total Transfers 0.00 0.00 0.00 0.00 0.00 0.00 800 Termination Benefits Total Tuition 900 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------0.00 0.00 0.00 70,493.00 70,000.00 100.70 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------50,000.00 0.00 0.00 467,838.03 20,000.00-2339.19======================================================================================= Income Statement GL293 Date 04/22/14 Time 15:41 Company 70 - Working Capital Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Working Capital Fund USD Page Fiscal Year 2014 Budget 22 1 Consolidated Account Nbr -----------REVENUE LOCAL 1111-0000 1112-0000 1113-0000 1511-0000 Period Period Pct Of Year To Date Year To Date Pct Of Description Amount Budget Budget Amount Budget Budget ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------Revenue Revenue from Local Sources CUR YR General Levy 137.43 0.00 0.00 137.43 9,100.00 1.51 First PR YR General Levy 74.530.00 0.00 8,841.09 8,895.00 99.39 Other PR YR General Levies 0.00 0.00 0.00 1.43 0.00 0.00 Interest on Investments 1,771.49 0.00 0.00 25,887.38 19,000.00 136.25 --------------------------------------------------------------------------------------Total Revenue from Local Sourc 1,834.39 0.00 0.00 34,867.33 36,995.00 94.25 STATE Revenue from State Sources Total Revenue from State Sourc FEDERAL --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Revenue from Federal Sources Total Revenue from Federal Sou --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 OTHER SOURCE Other Financing Sources Total Other Financing Sources Total Revenue EXPENSE 100 Expense Salaries Total Salaries 200 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Other Objects Total Other Objects 700 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Capital Outlay Total Capital Outlay 600 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Supplies & Materials Total Supplies & Materials 500 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Purchased Services Total Purchased Services 400 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Employee Benefits Total Employee Benefits 300 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------1,834.39 0.00 0.00 34,867.33 36,995.00 94.25 --------------------------------------------------------------------------------------- Transfers --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Income Statement GL293 Date 04/22/14 Time 15:41 Company 70 - Working Capital Fund Income Statement For Period 9 Through 9 Ending March 31, 2014 Consolidated Working Capital Fund USD Page Fiscal Year 2014 Budget 23 1 Consolidated Period Period Pct Of Year To Date Year To Date Pct Of Account Nbr Description Amount Budget Budget Amount Budget Budget ------------ ------------------------------ ----------------- ----------------- ------ ------------------ ----------------- ------700 Transfers --------------------------------------------------------------------------------------Total Transfers 0.00 0.00 0.00 0.00 0.00 0.00 800 Termination Benefits Total Tuition 900 --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 System Accounts Total System Accounts --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 Total Expense --------------------------------------------------------------------------------------0.00 0.00 0.00 0.00 0.00 0.00 --------------------------------------------------------------------------------------- Total Net Change in Fund Balan --------------------------------------------------------------------------------------1,834.39 0.00 0.00 34,867.33 36,995.00 94.25 ======================================================================================= P-Card Reconciliation Transaction Posting Date March 2014 03/03/2014 02/21/2014 02/21/2014 02/10/2014 02/12/2014 02/11/2014 02/11/2014 02/26/2014 02/26/2014 02/27/2014 02/16/2014 02/12/2014 02/06/2014 02/06/2014 02/05/2014 02/21/2014 02/24/2014 02/23/2014 03/03/2014 02/06/2014 02/06/2014 02/20/2014 02/07/2014 02/20/2014 02/11/2014 02/28/2014 02/13/2014 02/25/2014 02/18/2014 02/12/2014 02/26/2014 02/22/2014 02/13/2014 02/05/2014 02/19/2014 02/06/2014 02/20/2014 02/20/2014 02/05/2014 02/24/2014 02/07/2014 02/10/2014 02/08/2014 02/08/2014 02/05/2014 02/20/2014 03/03/2014 02/20/2014 02/06/2014 02/08/2014 Merchant Name Transaction Amount AEROPOSTALE #361 AFFINIA MANHATTAN AFFINIA MANHATTAN AMAZON MKTPLACE PMTS AMAZON MKTPLACE PMTS AMAZON MKTPLACE PMTS AMAZON MKTPLACE PMTS Amazon.com Amazon.com Amazon.com Amazon.com Amazon.com AMERICAN AMERICAN AMERICAN AMERICAN TAXI DISPATCH ANGELO CAPUTO S FR ANGELO CAPUTO S FR ANGELO CAPUTO S FR ARLINGTON LANES ARTISIAN MARKET ATLAS PEN & PENCIL AVANTIS ITALIAN REST. AVI SEA BAR & CHOP HOU BATH & BODY WORKS 0116 BATTERIES PLUS #28 BATTERIES PLUS #28 BATTERIES PLUS #28 BATTERIES PLUS #28 BATTERIES PLUS #28 BEST BUY MHT 00003152 BEST BUY MHT 00011692 BEST BUY MHT 00011692 BEST BUY MHT 00011692 BEST BUY MHT 00011692 BIAGGI S BLACK DOG SMOKE AND A BOXWOOD TECH BRANICK INDUSTRIES INC BRUNSWICK ZONE-RANDA BUBS SUBS ALG BUCK BROS INC BURLINGTON OASIS QPS BURLINGTON OASIS QPS CENTURY TILE 19 CHAMPIONSHIP PRODUCTIO CHARLOTTE RUSSE 117 CHERRY BOWL CHIPOTLE 1035 CHIPOTLE 1035 Page 1 of 11 $20.00 $851.60 $898.68 $29.73 $6.04 $22.97 $34.99 $19.98 $117.74 $17.68 $35.42 $48.34 $25.00 $25.00 $338.00 $54.00 $13.19 $26.11 $66.95 $31.25 $11.50 $43.19 $306.25 $23.57 $305.20 $74.75 $188.23 $192.91 $219.97 $169.85 $99.98 $32.30 $30.49 $295.96 $184.95 $562.95 $75.12 $250.00 $62.46 $115.32 $25.94 $34.99 $66.72 $67.47 $392.33 $58.98 $10.00 $10.00 $107.85 $41.21 Comments STUDENT STAFF/TRAVEL STAFF/TRAVEL STAFF JACOBS/NOT SUBMITTED JACOBS/NOT SUBMITTED JACOBS/NOT SUBMITTED STAFF STAFF STUDENT STAFF JACOBS/NOT SUBMITTED STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STUDENT STUDENT STUDENT STUDENT STAFF/TRAVEL STAFF STUDENT STAFF/TRAVEL STUDENT BUILDING B&G B&G B&G BUILDING STAFF STAFF STAFF STUDENT STAFF STUDENT STUDENT STAFF STUDENT STUDENT STAFF BUILDING FUEL/DISTRICT VEHICLE FUEL/DISTRICT VEHICLE B&G STAFF STUDENT STUDENT STUDENT STUDENT P-Card Reconciliation 02/20/2014 02/18/2014 02/22/2014 02/22/2014 02/16/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/09/2014 02/18/2014 02/05/2014 02/05/2014 02/13/2014 02/11/2014 02/13/2014 02/14/2014 02/08/2014 02/08/2014 02/08/2014 02/21/2014 02/05/2014 02/08/2014 02/11/2014 02/21/2014 02/27/2014 02/12/2014 02/20/2014 03/04/2014 02/27/2014 02/06/2014 02/12/2014 02/06/2014 02/13/2014 02/13/2014 02/26/2014 02/21/2014 02/21/2014 02/13/2014 02/06/2014 02/20/2014 CIRCLE K 01301 CITY ELECTRIC SUPPLY COLONIAL CAFE #7 COLONIAL CAFE #7 CONTAINERSTORCHICAGOIL COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B COUNTRY INN & SUITES B CRISIS PREVENTION CROWN CHAUFFEURED TRAN CROWN CHAUFFEURED TRAN DOLRTREE 2008 00020081 DOLRTREE 4373 00043737 DOMINICKS PIZZERIA INC DOMINO S 2990 DOUBLETREE HOTELS DOUBLETREE HOTELS DOUBLETREE HOTELS DRURY INNS DUNDEE AUTOMOTIVE SUPP DUNKIN #310222 Q35 DUNKIN #337637 Q35 DUNKIN #347245 Q35 DUPAGE ROE PROFESSIO EDS RENTAL AND SALES EDS RENTAL AND SALES EEAI ELGIN INSTANT PRINT IN ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK ELGIN KEY AND LOCK Page 2 of 11 $76.92 $58.78 $103.32 $230.17 $86.79 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $244.16 $726.56 $99.50 $148.40 $4.00 $10.00 $227.86 $232.50 $133.28 $155.68 $155.68 $376.53 $25.98 $44.85 $14.37 $66.94 $255.00 $200.00 $30.00 $85.00 $182.00 $130.00 $93.75 $16.45 $100.04 $101.00 $118.96 $236.34 $243.29 $314.75 $364.75 $372.50 STUDENT B&G STAFF STUDENT STAFF STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STUDENT STAFF STAFF STAFF STUDENT STAFF STAFF STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL BUILDING STUDENT STUDENT STUDENT STAFF BUILDING B&G STAFF STUDENT B&G BUILDING B&G B&G B&G B&G B&G B&G B&G B&G B&G P-Card Reconciliation 03/04/2014 02/24/2014 02/05/2014 02/06/2014 02/05/2014 02/07/2014 02/21/2014 02/28/2014 02/13/2014 02/22/2014 02/18/2014 02/26/2014 02/12/2014 02/06/2014 02/05/2014 02/25/2014 02/22/2014 02/07/2014 02/07/2014 02/07/2014 03/04/2014 02/21/2014 03/02/2014 02/09/2014 02/22/2014 02/21/2014 03/03/2014 02/05/2014 02/22/2014 02/22/2014 02/12/2014 02/21/2014 03/05/2014 02/24/2014 02/21/2014 02/06/2014 02/06/2014 02/05/2014 02/27/2014 02/23/2014 02/23/2014 02/22/2014 02/22/2014 02/22/2014 02/05/2014 02/06/2014 02/06/2014 02/15/2014 02/07/2014 02/12/2014 02/11/2014 02/13/2014 03/02/2014 02/09/2014 02/19/2014 ELGIN KEY AND LOCK EPIC DELI EZZADDIN FATO S TAXI FACTORY CARD OUTLET #3 FACTORY CARD OUTLET #3 FACTORY CARD OUTLET #3 FACTORY CARD OUTLET #3 FACTORY CARD OUTLET #3 FACTORY CARD OUTLET #3 Fantasy Festival Costu FEDEXOFFICE 00005348 FEDEXOFFICE 00005348 FEDEXOFFICE 00005892 FEDEXOFFICE 00015925 FILOMENA RISTORANTE FISCHER TECHNICAL COMP FIVE GUYS-IL #1542 FLAT TOP GRILL #211 FOUR SEASONS SPORTS & FOX VALLEY FIRE AND SA FOX VALLEY FIRE AND SA FTD*TOWN & COUNTRY GAR GAMESTOP #1062 GAMESTOP #1062 GIGIS BLOSSOMS AND BAS GIORDANOS OF ROCKFORD GLITTER - SPRING HILL GNT LIMOUSINE SERVICE GNT LIMOUSINE SERVICE GNT LIMOUSINE SERVICE GORDMANS INC. STORE# 8 GREAT AMERICAN20271318 GUARDIAN CAPS GUSTAVE A LARSON COMPA GUSTAVE A LARSON COMPA H AND M LIMOUSINE SERV H AND M LIMOUSINE SERV H AND M LIMOUSINE SERV HAMPSHIRE AUTO PARTS HGI ROCKFORD HGI ROCKFORD HGI ROCKFORD HGI ROCKFORD HGI ROCKFORD HILTON COFFEE BN TEA HILTON COFFEE BN TEA HILTON HOTELS WASHNGTN HOBBY-LOBBY #0163 HOBBY-LOBBY #0163 HOBBY-LOBBY #0163 HOBBY-LOBBY #0177 HOBBY-LOBBY #520 HOT TOPIC 0032 HOT TOPIC 0032 HUMAN KINETICS INC Page 3 of 11 $316.79 $40.95 $20.50 $22.00 $77.96 $80.16 $60.88 $73.58 $21.42 $36.73 $379.98 $379.98 $19.45 $179.95 $53.00 $26.54 $67.79 $444.24 $64.00 $20.00 $80.00 $105.00 $10.00 $10.00 $56.95 $40.00 $10.00 $80.00 $80.00 $96.00 $20.78 $10.91 $60.00 $40.00 $97.42 $69.50 $58.30 $59.50 $8.89 $152.77 $164.16 $169.86 $169.86 $169.86 $10.67 $10.89 $1,133.50 $8.25 $52.85 $74.85 $32.31 $26.29 $10.00 $10.00 $175.89 BUILDING STUDENT STAFF/TRAVEL STUDENT STAFF/TRAVEL STAFF STUDENT STUDENT STAFF JACOBS/NOT SUBMITTED STAFF STAFF STAFF STUDENT BOARD/TRAVEL BUILDING STUDENT STUDENT STUDENT BUILDING BUILDING STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STUDENT STAFF/TRAVEL STUDENT B&G B&G STAFF/TRAVEL STAFF/TRAVEL STAFF BUILDING STAFF STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL BOARD/TRAVEL BOARD/TRAVEL BOARD/TRAVEL STUDENT STUDENT STUDENT STUDENT STAFF STUDENT STUDENT STUDENT P-Card Reconciliation 02/06/2014 02/06/2014 02/25/2014 02/27/2014 02/07/2014 02/19/2014 02/20/2014 03/04/2014 03/04/2014 02/15/2014 02/13/2014 02/14/2014 02/12/2014 02/26/2014 02/23/2014 02/27/2014 02/09/2014 02/07/2014 02/20/2014 02/24/2014 02/18/2014 02/06/2014 02/07/2014 02/13/2014 02/05/2014 03/01/2014 02/21/2014 02/25/2014 02/10/2014 02/20/2014 02/27/2014 02/08/2014 02/10/2014 02/19/2014 02/09/2014 02/07/2014 03/02/2014 02/21/2014 02/22/2014 03/01/2014 02/21/2014 03/04/2014 02/07/2014 02/14/2014 02/28/2014 02/25/2014 02/14/2014 02/14/2014 02/14/2014 02/21/2014 03/02/2014 02/08/2014 02/08/2014 03/01/2014 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02/13/2014 03/04/2014 02/20/2014 03/04/2014 02/26/2014 02/27/2014 02/19/2014 02/22/2014 02/12/2014 02/12/2014 02/12/2014 02/15/2014 02/21/2014 02/06/2014 02/07/2014 02/05/2014 02/13/2014 02/21/2014 02/14/2014 02/21/2014 02/22/2014 02/07/2014 02/26/2014 03/03/2014 02/08/2014 02/12/2014 03/04/2014 02/08/2014 02/14/2014 02/21/2014 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #1948 THE HOME DEPOT #6923 THE HOME DEPOT 1905 THE HOME DEPOT 1921 THE HOME DEPOT 1934 THE HOME DEPOT 1934 THE HOME DEPOT 1934 THE HOME DEPOT 1934 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 THE HOME DEPOT 1940 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PAYMENT UNC JAZZ PRESS UNITED UNITED UNITED UNITED UNITED UNITED UNITED UNIVERSITY OF ST. FRAN UNIVERSITY OF ST. FRAN UNIVERSITY OF ST. FRAN US FIRST 00 OF 00 USPS 16009601033304700 USPS 16009601033305046 USPS 16223801133305616 USPS 16223801133305616 USPS 16223801133305616 USPS 16339601433314527 VENTRA AUTOLOAD VENTRA AUTOLOAD VENTRA AUTOLOAD VENTRA AUTOLOAD VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VENTRA WEBSITE VILLAGE FRESH MARK VILLAGE SQUIRE DUNDEE WALGREENS #4258 WALGREENS #4258 WALGREENS #5284 WALGREENS #6796 WAL-MART #1377 WAL-MART #1413 WAL-MART #1413 WAL-MART #1420 WAL-MART #1420 WAL-MART #1531 WAL-MART #1531 WAL-MART #1531 WAL-MART #1531 WAL-MART #1531 WAL-MART #1531 $40.00 $40.00 $228.00 $272.29 $25.00 $554.00 $25.00 $25.00 $343.00 $25.00 $25.00 $225.00 $225.00 $225.00 $50.00 $2.17 $12.00 $8.32 $147.00 $13.66 $1.56 $30.00 $30.00 $30.00 $60.00 $30.00 $30.00 $30.00 $30.00 $30.00 $30.00 $30.00 $30.00 $30.00 $30.00 $30.00 $30.00 $30.00 $41.70 $66.24 $51.00 $1.80 $14.99 $14.37 $10.06 $73.06 $51.90 $22.92 $48.72 $53.84 $60.00 $41.79 $17.19 $24.94 $32.20 Page 9 of 11 STAFF STAFF STAFF STUDENT BOARD/TRAVEL BOARD/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STAFF/TRAVEL STAFF STAFFF STAFF STAFF STAFF BUILDING STAFF STAFF STAFF STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STAFF STUDENT STUDENT STAFF STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT P-Card Reconciliation STUDENT STUDENT STUDENT STUDENT STUDENT STAFF STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT 02/07/2014 02/18/2014 02/22/2014 03/04/2014 03/03/2014 02/12/2014 03/04/2014 02/12/2014 02/20/2014 02/17/2014 02/13/2014 02/27/2014 02/08/2014 02/17/2014 WAL-MART #1531 WAL-MART #1531 WAL-MART #1531 WAL-MART #1531 WAL-MART #1814 WAL-MART #4641 WAL-MART #4641 WAL-MART #4641 WAL-MART #4641 WAL-MART #4641 WAL-MART #4641 WAL-MART #4641 WAL-MART #4641 WAL-MART #4641 $43.60 $43.63 $67.38 $37.38 $84.32 $18.97 $64.88 $110.06 $125.56 $2.95 $17.00 $19.78 $23.68 $67.08 STUDENT 02/25/2014 WAL-MART #4641 $320.14 STUDENT 03/04/2014 WAL-MART #5060 $171.22 STUDENT 02/07/2014 WAL-MART #5060 $5.92 STUDENT 03/04/2014 02/27/2014 02/13/2014 02/25/2014 02/28/2014 02/06/2014 02/18/2014 02/12/2014 03/02/2014 03/02/2014 02/21/2014 03/02/2014 02/24/2014 02/13/2014 02/13/2014 02/08/2014 02/13/2014 02/27/2014 02/13/2014 02/19/2014 02/17/2014 02/17/2014 02/17/2014 02/17/2014 02/06/2014 02/27/2014 02/14/2014 02/06/2014 03/04/2014 02/18/2014 02/19/2014 02/06/2014 03/03/2014 03/04/2014 02/07/2014 02/27/2014 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WAL-MART #5060 WATERWISE INC WESTIN LOMBARD YORKTOW WESTIN LOMBARD YORKTOW WESTIN LOMBARD YORKTOW WESTIN LOMBARD YORKTOW WRISTCO WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER Page 10 of 11 $18.46 $7.64 $23.47 $28.89 $122.50 $254.53 $31.46 $34.85 $20.00 $25.00 $125.34 $41.11 $26.22 $15.00 $17.08 $20.38 $3.97 $4.08 $12.96 $54.25 $230.88 $230.88 $230.88 $230.88 $40.44 $5.97 $66.24 $82.38 $135.56 $15.01 $39.51 $44.73 $64.80 $64.80 $80.58 $152.37 STAFF STUDENT STUDENT STAFF STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STUDENT STAFF STUDENT STUDENT STUDENT BUILDING STUDENT STUDENT BUILDING STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STAFF/STUDENT STUDENT BUILDING BUILDING BUILDING BUILDING B&G B&G B&G B&G B&G B&G B&G P-Card Reconciliation 02/21/2014 02/21/2014 02/10/2014 02/07/2014 02/24/2014 02/14/2014 03/04/2014 02/26/2014 03/04/2014 02/25/2014 02/14/2014 02/20/2014 02/11/2014 02/07/2014 03/04/2014 02/26/2014 02/25/2014 02/11/2014 03/04/2014 02/14/2014 02/07/2014 02/27/2014 02/27/2014 02/14/2014 02/08/2014 02/28/2014 02/06/2014 02/10/2014 02/28/2014 02/28/2014 02/11/2014 02/27/2014 02/27/2014 02/12/2014 03/02/2014 WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WW GRAINGER WWWHERTZRENTALFINECOM ZIEGLER ACE HARDWARE ZIEGLER ACE HARDWARE ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-CARPNTRS ZIEGLER S ACE-ELGIN Statement Total - $183.83 $204.16 $269.12 $164.52 $67.74 $13.83 $137.42 $143.00 $650.49 $30.00 $46.98 $27.24 $4.98 $11.99 $30.57 $1.68 $5.99 $14.99 $19.73 $26.98 $28.57 $39.95 $9.88 $9.96 $12.06 $19.12 $19.98 $5.99 $10.97 $74.91 $11.08 $19.77 $54.31 $170.75 $23.99 $72,122.13 Page 11 of 11 B&G B&G B&G BUILDING B&G B&G B&G B&G B&G STAFF BUILDING B&G BUILDING BUILDING BUILDING B&G B&G B&G B&G B&G B&G BUILDING B&G BUILDING BUILDING BUILDING BUILDING BUILDING BUILDING B&G B&G B&G B&G BUILDING STUDENT
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