October 2015 - Dayspring Academy
Transcription
October 2015 - Dayspring Academy
Dayspring Academy 9732 Little Road New Port Richey, FL 34654 October 26, 2015 Agenda 1. Invocation 2. Roll Call-Proof of a Quorum 3. Proof of Notification 4. Approval of Previous Meeting Minutes – September 28, 2015 5. Approval of Agenda 6. Old Business Update 7. New Business A. King & Walker – Audit Review B. New Building Update – Creative Contractors C. Monthly Financial Overview – September 2015 8. Board Member Comments 9. Public Input 10. Adjournment: Next meeting – January 25, 2016 DAYSPRING ACADEMY MINUTES 9732 Little Road New Port Richey, FL 34654 September 28, 2015 1. Invocation: Given by Tom Buyea 2. Roll-Call-Proof of Quorum: Darren Curtis (Board Chair), Lance Watkins (Director of Operations), Christy Pagano (Board Secretary), Tom Buyea (Board Member), Paul Manuel (Board Member), Denise Doerrfeld (Board Member), Julie Rogers (Board Member), Mike Ryan (Board Member),Peter Boudreau (Board Advisor), Timothy Greenier (SS Assistant Principal), Brenda Garcia (ES Principal), and Michael Darley (Teacher). 3. Proof of Notification: Tampa Tribune (Attached) 4. Approval of Previous Minutes: Julie Rogers made a motion to approve previous minutes of August 31st, 2015; Christy Pagano seconded the motion to approve previous minutes. 7 in favor, 0 opposed. Passed. 5. Approval of Agenda: Motion was made to add the Administrative Report into New Business: Julie Rogers made a motion to approve the September28, 2015 agenda; Denise Doerrfeld seconded the motion. 7 in favor, 0 opposed. Passed. 6. Old Business Update: None at this time. 7. New Business A. Admin Report/Elementary Report: 1) Ms. Garcia shared that the Lion King auditions went well and rehearsals have started. Open House was a success as was the Book Fair, Meet at the Pole, 2nd grade Greek Fest, and Parent Math Night. A local librarian and the MS/HS dance performed at the Reading Celebration. Construction is going well. Author’s Tea and Odyssey of the Mind meeting will soon occur. The Walk to School will be on 10/7 at 7:30am. 2) Secondary School Report: Mr. Greenier shared that the SS is off to a great start. Open House with a mock schedule went smoothly. Many new clubs are starting; just a few are Book club, Acapella club, Robotics club, Spanish club, and Thespian club. These groups are meeting before and after school. Number of students per club range from 6-20. Production rehearsals for Aladdin have begun as has the competition between MS and HS for Gala donations with the winner earning an entire week of dress down. Upcoming field trips include: Sun Toyota, Dali museum, Washington D.C., and Busch Gardens. B. Monthly Financial Review-August 2015: Peter shared that we are waiting on the capital outlay dollars from the State. Expenses for Other Purchases Services are higher than normal due to the new cleaning crew and lawn maintenance. Future budgets will be adjusted for these expenses. Additional IPad’s and leases on technology are also a 1 Continue: Monthly Financial Review reason for numbers to be higher. A loss of $16,000 shows due to capital outlay. Overall there are no concerns and we are trending as usual. Mike Ryan made a motion to approve; Tom Buyea seconded the motion to approve previous minutes. 7 in favor, 0 opposed. Passed. C. New Building Update-Construction update: Lance discussed that the pre-construction is primarily complete. A construction entrance from Little Rd is being researched. Procurement is 50% complete. Construction on the site has begun. Water and fire lines will be started by this week. D. Technology Overview: Some technology issues occurred recently which revolved around connectivity due to updates. A new layer of security has been implemented and everything is working properly again. Mr. Darley shared a Tech Night for parents will be occurring every 4-6 weeks. The MyHomework app was replaced with the Schoology application. A tech team has now been implemented as has an IPad checkout system for students who might have forgotten their device of if their device has not been charged. Mr. Greenier discussed the new ticket system that has been implemented to track data such as IPad issues, behavior interventions, and more time for students work. This has helped to streamline processes. E. Approval of Out-of-Field Teachers: All teachers have taken required actions. (See attached list of Out-of-Field teachers) Julie Rogers made a motion to approve; Denise Doerrfeld seconded the motion to approve. 5 in favor, 0 opposed. Passed. 8. Board Member Comments –Denise Doerrfeld commented on how well done the Breaking Ceremony was. Julie Rogers commented on the success of Open House at Little Scholars while Paul Manuel commented on the video’s at Open House of the Principal and Assistant Principal. Tom Buyea asked if Little Scholars was separate from DSA and their budget, therefore the Board does not take actions to approve. Lance Watkins and Peter Boudreau confirmed this. 9. Public Input-None 10. Adjournment: Next meeting scheduled for October 26th 2015 at the Administration building. Julie Rogers made a motion to adjourn, Christy Pagano seconded the motion to adjourn, 7 approved, 0 opposed: Passed Christy Pagano, Secretary ________________________________________ Darren Curtis, President _________________________________________ 2 ! ! Construction*Schedule*Update*for*October*26,*2015*Board*Meeting* Dayspring*Academy*Elementary*School* A*copy*of*the*updated*construction*schedule*showing*the*revised*substantial*completion*will*be*distributed*to*the* board*each*month.* Update*since*start*of*construction*(9/21/15)* • • • • • Completed!perimeter!and!column!footers!on!October!4! Completed!stem!wall!for!masonry!on!October!20! Commenced!on!underground!plumbing,!electrical,!and!mechanical!for!building! Commenced!on!water,!fire,!and!sanitary!feeds!for!tie!into!existing!utilities! Received!approval!from!county!on!wet!tap!connection!for!main!water!service! Schedule*for*Week*of*October*26* • • • • Continue!and!complete!underground!plumbing,!electrical,!and!mechanical!work! Continue!main!water,!fire,!and!sanitary!connections! Lay!out!pad!for!future!backflow!preventer!and!fire!hydrant! Prep!building!pad!for!slab!pour! Schedule*for*Week*of*November*2* • • Pour!building!slab!and!commence!on!masonry!walls! Complete!most!of!the!exterior!utility!work! Week*of*November*9*–*November*23! • • Continue!masonry!walls!–!coordinate!openings!with!storefront,!windows,!mechanical!grilles! Start!focusing!on!structural!steel!erection!and!storefront/window!installation!in!early!December! LONG*TERM*ISSUES*NEEDING*TO*BE*RESOLVED* • • • • Construction!Entrance!–!We!are!still!actively!fighting!the!county!on!trying!to!get!our!construction!entrance!off! Little!Road!approved.!!Some!departments!have!been!fighting!this!due!to!proximity!of!entrance!to!Schrader! Elementary/Health!Department!and!existing!storm!inlets.! Will!need!to!keep!decision!on!parking!lot!extension!addition! Find!out!what!it!will!take!from!the!school!board!to!allow!DA!to!use!the!new!building!prior!to!completing!the! sidewalk,!utility,!and!landscaping!work! Keep!on!Duke!Energy!to!make!sure!all!fees!are!paid!upfront…this!will!allow!them!to!schedule!transformer! installation! Dayspring Academy Accrual Basis Revenue Expense Report September 2015 Sep 15 Budget % of Budget Jul - Sep 15 YTD Budget % of Budget Annual Budget % Jul-Sep vs Annual Budget Ordinary Income/Expense Income 0904-4000 Yearbook Sales 0.00 0.00 0.0% 0.00 0.00 0.0% 1,000.00 0.00% 0905-4000 Yearbook Ad Sales 0.00 0.00 0.0% 0.00 0.00 0.0% 500.00 0.00% 0906-4000Sch Picture Comm/Sls 0.00 0.00 0.0% 0.00 0.00 0.0% 2,000.00 0.00% 0907-4000 Bookfair Sales 0.00 2,500.00 0.0% 0.00 2,500.00 0.0% 5,000.00 0.00% 0909-4000 General Sales 0.00 2,167.00 0.0% 0.00 6,497.00 0.0% 26,000.00 0.00% 10,422.50 8,334.00 125.06% 41,831.50 24,994.00 167.37% 100,000.00 41.83% 0911- 4000Cls Fees(Fee Sup Prg) 1,055.00 1,667.00 63.29% 1,055.00 4,997.00 21.11% 20,000.00 5.28% 0913-4000 Field Trips 11,239.50 8,334.00 134.86% 11,344.50 28,329.00 40.05% 105,000.00 10.80% 0914-4000 Fund Raising 27,363.00 5,418.00 505.04% 32,965.00 16,238.00 203.01% 65,000.00 50.72% 0912-4000 Club Dues (Fee Supp) 0915-4000 Supply Donation 0921-9700 Teacher Lead Funds 0922-4000 Donations 0923-4000 Interest Earned 0929-4000 Other Income 315.00 2,584.00 12.19% 3,580.00 7,744.00 46.23% 31,000.00 11.55% 10,919.72 750.00 1,455.96% 10,919.72 2,250.00 485.32% 9,000.00 121.33% 0.00 1,667.00 0.0% 0.00 4,997.00 0.0% 20,000.00 0.00% 11.74 4.17 281.54% 23.48 12.47 188.29% 50.00 46.96% 2,092.75 3,333.33 62.78% 62,914.19 10,000.03 629.14% 40,000.00 157.29% 0.00 0.00 0.0% 0.00 0.00 0.0% 0.00 #DIV/0! 312,668.00 320,629.35 97.52% 938,597.00 961,887.85 97.58% 3,847,552.00 24.39% 3397-8000 Capital Outlay 35,474.00 23,000.00 154.24% 43,424.00 69,000.00 62.93% 276,000.00 15.73% 3411-Discretionary Local Effort 12,225.00 12,080.17 101.2% 36,866.00 36,240.47 101.73% 144,962.00 25.43% 9,950.00 9,022.50 110.28% 29,174.00 27,067.50 107.78% 108,270.00 26.95% 433,736.21 401,490.52 108.03% 1,212,694.39 1,202,754.32 100.83% 4,801,334.00 25.26% 433,736.21 401,490.52 108.03% 1,212,694.39 1,202,754.32 100.83% 4,801,334.00 25.26% 225,507.57 240,638.33 93.71% 618,171.08 730,055.03 84.68% 2,900,000.00 21.32% 463.50 5,833.33 7.95% 1,433.25 17,500.03 8.19% 70,000.00 2.05% 0220-FICA Taxes 16,521.99 16,667.00 99.13% 45,070.55 49,997.00 90.15% 200,000.00 22.54% 0230-Group Insurance 14,266.41 19,750.00 72.24% 80,514.21 59,250.00 135.89% 237,000.00 33.97% 2,017.42 2,333.33 86.46% 12,304.51 7,000.03 175.78% 28,000.00 43.94% 3200.Federal Grants 3300.State Sources 3411-Discretionary Millage Comp Total Income Gross Profit Expense 0100 Payroll Salaries/Wages 0210-7300 401K Retirement 0240-7900 Worker's Compensation Page 1 of 3 Dayspring Academy Accrual Basis Revenue Expense Report September 2015 Sep 15 Budget % of Budget Jul - Sep 15 YTD Budget % of Budget Annual Budget % Jul-Sep vs Annual Budget 0250-7900 Unemployment Comp 855.03 1,917.00 44.6% 1,679.47 5,747.00 29.22% 23,000.00 7.30% 0290-7300 Other Employee Bnfts -9.36 41.67 -22.46% -9.36 124.97 -7.49% 500.00 -1.87% 0310-Prof & Tech Services 7,363.00 10,000.00 73.63% 35,547.33 30,000.00 118.49% 120,000.00 29.62% 0320-7900 Ins & Bond Premium 5,853.00 6,250.00 93.65% 31,416.86 18,750.00 167.56% 75,000.00 41.89% 105.79 166.67 63.47% 419.43 499.97 83.89% 2,000.00 20.97% 0350-Outside Repair & Maint 1,976.69 2,916.67 67.77% 4,250.92 8,749.97 48.58% 35,000.00 12.15% 035X In-House Maint/Repairs 380.74 833.33 45.69% 4,307.07 2,500.03 172.28% 10,000.00 43.07% 25,988.53 16,666.67 155.93% 59,687.01 49,999.97 119.37% 200,000.00 29.84% 1,878.47 2,083.33 90.17% 6,872.45 6,250.03 109.96% 25,000.00 27.49% 915.90 1,250.00 73.27% 3,728.93 3,750.00 99.44% 15,000.00 24.86% 13,913.33 1,417.00 981.89% 30,072.41 4,247.00 708.09% 17,000.00 176.90% 900.85 2,500.00 36.03% 6,022.93 7,500.00 80.31% 30,000.00 20.08% 9,736.62 8,333.33 116.84% 12,935.04 28,334.03 45.65% 105,000.00 12.32% 0330-Travel 0360-Rentals/Leases 0370-Communications 0380-7900 Public Utilities 0390-Other Purchased Services 0393-9800 Promotions & PR 0395-9800 Field Trips 0410-7900 Natural Gas 0430-7900 Electric 0450-7800 Gasoline 0.00 0.00 0.0% 0.00 0.00 0.0% 0.00 #DIV/0! 6,467.11 5,416.67 119.39% 20,232.90 16,249.97 124.51% 65,000.00 31.13% 69.15 83.33 82.98% 275.29 250.03 110.1% 1,000.00 27.53% 1,245.01 1,250.00 99.6% 1,619.24 3,750.00 43.18% 15,000.00 10.79% 10,919.72 750.00 1,455.96% 10,919.72 2,250.00 485.32% 9,000.00 121.33% 0510-Supplies 6,799.82 4,167.00 163.18% 19,793.65 12,497.00 158.39% 50,000.00 39.59% 0520-5000 Textbooks 1,101.97 3,750.00 29.39% 42,484.38 11,250.00 377.64% 45,000.00 94.41% 0520-9800 Curriculum Intern F 2,129.68 0460-7800 Diesel Fuel 0510-9700 Teacher Clsrm Supply 3,399.68 #DIV/0! 0530 Periodicals 0.00 0.00 0.0% 0.00 0.00 0.0% 0.00 #DIV/0! 0540-7800 Oil & Grease 0.00 41.67 0.0% 490.57 124.97 392.55% 500.00 98.11% 0540-7900 Oil/Grease Plant 0.00 8.33 0.0% 69.89 25.03 279.23% 100.00 69.89% 39.98 291.67 13.71% 1,301.02 874.97 148.69% 3,500.00 37.17% 0.00 166.67 0.0% 0.00 499.97 0.0% 2,000.00 0.00% 1,834.59 2,500.00 73.38% 8,543.46 7,500.00 113.91% 30,000.00 28.48% 3,536.12 3,333.33 106.08% 4,912.11 10,000.03 49.12% 40,000.00 12.28% 0596-9800 Bookfair Expense 0.00 291.67 0.0% 0.00 874.97 0.0% 3,500.00 0.00% 0622 Audio Visual <750 0.00 20.83 0.0% 0.00 62.53 0.0% 250.00 0.00% 0550-Repair Parts 0560-7800 Tires & Tubes 0590-Other Materials & Supplies 0595-9004 Gala FR Exp 2015 0595-9800 Fundraiser Supplies 106.92 106.92 #DIV/0! Page 2 of 3 Dayspring Academy Accrual Basis Revenue Expense Report September 2015 Sep 15 % of Budget Jul - Sep 15 YTD Budget % of Budget Annual Budget 10,562.33 8,498.67 124.28% 12,637.33 25,495.97 49.57% 101,984.00 12.39% 0641-FFE > 750 0.00 83.33 0.0% 0.00 250.03 0.0% 1,000.00 0.00% 0642-FFE <750 326.74 1,666.67 19.6% 6,740.64 4,999.97 134.81% 20,000.00 33.70% 0630-7400 Construc-Bldg/Fxd Eq 0643-Comp Hardware >750 0.00 333.33 0.0% 0.00 1,000.03 0.0% 4,000.00 0.00% 0644-Comp Hardware <750 10,686.42 10,833.33 98.64% 48,151.39 32,500.03 148.16% 130,000.00 37.04% 0660-7400 Land 0680-7400 Remodel & Renovations 0691-Comp Software >750 0.00 0.00 0.0% 160.00 0.00 100.0% 0.00 #DIV/0! 3,708.81 4,166.67 89.01% 19,919.96 12,499.97 159.36% 50,000.00 39.84% 0.00 416.67 0.0% 4,649.90 1,249.97 372.0% 5,000.00 93.00% 0.00 1,333.33 0.0% 0.00 4,000.03 0.0% 16,000.00 0.00% 0710-7400 Redemption of Princ 3,538.00 3,750.00 94.35% 10,614.00 11,250.00 94.35% 45,000.00 23.59% 0720-7400 Interest 4,982.75 4,250.00 117.24% 13,304.58 12,750.00 104.35% 51,000.00 26.09% 926.84 1,666.66 55.61% 12,414.55 5,000.06 248.29% 20,000.00 62.07% 0.00 0.00 0.0% 0.00 0.00 0.0% 0.00 #DIV/0! 397,617.44 398,667.49 99.74% 1,197,165.27 1,207,460.59 99.15% 4,801,334.00 24.93% 36,118.77 2,823.03 1,279.43% 15,529.12 -4,706.27 -329.97% 0.00 36,118.77 2,823.03 1,279.43% 15,529.12 -4,706.27 -329.97% 0.00 0692-Comp Software <750 0730-Dues & Fees 0790- Misc Expenses Total Expense Net Ordinary Income Net Income Budget % Jul-Sep vs Annual Budget Page 3 of 3