SCHOOL DISTRICT BUDGET FORM * July 1, June 30, 2018

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1 Accounting Basis: Cash x Accrual Date of Amended Budget: District Name: District RCDT No: ILLINOIS STATE BOARD OF EDUCATION School Business Services Division SCHOOL DISTRICT BUDGET FORM * July, 7 - June 3, 8 (MM/DD/YY) Community Consolidated School District Balanced budget, no deficit reduction plan is required. If your FY7 AFR states that you need to do a deficit reduction plan and your FY8 budget is balanced please state the measures you took to have your budget become balanced. (Bckgrnd-Assumpt 5-6) Budget of Community Consolidated School District 46 State of Illinois, for the Fiscal Year beginning July, 7, County of Lake, and ending June 3, 8. WHEREAS the Board of Education of Community Consolidated School District 46 County of Lake, State of Illinois, caused to be prepared in tentative form a budget, and the Secretary of this Board has made the same conveniently available to public inspection for at least thirty days prior to final action thereon;, AND WHEREAS a public hearing was held as to such budget on the 7 day of September, 7, notice of said hearing was given at least thirty days prior thereto as required by law, and all other legal requirements have been complied with; NOW, THEREFORE, Be it resolved by the Board of Education of said district as follows: Section : That the fiscal year of this school district be and the same hereby is fixed and declared to be beginning July, 7 and ending June 3, 8. Section : That the following budget containing an estimate of amounts available in each Fund, separately, and expenditures from each be and the same is hereby adopted as the budget of this school district for said fiscal year. ADOPTION OF BUDGET The budget shall be approved and signed below by members of the School Board. Adopted this 7 day of September, 7 by a roll call vote of Yeas, and Nays, to wit: ** MEMBERS VOTING YEA: ** MEMBERS VOTING NAY: * Based on the 3 Illinois Administrative Code-Part and inconformity with Section 7- of the School Code. ** Type in the members who voted "YEA" nor "NAY". Actual school board member signatures are not required for electronic submission. () A certified copy of this document must be filed with the county clerk within 3 days of adoption as required by Section 8-5 of the Property Tax Code (35 ILCS /8-5). () Districts are required to submit the adopted/amended budget electronically to ISBE within 3 days of adoption or by October 3, whichever comes first. Budgets are submitted to School Finance Report (SFR): The electronic version does not require member signatures. ISBE 5-36 SB8 5/7 Community Consolidated School District 46 SDB8FORM.xlsx

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3 Page BUDGET SUMMARY Page A B C D E F G H I J K L Begin entering data on EstRev 5- and EstExp -7 tabs. () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Debt Service Transportation Municipal Capital Projects Working Cash Tort Fire Prevention Maintenance Retirement/ & Safety Social Security ESTIMATED BEGINNING FUND BALANCE July, 7,,54 4,76,83 4,639,76 597,8 53,6,888,79 3,45,93 84,84 RECEIPTS/REVENUES LOCAL SOURCES,845, 3,747,48 7,753,56,4,848,45,749 6, 44,95 59,95 FLOW-THROUGH RECEIPTS/REVENUES FROM ONE DISTRICT TO ANOTHER DISTRICT STATE SOURCES 3,374,,78,7 FEDERAL SOURCES 4,764,796 6,5 Total Direct Receipts/Revenues 8 36,984,9 3,747,48 7,753,56 3,8,48,45,749 6, 44,95 59,95 Receipts/Revenues for "On Behalf" Payments 3998,5, Total Receipts/Revenues 48,484,9 3,747,48 7,753,56 3,8,48,45,749 6, 44,95 59,95 DISBURSEMENTS/EXPENDITURES INSTRUCTION 4,95, 73,73 SUPPORT SERVICES,95,56 3,85,43 3,67,443 7,39 6,6 COMMUNITY SERVICES 3 48,365 PAYMENTS TO OTHER DISTRICTS & GOVT UNITS 4,8,876 5,57 44,666 DEBT SERVICES 5 7,66,9 PROVISION FOR CONTINGENCIES 6 Total Direct Disbursements/Expenditures 9 36,376,858 3,967,957 7,66,9 3,67,443,478,75 6,6 Disbursements/Expenditures for "On Behalf" Payments 48,5, Total Disbursements/Expenditures 47,876,858 3,967,957 7,66,9 3,67,443,478,75 6,6 Excess of Direct Receipts/Revenues Over (Under) Direct Disbursements/Expenditures 67,7 (,477) 9,66 5,975 (6,966) 6, 44,95 (76) OTHER SOURCES/USES OF FUNDS OTHER SOURCES OF FUNDS (7) PERMANENT TRANSFER FROM VARIOUS FUNDS Abolishment the Working Cash Fund 6 7 Abatement of the Working Cash Fund 6 7 Transfer of Working Cash Fund Interest 7 Transfer Among Funds 73 Transfer of Interest 74 Transfer from Capital Projects Fund to O&M Fund 75 Transfer of Excess Fire Prev & Safety Tax & Interest 3 76 Proceeds to O&M Fund Transfer of Excess Accumulated Fire Prev & Safety Bond and Int 3a Proceeds to Debt Service Fund 77 SALE OF BONDS (7) Principal on Bonds Sold 4 7 Premium on Bonds Sold 7 Accrued Interest on Bonds Sold 73 Sale or Compensation for Fixed Assets 5 73 Transfer to Debt Service to Pay Principal on Capital Leases 74 Transfer to Debt Service Fund to Pay Interest on Capital Leases 75 Transfer to Debt Service Fund to Pay Principal on Revenue Bonds 76 Transfer to Debt Service Fund to Pay Interest on Revenue Bonds 77 Transfer to Capital Projects Fund 78 ISBE Loan Proceeds 79 Other Sources Not Classified Elsewhere 799 Total Other Sources of Funds 8 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

4 Page 3 BUDGET SUMMARY Page 3 A B C D E F G H I J K L Begin entering data on EstRev 5- and EstExp -7 tabs. () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Debt Service Transportation Municipal Capital Projects Working Cash Tort Fire Prevention Maintenance Retirement/ & Safety Social Security OTHER USES OF FUNDS (8) TRANSFER TO VARIOUS OTHER FUNDS (8) Abolishment or Abatement of the Working Cash Fund 6 Transfer of Working Cash Fund Interest Transfer Among Funds Transfer of Interest 6 Transfer from Capital Projects Fund to O&M Fund Transfer of Excess Fire Prev & Safety Tax & Interest Proceeds to O&M Fund Transfer of Excess Accumulated Fire Prev & Safety Bond 3a and Int Proceeds to Debt Service Fund Taxes Pledged to Pay Principal on Capital Leases Grants/Reimbursements Pledged to Pay Principal on Capital Leases Other Revenues Pledged to Pay Principal on Capital Leases Fund Balance Transfers Pledged to Pay Principal on Capital Leases Taxes Pledged to Pay Interest on Capital Leases Grants/Reimbursements Pledged to Pay Interest on Capital Leases Other Revenues Pledged to Pay Interest on Capital Leases Fund Balance Transfers Pledged to Pay Interest on Capital Leases Taxes Pledged to Pay Principal on Revenue Bonds Grants/Reimbursements Pledged to Pay Principal on Revenue Bonds Other Revenues Pledged to Pay Principal on Revenue Bonds Fund Balance Transfers Pledged to Pay Principal on Revenue Bonds Taxes Pledged to Pay Interest on Revenue Bonds Grants/Reimbursements Pledged to Pay Interest on Revenue Bonds Other Revenues Pledged to Pay Interest on Revenue Bonds Fund Balance Transfers Pledged to Pay Interest on Revenue Bonds Taxes Transferred to Pay for Capital Projects Grants/Reimbursements Pledged to Pay for Capital Projects Other Revenues Pledged to Pay for Capital Projects Fund Balance Transfers Pledged to Pay for Capital Projects Transfer to Debt Service Fund to Pay Principal on ISBE Loans Other Uses Not Classified Elsewhere Total Other Uses of Funds 9 Total Other Sources/Uses of Fund ESTIMATED ENDING FUND BALANCE June 3, 8,69,775 3,855,76 4,73,7 648, ,5,94,79 3,9,864 83, Object Name Acct SUMMARY OF EXPENDITURES (by Major Object) () () (3) (4) (5) (6) (7) (8) (9) Educational Operations & Maintenance Debt Service Transportation Municipal Retirement/ Social Security Capital Projects Working Cash Tort Fire Prevention & Safety Total By Object Salaries 6,337,49 93,654 8,943 7,7,89 Employee Benefits 4,564,88 36,565 5,,478,75 6,85,37 Purchased Services 3,6, ,888,977,788 6,6 6,339,973 Supplies & Materials 4 94,74,7,6 65,5,34,374 Capital Outlay 5 8,5 795, 83,5 Other Objects 6,3,36 5 7,66,9 9,875,86 Non-Capitalized Equipment 7 85,, 95, Termination Benefits 8 Total Expenditures 36,376,858 3,967,957 7,66,9 3,67,443,478,75 6,6 5,83,494 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

5 Page 4 SUMMARY OF CASH TRANSACTIONS Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Maintenance Debt Service Transportation Municipal Retirement/ Social Security Capital Projects Working Cash Tort Fire Prevention & Safety BEGINNING CASH BALANCE ON HAND July, 7 7 8,864,89 4,78,7 4,773, 559,934,956,49 3,9,599 65,469 Total Direct Receipts & Other Sources 8 36,984,9 3,747,48 7,753,56 3,8,48,45,749 6, 44,95 59,95 OTHER RECEIPTS Interfund Loans Payable (Loans from Other Funds) 4 Interfund Loans Receivable (Repayment of Loans) 4 Notes and Warrants Payable 433 Other Current Assets 99 Total Other Receipts Total Direct Receipts, Other Sources, & Other Receipts 36,984,9 3,747,48 7,753,56 3,8,48,45,749 6, 44,95 59,95 Total Amount Available 45,848,38 8,6,8,56,77 3,8,48,,683,97,49 3,35,55 35,384 Total Direct Disbursements & Other Uses 9 36,376,858 3,967,957 7,66,9 3,67,443,478,75 6,6 OTHER DISBURSEMENTS Interfund Loans Receivable (Loans to Other Funds) 4 Interfund Loans Payable (Repayment of Loans) 4 Notes and Warrants Payable 433 Other Current Liabilities 499 Total Other Disbursements Total Direct Disbursements, Other Uses, & Other Disbursements 36,376,858 3,967,957 7,66,9 3,67,443,478,75 6,6 ENDING CASH BALANCE ON HAND June 3, 8 7 9,47,46 4,58,4 4,864,87 5,975 53,968,97,49 3,35,55 64,763 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

6 Page 5 ESTIMATED RECEIPTS/REVENUES Page 5 A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Capital Projects Working Cash Tort Fire Prevention Maintenance & Safety Debt Service Transportation Municipal Retirement/ Social Security RECEIPTS/REVENUES FROM LOCAL SOURCES () AD VALOREM TAXES LEVIED BY LOCAL EDUCATION AGENCY Designated Purposes Levies -,993,798 3,5,35 7,738,56,379,48 64,89 4,95 59,45 Leasing Purposes Levy 3 Special Education Purposes Levy 4 44,663 FICA and Medicare Only Levies 5 79,78 Area Vocational Construction Purposes Levy 6 Summer School Purposes Levy 7 Other Tax Levies (Describe & Itemize) 9 44,579 Total Ad Valorem Taxes Levied by District,38,46 3,5,35 7,738,56,379,48,379,49 4,95 59,45 PAYMENTS IN LIEU OF TAXES Mobile Home Privilege Tax Payments from Local Housing Authority Corporate Personal Property Replacement Taxes , 7, Other Payments in Lieu of Taxes (Describe & Itemize) 9 Total Payments in Lieu of Taxes 55, 7, TUITION 3 Regular Tuition from Pupils or Parents (In State) 3 37,5 Regular Tuition from Other Districts (In State) 3 Regular Tuition from Other Sources (In State) 33 Regular Tuition from Other Sources (Out of State) 34 Summer School Tuition from Pupils or Parents (In State) 3 3, Summer School Tuition from Other Districts (In State) 3, Summer School Tuition from Other Sources (In State) 33 Summer School Tuition from Other Sources (Out of State) 34 CTE Tuition from Pupils or Parents (In State) 33 CTE Tuition from Other Districts (In State) 33 CTE Tuition from Other Sources (In State) 333 CTE Tuition from Other Sources (Out of State) 334 Special Education Tuition from Pupils or Parents (In State) 34, Special Education Tuition from Other Districts (In State) 34 Special Education Tuition from Other Sources (In State) 343 Special Education Tuition from Other Sources (Out of State) 344 Adult Tuition from Pupils or Parents (In State) 35 Adult Tuition from Other Districts (In State) 35 Adult Tuition from Other Sources (In State) 353 Adult Tuition from Other Sources (Out of State) 354 Total Tuition 45,6 TRANSPORTATION FEES 4 Regular Transportation Fees from Pupils or Parents (In State) 4 Regular Transportation Fees from Other Districts (In State) 4 Regular Transportation Fees from Other Sources (In State) 43 Regular Transportation Fees from Co-curricular Activities (In State) 45 3, Regular Transportation Fees from Other Sources (Out of State) 46 Summer School Transportation Fees from Pupils or Parents (In State) 4 Summer School Transportation Fees from Other Districts (In State) 4 Summer School Transportation Fees from Other Sources (In State) 43 Summer School Transportation Fees from Other Sources 44 (Out of State) CTE Transportation Fees from Pupils or Parents (In State) 43 CTE Transportation Fees from Other Districts (In State) 43 CTE Transportation Fees from Other Sources (In State) 433 CTE Transportation Fees from Other Sources (Out of State) 434 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

7 Page 6 ESTIMATED RECEIPTS/REVENUES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Capital Projects Working Cash Tort Fire Prevention Maintenance & Safety Special Education Transportation Fees from Pupils or Parents 44 (In State) Special Education Transportation Fees from Other Districts (In State) 44 Special Education Transportation Fees from Other Sources (In State) 443 Special Education Transportation Fees from Other Sources 444 (Out of State) Debt Service Transportation Municipal Retirement/ Social Security Adult Transportation Fees from Pupils or Parents (In State) 45 Adult Transportation Fees from Other Districts (In State) 45 Adult Transportation Fees from Other Sources (In State) 453 Adult Transportation Fees from Other Sources (Out of State) 454 Total Transportation Fees 3, EARNINGS ON INVESTMENTS 5 Interest on Investments 5 4, 8, 5, 6,5 6,, 5 Gain or Loss on Sale of Investments 5 Total Earnings on Investments 4, 8, 5, 6,5 6,, 5 FOOD SERVICE 6 Sales to Pupils - Lunch 6 3, Sales to Pupils - Breakfast 6 Sales to Pupils - A la Carte 63 Sales to Pupils - Other (Describe & Itemize) 64 Sales to Adults 6 5, Other Food Service (Describe & Itemize) 69 Total Food Service 35, DISTRICT/SCHOOL ACTIVITY INCOME 7 Admissions - Athletic 7 Admissions - Other 79 Fees 7 7,5 Book Store Sales 73 Other District/School Activity Revenue (Describe & Itemize) 79 Total District/School Activity Income 7,5 TEXTBOOK INCOME 8 Rentals - Regular Textbooks 8,5 Rentals - Summer School Textbooks 8 Rentals - Adult/Continuing Education Textbooks 83 Rentals - Other (Describe) 89 Sales - Regular Textbooks 8 Sales - Summer School Textbooks 8 Sales - Adult/Continuing Education Textbooks 83 Sales - Other (Describe & Itemize) 89 4,5 Other (Describe & Itemize) 89 Total Textbooks 53,75 OTHER REVENUE FROM LOCAL SOURCES 9 Rentals 9 87,65 Contributions and Donations from Private Sources 9 Impact Fees from Municipal or County Governments 93 Services Provided Other Districts 94 Refund of Prior Years' Expenditures 95, Payments of Surplus Moneys from TIF Districts 96 Drivers' Education Fees 97 Proceeds from Vendors' Contracts 98 School Facility Occupation Tax Proceeds 983 Payment from Other Districts 99 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

8 Page 7 ESTIMATED RECEIPTS/REVENUES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Capital Projects Working Cash Tort Fire Prevention Maintenance & Safety Debt Service Transportation Municipal Retirement/ Social Security RECEIPTS/REVENUES FROM STATE SOURCES (3) 5 6 UNRESTRICTED GRANTS-IN-AID (3-399) General State Aid (Section 8-8.5) General State Aid Hold Harmless/Supplemental Reorganization Incentives (Accounts 35-3) Other Unrestricted Grants-In-Aid From State Sources ,87,4 (Describe & Itemize) Total Unrestricted Grants-In-Aid 9,87,4 RESTRICTED GRANTS-IN-AID (3-39) Sale of Vocational Projects 99 Other Local Fees (Describe & Itemize) 993,5 Other Local Revenues (Describe & Itemize) , 4, Total Other Revenue from Local Sources 56,5 7,65 Total Receipts/Revenues from Local Sources,845, 3,747,48 7,753,56,4,848,45,749 6, 44,95 59,95 FLOW-THROUGH RECEIPTS/REVENUES FROM ONE DISTRICT TO ANOTHER DISTRICT () Flow-Through Revenue from State Sources Flow-Through Revenue from Federal Sources Other Flow-Through Revenue (Describe & Itemize) 3 Total Flow-Through Receipts/Revenues From One District to Another District SPECIAL EDUCATION Special Education - Private Facility Tuition 3 767, Special Education - Funding for Children Requiring Sp Ed Services 35 46, Special Education - Personnel 3,4,849 Special Education - Orphanage - Individual 3 8,5 Special Education - Orphanage - Summer Individual 33 Special Education - Summer School 345 3,6 Special Education - Other (Describe & Itemize) 399 Total Special Education,75,7 CAREER AND TECHNICAL EDUCATION (CTE) CTE - Technical Education - Tech Prep 3 CTE - Secondary Program Improvement (CTEI) 3 CTE - WECEP 35 CTE - Agriculture Education 335 CTE - Instructor Practicum 34 CTE - Student Organizations 37 CTE - Other (Describe & Itemize) 399 Total Career and Technical Education BILINGUAL EDUCATION Bilingual Education - Downstate - TPI and TBE 335 4,3 Bilingual Education - Downstate - Transitional Bilingual Education 33 Total Bilingual Education 4,3 State Free Lunch & Breakfast 336, School Breakfast Initiative 3365 Driver Education 337 Adult Education (from ICCB) 34 Adult Education - Other (Describe & Itemize) 3499 TRANSPORTATION Transportation - Regular and Vocational ,76 Transportation - Special Education 35,96,4 Transportation - Other (Describe & Itemize) 3599 Total Transportation,74,8 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

9 Page 8 ESTIMATED RECEIPTS/REVENUES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Capital Projects Working Cash Tort Fire Prevention Maintenance & Safety Learning Improvement - Change Grants 36 Scientific Literacy 366 Truant Alternative/Optional Education 3695 Debt Service Transportation Municipal Retirement/ Social Security Early Childhood - Block Grant 375 8, 39,68 Reading Improvement Block Grant 375 Reading Improvement Block Grant - Reading Recovery 37 Continued Reading Improvement Block Grant 375 Continued Reading Improvement Block Grant (% Set Aside) 376 Chicago General Education Block Grant 3766 Chicago Educational Services Block Grant 3767 School Safety & Educational Improvement Block Grant 3775 Technology - Technology for Success 378 State Charter Schools 385 Extended Learning Opportunities - Summer Bridges 385 Infrastructure Improvements - Planning/Construction 39 School Infrastructure - Maintenance Projects 395 Other Restricted Revenue from State Sources (Describe & Itemize) 3999,5 Total Restricted Grants-In-Aid,5,88,78,7 Total Receipts/Revenues from State Sources 3,374,,78,7 RECEIPTS/REVENUES FROM FEDERAL SOURCES (4) UNRESTRICTED GRANTS-IN-AID RECEIVED DIRECTLY 76 Federal Impact Aid Other Unrestricted Grants-In-Aid Received Directly from the Federal Govt (Describe & Itemize) 78 Total Unrestricted Grants-In-Aid Received Directly from Fed Govt 79 RESTRICTED GRANTS-IN-AID RECEIVED DIRECTLY FROM FEDERAL Head Start Construction (Impact Aid) MAGNET Other Restricted Grants-In-Aid Received Directly from Federal Govt (Describe & Itemize) Total Restricted Grants-In-Aid Received Directly 84 from Federal Govt. 85 RESTRICTED GRANTS-IN-AID RECEIVED FROM FEDERAL TITLE VI Title VI - Innovation and Flexibility Formula 4 Title VI - SEA Projects 45 Title VI - Rural Education Initiative (REI) 47 Title VI - Other (Describe & Itemize) 499 Total Title VI FOOD SERVICE Breakfast Start-Up Expansion 4 National School Lunch Program 4 35, Special Milk Program 45 School Breakfast Program 4 75, Summer Food Service Admin/Program 45 Child and Adult Care Food Program 46 Fresh Fruit and Vegetables 44 Food Service - Other (Describe & Itemize) 499 Total Food Service 45, C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

10 Page 9 ESTIMATED RECEIPTS/REVENUES Page 9 TITLE I TITLE IV A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Capital Projects Working Cash Tort Fire Prevention Maintenance & Safety Debt Service Transportation Municipal Retirement/ Social Security Title I - Low Income 43 3, 9, Title I - Low Income - Neglected, Private 435 Title I - Comprehensive School Reform 433 Title I - Reading First 4334 Title I - Even Start 4335 Title I - Reading First SEA Funds 4337 Title I - Migrant Education 434 Title I - Other (Describe & Itemize) 4399 Total Title I 3, 9, Title IV - Safe & Drug Free Schools - Formula 44 Title IV - st Century Comm Learning Centers 44 Title IV - Other (Describe & Itemize) 4499 Total Title IV FEDERAL - SPECIAL EDUCATION Federal Special Education - Preschool Flow-Through 46 39,53 Federal Special Education - Preschool Discretionary 465 Federal Special Education - IDEA Flow Through , Federal Special Education - IDEA Room & Board 465 Federal Special Education - IDEA Discretionary 463 Federal Special Education - IDEA - Other (Describe & Itemize) 4699 Total Federal Special Education 474,53 CTE - PERKINS CTE - Perkins-Title IIIE Tech Prep 477 CTE - Other (Describe & Itemize) 4799 Total CTE - Perkins Federal - Adult Education 48 ARRA - General State Aid - Education Stabilization 485 ARRA - Title I - Low Income 485 ARRA - Title I - Neglected, Private 485 ARRA - Title I - Delinquent, Private 4853 ARRA - Title I - School Improvement (Part A) 4854 ARRA - Title I - School Improvement (Section 3g) 4855 ARRA - IDEA - Part B - Preschool 4856 ARRA - IDEA - Part B - Flow-Through 4857 ARRA - Title IID - Technology - Formula 486 ARRA - Title IID - Technology - Competitive 486 ARRA - McKinney - Vento Homeless Education 486 ARRA - Child Nutrition Equipment Assistance 4863 Impact Aid Formula Grants 4864 Impact Aid Competitive Grants 4865 Qualified Zone Academy Bond Tax Credits 4866 Qualified School Construction Bond Credits 4867 Build America Bond Tax Credits 4868 Build America Bond Interest Reimbursement 4869 ARRA - General State Aid - Other Government Services Stabilization 487 Other ARRA Funds - II 487 Other ARRA Funds - III 487 Other ARRA Funds - IV 4873 Other ARRA Funds - V 4874 ARRA - Early Childhood 4875 Other ARRA Funds - VII 4876 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

11 Page ESTIMATED RECEIPTS/REVENUES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Acct Educational Operations & Capital Projects Working Cash Tort Fire Prevention Maintenance & Safety Debt Service Transportation Municipal Retirement/ Social Security Other ARRA Funds - VIII 4877 Other ARRA Funds - IX 4878 Other ARRA Funds - X 4879 Other ARRA Funds - Ed Job Fund Program 488 Total Stimulus Programs Race to the Top Program 49 Race to the Top - Preschool Expansion Grant 49 Advanced Placement Fee/International Baccalaureate 494 Title III - Immigrant Education Program (IEP) 495 Title III - Language Inst Program - Limited English (LIPLEP) ,89 7,5 Learn & Serve America 49 McKinney Education for Homeless Children 49 Title II - Eisenhower - Professional Development Formula 493 Title II - Teacher Quality 493 9,76 Federal Charter Schools 496 Medicaid Matching Funds - Administrative Outreach 499 7, Medicaid Matching Funds - Fee-For-Service Program , Other Restricted Grants Received from Federal Government through State (Describe & Itemize) 4999 Total Restricted Grants-In-Aid Received from Federal Govt. Thru the State,764,796 6,5 TOTAL RECEIPTS/REVENUES FROM FEDERAL SOURCES 4,764,796 6,5 TOTAL DIRECT RECEIPTS/REVENUES 36,984,9 3,747,48 7,753,56 3,8,48,45,749 6, 44,95 59,95 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

12 Page ESTIMATED DISBURSEMENTS/EXPENDITURES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Funct Salaries Employee Benefits Purchased Services Supplies & Materials Capital Outlay Other Objects Non-Capitalized Equipment Termination Benefits - EDUCATIONAL FUND (ED) INSTRUCTION (ED) Regular Programs,4,33,63,7 76,5 465,35, 3, 3,83,68 Tuition Payment to Charter Schools 5 Pre-K Programs 5 8,98 6,99 5,,9 Special Education Programs (Functions - ) 3,699,49 96,3 3,6 3,355 49, 4,88,55 Special Education Programs Pre-K 5 756,87 3,38 3,5 3,585 94,4 Remedial and Supplemental Programs K- 5,573,889 73,,846,899 Remedial and Supplemental Programs Pre-K 75 Adult/Continuing Education Programs 3 CTE Programs 4 Interscholastic Programs 5 346,873 6,64 8,75 7,8 4,7 374,43 Summer School Programs 6,,69,5 5,569 Gifted Programs 65 Driver's Education Programs 7 Bilingual Programs 8,44,3 44,49,49 4,933,739,6 Truant Alternative & Optional Programs 9 Pre-K Programs - Private Tuition 9 Regular K- Programs Private Tuition 9 Special Education Programs K- Private Tuition 9 9, 9, Special Education Programs Pre-K Tuition 93 Remedial/Supplemental Programs K- Private Tuition 94 Remedial/Supplemental Programs Pre-K Private Tuition 95 Adult/Continuing Education Programs Private Tuition 96 CTE Programs Private Tuition 97 Interscholastic Programs Private Tuition 98 Summer School Programs Private Tuition 99 Gifted Programs Private Tuition 9 Bilingual Programs Private Tuition 9 Truants Alternative/Opt Ed Programs Private Tuition 9 Total Instruction 4 9,3,9 3,85,573 33, ,978 95,9 6, 4,95, SUPPORT SERVICES (ED) Support Services - Pupil Attendance & Social Work Services 99,648 98,98 5,9,68 Guidance Services Health Services 3 3,846 6,8 89, 5,5, 558,78 Psychological Services 4 335,473 5,887,7 39,6 Speech Pathology & Audiology Services 5 76,3 9,34 98,75,5 95,6 Other Support Services - Pupils (Describe & Itemize) 9 433,845 39,776,5, 477, Total Support Services - Pupil,8,84 346,95 93,75 8,, 3,47, Support Services - Instructional Staff Improvement of Instruction Services 7,4 3,93 93,83 3, 938,73 Educational Media Services 773,66,67 5 3,7 97,7 Assessment & Testing 3, 5, 5 6,5 Total Support Services - Instructional Staff,485,7 53,63 9,8 34,,99,9 Support Services - General Administration Board of Education Services 3 4,35 55, 54,5, 7,5 33,35 Executive Administration Services 3 35,3 4,98 4,,5 6, 99,53 Special Area Administration Services 33 35,43 74,956 33,,5,5 46,369 Tort Immunity Services ,47 89,47 Total Support Services - General Administration 3 599,785 7,937 39,547 7, 5,,84,79 Support Services - School Administration Office of the Principal Services 4,43,95 97,797 6,5 7,846 5,65,,749,394 Other Support Services - School Administration (Describe & Itemize) 49 Total Support Services - School Administration 4,43,95 97,797 6,5 7,846 5,65,,749,394 Support Services - Business Direction of Business Support Services 5 5,899 4,4 5,3 Fiscal Services 5 34,68 46,839 94, 4,9,5, 454,57 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7 Total

13 Page ESTIMATED DISBURSEMENTS/EXPENDITURES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Funct Salaries Employee Benefits Purchased Services Supplies & Materials Capital Outlay Other Objects Non-Capitalized Equipment Termination Benefits Operation & Maintenance of Plant Services 54 Pupil Transportation Services 55 Food Services 56 3,9 7,84 65, 6,5,, 77,66 Internal Services 57 93,5 58, 5,5 Total Support Services - Business 5 46,79 79,54 937,45 69,4, 4,6,,563,3 Support Services - Central Direction of Central Support Services 6 Planning, Research, Development & Evaluation Services 6 Information Services 63 Staff Services 64, 5,66, 7,66 Data Processing Services 66 54,87 8,455 8, 3, 7,5, 8,4 Total Support Services - Central 6 54,87 3,7 9, 3, 7,5, 99,58 Other Support Services (Describe & Itemize) 9 Total Support Services 7,3,59,379,7,936,5 56,446 8,5 5,6 3,,95,56 COMMUNITY SERVICES (ED) 3, 46, ,365 PAYMENTS TO OTHER DIST & GOVT UNITS (ED) 4 Payments to Other Dist & Govt Units (In-State) Payments for Regular Programs 4 Payments for Special Education Programs 4 Payments for Adult/Continuing Education Programs 43 Payments for CTE Programs 44 Payments for Community College Programs 47 Other Payments to In-State Govt Units (Describe & Itemize) 49 Total Payments to Other Dist & Govt Units (In-State) 4 Payments for Regular Programs - Tuition 4,5,5 Payments for Special Education Programs - Tuition 4,7,376,7,376 Payments for Adult/Continuing Education Programs - Tuition 43 Payments for CTE Programs - Tuition 44 Payments for Community College Programs - Tuition 47 Payments for Other Programs - Tuition 48 Other Payments to In-State Govt Units (Describe & Itemize) 49 Total Payments to Other Dist & Govt Units - Tuition (In State) 4,8,876,8,876 Payments for Regular Programs - Transfers 43 Payments for Special Education Programs - Transfers 43 Payments for Adult/Continuing Ed Programs - Transfers 433 Payments for CTE Programs - Transfers 434 Payments for Community College Program - Transfers 437 Payments for Other Programs - Transfers 438 Other Payments to In-State Govt Units - Transfers (Describe & Itemize) 439 Total Payments to Other Dist & Govt Units-Transfers (In State) 43 Payments to Other Dist & Govt Units (Out of State) 44 Total Payments to Other Dist & Govt Units 4,8,876,8,876 DEBT SERVICE (ED) 5 Debt Service - Interest on Short-Term Debt Tax Anticipation Warrants 5 Tax Anticipation Notes 5 Corporate Personal Property Repl Tax Anticipated Notes 53 State Aid Anticipation Certificates 54 Other Interest on Short-Term Debt (Describe & Itemize) 55 Total Debt Service - Interest on Short-Term Debt 5 Debt Service - Interest on Long-Term Debt 5 Total Debt Service 5 PROVISION FOR CONTINGENCIES (ED) 6 Total Direct Disbursements/Expenditures 6,337,49 4,564,88,6,676 94,74 8,5,3,36 85, 36,376,858 Total 5 6 Excess (Deficiency) of Receipts/Revenues Over Disbursements/Expenditures 67,7 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

14 Page 3 ESTIMATED DISBURSEMENTS/EXPENDITURES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Funct - OPERATIONS AND MAINTENANCE FUND (O&M) SUPPORT SERVICES (O&M) Salaries Employee Benefits Purchased Services Supplies & Materials Capital Outlay Other Objects Non-Capitalized Equipment Termination Benefits Support Services - Pupil Other Support Services - Pupils (Describe & Itemize) 9 Support Services - Business Direction of Business Support Services 5 Facilities Acquisition & Construction Services 53 Operation & Maintenance of Plant Services 54 93,654 36, ,36,7,6 795, 5, 3,85,43 Pupil Transportation Services 55 Food Services 56 Total Support Services - Business 5 93,654 36, ,36,7,6 795, 5, 3,85,43 Other Support Services (Describe & Itemize) 9 Total Support Services 93,654 36, ,36,7,6 795, 5, 3,85,43 COMMUNITY SERVICES (O&M) 3 PAYMENTS TO OTHER DIST & GOVT UNITS (O&M) 4 Payments to Other Dist & Govt Units (In-State) Payments for Regular Programs 4 Payments for Special Education Programs 4 5,57 5,57 Payments for CTE Program 44 Other Payments to In-State Govt Units (Describe & Itemize) 49 Total Payments to Other Dist & Govt Units (In-State) 4 5,57 5,57 Payments to Other Dist & Govt Units (Out of State) 4 44 Total Payments to Other Dist & Govt Unit 4 5,57 5,57 DEBT SERVICE (O&M) 5 Debt Service - Interest on Short-Term Debt Tax Anticipation Warrants 5 Tax Anticipation Notes 5 Corporate Personal Prop Repl Tax Anticipated Notes 53 State Aid Anticipation Certificates 54 Other Interest on Short-Term Debt (Describe & Itemize) 55 Total Debt Service - Interest on Short-Term Debt 5 Debt Service - Interest on Long-Term Debt 5 Total Debt Service 5 PROVISION FOR CONTINGENCIES (O&M) 6 Total Direct Disbursements/Expenditures 93,654 36, ,888,7,6 795, 5, 3,967,957 Excess (Deficiency) of Receipts/Revenues Over Disbursements/Expenditures 3 - DEBT SERVICE FUND (DS) PAYMENTS TO OTHER DIST & GOVT UNITS (DS) 4 Payments to Other Dist & Govt Units (In-State) Payments for Regular Programs 4 Payments for Special Education Programs 4 Other Payments to In-State Govt Units (Describe & Itemize) 49 Total Payments to Other Dist & Govt Units (In-State) 4 DEBT SERVICE (DS) 5 Debt Service - Interest on Short-Term Debt Tax Anticipation Warrants 5 Tax Anticipation Notes 5 Corporate Personal Prop Repl Tax Anticipation Notes 53 State Aid Anticipation Certificates 54 Other Interest on Short-Term Debt (Describe & Itemize) 55 Total Debt Service - Interest On Short-Term Debt 5 Total (,477) C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

15 Page 4 ESTIMATED DISBURSEMENTS/EXPENDITURES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Funct Salaries Employee Benefits Purchased Services Supplies & Materials Capital Outlay Other Objects Non-Capitalized Equipment Termination Benefits Debt Service - Interest on Long-Term Debt 5 5,579,366 5,579,366 Debt Service - Payments of Principal on Long-Term Debt 5 53 (Lease/Purchase Principal Retired),78,394,78,394 Debt Service Other (Describe & Itemize) 54 4,4 4,4 Total Debt Service 5 7,66,9 7,66,9 PROVISION FOR CONTINGENCIES (DS) 6 Total Direct Disbursements/Expenditures 7,66,9 7,66,9 Excess (Deficiency) of Receipts/Revenues Over Disbursements/Expenditures 9, TRANSPORTATION FUND (TR) SUPPORT SERVICES (TR) Support Services - Pupils Other Support Services - Pupils (Describe & Itemize) 9 Support Services - Business Pupil Transportation Services 55 8,943 5,,977,788 65,5 3,67,443 Other Support Services (Describe & Itemize) 9 Total Support Services 8,943 5,,977,788 65,5 3,67,443 COMMUNITY SERVICES (TR) 3 PAYMENTS TO OTHER DIST & GOVT UNITS (TR) 4 Payments to Other Dist & Govt Units (In-State) Payments for Regular Program 4 Payments for Special Education Programs 4 Payments for Adult/Continuing Education Programs 43 Payments for CTE Programs 44 Payments for Community College Programs 47 Other Payments to In-State Govt Units (Describe & Itemize) 49 Total Payments to Other Dist & Govt Units (In-State) 4 Payments to Other Dist & Govt Units (Out-of-State) (Describe & Itemize) 44 Total Payments to Other Dist & Govt Units 4 DEBT SERVICE (TR) 5 Debt Service - Interest on Short-Term Debt Tax Anticipation Warrants 5 Tax Anticipation Notes 5 Corporate Personal Prop Repl Tax Anticipation Notes 53 State Aid Anticipation Certificates 54 Other Interest on Short-Term Debt (Describe and Itemize) 55 Total Debt Service - Interest On Short-Term Debt 5 Debt Service - Interest on Long-Term Debt 5 Debt Service - Payments of Principal on Long-Term Debt 5 53 (Lease/Purchase Principal Retired) Debt Service - Other (Describe and Itemize) 54 Total Debt Service 5 PROVISION FOR CONTINGENCIES (TR) 6 Total Direct Disbursements/Expenditures 8,943 5,,977,788 65,5 3,67,443 Excess (Deficiency) of Receipts/Revenues Over Disbursements/Expenditures 5, MUNICIPAL RETIREMENT/SOC SEC FUND (MR/SS) INSTRUCTION (MR/SS) Regular Program 5,79 5,79 Pre-K Programs 5 4,543 4,543 Special Education Programs (Functions -) 3,765 3,765 Special Education Programs Pre-K 5 56,38 56,38 Remedial and Supplemental Programs K- 5 99,65 99,65 Remedial and Supplemental Programs Pre-K 75 Adult/Continuing Education Programs 3 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7 Total

16 Page 5 ESTIMATED DISBURSEMENTS/EXPENDITURES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Funct Salaries Employee Benefits Purchased Services Supplies & Materials Capital Outlay Other Objects Non-Capitalized Equipment Termination Benefits CTE Programs 4 Interscholastic Programs 5 8,68 8,68 Summer School Programs 6,46,46 Gifted Programs 65 Driver's Education Programs 7 Bilingual Programs 8 35,75 35,75 Truant Alternative & Optional Programs 9 Total Instruction 73,73 73,73 SUPPORT SERVICES (MR/SS) Support Services - Pupil Attendance & Social Work Services 4,96 4,96 Guidance Services Health Services 3 6,68 6,68 Psychological Services 4 4,738 4,738 Speech Pathology & Audiology Services 5,6,6 Other Support Services - Pupils (Describe & Itemize) 9 84,877 84,877 Total Support Services - Pupil 74,995 74,995 Support Services - Instructional Staff Improvement of Instruction Services 8,8 8,8 Educational Media Services 35,756 35,756 Assessment & Testing 3 Total Support Services - Instructional Staff 63,884 63,884 Support Services - General Administration Board of Education Services 3,668,668 Executive Administration Services 3 8,54 8,54 Special Area Administrative Services 33,699,699 Claims Paid from Self Insurance Fund 36 Workers' Compensation or Workers' Occupation Disease Acts Payments 36 Unemployment Insurance Payments 363 Insurance Payments (regular or self-insurance) 364 Risk Management and Claims Services Payments 365 Judgment and Settlements 366 Educational, Inspectional, Supervisory Services Related to Loss Prevention or 367 Reduction Reciprocal Insurance Payments 368 Legal Service 369 Total Support Services - General Administration 3 33,99 33,99 Support Services - School Administration Office of the Principal Services 4 85,53 85,53 Other Support Services - School Administration (Describe & Itemize) 49 Total Support Services - School Administration 4 85,53 85,53 Support Services - Business Direction of Business Support Services 5,698,698 Fiscal Services 5 55,48 55,48 Facilities Acquisition & Construction Services 53 Operation & Maintenance of Plant Service 54 8,338 8,338 Pupil Transportation Services 55 3,963 3,963 Food Services 56 6,97 6,97 Internal Services 57 Total Support Services - Business 5 47,64 47,64 Support Services - Central Direction of Central Support Services 6 Planning, Research, Development & Evaluation Services 6 Information Services 63 Staff Services 64 Data Processing Services 66 95,854 95,854 Total Support Services - Central 6 95,854 95,854 Total C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

17 Page 6 ESTIMATED DISBURSEMENTS/EXPENDITURES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Funct Salaries Employee Benefits Purchased Services Supplies & Materials Capital Outlay Other Objects Non-Capitalized Equipment Termination Benefits Other Support Services (Describe & Itemize) 9 Total Support Services 7,39 7,39 COMMUNITY SERVICES (MR/SS) 3 PAYMENTS TO OTHER DIST & GOVT UNITS (MR/SS) 4 Payments for Regular Programs 4 Payments for Special Education Programs 4 44,666 44,666 Payments for CTE Programs 44 Total Payments to Other Dist & Govt Units 4 44,666 44,666 DEBT SERVICE (MR/SS) 5 Debt Service - Interest on Short-Term Debt Tax Anticipation Warrants 5 Tax Anticipation Notes 5 Corporate Personal Prop Repl Tax Anticipation Notes 53 State Aid Anticipation Certificates 54 Other (Describe & Itemize) 55 Total Debt Service 5 PROVISION FOR CONTINGENCIES (MR/SS) 6 Total Direct Disbursements/Expenditures,478,75,478,75 Excess (Deficiency) of Receipts/Revenues Over Disbursements/Expenditures (6,966) Total CAPITAL PROJECTS (CP) SUPPORT SERVICES (CP) Support Services - Business Facilities Acquisition & Construction Services 53 Other Support Services (Describe & Itemize) 9 Total Support Services PAYMENTS TO OTHER DIST & GOVT UNITS (CP) 4 Payments to Other Dist & Govt Units (In-State) Payments to Regular Programs 4 Payment for Special Education Programs 4 Payment for CTE Programs 44 Payments to Other Govt Units (In-State) (Describe & Itemize) 49 Total Payments to Other Districts & Govt Units 4 PROVISION FOR CONTINGENCIES (CP) 6 Total Direct Disbursements/Expenditures Excess (Deficiency) of Receipts/Revenues Over Disbursements/Expenditures 6, 7 WORKING CASH FUND (WC) 8 - TORT FUND (TF) SUPPORT SERVICES - GENERAL ADMINISTRATION Claims Paid from Self Insurance Fund 36 Workers' Compensation or Workers' Occupational Disease Act Payments 36 Unemployment Insurance Payments 363 Insurance Payments (regular or self-insurance) 364 6,6 6,6 Risk Management and Claims Services Payments 365 Judgment and Settlements 366 Educational, Inspectional, Supervisory Services Related to Loss Prevention or 367 Reduction Reciprocal Insurance Payments 368 Legal Service 369 Property Insurance (Building & Grounds) 37 Vehicle Insurance (Transportation) 37 Total Support Services - General Administration 6,6 6,6 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

18 Page 7 ESTIMATED DISBURSEMENTS/EXPENDITURES Page A B C D E F G H I J K () () (3) (4) (5) (6) (7) (8) (9) Funct Salaries Employee Benefits Purchased Services Supplies & Materials Capital Outlay Other Objects Non-Capitalized Equipment Termination Benefits PAYMENTS TO OTHER DIST & GOVT UNITS (TF) 4 Payments for Regular Programs 4 Payments for Special Education Programs 4 Total Payments to Other Dist & Govt Units 4 DEBT SERVICE (TF) 5 Debt Service - Interest on Short-Term Debt Tax Anticipation Warrants 5 Corporate Personal Property Replacement Tax Anticipation Notes 53 Other Interest or Short-Term Debt (Describe & Itemize) 55 Total Debt Service 5 PROVISION FOR CONTINGENCIES (TF) 6 Total Direct Disbursements/Expenditures 6,6 6,6 Excess (Deficiency) of Receipts/Revenues Over Disbursements/Expenditures (76) Total FIRE PREVENTION & SAFETY FUND (FP&S) SUPPORT SERVICES (FP&S) Support Services - Business Facilities Acquisition & Construction Services 53 Operation & Maintenance of Plant Service 54 Total Support Services - Business 5 Other Support Services (Describe & Itemize) 9 Total Support Services PAYMENTS TO OTHER DISTRICTS & GOVT UNITS (FP&S) 4 Payments to Regular Programs 4 Payments to Special Education Programs 4 Other Payments to In-State Govt Units (Describe & Itemize) 49 Total Payments to Other Districts & Govt Units (FPS) 4 DEBT SERVICE (FP&S) 5 Debt Service - Interest on Short-Term Debt Tax Anticipation Warrants 5 Other Interest on Short-Term Debt (Describe & Itemize) 55 Total Debt Service - Interest on Short-Term Debt 5 Debt Service - Interest on Long-Term Debt 5 Debt Service - Payments of Principal on Long-Term Debt 5 53 (Lease/Purchase Principal Retired) Total Debt Service 5 PROVISIONS FOR CONTINGENCIES (FP&S) 6 Total Direct Disbursements/Expenditures Excess (Deficiency) of Receipts/Revenues Over Disbursements/Expenditures C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

19 Page 8 Page 8 This page is provided for detailed itemizations as requested within the body of the Report C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

20 Page 9 Page 9 A B C D E F DEFICIT BUDGET SUMMARY INFORMATION - Operating Funds Only EDUCATIONAL FUND () OPERATIONS & MAINTENANCE FUND () TRANSPORTATION FUND (4) WORKING CASH FUND (7) Direct Revenues 36,984,9 3,747,48 3,8,48 44,95 43,994,978 Direct Expenditures 36,376,858 3,967,957 3,67,443 43,5,58 Difference 67,7 (,477) 5,975 44,95 48,7 Estimated Fund Balance - June 3, 8,69,775 3,855,76 648,787 3,9,864 8,35,3 The deficit reduction plan, if required, is developed using ISBE guidelines and format. Balanced budget, no deficit reduction plan is required. A deficit reduction plan is required if the local board of education adopts (or amends) the 7-8 school district budget in which the operating funds listed above result in direct revenues (line 9) being less than direct expenditures (line 9) by an amount equal to or greater than one-third (/3) of the ending fund balance (line 8). Note: The balance is determined using only the four funds listed above. That is, if the estimated ending fund balance is less than three times the deficit spending, the district must adopt and file with ISBE a deficit reduction plan to balance the shortfall within three years. The School Code, Section 7- (5 ILCS 5/7-) - If the 6-7 Annual Financial Report (AFR) reflects a deficit as defined above (page 36), then the school district shall adopt and submit a deficit reduction plan (found here on page -4) to ISBE within 3 days after acceptance of the AFR. TOTAL C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

21 Page ILLINOIS STATE BOARD OF EDUCATION SCHOOL BUSINESS SERVICES DIVISION Page District Number A B C D E F G DEFICIT REDUCTION PLAN ESTIMATED BUDGET FY ESTIMATED BEGINNING FUND BALANCE (must equal prior Ending Fund Balance) Educational Fund Operations & Maintenance Fund Transportation Fund Working Cash Fund Total,,54 4,76,83 597,8 3,45,93 7,8, RECEIPTS/REVENUES Acct LOCAL SOURCES,845, 3,747,48,4,848 44,95 8,48,49 FLOW-THROUGH RECEIPTS/REVENUES FROM ONE DISTRICT TO ANOTHER DISTRICT STATE SOURCES 3,374,,78,7 4,55,9 FEDERAL SOURCES 4,764,796 6,5,79,96 Total Receipts/Revenues 36,984,9 3,747,48 3,8,48 44,95 43,994,978 DISBURSEMENTS/EXPENDITURES Funct INSTRUCTION 4,95, 4,95, SUPPORT SERVICES,95,56 3,85,43 3,67,443 7,97,379 COMMUNITY SERVICES 3 48,365 48,365 PAYMENTS TO OTHER DISTRICTS & GOVT. UNITS 4,8,876 5,57,397,43 DEBT SERVICES 5 PROVISION FOR CONTINGENCIES 6 Total Disbursements/Expenditures 36,376,858 3,967,957 3,67,443 43,5,58 Excess of Receipts/Revenue Over/(Under) Disbursements/Expenditures 67,7 (,477) 5,975 44,95 48, OTHER SOURCES/USES OF FUNDS OTHER SOURCES OF FUNDS (7) OTHER USES OF FUNDS (8) TOTAL OTHER SOURCES/USES OF FUNDS ESTIMATED ENDING FUND BALANCE,69,775 3,855,76 648,787 3,9,864 8,35,3 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

22 Page ILLINOIS STATE BOARD OF EDUCATION SCHOOL BUSINESS SERVICES DIVISION Page A B H I J K L District Number ESTIMATED BEGINNING FUND BALANCE (must equal prior Ending Fund Balance) Educational Fund Operations & Maintenance Fund ESTIMATED BUDGET FY8-9 Transportation Fund Working Cash Fund Total,69,775 3,855,76 648,787 3,9,864 8,35, RECEIPTS/REVENUES Acct LOCAL SOURCES FLOW-THROUGH RECEIPTS/REVENUES FROM ONE DISTRICT TO ANOTHER DISTRICT STATE SOURCES 3 FEDERAL SOURCES 4 Total Receipts/Revenues DISBURSEMENTS/EXPENDITURES Funct INSTRUCTION SUPPORT SERVICES COMMUNITY SERVICES 3 PAYMENTS TO OTHER DISTRICTS & GOVT. UNITS 4 DEBT SERVICES 5 PROVISION FOR CONTINGENCIES 6 Total Disbursements/Expenditures Excess of Receipts/Revenue Over/(Under) Disbursements/Expenditures OTHER SOURCES/USES OF FUNDS OTHER SOURCES OF FUNDS (7) OTHER USES OF FUNDS (8) TOTAL OTHER SOURCES/USES OF FUNDS ESTIMATED ENDING FUND BALANCE,69,775 3,855,76 648,787 3,9,864 8,35,3 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

23 Page ILLINOIS STATE BOARD OF EDUCATION SCHOOL BUSINESS SERVICES DIVISION Page A B M N O P Q District Number ESTIMATED BEGINNING FUND BALANCE (must equal prior Ending Fund Balance) Educational Fund Operations & Maintenance Fund ESTIMATED BUDGET FY9- Transportation Fund Working Cash Fund Total,69,775 3,855,76 648,787 3,9,864 8,35, RECEIPTS/REVENUES Acct LOCAL SOURCES FLOW-THROUGH RECEIPTS/REVENUES FROM ONE DISTRICT TO ANOTHER DISTRICT STATE SOURCES 3 FEDERAL SOURCES 4 Total Receipts/Revenues DISBURSEMENTS/EXPENDITURES Funct INSTRUCTION SUPPORT SERVICES COMMUNITY SERVICES 3 PAYMENTS TO OTHER DISTRICTS & GOVT. UNITS 4 DEBT SERVICES 5 PROVISION FOR CONTINGENCIES 6 Total Disbursements/Expenditures Excess of Receipts/Revenue Over/(Under) Disbursements/Expenditures OTHER SOURCES/USES OF FUNDS OTHER SOURCES OF FUNDS (7) OTHER USES OF FUNDS (8) TOTAL OTHER SOURCES/USES OF FUNDS ESTIMATED ENDING FUND BALANCE,69,775 3,855,76 648,787 3,9,864 8,35,3 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

24 Page 3 ILLINOIS STATE BOARD OF EDUCATION SCHOOL BUSINESS SERVICES DIVISION Page 3 A B R S T U V District Number ESTIMATED BEGINNING FUND BALANCE (must equal prior Ending Fund Balance) Educational Fund Operations & Maintenance Fund ESTIMATED BUDGET FY- Transportation Fund Working Cash Fund Total,69,775 3,855,76 648,787 3,9,864 8,35, RECEIPTS/REVENUES Acct LOCAL SOURCES FLOW-THROUGH RECEIPTS/REVENUES FROM ONE DISTRICT TO ANOTHER DISTRICT STATE SOURCES 3 FEDERAL SOURCES 4 Total Receipts/Revenues DISBURSEMENTS/EXPENDITURES Funct INSTRUCTION SUPPORT SERVICES COMMUNITY SERVICES 3 PAYMENTS TO OTHER DISTRICTS & GOVT. UNITS 4 DEBT SERVICES 5 PROVISION FOR CONTINGENCIES 6 Total Disbursements/Expenditures Excess of Receipts/Revenue Over/(Under) Disbursements/Expenditures OTHER SOURCES/USES OF FUNDS OTHER SOURCES OF FUNDS (7) OTHER USES OF FUNDS (8) TOTAL OTHER SOURCES/USES OF FUNDS ESTIMATED ENDING FUND BALANCE,69,775 3,855,76 648,787 3,9,864 8,35,3 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

25 Page 4 ILLINOIS STATE BOARD OF EDUCATION SCHOOL BUSINESS SERVICES DIVISION Page District Number A B W X Y Z SUMMARY BUDGET ADDENDUM - DEFICIT REDUCTION PLAN ESTIMATED BUDGET Date of Adoption: (Enter as MM/DD/YY) 6 7 ESTIMATED BEGINNING FUND BALANCE (must equal prior Ending Fund Balance) FY7-8 FY8-9 FY9- FY- 7,8,4 8,35,3 8,35,3 8,35, RECEIPTS/REVENUES Acct LOCAL SOURCES FLOW-THROUGH RECEIPTS/REVENUES FROM ONE DISTRICT TO ANOTHER DISTRICT STATE SOURCES 3 FEDERAL SOURCES 4 Total Receipts/Revenues DISBURSEMENTS/EXPENDITURES Funct INSTRUCTION SUPPORT SERVICES COMMUNITY SERVICES 3 PAYMENTS TO OTHER DISTRICTS & GOVT. UNITS 4 DEBT SERVICES 5 PROVISION FOR CONTINGENCIES 6 Total Disbursements/Expenditures 8,48,49 4,55,9,79,96 43,994,978 4,95, 7,97,379 48,365,397,43 43,5,58 Excess of Receipts/Revenue Over/(Under) Disbursements/Expenditures 48, OTHER SOURCES/USES OF FUNDS OTHER SOURCES OF FUNDS (7) OTHER USES OF FUNDS (8) TOTAL OTHER SOURCES/USES OF FUNDS ESTIMATED ENDING FUND BALANCE 8,35,3 8,35,3 8,35,3 8,35,3 C:\Users\D46 Finance\Downloads\SDB8FORM.xlsx 9//7

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