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BUDGET CONTENTS - FUNDS Open page - USD Information - DO FIRST C033-Cost of Living C01-Certificate C034-Vocational Education C02-Levy Limits for Tax Funds C035-Gifts/Grants C04-Worksheet 1 C042-Special Liability Expense (includes Judgments) C05-Statement of Indebtedness C044-School Retirement C05a-Statement of Conditional Lease C045-Extraordinary Growth Facilities C06-General Fund C047-Special Reserve C07-Federal Funds C051-KPERS Special Retirement Contribution C08-Supplemental General C053-Contingency Reserve C010-Adult Education C055-Textbook & Student Materials Revolving C011-At Risk (4yr Old) C056-Activity Funds C012-Adult Supplemental Education C057-Tuition Reimbursement C013-At Risk (K-12) C062-Bond and Interest #1 C014-Bilingual Education C063-Bond and Interest #2 C015-Virtual Education C066-No-Fund Warrant C016-Capital Outlay C067-Special Assessment C018-Driver Training C068-Temporary Note C019-Declining Enrollment C078-COOP Special Education C022-Extraordinary School Program C080-Historical Museum C024-Food Service C082-Public Library Board (USD 446 & 500 only) C026-Professional Development C083-Public Library Board Employee Benefits (USD 446 & 500 only) C028-Parent Education Program C084-Recreation Commission C029-Summer School C086-Recreation Commission Employee Benefits & Special Liability C030-Special Education C099-Publication Budget Checks New! Codes.xlsx(Contents)

USD INFORMATION DISTRICT NAME 345 - Seaman USD # 345 (TYPE USD NUMBER ONLY) HOME COUNTY Shawnee 215,254,330 Final 2010 Assessed Valuation (All funds except General.) 198,430,107 Final 2010 General Fund Assessed Valuation 219,041,937 Final 2011 Assessed Valuation (All funds except General.) 202,120,437 Final 2011 General Fund Assessed Valuation 219,900,000 2012 Assessed Valuation (All funds except General.) 204,700,000 2012 General Fund Assessed Valuation 2012 Assessed Valuation for Bond and Interest #2 (Only use if you have a different assessed valuation for the bond and interest #2 fund.) LEAVE BLANK 2010-11 Mill Rates 2011-12 Mill Rates 2010 Taxes Levied (Official Levies from County Clerk) (In Dollars from F110 prior yr budget) General 20.000 20.000 3,978,390 Supplemental General 18.812 19.293 4,058,461 Adult Education Capital Outlay 5.769 4.128 1,244,594 Special Liability Expense School Retirement Bond and Interest #1 6.876 7.816 1,483,412 Bond and Interest #2 No Fund Warrant Special Assessment Temporary Note Historical Museum Public Library Board Public Library Brd - Emp Bnfts Recreation Commission Recreation Commission Employee Benefits Extraordinary Growth Facilities Declining Enrollment Cost of Living Enrollment data for Form 150 (Excludes Virtual) 3,575.6 Audited 9/20/10 + 2/20/11 FTE Enrollment (Not weighted enrollment and excludes 4 yr old at-risk.) 3,675.2 Audited 9/20/11 + 2/20/12 FTE Enrollment (Not weighted and excludes 4 yr old at-risk FTE.) 3,750.0 9/20/12 Est. FTE Enrollment (Exclude 4 yr old at-risk. Transfers to Table I) (Exclude FHSU Math & Science Academy) 20.0 9/20/12 Est. 4 yr old at-risk FTE Enrollment (count each student as.5 FTE) 920 9/20/12 Number of eligible students that qualify for free lunches. 700.0 Vocational Education total clock hours of students enrolled and attending on 9/20/12 50.0 Bilingual Education total clock hours of students enrolled and attending on 9/20/12 9/20/12 Est. FTE for new facilities 1,700.0 All public pupils transported or for whom transportation is being made available 9/20/12 who reside in the district 2.5 miles or more 230 Headcount of 2011-12 Non-proficient students (excluding free students) Estimated FTE of students enrolled in your district and attending Fort Hays State University (FHSU) Math & Science Academy. (Transfers to Form 150, Line 16) [Cannot be used to generate general fund weightings other than BSAPP and cannot be used for LOB authority. Districts must send BSAPP to FHSU for students enrolled in their district and attending FHSU Math & Science Academy.] 9/26/2012 10:54 AM Open Page 2

USD INFORMATION Military Provision for Form 150 (new students of military families, not enrolled on 9/20/2012 and exclude virtual) 2/20/13 Est. FTE (excludes 4yr old at risk) 2/20/13 Est. 4yr old at risk FTE (count each student as.5 FTE) 2/20/13 Est. number of students that qualify for free lunches Vocational Education total clock hours of students enrolled and attending on 2/20/2013 Bilingual Education total clock hours of students enrolled and attending on 2/20/2013 Est. 2/20/13 FTE for new facilities Est. 2/20/13 FTE of new students of military families transported or for whom transportation is being made available 2/20/13 who reside in the district 2.5 miles or more Virtual Student Provision for Form 150 (Table V) (Exclude new military students) Est. 9/20/12 FTE Virtual Students 0 Headcount of 2011-12 Non-proficient Virtual Students (includes free students) 1st Semester Virtual Students Taking Advanced Placement Courses (unduplicated hdct) 2nd Semester Virtual Students Taking Advanced Placement Courses (unduplicated hdct) Amt. (Ancillary Facilities Weighting) approved by Court of Tax Appeals (Transfers to F150 Line 13) Amt. (Declining Enrollment Weighting) approved by Court of Tax Appeals (Transfers to F150 Line 15) 84.0 Area of district in square miles 9/20/12. (Transfers to F150 Table III) Date the current LOB was authorized. (Goes to Code 01.) Percent authorized. Number of years authorized. 2nd Resolution date the LOB was authorized. (If any.) (Goes to Code 01.) Percent authorized. Number of years authorized. 3rd Resolution date the LOB was authorized. (If any.) (Goes to Code 01.) Percent authorized. Number of years authorized. Date the election was held to increase LOB authority to exceed 30%. (Goes to Code 01.) Percent authorized. (Cannot Exceed 1%) Number of years authorized. 12/8/2010 Date the Capital Outlay was authorized. (Goes to Code 02.) 8.000 Number of mills. (New resolutions 7/1/05 and after cannot exceed 8 mills.) 5 Number of years authorized. Date of Increase to a current Capital Outlay. (Goes to Code 02.) Number of additional mills. (New resolutions 7/1/05 and after cannot exceed 8 mills in combination with current resolution.) Number of years authorized (must expire same time as original Capital Outlay). Date the Adult Education was authorized. (Goes to Code 02.) Number of mills. Number of years authorized. 20,782,062 2011-12 General Fund (Final Audited Legal Max) 100% of estimated P.L. 382 (formerly P.L. 874) for 2012-13. (Exclude Extra Aid for Children on Indian Land, Low Rent Housing and Special Education.) 3.500 Delinquent tax rate to be used for the budget. (Goes to Code 01.) 9/26/2012 10:54 AM Open Page 3

USD INFORMATION Bonded Indebtedness 7/1/2010 7/1/2011 7/1/2012 (Total Principal Outstanding) General Obligation Bonds $14,300,000 $12,805,000 $10,800,000 Capital Outlay Bonds Temporary Note No-Fund Warrant Lease Purchase Principal $5,208,295 $4,536,319 $5,510,101 892,726 Estimated Motor Vehicle Property Tax* 7/1/12 to 6/30/13 14,930 Estimated Recreational Vehicle Property Tax* 7/1/12 to 6/30/13 0 Estimated In Lieu of Taxes on Industrial Bonds* 7/1/12 to 6/30/13 13,659 Estimated 16/20M Tax* 7/1/12 to 6/30/13 8.000 2012-13 Capital Outlay Mill Levy Rate to be used in this budget (Goes to Code 04.) 2012-13 Adult Ed. Mill Levy Rate to be used in this budget (Goes to Code 04.) * Amounts are available from the County Treasurer and are for all levy funds. FTE Enrollment for All Students** (For Information Purposes Only) 3,588.0 9/20/08 FTE Enrollment 3,620.0 9/20/09 FTE Enrollment (include 2/20/10 military count) 3,730.0 9/20/10 FTE Enrollment (include 2/20/11 military count) 3,775.0 9/20/11 FTE Enrollment (include 2/20/12 military count) 3,900.0 9/20/12 FTE Enrollment (Estimated) **FTE includes 9/20 enrollment used for State Aid purposes and adding the additional FTE for preschool programs, headstart, and all-day kindergarten. For example, pre-school students attending half days on September 20th would be counted at.5 FTE. Kindergarten students attending full time every day would be counted as 1.0 FTE. 400 9/20/12 Headcount Eligible for Reduced Meals (Estimated) 9/26/2012 10:54 AM Open Page 4

Budget Form USD-B CERTIFICATE TO THE CLERK OF SHAWNEE COUNTY, We, the undersigned, duly elected, qualified and acting officers of UNIFIED SCHOOL DISTRICT 345 certify that: (1) the hearing mentioned in the attached proof of publication was held; (2) after the Budget Hearing this budget was duly approved and adopted as the maximum expenditure for the various funds for the year ; and (3) the Amount(s) of 2012 Tax to be Levied are within statutory limitations. TABLE OF CONTENTS: ADOPTED BUDGET Amount of Code 2012 Tax to County Clerk's Adopted Budget 01 Expenditures be Levied Use Only WORKSHEET I 04 STATEMENT OF INDEBTEDNESS 05 FUND K.S.A. General (a) 72-6431 06 21,307,808 4,094,000 20.000(c) Supplemental General (LOB) (d) 72-6435 08 7,221,030 3,955,542 Adult Education 72-4523 10 0 0 Adult Supplemental Education 72-4525 12 5,221 Bilingual Education 72-9509 14 20,000 Virtual Education 72-3715 15 0 Capital Outlay 72-8801 16 3,369,936 1,759,200 Driver Training 72-6423 18 146,000 Extraordinary School Program 72-8238 22 0 Food Service 72-5119 24 1,897,167 Professional Development 72-9609 26 77,973 Parent Education Program 72-3607 28 50,000 Summer School 72-8237 29 83,477 Special Education 72-6420 30 6,700,000 Vocational Education 72-6421 34 1,000,000 Special Liability Expense Fund 72-8248 42 0 0 School Retirement 72-1726 44 0 0 Extraordinary Growth Facility 72-6441 45 0 0 Special Reserve Fund 72-8249 47 Federal Funds 12-1663 07 894,754 Gifts and Grants 72-8210 35 100,000 KPERS Special Retirement Contribution 74-4939a 51 2,275,323 Contingency Reserve 72-6426 53 Textbook & Student Material Revolving 72-8250 55 At Risk (4yr Old) 72-6414b 11 120,000 At Risk (K-12) 72-6414a 13 2,500,000 Cost of Living 72-6449/72-6450 33 0 0 Declining Enrollment 72-6451 19 0 0 Activity Funds 72-8208a 56 DEBT SERVICE Bond and Interest #1 10-113 62 2,343,513 1,504,429 Bond and Interest #2 10-113 63 0 0 No Fund Warrant (b) 79-2939 66 0 0 Special Assessment 12-6a10 67 0 Temporary Note 72-6761 68 0 0 (a) The amount computed on Form 150 is the limit of the Expenditures. (b) See K.S.A. 79-2939, order # dated / /. (c) The General Fund levy must be 20 mills. County clerks can't change this levy. (d) LOB Resolution dated authorizing 0.00% for 0 yrs. 2nd resolution dated authorizing 0.00% for 0 yrs. 3rd resolution dated authorizing 0.00% for 0 yrs. Date election held to exceed 30% authorizing 0.00% for 0 yrs. The resolutions/elections cannot exceed 31%. 9/26/2012 10:54 AM Code No. 01 Page 5

Budget Form USD-B CERTIFICATE TABLE OF CONTENTS: ADOPTED BUDGET Amount of Code 2012 Tax to County Clerk's Adopted Budget 01 Expenditures be Levied Use Only COOPERATIVES Special Education 72-968 78 0 Total USD 100 50,112,202 11,313,171 OTHER Historical Museum 12-1684 80 0 0 Public Library Board 72-1623a 82 0 0 Public Library Board Employees Benefits 12-16,102 83 0 0 Recreation Commission 12-1927 84 0 0 Rec Comm Emp Bnfts & Spec Liab 12-1928/75-6110 86 0 0 Total Other 105 0 0 Publication (Notice of Hearing) 99 Final Assessed Valuation Municipal Accounting Use Only Received Reviewed by Follow-up: Yes No Attest:, 2012 County Clerk Assisted by: President Clerk of the Board FINAL VALUATION County Clerk's Use Only Final Assessed Final Assessed County Valuation Valuation Bond and Interest Home General Fund* Other Funds* #1 #2 $ TOTAL $0 0 0 0 (General Fund Assessed Valuation excludes $20,000 of appraised value on residential property.) *Exclude Assessed Valuation due to neighborhood revitalization act (KSA 12-1770, et seg.). Computation of Delinquency 2010 Delinquent Tax Percentage 1.938 % Rate Used in this Budget 3.500 % for 9/26/2012 10:54 AM Code No. 01 Page 6

Budget Form USD-B Resolutions for LEVY LIMITS FOR TAX FUNDS 1. Capital Outlay*: Resolution dated 12/8/2010 authorizing 8.000 mills for 5 years. Limit 5 years. 2. Increase to Capital Outlay*: Resolution dated authorizing 0.000 mills for 0 years. Must expire same time as original resolution. 3. Adult Education: Resolution dated authorizing 0.000 mills for 0 years. Limit 5 years. 4. Historical Museum: Tax Rate authorized by a petition dated authorizing mills. 5. Public Library: Resolution dated authorizing mills. 6. Recreation Commission: Resolution dated authorizing mills. (Attach a copy of each resolution.) The USD must have a copy of the separate recreation commission budget before making this levy. * For any new resolutions 7-1-05 and after, the mill rate may not exceed 8 mills in total. 9/26/2012 10:54 AM Code No. 02

USD# 345 Budget Form USD-C WORKSHEET I (Columns (1) through (5) must match Form 110) Less Less 2011 Less FOR FISCAL YEAR Code Actual 3.500 Tax Tax 2011 Tax Motor Vehicle Recreational Amount of Estimate of 2012 04 2011 Allowance Received Refunded In Tax (includes Vehicle 2012 Tax to Taxes 1/1/2013 Line Tax Levy for Delinquency in 2011-12 in 2011-12 Process 16/20M Tax) Tax be Levied 6/30/2013 Fund (1) (2) (3) (4) (5) (6) (7) (8) (9) General 01 4,052,276 141,830 3,845,412 62 64,972 XXXXXXXXXXXXXXXXXXXXX 4,094,000 3,643,660 Supplemental General 03 4,235,495 148,242 4,017,122 60 70,071 547,881 9,025 3,955,542 3,520,432 Adult Education 05 0 0 0 0 0 0 0 0 0 Capital Outlay 10 906,242 31,718 859,518 13 14,993 150,916 2,486 1,759,200 1,565,688 Declining Enrollment 15 0 0 0 0 0 0 0 0 0 School Retirement 20 0 0 0 0 0 0 0 0 0 Special Assessment 25 0 0 0 0 0 0 0 0 0 Spec Liability Expense 30 0 0 0 0 0 0 0 0 0 Bond and Interest #1 40 1,715,888 60,056 1,627,421 24 28,387 207,588 3,420 1,504,429 1,338,942 Bond and Interest #2 45 0 0 0 0 0 0 0 0 0 Temporary Note 50 0 0 0 0 0 0 0 0 0 No-fund Warrant 55 0 0 0 0 0 0 0 0 0 Extraord Gowth Fac 57 0 0 0 0 0 0 0 0 0 Recreation Commission 60 0 0 0 0 0 0 0 0 0 Rec Comm Emp Bnfts & Spec Liab 65 0 0 0 0 0 0 0 0 0 Public Library Board 70 0 0 0 0 0 0 0 0 0 Public Lib Brd Emp Bnfts 71 0 0 0 0 0 0 0 0 0 Historical Museum 75 0 0 0 0 0 0 0 0 0 Cost of Living 78 0 0 0 0 0 0 0 0 0 TOTAL 80 10,909,901 10,349,473 159 906,385 Adult Education Computation Taxes to be Levied Assessed Valuation $219,900,000 x Adult Ed. Mill levy 0.000 = $0 Taxes to be Levied Capital Outlay Computation Taxes to be Levied Assessed Valuation $219,900,000 x Capital Outlay Mill levy 8.000 = $1,759,200 Taxes to be Levied Tax Collection Ratio for 2011 94.863 % 9/26/2012 10:54 AM Code No. 04 Page 8

USD# 345 Budget Form USD-D STATEMENT OF INDEBTEDNESS Amount Due Amount Due Date Int. Amount of Amount Date Due July-Dec. 2013 of Rate Bonds Outstanding Issue % Issued 7/1/2012 Int. Prin. Int. Prin. Int. Prin. Purpose of Debt (1) (2) (3) (4) (5) (6) (7) (8) (9) (10) Prior to July 1, 1992 Total xxxxxxx xxxxxx xxxxxxxxxxxxx 0 xxxxxxxx xxxxxxxx 0 0 0 0 After July 1, 1992 Construction 2006 Issue 7/12/2006 4.31 14,300,000 1,950,000 9/1/2012 9/1/2012 41,438 1,950,000 0 0 2011 Refunding of 2006 Issue 6/30/2011 1.85 8,990,000 8,850,000 9/1/2012 9/1/2012 111,688 130,000 2011 Refunding of 2006 Issue 6/30/2011 1.85 8,990,000 3/1/2012 110,388 2011 Refunding of 2006 Issue 6/30/2011 1.85 8,990,000 9/1/2013 9/1/2013 110,388 2,095,000 Total xxxxxxx xxxxxxx xxxxxxxxxxxxx 10,800,000 xxxxxxxx xxxxxxxx 263,514 2,080,000 110,388 2,095,000 If Bond and Interest levies are based on different assessed valuations due to territory changes, show such issues as a separate group. Use Bond and Interest #2, Code No. 63, for these issues. 9/26/2012 10:54 AM Code No. 05

USD No. 345 Budget Form USD-D1 STATEMENT OF CONDITIONAL LEASE, LEASE PURCHASE AND CERTIFICATE OF PARTICIPATION Term Total Total Date of Int.* Outright Other Amount Principal of Contract Rate Purchase Charges Financed Balance Due Payments Due Payments Due Contract (Months) % Price In Contract (Beg Principal) 7/1/2012 July - Dec 2013 Item/Service Purchased (1) (2) (3) (4) (5) (6) (7) (8) (9) HVAC Inprovements 11/24/2003 180 4.50 925,276 925,276 512,693 87,501 43,750 Computers and Tech Equip 6/15/2009 37 3.44 309,868 309,868 163,165 168,778 0 Computers and Tech Equip 6/15/2010 38 0.00 256,215 256,215 150,215 31,000 119,215 Computers and Tech Equip 7/13/2012 48 2.66 1,659,028 1,659,028 1,659,028 0 442,722 Additions and Remodel to Logan Elementary and Seaman Middle School 10/10/2007 120 4.29 4,650,000 4,650,000 3,025,000 568,058 527,093 TOTAL $7,800,387 $0 $7,800,387 $5,510,101 $855,337 $1,132,780 *If you are merely leasing/renting with no intent to purchase, do not list--such transactions are not lease-purchases. 9/26/2012 10:54 AM Code No. 05a

Code 2010-2011 2011-2012 GENERAL 06 Actual Actual Budget UNENCUMBERED CASH BALANCE JULY 1 01 234 234 0 Cancel of Prior Yr Enc 03 REVENUE: 1000 LOCAL SOURCES 1110 Ad Valorem Tax Levied 2009 $ 05 85,043 2010 $ 10 3,811,705 65,317 2011 $ 15 3,845,412 64,972 2012 $ 20 3,643,660 1140 Delinquent Tax 25 51,639 130,504 70,951 1300 Tuition 1312 Individuals (Out District) 30 1320 Other School District/Govt Sources In-State 40 1330 Other School District/Govt Sources Out-State 45 1410 Transportation Fees 47 1700 Student Activities (Reimbursement) 50 1900 Other Revenue From Local Source 1910 User Charges 55 1980 Reimbursements 60 1985 State Aid Reimbursement**** 65 2000 COUNTY SOURCES 2800 In Lieu of Taxes IRBs 85 2,755 2,708 0 3000 STATE SOURCES 3110 General State Aid 95 12,808,407 13,221,317 14,037,885 3130 Mineral Production Tax 115 3205 Special Education Aid 120 3,224,426 3,507,327 3,490,340 4000 FEDERAL SOURCES 4599 ARRA Stabilization Funds 140 359,726 4604 Ed Jobs Funds 143 629,879 9,243 4820 PL 382 (Exclude Extra Aid for Children on Indian Land and Low Rent Housing) (formerly PL 874)* 145 0 5000 OTHER 5208 Transfer From Authorized Funds***** 165 0 0 0 RESOURCES AVAILABLE 170 20,973,814 20,782,062 21,307,808 TOTAL EXPENDITURES & TRANSFERS 175 20,973,580 20,782,062 21,307,808 EXCESS REVENUE TO STATE *** 200 0 ** UNENCUMBERED CASH BALANCE JUNE 30 190 234 0 xxxxxxxxxxx * Only deduct 70% of the estimated P.L. 382 receipts. The 30% portion not deducted may be treated as miscellaneous revenue and placed in a fund designated under K.S.A. 72-6427 (categorical aid funds, program weighted funds or capital outlay.) ** Line 170 minus Line 175. (Column 3 only.) *** Columns 1 & 2 would be amount sent to the State. Do Not Include General State Aid Overpayments. **** Includes Psychiatric Treatment Centers, Juvenile Detention\Flint Hills Job corporation payments and State Aid received as a result of adjustments to prior year P.L. 382 deduction (formerly 874), Teacher Mentoring Program, National Board Certified teacher payments, and Career and Technical Education state aid for students earning an industry recognized credential in a high need occupation. ***** 2012 SB11 authorizes transfers from the approved funds to expend unencumbered cash balances as approved by the local board. 9/26/2012 10:54 AM Code No. 06 Page 11

Code 2010-2011 2011-2012 GENERAL EXPENDITURES 06 Actual Actual Budget 1000 Instruction 110 Certified 210 8,542,798 8,636,195 8,866,409 120 NonCertified 215 137,393 88,133 150,000 210 Insurance (Employee) 220 500,316 516,296 540,000 220 Social Security 225 579,537 637,646 700,000 290 Other 230 56,260 44,788 50,000 300 Purchased Professional and Technical Services 235 400 Purchased Property Services 237 500 Other Purchased Services 560 Tuition 561 Tuition/other State LEA's 240 39,475 53,744 54,819 562 Tuition/other LEA's outside the State 245 563 Tuition/Priv Sources 250 590 Other 255 610 General Supplemental (Teaching) 260 228,693 279,006 284,586 644 Textbooks 265 650 Supplies (Technology Related) 267 680 Miscellaneous Supplies 270 700 Property (Equipment & Furnishings) 275 39,023 7,147 7,290 800 Other 280 2000 Support Services 2100 Student Support Services 110 Certified 285 537,918 120 NonCertified 290 75,610 15,766 16,081 210 Insurance (Employee) 295 22,314 220 Social Security 300 46,191 290 Other 305 3,092 818 834 300 Purchased Professional and Technical Services 310 40,255 40,680 41,494 400 Purchased Property Services 313 17,082 17,082 17,424 500 Other Purchased Services 315 2,574 320 19,162 700 Property (Equipment & Furnishings) 325 140 800 Other 330 49 2200 Instr Support Staff 110 Certified 335 322,610 309,782 340,000 120 NonCertified 340 362,579 411,124 419,346 210 Insurance (Employee) 345 54,748 55,320 60,000 220 Social Security 350 52,181 51,920 60,000 290 Other 355 4,228 6,069 6,190 300 Purchased Professional and Technical Services 360 4,725 1,120 1,142 400 Purchased Property Services 363 27,281 218,253 222,618 500 Other Purchased Services 365 140,441 240,087 244,889 9/26/2012 10:54 AM Code No. 06 Page 12

Code 2010-2011 2011-2012 GENERAL EXPENDITURES 06 Actual Actual Budget 640 Books (not textbooks) and Periodicals 370 60,986 41,473 42,302 650 Technology Supplies 375 14,135 20,817 21,233 680 Miscellaneous Supplies 380 133,030 71,487 72,917 700 Property (Equipment & Furnishings) 385 128,639 74,026 75,507 800 Other 390 164 167 2300 General Administration 110 Certified 395 246,430 270,802 276,218 120 NonCertified 400 69,920 56,211 57,335 210 Insurance (Employee) 405 282,676 314,410 320,698 220 Social Security 410 22,671 22,490 22,940 290 Other 415 1,754 1,718 1,752 300 Purchased Professional and Technical Services 420 35,411 29,992 30,592 400 Purchased Property Services 425 18,983 500 Other Purchased Services 520 Insurance 430 5,243 16,498 16,828 530 Communications (Telephone, postage, etc.) 435 33,790 27,348 27,895 590 Other 440 20,523 20,933 445 36,730 47,082 48,024 700 Property (Equipment & Furnishings) 450 200 800 Other 455 15,142 13,917 14,195 2400 School Administration 110 Certified 460 120 NonCertified 465 210 Insurance (Employee) 470 220 Social Security 475 290 Other 480 300 Purchased Professional and Technical Services 485 400 Purchased Property Services 490 500 Other Purchased Services 530 Communications (Telephone, postage, etc.) 495 590 Other 500 505 700 Property (Equipment & Furnishings) 510 800 Other 515 9/26/2012 10:54 AM Code No. 06 Page 13

Code 2010-2011 2011-2012 GENERAL EXPENDITURES 06 Actual Actual Budget 2600 Operations & Maintenance 120 NonCertified 520 1,213,243 1,249,743 1,275,000 210 Insurance (Employee) 525 74,713 69,254 75,000 220 Social Security 530 93,340 91,815 100,000 290 Other 535 49,032 45,058 50,000 300 Purchased Professional and Technical Services 540 6,260 13,507 50,000 400 Purchased Property Services 411 Water/Sewer 545 31,219 49,537 50,775 420 Cleaning 550 17,508 17,443 17,879 430 Repairs & Maintenance 555 48,275 18,116 100,000 440 Rentals 560 87,049 95,828 100,000 460 Repair of Buildings 565 23,121 50,000 490 Other 570 14,907 13,473 13,810 500 Other Purchased Services 520 Insurance 575 113,014 120,229 160,000 590 Other 580 64,781 61,633 100,000 610 General Supplies 585 175,144 181,337 200,000 620 Energy 621 Heating 590 622 Electricity 595 73,023 68,190 73,787 626 Motor Fuel (not schoolbus) 600 629 Other 605 680 Miscellaneous Supplies 610 700 Property (Equipment & Furnishings) 615 19,775 939 962 800 Other 620 2601 Operations & Maintenance (Transportation) 120 NonCertified 622 210 Insurance (Employee) 623 220 Social Security 626 290 Other 628 300 Purchased and Professional Technical Services 630 400 Purchased Property Services 632 500 Other Purchased Services 634 610 General Supplies 636 620 Energy 621 Heating 638 622 Electricity 640 626 Motor Fuel (not schoolbus) 642 629 Other 644 680 Miscellaneous Supplies 646 700 Property (Equipment & Furnishings) 648 800 Other 650 9/26/2012 10:54 AM Code No. 06 Page 14

Code 2010-2011 2011-2012 GENERAL EXPENDITURES 06 Actual Actual Budget 2700 Student Transportation Serv 2720 Supervision 120 NonCertified 652 88,896 95,173 97,552 210 Insurance 654 8,936 10,075 10,327 220 Social Security 656 6,697 6,780 6,950 290 Other 658 502 512 525 660 730 Equipment 662 800 Other 664 2710 Vehicle Operating Services 120 NonCertified 666 610,744 644,910 661,033 210 Insurance 668 35,067 40,643 41,659 220 Social Security 670 46,149 46,678 47,845 290 Other 672 25,447 28,069 28,771 442 Rent of Vehicles (lease) 674 500 Other Purchased Services 513 Contracting of Bus Services 676 519 Mileage in Lieu of Trans 678 520 Insurance 680 22,008 19,607 20,097 626 Motor Fuel 682 243,451 271,009 277,784 730 Equipment (Including Buses) 684 155,535 800 Other 686 1,303 3,600 3,690 2730 Vehicle Services& Maintenance Services 120 NonCertified 688 210 Insurance 690 220 Social Security 692 290 Other 694 300 Purchased Professional and Tech Services 696 5,295 5,527 5,665 400 Purchased Property Services 698 500 Other Purchased Services 700 12,972 22,642 23,208 702 89,397 100,133 102,636 730 Equipment 704 800 Other 706 1,545 2,047 2,098 2790 Other Student Transportation Services 120 NonCertified 708 26,344 26,760 27,429 210 Insurance 710 17 17 17 220 Social Security 712 1,839 1,821 1,867 290 Other 714 203 188 193 300 Purchased Professional and Tech Services 716 5,987 5,754 5,898 400 Purchased Property Services 718 3,090 3,090 3,167 500 Other Purchased Services 720 5,131 4,697 4,814 722 730 Equipment 724 800 Other 726 9/26/2012 10:54 AM Code No. 06 Page 15

Code 2010-2011 2011-2012 GENERAL EXPENDITURES 06 Actual Actual Budget 2500, 2900 Other Supplemental Service 110 Certified 730 126,496 133,762 137,106 120 NonCertified 735 210 Insurance 740 6,485 7,404 7,589 220 Social Security 745 10,717 11,191 11,471 290 Other 750 778 799 819 300 Purchased Professional and Technical Services 755 400 Purchased Property Services 760 500 Other Purchased Services 765 17,060 16,125 16,528 770 1,186 924 947 700 Property (Equipment & Furnishings) 775 800 Other 780 1,852 1,898 3300 Community Services Operations 785 4300 Architectural & Engineering Services 790 5200 TRANSFER TO: 932 Adult Education 795 0 0 0 934 Adult Suppl Education 800 0 0 0 936 Bilingual Education 805 0 0 0 937 Virtual Education 807 0 0 0 938 Capital Outlay 810 0 0 0 940 Driver Training 815 0 0 0 943 Extraordinary School Prog 823 0 0 0 944 Food Service 825 0 0 0 946 Professional Development 830 0 3,505 0 948 Parent Education Program 835 26,300 0 0 949 Summer School 837 0 0 0 950 Special Education 840 4,499,889 3,948,777 3,490,340 954 Vocational Education 850 0 171,131 518,014 960 Special Reserve Fund 853 0 0 0 963 Special Liability Expense Fund 855 0 0 0 972 Contingency Reserve** 885 0 0 0 974 Textbook & Student Materials Revolving Fund 889 0 0 0 976 At Risk (4yr Old) 891 0 23,049 0 978 At Risk (K-12) 893 0 189,070 200,000 TOTAL EXPENDITURES & TRANSFERS* xxxx 20,973,580 20,782,062 21,307,808 * Enter on Code 06, Line 175. ** The maximum amount of money which can be carried in the Contingency Reserve Fund is 10% of the legal maximum general fund budget. 9/26/2012 10:54 AM Code No. 06 Page 16

Code 2010-2011 2011-2012 Federal Funds 07 Actual Actual Budget (Monies Not Included in Other Funds) UNENCUMBERED CASH BALANCE JULY 1 01-42,897-78,045-105,246 Cancel of Prior Yr Enc 03 REVENUE: 4000 FEDERAL SOURCES-GRANTS 4591 Title I* 010 300,388 411,906 450,000 4593 Title II** 015 116,378 67,116 150,000 4594 Title IV (Drug Free) 020 XXXXXXXXXX 4602 Title IV (21st Century) 022 4597 Reading First 045 XXXXXXXXXX XXXXXXXXXX XXXXXXXXXX 4601 Title III (English Language Acquisition) 060 4603 Charter Schools 062 4599 Other 075 449,534 141,959 400,000 RESOURCES AVAILABLE 170 823,403 542,936 894,754 TOTAL EXPENDITURES & TRANSFERS 175 901,448 648,182 894,754 UNENCUMBERED CASH BALANCE JUNE 30 190-78,045-105,246 *This would include programs such as (but not limited to) Migrant; Neglected/Delinquent. This would also 0 include regular allocations and ARRA recovery funds. **This would include programs such as (but not limited to) Title II-A Teacher Quality; Title II-D Education Technology. This would also include regular allocations and ARRA recovery funds. 9/26/2012 10:54 AM Code No. 07 Page 17

Code 2010-2011 2011-2012 Federal Funds Expenditures 07 Actual Actual Budget (Monies Not Included in Other Funds) 1000 Instruction 110 Certified 210 175,158 222,243 329,754 120 NonCertified 215 84,161 136,280 200,000 210 Insurance (Employee) 220 19,523 17,305 40,000 220 Social Security 225 18,324 26,441 50,000 290 Other 230 1,150 1,315 2,000 300 Purchased Professional and Technical Services 235 400 Purchased Property Services 237 500 Other Purchased Services 560 Tuition 561 Tuition/other State LEA's 240 562 Tuition/other LEA's outside the State 245 563 Tuition/Priv Sources 250 590 Other 255 12,750 12,750 13,000 610 General Supplemental (Teaching) 260 88,738 24,322 25,000 644 Textbooks 265 650 Supplies (Technology Related) 267 680 Miscellaneous Supplies 270 700 Property (Equipment & Furnishings) 275 256,315 30,428 50,000 800 Other 280 2000 Support Services 2100 Student Support Services 110 Certified 285 10,834 11,045 12,000 120 NonCertified 290 210 Insurance (Employee) 295 220 Social Security 300 809 845 1,000 290 Other 305 58 300 Purchased Professional and Technical Services 310 400 Purchased Property Services 313 500 Other Purchased Services 315 320 841 624 1,000 700 Property (Equipment & Furnishings) 325 800 Other 330 703 826 1,000 2200 Instr Support Staff 110 Certified 335 44,094 120 NonCertified 340 210 Insurance (Employee) 345 220 Social Security 350 1,100 290 Other 355 209 300 Purchased Professional and Technical Services 360 22,989 6,200 10,000 400 Purchased Property Services 363 6,439 17,799 10,000 500 Other Purchased Services 365 135,705 139,759 150,000 9/26/2012 10:54 AM Code No. 07 Page 18

Code 2010-2011 2011-2012 Federal Funds Expenditures 07 Actual Actual Budget (Monies Not Included in Other Funds) 640 Books (not textbooks) and Periodicals 370 650 Technology Supplies 375 680 Miscellaneous Supplies 380 6,371 700 Property (Equipment & Furnishings) 385 15,177 800 Other 390 2300 General Administration 110 Certified 395 120 NonCertified 400 210 Insurance (Employee) 405 220 Social Security 410 290 Other 415 300 Purchased Professional and Technical Services 420 400 Purchased Property Services 425 500 Other Purchased Services 520 Insurance 430 530 Communications (Telephone, postage, etc.) 435 590 Other 440 445 700 Property (Equipment & Furnishings) 450 800 Other 455 2400 School Administration 110 Certified 460 120 NonCertified 465 210 Insurance (Employee) 470 220 Social Security 475 290 Other 480 300 Purchased Professional and Technical Services 485 400 Purchased Property Services 490 500 Other Purchased Services 530 Communications (Telephone, postage, etc.) 495 590 Other 500 505 700 Property (Equipment & Furnishings) 510 800 Other 515 9/26/2012 10:54 AM Code No. 07 Page 19

Code 2010-2011 2011-2012 Federal Funds Expenditures 07 Actual Actual Budget (Monies Not Included in Other Funds) 2600 Operations & Maintenance 120 NonCertified 520 210 Insurance (Employee) 525 220 Social Security 530 290 Other 535 300 Purchased Professional and Technical Services 540 400 Purchased Property Services 411 Water/Sewer 545 420 Cleaning 550 430 Repairs & Maintenance 555 440 Rentals 560 460 Repair of Buildings 565 490 Other 570 500 Other Purchased Services 520 Insurance 575 590 Other 580 610 General Supplies 585 620 Energy 621 Heating 590 622 Electricity 595 626 Motor Fuel (not schoolbus) 600 629 Other 605 680 Miscellaneous Supplies 610 700 Property (Equipment & Furnishings) 615 800 Other 620 2700 Student Transportation Services 2710 Vehicle Operating Services 120 NonCertified 625 210 Insurance 630 220 Social Security 635 290 Other 640 442 Rent of Vehicles (lease) 645 500 Other Purchased Services 513 Contracting of Bus Services 650 519 Mileage in Lieu of Trans 655 520 Insurance 660 626 Motor Fuel 665 730 Equipment (including buses) 670 800 Other 675 9/26/2012 10:54 AM Code No. 07 Page 20

Code 2010-2011 2011-2012 Federal Funds Expenditures 07 Actual Actual Budget (Monies Not Included in Other Funds) 2500, 2900 Other Supplemental Service 110 Certified 680 120 NonCertified 685 210 Insurance 690 220 Social Security 695 290 Other 700 300 Purchased Professional and Technical Services 705 400 Purchased Property Services 710 500 Other Purchased Services 715 720 700 Property (Equipment & Furnishings) 725 800 Other 730 3000 Operation of Noninstructional Services 3100 Food Service Operation 110 Certified 735 120 NonCertified 740 210 Insurance 745 220 Social Security 750 290 Other 755 500 Other Purchased Services 520 Insurance 760 570 Food Service Management 765 590 Other Purchased Services 770 630 Food & Milk 775 680 Miscellaneous Supplies 780 700 Property (Equipment & Furnishings) 785 800 Other 790 3300 Community Services Operations 795 4300 Architectural & Engineering Services 800 TOTAL EXPENDITURES & TRANSFERS xxxx 901,448 648,182 894,754 9/26/2012 10:54 AM Code No. 07 Page 21

SUPPLEMENTAL GENERAL Code 2010-2011 2011-2012 (LOCAL OPTION) 08 Actual Actual Budget UNENCUMBERED CASH BALANCE JULY 1 01 138,135 192,702 442,108 Cancel of Prior Year Encumbrances 03 REVENUE: 1000 LOCAL SOURCES 1110 Ad Valorem Tax Levied 2009 $ 10 82,220 2010 $ 15 3,884,518 68,220 2011 $ 20 4,017,122 70,071 1140 Delinquent Tax 25 47,614 116,842 74,158 1410 Transportation Fees 47 1980 Reimbursements 60 2000 COUNTY SOURCES 2400 Motor Vehicle Tax (Includes 16/20M Tax) 70 483,343 485,785 547,881 2450 Recreational Vehicle Tax 75 8,546 7,699 9,025 2800 In Lieu of Taxes IRBs 85 2,591 2,613 0 3000 STATE SOURCES 3140 Supplemental State Aid 95 2,418,040 2,588,471 2,676,403 4000 FEDERAL SOURCES 4599 ARRA Stabilization Funds 140 XXXXXXXXX XXXXXXXX XXXXXXXX RESOURCES AVAILABLE 170 7,065,007 7,479,454 3,819,646 TOTAL EXPENDITURES & TRANSFERS 175 6,872,305 7,037,346 7,221,030 TAX REQUIRED (175 minus 170) 195 3,401,384 PERCENT OF COLLECTION* 196 89.000 % TOTAL 2012 TAX REQUIRED (195 196) 197 3,821,780 Delinquent Tax 200 133,762 AMOUNT OF 2012 TAX TO BE LEVIED Line 197 + Line 200 205 3,955,542 UNENCUMBERED CASH BALANCE JUNE 30 207 192,702 442,108 xxxxxxxxxxx *From Form 110, Table I, Line 2. Code 2010-2011 2011-2012 SUPPLEMENTAL GENERAL EXPENDITURES 08 Actual Actual Budget (LOCAL OPTION) 1000 Instruction. 110 Certified 210 434,962 623,541 640,000 120 NonCertified 215 160,158 144,898 150,000 210 Insurance (Employee) 220 220 Social Security 225 44,494 54,124 60,000 290 Other 230 3,233 3,333 5,000 300 Purchased Professional and Technical Services 235 400 Purchased Property Services 237 500 Other Purchased Services 560 Tuition 561 Tuition/other State LEA's 240 562 Tuition/other LEA's outside the State 245 563 Tuition/Priv Sources 250 590 Other 255 610 General Supplemental(Teaching) 260 644 Textbooks 265 650 Supplies (Technology Related) 267 680 Miscellaneous Supplies 270 700 Property (Equipment & Furnishings) 275 800 Other 280 98,389 104,646 25,000 9/26/2012 10:54 AM Code No. 08 Page 22

Code 2010-2011 2011-2012 SUPPLEMENTAL GENERAL 08 Actual Actual Budget (LOCAL OPTION) 2000 Support Services 2100 Student Support Services 110 Certified 285 550,162 580,000 120 Non-Certified 290 77,802 85,000 210 Insurance (Employee) 295 18,628 20,000 220 Social Security 300 46,397 50,000 290 Other 305 3,012 5,000 300 Purchased Professional and Technical Serv 310 400 Purchased Property Services 313 500 Other Purchased Services 315 3,136 5,000 320 13,894 20,000 700 Property (Equipment & Furnishings) 325 800 Other 330 2200 Instr Support Staff 110 Certified 335 120 NonCertified 340 210 Insurance (Employee) 345 220 Social Security 350 290 Other 355 300 Purchased Professional and Technical Serv 360 400 Purchased Property Services 363 500 Other Purchased Services 365 640 Books (not textbooks) and Periodicals 370 650 Technology Supplies 375 680 Miscellaneous Supplies 380 700 Property (Equipment & Furnishings) 385 800 Other 390 2300 General Administration 110 Certified 395 120 NonCertified 400 210 Insurance (Employee) 405 220 Social Security 410 290 Other 415 300 Purchased Professional and Technical Services 420 400 Purchased Property Services 425 500 Other Purchased Services 520 Insurance 430 530 Communications (Telephone, postage, etc.) 435 590 Other 440 445 700 Property (Equipment & Furnishings) 450 800 Other 455 9/26/2012 10:54 AM Code No. 08 Page 23

Code 2010-2011 2011-2012 SUPPLEMENTAL GENERAL 08 Actual Actual Budget (LOCAL OPTION) 2400 School Administration 110 Certified 460 1,052,221 1,101,493 1,150,000 120 Non-Certified 465 376,979 387,091 400,000 210 Insurance (Employee) 470 65,726 48,420 50,000 220 Social Security 475 107,778 109,248 115,000 290 Other 480 7,685 7,974 10,000 300 Purchased Professional and Technical Services 485 400 Purchased Property Services 490 500 Other Purchased Services 530 Communications (Telephone, postage, etc.) 495 23,026 24,778 25,000 590 Other 500 505 12,756 25,997 25,000 700 Property (Equipment & Furnishings) 510 1,256 2,000 800 Other 515 2600 Operations & Maintenance 120 Non-Certified 520 210 Insurance (Employee) 525 220 Social Security 530 290 Other 535 300 Purchased Professional and Technical Services 540 400 Purchased Property Services 411 Water/Sewer 545 420 Cleaning 550 430 Repairs & Maintenance 555 440 Rentals 560 460 Repair of Buildings 565 490 Other 570 500 Other Purchased Services 520 Insurance 575 590 Other 580 610 General Supplies 585 620 Energy 621 Heating 590 132,348 82,413 100,000 622 Electricity 595 582,154 618,907 650,000 626 Motor Fuel (not schoolbus) 600 629 Other 605 680 Miscellaneous Supplies 610 700 Property (Equipment & Furnishings) 615 800 Other 620 9/26/2012 10:54 AM Code No. 08 Page 24

Code 2010-2011 2011-2012 SUPPLEMENTAL GENERAL 08 Actual Actual Budget (LOCAL OPTION) 2601 Operations & Maintenance (Transportation) 120 NonCertified 622 210 Insurance (Employee) 623 220 Social Security 626 290 Other 628 300 Purchased and Professional Technical Services 630 400 Purchased Property Services 632 500 Other Purchased Services 634 610 General Supplies 636 620 Energy 621 Heating 638 622 Electricity 640 626 Motor Fuel (not schoolbus) 642 629 Other 644 680 Miscellaneous Supplies 646 700 Property (Equipment & Furnishings) 648 800 Other 650 2700 Student Transportation Serv 2720 Supervision 120 NonCertified 652 210 Insurance 654 220 Social Security 656 290 Other 658 660 730 Equipment 662 800 Other 664 2710 Vehicle Operating Services 120 NonCertified 666 210 Insurance 668 220 Social Security 670 290 Other 672 442 Rent of Vehicles (lease) 674 500 Other Purchased Services 513 Contracting of Bus Services 676 519 Mileage in Lieu of Trans 678 520 Insurance 680 626 Motor Fuel 682 730 Equipment (Including Buses) 684 800 Other 686 2730 Vehicle Services& Maintenance Services 120 NonCertified 688 210 Insurance 690 220 Social Security 692 290 Other 694 300 Purchased Professional and Tech Services 696 400 Purchased Property Services 698 500 Other Purchased Services 700 702 730 Equipment 704 800 Other 706 9/26/2012 10:54 AM Code No. 08 Page 25

Code 2010-2011 2011-2012 SUPPLEMENTAL GENERAL 08 Actual Actual Budget (LOCAL OPTION) 2790 Other Student Transportation Services 120 NonCertified 708 210 Insurance 710 220 Social Security 712 290 Other 714 300 Purchased Professional and Tech Services 716 400 Purchased Property Services 718 500 Other Purchased Services 720 722 730 Equipment 724 800 Other 726 2500, 2900 Other Supplemental Services 110 Certified 730 120 NonCertified 735 210 Insurance 740 220 Social Security 745 290 Other 750 300 Purchased Professional and Technical Services 755 400 Purchased Property Services 760 500 Other Purchased Services 765 770 700 Property (Equipment & Furnishings) 775 800 Other 780 3300 Community Services Operations 785 4300 Architectural & Engineering Services 790 5200 TRANSFER TO: 930 General (Not Ending Balance) 792 0 0 0 932 Adult Education 795 0 0 0 934 Adult Suppl Education 800 0 0 0 936 Bilingual Education 805 0 0 20,000 937 Virtual Education 810 0 0 0 940 Driver Training 815 0 0 0 943 Extraordinary School Prog 823 0 0 0 944 Food Service 825 0 0 0 946 Professional Development 830 57,034 41,813 70,000 948 Parent Education Program 835 0 26,300 50,000 949 Summer School 837 0 0 40,000 950 Special Education 840 904,813 458,503 0 954 Vocational Education 850 677,374 491,699 449,030 963 Special Liability Expense Fund 855 0 0 0 974 Textbook & Student Materials Revolving 880 0 0 0 976 At Risk (4yr Old) 885 84,998 56,951 120,000 978 At Risk (K-12) 890 2,046,177 1,910,930 2,300,000 TOTAL EXPENDITURES & TRANSFERS* xxxx 6,872,305 7,037,346 7,221,030 * Enter on Code 08, Line 175. 9/26/2012 10:54 AM Code No. 08 Page 26

18 mo. Code 2010-2011 2011-2012 Financing ADULT EDUCATION 10 Actual Actual Budget Required (4) UNENCUMBERED CASH BALANCE, JULY 1 01 0 0 0 Cancel of Prior Years Encumbrance 03 REVENUE: 1000 LOCAL SOURCES 1110 Ad Valorem Tax Levied 2009 $ 05 2010 $ 10 2011 $ 15 0 0 0 2012 $ 20 0 0 1140 Delinquent Tax 25 0 0 1310 Tuition Individuals-Class Fees 30 0 July - December Estimate 35 1510 Interest on Idle Funds 40 0 July - December Estimate 45 1900 Other Revenue From Local Source 1940 Sale & Rent of Textbook 50 0 July - December Estimate 55 1990 Miscellaneous 60 0 July - December Estimate 65 2000 COUNTY SOURCES 2400 Motor Vehicle Tax (Includes 16/20M Tax) 75 0 0 July - December Estimate 80 0 2450 Recreational Vehicle Tax 85 0 0 July - December Estimate 86 0 2800 In Lieu of Taxes I.R.B.s 90 0 0 July - December Estimate 95 0 3000 STATE SOURCES 3201 Adult Basic Aid 100 0 July - December Estimate 105 4000 FEDERAL SOURCES 4540 Adult Education Aid 110 0 July - December Estimate 115 5000 OTHER 5206 Transfer From General 120 0 0 0 0 July - December Estimate 125 5208 Transfer From Supplemental General 130 0 0 0 0 July - December Estimate 135 5253 Transfer From Contingency Reserve 140 0 0 xxxxxxxxxxxxxx xxxxxxxxxxxxxx July - December Estimate 145 xxxxxxxxxxxxxx RESOURCES AVAILABLE 170 0 0 0 0 TOTAL EXPENDITURES & TRANSFERS 175 0 0 0 0 July - December Estimate 180 xxxxxxxxxxxxxxx xxxxxxxxxxxxxxx xxxxxxxxxxxxxx 0 TOTAL OPERATING EXPENDITURE (18 MO) 185 xxxxxxxxxxxxxxx xxxxxxxxxxxxxxx xxxxxxxxxxxxxx 0 UNENCUMBERED CASH BALANCE JUNE 30 190 0 0 0 xxxxxxxxxxxxx (a) Enter in Column (4) the Amount of Tax to be Levied reported on the Certificate, Line 10. 9/26/2012 10:54 AM Code No. 10 Page 27

Code 2010-2011 2011-2012 ADULT EDUCATION EXPENDITURES 10 Actual Actual Budget 1000 Instruction 110 Certified 210 120 NonCertified 215 210 Insurance (Employee) 220 220 Social Security 225 290 Other 230 300 Purchased Professional and Tech Services 235 400 Purchased Property Services 237 500 Other Purchased Services 560 Tuition 240 590 Other 245 610 General Supplemental(Teaching) 250 644 Textbooks 255 650 Supplies (Technology Related) 257 680 Miscellaneous Supplies 260 700 Property (Equipment & Furnishings) 265 800 Other 270 2000 Support Services 2100 Student Support Services 110 Certified 275 120 NonCertified 280 210 Insurance (Employee) 285 220 Social Security 290 290 Other 295 300 Purchased Professional and Tech Services 300 400 Purchased Property Services 303 500 Other Purchased Services 305 310 700 Property (Equipment & Furnishings) 315 800 Other 320 2200 Instructional Support Staff 110 Certified 325 120 NonCertified 330 210 Insurance (Employee) 335 220 Social Security 340 290 Other 345 300 Purchased Professional and Tech Services. 350 400 Purchased Property Services 353 500 Other Purchased Services 355 640 Books(not textbooks) Periodicals 360 650 Technology Supplies 365 680 Miscellaneous Supplies 370 700 Property (Equipment & Furnishings) 375 800 Other 380 9/26/2012 10:54 AM Code No. 10 Page 28

Code 2010-2011 2011-2012 ADULT EDUCATION EXPENDITURES 10 Actual Actual Budget 2330 Special Area Administration Services 110 Certified 385 120 NonCertified 390 210 Insurance (Employee) 395 220 Social Security 400 290 Other 405 300 Purchased Professional and Tech Services. 410 400 Purchased Property Services 415 500 Other Purchased Services 420 425 700 Property (Equipment & Furnishings) 430 800 Other 435 2600 Operations & Maintenance 120 NonCertified 440 210 Insurance (Employee) 445 220 Social Security 450 290 Other 455 300 Purchased Professional and Tech Services. 460 400 Purchased Property Services 465 500 Other Purchased Services 470 610 General Supplies 475 620 Energy 621 Heating 480 622 Electricity 485 626 Motor Fuel (not school bus) 490 629 Other 495 680 Miscellaneous Supplies 500 700 Property (Equipment & Furnishings) 505 800 Other 510 TOTAL EXPENDITURES & TRANSFERS* xxxx 0 0 0 *Enter on Code 10, Line 175. 9/26/2012 10:54 AM Code No. 10 Page 29

Code 2010-2011 2011-2012 AT RISK FUND (4 Year Old) 11 Actual Actual Budget UNENCUMBERED CASH BALANCE JULY 1 01 0 0 0 Cancel of Prior Year Encumbrance 03 REVENUE: 1000 LOCAL SOURCES 1300 Tuition 1312 Individuals 05 1315 Individual (Summer School) 15 1320 Other School District/Govt Sources In-State 25 1510 Interest on Idle Funds 35 1700 Student Activities(Reimbursement) 45 1900 Other Revenue From Local Source 1990 Miscellaneous 75 4000 FEDERAL SOURCES 4590 Other Federal Aid 115 5000 OTHER 5206 Transfer From General 135 0 23,049 0 5208 Transfer From Supplemental General 140 84,998 56,951 120,000 5253 Transfer From Contingency Reserve 145 0 0 xxxxxxxxxxxxx RESOURCES AVAILABLE 170 84,998 80,000 120,000 TOTAL EXPENDITURES & TRANSFERS 175 84,998 80,000 120,000 UNENCUMBERED CASH BALANCE JUNE 30 190 0 0 0 AT RISK FUND (4 Year Old) Code 2010-2011 2011-2012 EXPENDITURES 11 Actual Actual Budget 1000 Instruction 110 Certified 210 4,114 8,135 20,000 120 NonCertified 215 15,296 3,331 18,000 210 Insurance (Employee) 220 953 2,178 3,000 220 Social Security 225 1,366 728 1,000 290 Other 230 528 270 500 300 Purchased Professional and Technical Services 235 400 Purchased Property Services 237 500 Other Purchased Services 560 Tuition 561 Tuition/other State LEA's 240 563 Tuition/Priv Sources 245 590 Other 250 610 General Supplemental (Teaching) 255 3,858 2,803 644 Textbooks 260 650 Supplies (Technology Related) 263 680 Miscellaneous Supplies 265 700 Property (Equipment & Furnishings) 270 800 Other 275 2000 Support Services 2100 Student Support Services 110 Certified 280 120 NonCertified 285 9/26/2012 10:54 AM Code No. 11 Page 30

AT RISK FUND (4 Year Old) Code 2010-2011 2011-2012 EXPENDITURES 11 Actual Actual Budget 210 Insurance (Employee) 290 220 Social Security 295 290 Other 300 300 Purchased Professional and Technical Services 305 400 Purchased Property Services 307 500 Other Purchased Services 310 315 700 Property (Equipment & Furnishings) 320 800 Other 325 2200 Instr Support Staff 110 Certified 330 120 NonCertified 335 210 Insurance (Employee) 340 220 Social Security 345 290 Other 350 300 Purchased Professional and Technical Services 355 400 Purchased Property Services 357 500 Other Purchased Services 360 640 Books(not textbooks)and Periodicals 365 650 Technology Supplies 370 680 Miscellaneous Supplies 375 700 Property (Equipment & Furnishings) 380 800 Other 385 2400 School Administration 110 Certified 390 120 NonCertified 395 210 Insurance (Employee) 400 220 Social Security 405 290 Other 410 300 Purchased Professional and Technical Services 415 500 Other Purchased Services 420 425 700 Property (Equipment & Furnishings) 430 800 Other 435 2600 Operations & Maintenance 120 NonCertified 440 210 Insurance (Employee) 445 220 Social Security 450 290 Other 455 300 Purchased Professional and Technical Services 460 9/26/2012 10:54 AM Code No. 11 Page 31

AT RISK FUND (4 Year Old) Code 2010-2011 2011-2012 EXPENDITURES 11 Actual Actual Budget 400 Purchased Property Services 411 Water/Sewer 465 420 Cleaning 470 430 Repairs & Maintenance 475 440 Rentals 480 490 Other 485 500 Other Purchased Services 490 610 General Supplies 495 620 Energy 621 Heating 500 622 Electricity 505 626 Motor Fuel (not schoolbus) 510 629 Other 515 680 Miscellaneous Supplies 520 700 Property (Equipment & Furnishings) 525 800 Other 530 2700 Student Transportation Services 120 NonCertified Salaries 531 40,022 38,181 45,000 532 4,165 4,151 7,500 800 Other 533 14,696 20,223 25,000 2500, 2900 Other Supplemental Services 110 Certified 535 120 NonCertified 540 210 Insurance 545 220 Social Security 550 290 Other 555 300 Purchased Professional and Technical Services 560 400 Purchased Property Services 565 500 Other Purchased Services 570 575 700 Property (Equipment & Furnishings) 580 800 Other 585 5200 TRANSFER TO: 930 General Fund 595 TOTAL EXPENDITURES & TRANSFERS xxxx 84,998 80,000 120,000 9/26/2012 10:54 AM Code No. 11 Page 32

ADULT SUPPLEMENTARY EDUCATION Code 2010-2011 2011-2012 12 Actual Actual Budget UNENCUMBERED CASH BALANCE JULY 1 01 221 221 221 Cancel of Prior Year Encumbrance 03 REVENUE: 1000 LOCAL SOURCES 1300 Tuition 1310 Individuals-Class Fees 05 5,000 1510 Interest on Idle Funds 15 1900 Other Revenue From Local Source 1940 Sale & Rent of Textbook 25 1990 Miscellaneous 35 5000 OTHER 5206 Transfer From General 45 0 0 0 5208 Transfer From Supplemental General 50 0 0 0 5253 Transfer From Contingency Reserve 55 0 0 xxxxxxxxxxxx RESOURCES AVAILABLE 170 221 221 5,221 TOTAL EXPENDITURES & TRANSFERS 175 0 0 5,221 UNENCUMBERED CASH BALANCE JUNE 30 190 221 221 0 ADULT SUPPLEMENTARY EDUCATION Code 2010-2011 2011-2012 EXPENDITURES 12 Actual Actual Budget 1000 Instruction 110 Certified 210 5,221 120 NonCertified 215 210 Insurance (Employee) 220 220 Social Security 225 290 Other 230 300 Purchased Professional and Tech Services 235 400 Purchased Property Services 237 500 Other Purchased Services 560 Tuition 240 590 Other 245 610 General Supplemental(Teaching) 250 640 Books (not textbooks) and Periodicals 255 644 Textbooks 260 650 Supplies (Technology Related) 263 680 Miscellaneous Supplies 265 700 Property (Equipment & Furnishings) 270 800 Other 275 2000 Support Services 2100 Student Support Services 110 Certified 280 120 NonCertified 285 210 Insurance (Employee) 290 220 Social Security 295 290 Other 300 300 Purchased Professional and Tech Services 305 400 Purchased Property Services 307 500 Other Purchased Services 310 315 9/26/2012 10:54 AM Code No. 12 Page 33

ADULT SUPPLEMENTARY EDUCATION Code 2010-2011 2011-2012 EXPENDITURES 12 Actual Actual Budget 700 Property (Equipment & Furnishings) 320 800 Other 325 2200 Instructional Support Staff 110 Certified 330 120 NonCertified 335 210 Insurance (Employee) 340 220 Social Security 345 290 Other 350 300 Purchased Professional and Tech Services 355 400 Purchased Property Services 357 500 Other Purchased Services 360 365 700 Property (Equipment & Furnishings) 370 800 Other 375 2400 School Administration 110 Certified 425 120 NonCertified 430 210 Insurance (Employee) 435 220 Social Security 440 290 Other 445 300 Purchased Professional and Technical Services 450 500 Other Purchased Services 455 460 700 Property (Equipment & Furnishings) 465 800 Other 470 2600 Operations & Maintenance 120 NonCertified 475 210 Insurance (Employee) 480 220 Social Security 485 290 Other 490 300 Purchased Professional and Tech Services 495 400 Purchased Property Services 500 500 Other Purchased Services 505 610 General Supplies 510 620 Energy 621 Heating 515 622 Electricity 520 626 Motor Fuel (not school bus) 525 629 Other 530 680 Miscellaneous Supplies 535 700 Property (Equipment & Furnishings) 540 800 Other 545 TOTAL EXPENDITURES & TRANSFERS* xxxx 0 0 5,221 * Enter on Code 12, Line 175 9/26/2012 10:54 AM Code No. 12 Page 34