MONTHLY FINANCIAL SUMMARY FISCAL YEAR (SEPTEMBER)

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MONTHLY FINANCIAL SUMMARY FISCAL YEAR 2017-2018 (SEPTEMBER) Original Budget Revenues Collected YTD % Collected of Annual Enrollment Based $ 109,171,283 $ 45,498,974 41.7% State Funding 85,551,407 21,308,376 24.9% Other Revenues 5,019,554 237,750 4.7% Total Revenues $ 199,742,244 $ 67,045,100 33.6% Original Budget Expended YTD % Expended of Annual Expenditures Salaries $ 164,705,617 $ 34,771,354 21.1% Current Expense 29,581,782 7,387,599 25.0% Capital Outlay 5,454,845 805,667 14.8% Total Expenditures $ 199,742,244 $ 42,964,620 21.5% Financial Health Indicators Rev. Projected Year End Exp. Projected Year End Fund Balance Flat to Budget Flat to Budget $20.8 M Fund Balance as % 9.5% 1

SEPTEMBER 2017 Original Budget YTD FY17-18 % Collected YTD FY16-17 Variance REVENUES Enrollment Based: Tuition $ 73,091,811 $ 32,371,086 44% $ 31,820,166 $ 550,920 Non-Credit Tuition 6,991,990 2,010,019 29% $ 1,981,868 28,151 Student Fees 14,571,891 5,269,062 36% $ 5,499,841 (230,779) Out of State Fees 14,515,591 5,848,807 40% $ 5,610,442 238,365 State Funding: State Support - CCPF Recurring 65,811,593 17,904,102 27% $ 17,528,937 375,165 State Support - Lottery, License Tag 19,739,814 3,404,274 17% $ 4,160,685 (756,411) Other Revenue: Indirect Cost Recovered 269,306 37,533 14% $ 46,428 (8,895) Other Revenue - Transfer, Interest, Rent, Contract, Misc 4,750,248 200,217 4% $ 233,579 (33,362) Total Revenue $ 199,742,244 $ 67,045,100 34% $ 66,881,946 $ 163,154 EXPENSES Personnel Expenses: Salaries & Wages $ 134,254,698 $ 27,134,732 20% $ 25,819,618 $ (1,315,114) Fringe Benefits 16,420,588 3,952,405 24% $ 3,642,064 (310,341) Other Taxable Benefits 14,030,331 3,684,217 26% 3,010,599 (673,618) Expense Suspense Accounts - - 0% 2,569 2,569 Total Personnel $ 164,705,617 $ 34,771,354 21% $ 32,474,850 $ (2,296,504) Other Expenses: Other Services & Expenses $ 7,539,251 $ 2,391,561 32% $ 2,041,682 $ (349,879) Utilities & Communications 5,129,805 1,053,037 21% 1,247,692 194,655 Contractual Services 8,037,664 1,521,583 19% 1,498,657 (22,926) Materials & Supplies 8,089,026 2,213,650 27% 1,276,194 (937,456) Scholarships & Waivers 617,292 55,615 9% 58,970 3,355 NonPersonnel Expense 168,744-0% - - Payment on Debt - 152,153 0% 114,114 (38,039) Total Direct Expenditures and Transfers $ 29,581,782 $ 7,387,599 25% $ 6,237,309 $ (1,150,290) CAPITAL OUTLAY Capital Expenditures $ 5,454,845 $ 805,667 15% $ 644,217 $ (161,450) Total Capital Expenditures $ 5,454,845 $ 805,667 15% $ 644,217 $ (161,450) Total All Expenses $ 199,742,244 $ 42,964,620 22% $ 39,356,376 $ (3,608,244) Total Revenues Less Expenses and Transfers $ 24,080,480 $ 27,525,570 $ (3,445,090) * FY1617 excludes non-mandatory transfer out of $3,000,000 2

REVENUES MONITOR JUL AUG SEP OCT NOV DEC JAN FEB MAR APR MAY JUN MONTHLY FY1617 45,263,729 13,911,359 7,706,858 FY1718 46,074,412 12,973,295 7,997,391 CUMUL. 1617 45,263,729 59,175,088 66,881,946 CUMUL. 1718 46,074,412 59,047,707 67,045,098 CUMULATIVE 50 200 45 180 40 160 35 Millions 30 25 140 120 Millions 20 100 15 80 10 5 60 0 JUL AUG SEP OCT NOV DEC JAN FEB MAR APR MAY JUN FY1617 FY1718 CUMUL. 1617 CUMUL. 1718 40 3

EXPENSE MONITOR JUL AUG SEP OCT NOV DEC JAN FEB MAR APR MAY JUN MONTHLY FY1617 12,290,355 13,016,720 14,049,298 FY1718 13,522,653 13,625,374 15,816,593 CUMUL. 1617 12,290,355 25,307,075 39,356,373 CUMUL. 1718 13,522,653 27,148,027 42,964,620 25 CUMULATIVE. 200 180 20 160 140 Millions 15 120 100 Millions 10 80 60 5 40 20 JUL AUG SEP OCT NOV DEC JAN FEB MAR APR MAY JUN FY1617 FY1718 CUMUL. 1617 CUMUL. 1718 * FY1617 excludes non-mandatory transfer out of $3,000,000 4

SUMMARY OF INVESTMENT RESULTS FY 2017-18 (ALL FUNDS) SUMMARY OF INVESTMENT RESULTS FY 2016-17 (ALL FUNDS) FISCAL YEAR 2017-18 REVENUE/RATES OF RETURN FISCAL YEAR 2016-17 REVENUE/RATES OF RETURN Period Interest Income Dividend Income Annual Interest Income % Unrealized Gain/Loss Average Principal Invested Period Interest Income Dividend Income Annual Interest Income % Unrealized Gain/Loss Average Principal Invested July $ 51,024 $ 61,077 1.494% $ (2,100) $ 90,046,472 July $ 31,304 $ 22,409 0.697% $ (2,473) $ 92,435,376 August $ 52,372 $ 27,916 0.890% $ 28,491 $ 108,245,489 August $ 34,634 $ 23,265 0.670% $ (37,773) $ 103,746,598 September $ 59,370 $ 28,475 1.168% $ (32,345) $ 90,261,877 September $ 36,710 $ 23,586 0.703% $ 48,243 $ 102,869,322 October October $ 36,600 $ 63,801 1.093% $ (51,991) $ 110,276,928 November November $ 40,057 $ 23,757 0.862% $ (95,449) $ 88,836,575 December December $ 40,467 $ 58,260 1.281% $ (21,993) $ 92,450,167 January January $ 48,310 $ 24,799 1.019% $ 30,522 $ 86,125,163 February February $ 43,706 $ 25,272 0.847% $ 25,693 $ 97,679,168 March March $ 58,520 $ 23,421 0.891% $ 6,104 $ 110,347,421 April April $ 58,856 $ 51,402 1.199% $ (14,451) $ 110,347,421 May May $ 63,348 $ 26,556 1.019% $ (6,130) $ 105,892,025 June June $ 55,387 $ 26,978 0.996% $ (40,617) $ 99,254,116 TOTAL $ 162,767 $ 117,468 1.184% $ (5,954) $ 96,184,613 TOTAL $ 547,897 $ 393,504 0.940% $ (160,314) $ 100,021,690 ANNUAL RATES OF RETURN AS OF 09/30/17 Cumulative Fixed Income Investment Return Information 1 Yr Treasury SEI SBA Money Market Date Principal Invested Income/Capital Gains Change in Market Value Book Value 1.31% 1.47% 1.36% closed 1/31/2016 $ 25,000,000 $ 25,000,000 6/30/2016 $ 74,066 $ 230,044 $ 25,304,109 INVESTMENT MIXTURE AS OF 09/30/17 6/30/2017 $ 393,504 $ (160,314) $ 25,537,300 Money B of A SEI SBA Market 9/30/2017 $ 117,468 $ (5,954) $ 25,648,814 18.4% 23.2% 58.4% closed $ 585,038 $ 63,776 CASH HOLDINGS AS OF 09/30/17 B of A SEI SBA Money Market $20,328,703 $ 25,648,814 $64,613,063 closed ########### 5

SUMMARY OF MAJOR CONSTRUCTION PROJECTS FY 2017-2018 (ALL FUNDS) CONSTRUCTION: PROJECT TO DATE (PTD) State Funding Fund 1 Local Funding Source Project Description Estimated Completion Date Cost Estimate State Funding Appropriated Fund 1 Transfer Fund 3 Transfer Fund 4 Transfer Fund 7 Transfer CO & DS Funds Student Capital Improvmnt Fee Expended or Encumbere d to Date Unexpende d Funds East Building 9 Construction July 2017 11,850,000 8,719,681 3,130,319 11,589,562 260,438 E BLDG 9 Poinciana Bldg 1 Construction Aug. 2017 24,036,975 24,036,975-3,000,000 27,031,776 5,199 POINCPLAN Poinciana Campus CAT 2018 3,450,000 3,000,000 450,000 2,868,424 581,576 CEBLDPOIN Osceola Campus CIT 2019 1,500,000 1,500,000-1,500,000 CITBLDOSC Osceola Campus CAT 2019 4,500,000 4,500,000 285,366 4,214,634 CEBLDOSC Downtown Campus SoHaCA 2019 13,000,000 2,000,000 6,000,000 2,000,000 3,000,000 718,080 12,281,920 UCFVCDTC Downtown Campus CAT 2019 1,500,000 1,500,000-1,500,000 WEC Bldg 6 Interior Renovation 2017 984,859 984,859 984,859 (0) WBLDG6REN EAC Bldg 5 Renovation 2017 160,323 160,323 13,280 147,043 73008 EAC Bldg 1B Renovation 2018 2,300,000 2,300,000 186,621 2,113,379 EBLDG1B SPS K-9 Unit Building 2018 1,000,000 1,000,000-1,000,000 K9UNITSPS Collegewide Remodel & Maintenance June 2018 7,000,000 1,774,129 5,225,871 2,594,465 4,405,535 72107+ 73000+73007 - Summary: Cost estimates above include furniture and equipment, landscaping, parking and other costs to complete the project. Funding Source Beginning Fund Balance Projected Revenue EAC FSMT Bldg 9 Committed EAC Blg 5 and 1B Rem Ren Bldg FUNDING SOURCE FISCAL YEAR 2017-2018 (YTD) SPS K-9 Unit Blg Funding Source Construction Commitments WEC Bldg 6 Interior Reno Downtown Campus SoHaCA OSC CAT Bldg OSC CIT Bldg GEN Ren/Rep/Re m Committed /DO Reno Poinciana Campus Bldg 1 Committed Poinciana CE (Continuing Ed.) Trades Bldg Funds Available (Needed) Student Capital Improvement Fee 17,306,541 5,421,660 1,751,833 2,460,323 1,000,000 579,947 5,000,000 - - 5,225,871 - - 7,290,174 CO & DS 2,009,730 438,700 - - - - - - - - - - 2,448,430 PECO 3,600,545 1,774,129 - - - - - - - 1,774,129 3,600,545 - (0) Local Other Sources and Transfers 9,675,207 - - - - - - 4,500,000 1,500,000 430,945 1,420,495 1,439,645 384,122 Summary: Local funds are available at the discretion of the Board of Trustees. The columns "Committed" includes current expenditures, encumbrances, and designated funding for these projects. 9/30/2017 6

STATEMENT OF REVENUES, EXPENDITURES, AND OTHER CHANGES FOR THE PERIOD ENDING SEPTEMBER 30, 2017 Current Fund Other Quasi Unexpended Debt Restricted Campus Stores Auxiliary Endowments Scholarship Plant Service REVENUES Student Fees $ 2,604,110 $ - $ - $ - $ 1,671,366 $ 2,481,245 $ - State Support 56,399 3,405,936 Federal Support 576,666 32,412,634 Gifts & Contracts 11,250 10,819 Sales 5,843,927 600,954 Bond Proceeds Other Revenues 37,156 15,661 60,783 4,344 46,286 Transfers from Other Funds 9,869 78,654 TOTAL REVENUES $ 3,258,295 $ 5,881,083 $ 616,615 $ 60,783 $ 37,505,099 $ 2,606,185 $ - EXPENDITURES Personnel Expenditures Full Time $ 754,146 $ 254,919 $ 20,625 $ - $ - $ - $ - Part Time 423,381 23,199 1,000 Fringe Benefits 268,217 99,032 5,450 - Subtotal $ 1,445,744 $ 377,150 $ 27,075 $ - $ - $ - $ - Other Expenses Travel $ 58,579 $ 1,441 $ 3,161 $ - $ - $ - $ - Postage & Telephone 86,890 Printing 12,591 3,810 Repairs & Maintenance 4,946 16,423 6,835 Rental & Insurance 21,201 1,125 459 Utilities 13 13,424 Services 146,320 132,785 9,935 1,716 Materials & Supplies 179,213 18,394 61,688 20,416 Cost of Goods Sold 3,802,901 Scholarships & Waivers 161,903 35,762,867 Transfers to Other Funds 9,869 Other Expenses 2,114 26,266 78,654 Subtotal $ 591,789 $ 4,078,559 $ 91,678 $ - $ 35,762,867 $ 121,045 $ - Capital Outlay Furniture & Equipment $ 42,126 $ 9,501 $ - $ - $ - $ 835,845 $ - Architect & Engineering Services. 235,456 General Construction 3,963,232 Renovation & Remodeling 301,558 Land Leasehold Improvements 271,775 Structures & Improvements Subtotal $ 42,126 $ 9,501 $ - $ - $ - $ 5,607,866 $ - TOTAL EXPENDITURES $ 2,079,659 $ 4,465,210 $ 118,753 $ - $ 35,762,867 $ 5,728,911 $ - NET INCREASE (DECREASE) IN FUND BALANCE $ 1,178,635 $ 1,415,873 $ 497,862 $ 60,783 $ 1,742,231 $ (3,122,726) $ - 7

BALANCE SHEET BY FUND FOR THE PERIOD ENDING SEPTEMBER 30, 2017 Current Fund Current Fund Other Quasi Unexpended Debt Investment Unrestricted Restricted Campus Stores Auxiliary Endowments Scholarship Plant Service in Plant ASSETS Cash $ 34,015,061 $ 2,097,857 $ 1,751,485 $ 2,556,690 $ 296,015 $ 3,994,189 $ 30,387,203 $ - $ - Accounts Receivable, Net 22,645,104 45,971 1,128,858 340 379,307 1,250,000 Investments 8,263,692 3,602,121 13,762,397 63,720 Inventories 2,506,523 Prepaid Expenses 1,795,190 11,917 29,000 Deferred Outflows - FRS Pension 36,541,093 Deferred Outflows - HIS Pension 9,318,117 Capital Leases, Net 6,119,276 Land 32,987,698 Buildings, Net 179,087,737 Leasehold Improvements, Net 2,754,163 Other Structures & Improvements, Net 2,241,178 Furniture & Equipment, Net 29,587,370 Construction in Progress 33,866,938 TOTAL ASSETS $ 104,314,564 $ 2,155,744 $ 13,679,558 $ 6,158,811 $ 14,058,752 $ 4,373,496 $ 31,637,203 $ 63,720 $ 286,644,360 LIABILITIES AND FUND BALANCE Liabilities: Accounts Payable $ 146,181 $ 32,515 $ 89,945 $ 7,938 $ - $ - $ - $ - $ - Retainage Payable 2,222,541 Salaries & Benefits Payable 16,481,241 $ 278 Health Insurance Claims Reserve 13,619,518 Net FRS Pension Liability NonCurr 47,987,953 Net HIS Pension Liability NonCurr 31,841,030 Deferred Inflows - FRS Pension Deferred Inflows - HIS Pension 10,860,800 74,675 Sales Tax Payable 776 52,676 Capital Leases Payable 6,588,037 Bonds Payable 2,923,000 Leases Payable Total Liabilities $ 121,012,173 $ 32,515 $ 142,899 $ 7,938 $ - $ - $ 2,222,541 $ - $ 9,511,037 Fund Balance: Funds Restricted for Encumbrances $ 6,918,145 795,538 334,202 169,031 $ - $ - 3,226,325 $ - $ - Investment in Plant 277,133,324 Unallocated Fund Balance (23,615,754) 1,327,691 13,202,457 5,981,843 $ 14,058,752 4,373,496 26,188,337 63,720 Total Fund Balance $ (16,697,609) $ 2,123,229 $ 13,536,659 $ 6,150,874 $ 14,058,752 $ 4,373,496 $ 29,414,661 $ 63,720 $ 277,133,324 TOTAL LIABILITIES AND FUND BALANCE $ 104,314,564 $ 2,155,744 $ 13,679,558 $ 6,158,811 $ 14,058,752 $ 4,373,496 $ 31,637,203 $ 63,720 $ 286,644,360 8