Santa Rosa County District Schools

Similar documents
Santa Rosa County District Schools

Santa Rosa County District Schools

Santa Rosa County District Schools

Santa Rosa County District Schools

Monthly Financial Statement

Unrestricted Cash / Board Designated Cash & Investments December 2014

SCHOOL BOARD OF POLK COUNTY

XML Publisher Balance Sheet Vision Operations (USA) Feb-02

Projections/Estimated - Unrestricted Cash / Board Designated Cash & Investments March 2018

MONTHLY FINANCIAL SUMMARY FISCAL YEAR (MARCH)

Big Walnut Local School District

HOLLY DRIVE LEADERSHIP ACADEMY CASHFLOW PROJECTIONS FISCAL YEAR

Big Walnut Local School District

Unrestricted Cash / Board Designated Cash & Investments December 2015

Sales Tax Collection Report. For The Month Ending 03/31/14. February 2014 Sales

VALENCIA COLLEGE FINANCIAL SUMMARY FISCAL YEAR As of March 31, 2016

Projections/Estimated - Unrestricted Cash / Board Designated Cash & Investments September 2017

City of Justin NOVEMBER

City of Joliet 2014 Revenue Review. October 2013

MONTHLY FINANCIAL SUMMARY FISCAL YEAR (SEPTEMBER)

VALENCIA COLLEGE FINANCIAL SUMMARY FISCAL YEAR As of April 30, 2016

11 May Report.xls Office of Budget & Fiscal Planning

HUD NSP-1 Reporting Apr 2010 Grantee Report - New Mexico State Program

Review of Membership Developments

SmallBizU WORKSHEET 1: REQUIRED START-UP FUNDS. Online elearning Classroom. Item Required Amount ($) Fixed Assets. 1 -Buildings $ 2 -Land $

Executive Summary. July 17, 2015

Financial Report for the Month of SEPTEMBER

Factor Leave Accruals. Accruing Vacation and Sick Leave

Financial & Business Highlights For the Year Ended June 30, 2017

Spheria Australian Smaller Companies Fund

WESTWOOD LUTHERAN CHURCH Summary Financial Statement YEAR TO DATE - February 28, Over(Under) Budget WECC Fund Actual Budget

Business & Financial Services December 2017

Loveland City School District

(5)+(6)+(7)+(8) (9) / (4) (4) (9) (1) (2) (3) (4) (5) (6) (7) (8) (9) (10) (11)

Cash reserved for capital projects (impact fees) $ 1,197,524

Key IRS Interest Rates After PPA

PHOENIX ENERGY MARKETING CONSULTANTS INC. HISTORICAL NATURAL GAS & CRUDE OIL PRICES UPDATED TO July, 2018

City of Monticello, Minnesota Telecommunications Revenue Bonds (Fibernet Monticello Project)

Aug 7, 2017 Board of Directors Meeting. YTD June 2017 Financial Results

Cash reserved for capital projects (impact fees) $ 200,000

Cash reserved for capital projects (impact fees) $ 200,000

General Fund Revenue

Florence Marina State Park Business Plan. Table of Contents

Revenue Estimating Conference Tobacco Tax and Surcharge Executive Summary

Enclosed you will find the spending plan reports for the month of December The differences, where significant, will be explained below.

CURRENT CLOSURE STATUS OF ELIGIBLE DISCHARGES. Eligible Discharges Rehabilitated per Fiscal Year as of September 29, 2017

Review of Registered Charites Compliance Rates with Annual Reporting Requirements 2016

Summary 5 Year Cash Flow Projections

Charlotte County Airport Authority BUDGET WORKSHOP AGENDA August 2, :00 A.M. Punta Gorda Airport

Choosing a Cell Phone Plan-Verizon Investigating Linear Equations

Net Quick Assets. Target = $475,816 (5 months operating expenses) 12 Month Average Monthly Operating Expenses = $95,163

Financial Statements For Ten Months Ended April 2014 (Unaudited)

HIGHLIGHTS OF CHANGES IN EXPENSES - YEAR OVER YEAR COMPARISON

Bentonville School District Budget to Actual - Summary of All Funds Two Months Ended August 31, 2016

December 10, Butler School District 53 1

PERSONAL TAX INFORMATION WORKSHEET

Financial Report - FY 2017 Year to Date May 31, 2017

Net Quick Assets. Target = $510,050 (6 months operating expenses) 12 Month Average Monthly Operating Expenses = $85,008

PI WORKCENTER REFERENCE GUIDE

Moccasin Creek State Park Business Plan. Table of Contents

2. Staffing (FTE all funds) Budget Actual Over (Under) Certificated 1, , (10.60) Classified (8.39)

General Fund Revenues, Expenditures & Other Changes in Fund Balance Midway ISD

Accountant s Compilation Report

FINANCIAL STATMENT SCHEDULES POSTED ONLINE

HIGHER EDUCATION FINANCIAL YEAR APRIL 2005 TO MARCH 2006 CASH MONITORING REPORT BUDGET APPROVED FORECAST

TOTAL PROJECTED INCREASE IN REVENUE $ 1,052,000

Revenue SFY 2016 Budget * Beginning

Cash & Liquidity The chart below highlights CTA s cash position at September 2017 compared to September 2016.

THE SCHOOL BOARD OF BREVARD COUNTY, FLORIDA FINANCIAL STATEMENTS FOR THE PERIOD ENDING NOVEMBER 30, 2016

FOR RELEASE: MONDAY, MARCH 21 AT 4 PM

General Fund Revenue with Comparison to

TERMS OF REFERENCE FOR THE INVESTMENT COMMITTEE

Estimated Revenue and transfers In Changes

Financial Statements For Seven Months Ended January 2014 (Unaudited)

Development of Economy and Financial Markets of Kazakhstan

Isle Of Wight half year business confidence report

MIAMI PARKING AUTHORITY

Regional overview Gisborne

CPA Australia Plan Your Own Enterprise Competition

Investing for now and the future. Co-opTrust Investment Services Presentation by Lydia Muchiri 26 June 2010

THE SCHOOL BOARD OF BREVARD COUNTY, FLORIDA FINANCIAL STATEMENTS FOR THE PERIOD ENDING FEBRUARY 28, 2017

Cost Estimation of a Manufacturing Company

Tax Year Dear Client:

1.2 The purpose of the Finance Committee is to assist the Board in fulfilling its oversight responsibilities related to:

CWC LA - Cash Balance (October 2012)

MARK TWAIN HEALTH CARE DISTRICT:

THE SCHOOL BOARD OF BREVARD COUNTY, FLORIDA FINANCIAL STATEMENTS FOR THE PERIOD ENDING APRIL 30, 2017

Algo Trading System RTM

[Business Plan Title]

Regional overview Hawke's Bay

Investit Software Inc. INVESTOR PRO CANADA 20 UNIT CONDOMINIUM DEVELOPMENT EXAMPLE

Black Rock Mountain State Park Business Plan. Table of Contents

Pre-Existing Condition Insurance Plan Washington State (PCIP-WA) November 2014 Financial Review

Common stock prices 1. New York Stock Exchange indexes (Dec. 31,1965=50)2. Transportation. Utility 3. Finance

Fiscal Year 2018 Project 1 Annual Budget

METRO. Fiscal Year 2012 Monthly Board Report. September 2012 (Fourth Quarter Fiscal Year-to-Date)

Cash reserved for capital projects (Stations 2 and 5) $ 1,288,208

Constructing a Cash Flow Forecast

Net Quick Assets. Target = $454,424 (5 months operating expenses) 12 Month Average Monthly Operating Expenses = $90,885

District Budget Santa Rosa County School Board FISCAL YEA R JULY 1, 2015 JUNE 30, 2016

Transcription:

Santa Rosa County District Schools Fiscal Year 2010 2011 MONTHLY FINANCIAL STATEMENT Month Ending March 31, 2011 School Board Meeting June 23, 2011

Enclosed is the Monthly Financial Statement for the Santa Rosa County School District. Included is data that is helpful in evaluating the financial condition at a given point in time. As always, please feel free to question the data or make suggestions that would improve the usefulness of this document. Below are explanations that you may find helpful. All revenue and expenditures listed are on a "cash basis" only. We recognize that generally accepted accounting principles require the use of the modified accrual basis of accounting for governmental funds. This means that revenues are recognized when they become both measurable and available to finance expenditures of the fiscal period. Expenditures are generally recognized when the related liability is incurred and the transaction or event is expected to draw upon current spendable resources. We feel the best way to measure and compare from month to month and to make it easier to understand, we have opted to show literally on a cash basis the figures showing revenue and expenditures. We hope it helps the casual user in comparing the operation of the school system year to year and generally give an idea of where the district is financially at any given point in time. Jul-10 No significant comments Aug-10 No significant comments Sep-10 No significant comments Oct-10 No significant comments Nov-10 No significant comments Dec-10 No significant comments Jan-11 No significant comments Feb-11 No significant comments Mar-11 No significant comments Apr-11 May-11 Jun-11 Page 1a

Budget Balances for Revenue as of March 2011 by Major Revenue Collected % of Budget Revenue # Revenue Name Budget To Date Balance Collected 100 Federal Direct $ 650,000 $ 679,589 $ (29,589) 105% 200 Federal thru State $ 400,000 $ 535,911 $ (135,911) 134% 300 State $ 102,481,140 $ 77,122,089 $ 25,359,051 75% 400 Local $ 54,597,401 $ 46,831,735 $ 7,765,667 86% 600 Transfers $ 3,562,534 $ 3,562,534 0% 700 Debt Proceeds/Sales of Capital Assets (Insurance Loss Recoveries) $ 40,775 0% Total $ 161,691,076 $ 125,210,098 $ 36,480,977 77% Budget Balances for Revenue as of March 2011 by Major Revenue Collected % of Budget Revenue # Revenue Name Budget To Date Balance Collected 100 Federal Direct $ 4,873,579 $ 2,543,462 $ 2,330,117 52% 200 Federal thru State $ 39,814,766 $ 21,415,063 $ 18,399,703 54% 300 State $ 104,740,438 $ 77,755,207 $ 26,985,231 74% 400 Local $ 77,887,374 $ 65,416,391 $ 12,470,984 84% 600 Transfers $ 8,080,945 $ 3,426,351 $ 4,654,595 42% 700 Debt Proceeds/Sales of Capital Assets (Insurance Loss Recoveries) $ 1,103,117 $ 2,807,886 $ (1,704,769) 255% Total $ 236,500,220 $ 173,364,360 $ 63,135,860 73% Page 2

Budget Balances for Expenditures as of March 2011 by Major Function & Object Object #100 Object #200 Object #300 Object #400 Object #500 Object #600 Object #700 Object #900 Total Employee Purchased Energy Materials Capital Other Expended Encumbered/ % of Budget Function # Function Name Budget Salaries Benefits Services Services & Supplies Outlay Expenses Transfers As Of 3/31/11 Committed Balance Exp/Enc 5000 Instruction $ 100,463,961 $ 5,588,075 $ 1,539,256 $ 137,208 $ 154,795 $ 13,890 $ 113,322 $ 7,546,546 $ 718,203 $ 92,199,212 8% 6000 Instructional Support $ 16,706,785 $ 681,226 $ 180,479 $ 193,044 $ 881 $ 18,353 $ 47,087 $ 7,779 $ 1,128,849 $ 1,447,343 $ 14,130,594 15% 7000 General Support $ 43,452,007 $ 1,180,665 $ 470,578 $ 1,209,256 $ 500,939 $ 10,513 $ 9,080 $ 4,123 $ 3,385,153 $ 1,570,350 $ 38,496,503 11% 8000 Maintenance of Plant $ 6,137,595 $ 207,949 $ 70,273 $ 74,652 $ 8,056 $ 31,410 $ 34,067 $ 1,142 $ 427,550 $ 514,732 $ 5,195,313 15% Community Services/ 9000 Debt Service/Transfers $ 2,085,182 $ 111,074 $ 9,589 $ 4,862 $ 4,945 $ 390 $ 204 $ 131,065 $ 28,799 $ 1,925,318 8% Total $ 168,845,531 $ 7,768,989 $ 2,270,176 $ 1,619,023 $ 509,876 $ 220,016 $ 104,515 $ 126,569 $ 12,619,163 $ 4,279,428 $ 151,946,940 10% Budget Balances for Expenditures as of March 2011 by Major Function & Object Object #100 Object #200 Object #300 Object #400 Object #500 Object #600 Object #700 Object #900 Total Employee Purchased Energy Materials Capital Other Expended Encumbered/ % of Budget Function # Function Name Budget Salaries Benefits Services Services & Supplies Outlay Expenses Transfers As Of 3/31/11 Committed Balance Exp/Enc 5000 Instruction $ 123,391,441 $ 6,688,882 $ 1,859,286 $ 289,893 $ 41 $ 206,377 $ 113,776 $ 145,028 $ 9,303,284 $ 1,245,425 $ 112,842,732 9% 6000 Instructional Support $ 29,177,565 $ 987,511 $ 263,083 $ 493,672 $ 881 $ 81,302 $ 69,276 $ 33,404 $ 1,929,130 $ 2,014,615 $ 25,233,821 14% 7000 General Support $ 95,305,356 $ 1,200,409 $ 475,851 $ 2,327,512 $ 551,284 $ (34,911) $ 1,157,903 $ 73,802 $ 5,751,850 $ 11,344,695 $ 78,208,811 18% 8000 Maintenance of Plant $ 8,087,227 $ 207,949 $ 70,273 $ 74,652 $ 8,056 $ 31,410 $ 171,257 $ 1,142 $ 564,740 $ 727,932 $ 6,794,555 16% Community Services/ 9000 Debt Service/Transfers $ 16,202,092 $ 112,385 $ 10,002 $ 5,266 $ 4,945 $ 390 $ 19,348 $ 152,336 $ 30,634 $ 16,019,122 1% Total $ 272,163,682 $ 9,197,135 $ 2,678,495 $ 3,190,996 $ 560,262 $ 289,124 $ 1,512,602 $ 272,725 $ 17,701,339 $ 15,363,302 $ 239,099,041 12% Page 3

General School Fund (Fund 100) Budget and Expenditures By Type (Does Not Include Payroll & Benefit Expenditures) Average Monthly Annual Monthly July August September October November December January February March Year-to-Date Expenditures Obj # Expenditure Type Budget Budget* Expend Expend Expend Expend Expend Expend Expend Expend Expend Expend. Total for Year-to-Date 310 Profess/Tech Services Instruc $ 3,259,816.41 $ 271,651.37 $ 61,938.69 $ 25,625.87 $ 143,845.04 $ 278,722.72 $ 276,330.83 $ 176,439.19 $ 227,159.53 $ 121,619.88 $ 208,745.67 $ 1,520,427.42 $ 168,936.38 311 Prof Serv Subagree 1st $25K $ 20,000.00 $ 1,666.67 $ 10,000.00 $ 10,000.00 $ 1,111.11 320 Insurance/Bond Premiums $ 1,212,414.61 $ 101,034.55 $ 601,018.68 $ 21,712.47 $ 200,339.56 $ 200,339.56 $ 11,439.13 $ 5,000.00 $ 225.13 $ 1,040,074.53 $ 115,563.84 331 In County Travel $ 189,212.21 $ 15,767.68 68 $ 3,784.04 $ 3,785.21 $ 5,406.56 56 $ 10,737.39 39 $ 9,869.72 $ 9,842.96 96 $ 6,949.91 91 $ 10,976.42 $ 10,529.13 13 $ 71,881.34 $ 7,986.82 82 332 Out of County Travel $ 244,377.04 $ 20,364.75 $ 11,512.24 $ 6,099.57 $ 9,095.75 $ 21,670.48 $ 9,894.58 $ 14,473.56 $ 7,789.82 $ 8,740.03 $ 8,167.44 $ 97,443.47 $ 10,827.05 350 Repairs/Maintenance $ 573,321.26 $ 47,776.77 $ 34,106.04 $ 32,743.83 $ 42,226.16 $ 29,240.11 $ 21,080.38 $ 25,760.28 $ 35,951.41 $ 16,697.67 $ 12,220.22 $ 250,026.10 $ 27,780.68 360 Rentals $ 1,112,419.24 $ 92,701.60 $ 112,786.50 $ 97,463.61 $ 19,671.56 $ 62,102.71 $ 59,884.13 $ 58,126.61 $ 53,585.69 $ 54,086.91 $ 29,701.87 $ 547,409.59 $ 60,823.29 371 Local Phone $ 485,264.37 $ 40,438.70 $ 27,898.86 $ 42,364.73 $ 42,567.63 $ 23,685.25 $ 25,642.18 $ 7,071.67 $ 71,725.23 $ 33,318.89 $ 23,513.01 $ 297,787.45 $ 33,087.49 372 Long Distance Phone $ 83,723.00 $ 6,976.92 $ 6,166.83 $ 6,528.73 $ 6,586.24 $ 882.10 $ 739.84 $ 5,443.83 $ 3,124.05 $ 2,980.51 $ 32,452.13 $ 3,605.79 373 Phone Install/Repair $ 2,561.47 $ 213.46 $ - 374 Postage $ 107,148.97 $ 8,929.08 $ 7,991.64 $ 14,209.73 $ 12,704.81 $ 4,266.98 $ 8,859.78 $ 2,134.55 $ 1,032.74 $ 222.79 $ 3,578.75 $ 55,001.77 $ 6,111.31 375 Cell Phones $ 49,971.17 $ 4,164.26 $ 432.68 $ 466.25 $ 633.79 $ 343.15 $ 1,540.93 $ 263.95 $ 245.28 $ (852.34) $ 120.03 $ 3,193.72 $ 354.86 376 Wireless Communication $ 543.99 $ 45.33 $ 543.99 $ 543.99 $ 60.44 383 Water $ 191,358.50 $ 15,946.54 $ 15,138.70 $ 7,654.35 $ 8,081.60 $ 24,203.76 $ 15,192.96 $ 15,387.09 $ 17,821.64 $ 12,083.31 $ 17,524.11 $ 133,087.52 $ 14,787.50 384 Sewage $ 239,103.81 $ 19,925.32 $ 19,949.29 $ 11,103.89 $ 11,603.09 $ 27,944.55 $ 21,174.35 $ 18,942.15 $ 22,308.23 $ 15,926.39 $ 19,370.29 $ 168,322.23 $ 18,702.47 385 Garbage Removal $ 262,417.10 $ 21,868.09 $ 12,269.36 $ 19,437.72 $ 19,160.93 $ 19,679.95 $ 15,290.49 $ 21,765.36 $ 19,381.53 $ 16,439.85 $ 18,214.34 $ 161,639.53 $ 17,959.95 390 Other Services $ 16,628,801.59 $ 1,385,733.47 $ 177,493.85 $ 1,677,298.43 $ 1,328,262.39 $ 1,254,144.60 $ 1,193,320.64 $ 1,202,278.59 $ 1,240,543.59 $ 603,748.40 $ 1,264,357.28 $ 9,941,447.77 $ 1,104,605.31 410 Natural Gas $ 290,493.00 $ 24,207.75 $ 4,660.83 $ 3,166.25 $ 3,316.58 $ 6,690.71 $ 6,261.07 $ 11,579.54 $ 38,410.84 $ 63,312.68 $ 35,867.77 $ 173,266.27 $ 19,251.81 420 Propane $ 13,610.00 $ 1,134.17 $ 721.67 $ (146.82) $ 395.29 $ 624.18 $ 1,474.28 $ 3,015.16 $ 4,433.85 $ (189.75) $ 10,327.86 $ 1,147.54 430 Electricity $ 5,754,084.55 $ 479,507.05 $ 601,845.48 $ 555,922.91 $ 429,494.86 $ 637,222.07 $ 408,005.89 $ 514,422.88 $ 512,345.75 $ 525,715.85 $ 300,357.94 $ 4,485,333.63 $ 498,370.40 450 Gas $ 249,769.30 $ 20,814.11 $ 21,788.62 $ 9,078.84 $ 17,618.90 $ 15,595.92 $ 6,357.01 $ 11,379.71 $ 3,860.01 $ 18,962.28 $ 14,040.00 $ 118,681.29 $ 13,186.81 460 Diesel $ 1,375,348.89 $ 114,612.41 $ 113,494.16 $ 7,187.10 $ 94,513.22 $ 166,038.95 $ 128,759.91 $ 118,366.95 $ 142,666.49 $ 163,666.01 $ 159,800.31 $ 1,094,493.10 $ 121,610.34 510 Supplies $ 2,871,536.84 $ 239,294.74 $ 97,562.54 $ 108,704.75 $ 432,243.73 $ 296,714.08 $ 105,660.98 $ 137,051.98 $ 105,251.72 $ 95,578.74 $ 121,590.24 $ 1,500,358.76 $ 166,706.53 515 Supplies-Meals/Headstart $ 3,923.33 $ 326.94 $ 45.38 $ 16.59 $ 154.00 $ 634.56 $ 426.00 $ 166.27 $ 527.86 $ 602.00 $ 322.80 $ 2,895.46 $ 321.72 520 Textbooks $ 4,301,474.82 $ 358,456.24 $ 34,932.48 $ 1,139,984.88 $ 785,234.77 $ 240,562.89 $ 172,906.49 $ 36,338.83 $ 19,284.99 $ 63,212.35 $ 97,856.76 $ 2,590,314.44 $ 287,812.72 530 Periodicals $ 25,245.90 $ 2,103.83 $ 1,596.55 $ 603.09 $ 813.93 $ 3,078.04 $ 701.00 $ 285.55 $ 1,281.74 $ 784.71 $ 246.39 $ 9,391.00 $ 1,043.44 550 Repair Parts $ 8,326.72 $ 693.89 $ - 570 Food $ 572.50 $ 47.71 $ - 590 Other Materials/Supplies $ 4,637.99 $ 386.50 $ - 610 Library Books $ 10,088.20 $ 840.68 $ - 612 Library Bks/Existing Library $ 223,939.25 $ 18,661.60 $ 5,887.11 $ 6,089.65 $ 5,678.12 $ 12,137.73 $ 12,440.43 $ 23,334.60 $ 16,626.18 $ 11,328.48 $ 23,234.01 $ 116,756.31 $ 12,972.92 621 A.V.Material > = $1000 $ 9,409.31 $ 784.11 $ - 622 A.V.Material < $1000 $ 37,132.61 $ 3,094.38 $ 939.00 $ 1,784.08 $ 1,511.57 $ 2,623.07 $ 3,838.62 $ 4,656.94 $ 3,280.05 $ 1,098.28 $ 1,236.71 $ 20,968.32 $ 2,329.81 630 Buildings/Fixed Equipment $ 135.00 $ 11.25 $ - 641 FF&E > = $1000 $ 233,937.94 $ 19,494.83 $ 2,786.46 $ 30,317.00 $ 64,658.80 $ 50,440.51 $ 495.00 $ 2,130.00 $ 4,975.82 $ 5,078.00 $ 160,881.59 $ 17,875.73 642 FF&E < $1000 $ 446,183.30 $ 37,181.94 $ 20,128.78 $ 41,903.10 $ 34,508.28 $ 25,120.82 $ 23,331.12 $ 18,401.28 $ 13,187.31 $ 12,851.68 $ 15,335.13 $ 204,767.50 $ 22,751.94 643 Computer Equip > = $1000 $ 1,198,606.34 $ 99,883.86 $ 31,810.18 $ 59,567.87 $ 20,632.37 $ 266,998.38 $ 50,080.00 $ 31,788.76 $ 32,388.00 $ 4,757.29 $ 498,022.85 $ 55,335.87 644 Computer Equip < $1000 $ 522,311.61 $ 43,525.97 $ 29,016.40 $ 49,371.58 $ 35,997.45 $ 43,624.92 $ 24,755.92 $ 39,604.76 $ 8,384.16 $ 29,266.32 $ 22,411.39 $ 282,432.90 $ 31,381.43 652 Motor Vehicles $ 132,300.00 $ 11,025.00 $ 41,226.00 $ 10,100.00 $ 2,400.00 $ 53,726.00 $ 5,969.56 670 Land Improvements $ 9,048.58 $ 754.05 $ - 671 Architect/Engineering $ 50,610.20 $ 4,217.52 $ 5,290.99 99 $ 9,591.63 $ 25,394.91 91 $ 40,277.53 $ 4,475.28475 672 Noncapitalized Improvements $ 54,357.90 $ 4,529.83 $ 17,131.83 $ 7,293.07 $ 14,952.00 $ 461.00 $ 200.00 $ 40,037.90 $ 4,448.66 680 Remodeling/Renovations $ 12,379.46 $ 1,031.62 $ - 681 Capitalized Remod/Renovations $ 3,815.93 $ 317.99 $ 3,730.00 $ 3,730.00 $ 414.44 682 Noncap Remod/Renovations $ 318,210.86 $ 26,517.57 $ 15,507.54 $ 17,065.24 $ 20,232.01 $ 62,351.04 $ 5,649.31 $ 38,109.59 $ 31,852.17 $ 29,423.65 $ 31,601.29 $ 251,791.84 $ 27,976.87 691 Software > = $1000 $ 108,628.71 $ 9,052.39 $ 38,750.00 $ 2,000.00 $ 2,210.00 $ 20,360.00 $ 4,760.00 $ 2,950.00 $ 4,380.00 $ 75,410.00 $ 8,378.89 692 Software < $1000 $ 70,288.88 $ 5,857.41 $ 1,611.82 $ 3,538.33 $ 2,758.34 $ 11,163.16 $ 6,381.90 $ 6,824.00 $ 4,382.54 $ 3,377.09 $ 1,359.06 $ 41,396.24 $ 4,599.58 730 Dues/Fees $ 168,287.18 $ 14,023.93 $ 59,235.02 $ 7,318.94 $ 2,900.28 $ 5,313.29 $ 7,264.36 $ 3,122.57 $ 6,771.25 $ 1,409.91 $ 3,567.26 $ 96,902.88 $ 10,766.99 790 Misc Expense $ 19,993.32 $ 1,666.11 $ 2,800.00 $ 5,500.00 $ 3,297.00 $ 11,597.00 $ 1,288.56 940 Transfers $ 149,207.00 $ 12,433.92 $ 135,612.16 $ 1,901.00 $ 137,513.16 $ 15,279.24 Totals $ 43,340,350.16 $ 3,611,695.85 $ 2,138,135.75 $ 4,053,421.24 $ 3,862,663.33 $ 3,642,753.88 $ 2,868,854.47 $ 2,582,675.58 $ 2,811,903.63 $ 1,934,607.26 $ 2,456,997.25 $ 26,352,012.39 $ 2,928,001.38 *Monthly budget is simply the most recent annual budget amount divided by 12 since there are no monthly budget amounts for the School District Page 4

Cash Balances (Including Investments) by Month Prior Prior Prior Current Month FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July $ 33,017,125 $ 32,531,982 $ 26,734,459 $ 30,742,184 August $ 36,875,157 $ 34,867,787 $ 29,568,255 $ 32,445,127 September $ 33,334,072 $ 30,834,880 $ 26,103,074 $ 27,224,463 October $ 29,113,466 $ 25,520,814 $ 21,702,514 $ 23,683,568 November $ 49,319,593 $ 38,289,412 $ 27,148,309 $ 22,480,939 December $ 55,332,123 $ 53,283,377 $ 50,794,097 $ 53,080,096 January $ 53,547,418 $ 51,425,970 $ 50,223,762 $ 51,387,678 February $ 50,885,481 $ 48,667,914 $ 47,110,603 $ 50,426,916 March $ 45,457,808 $ 45,741,899 $ 44,823,890 $ 48,733,781 April $ 50,684,747 $ 44,469,091 $ 45,176,549 May $ 46,373,631 $ 39,910,238 $ 42,434,035 June $ 27,160,892 $ 22,408,321 $ 27,663,823 Cash Balances (Including Investments) by Month Prior Prior Prior Current Month FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July $ 37,384,839 $ 59,841,143 $ 49,903,283 $ 55,624,185 August $ 62,827,867 $ 61,100,147 $ 52,917,782 $ 56,292,289 September $ 57,886,554 $ 56,704,610 $ 49,876,946 $ 49,695,616 October $ 53,280,391 $ 50,397,883 $ 45,310,019 $ 47,743,663 November $ 80,298,830 $ 67,412,599 $ 52,519,495 $ 46,018,243 December $ 85,142,976 $ 81,893,482 $ 81,594,115 $ 83,659,903 January $ 85,734,541 $ 82,144,681 $ 80,360,909 $ 83,157,170 February $ 83,981,707 $ 79,441,570 $ 77,342,058 $ 80,981,339 March $ 78,774,276 $ 76,900,298 $ 74,046,936 $ 80,069,474 April $ 82,314,980 $ 77,157,589 $ 73,682,044 May $ 78,673,831 $ 69,701,786 $ 68,904,559 June $ 57,530,826 $ 47,086,484 $ 53,727,448 Page 5

Cash Balances (Including Investments) by Month Millions $ $60,000,000 $50,000,000 $40,000,000 $30,000,000 $20,000,000 $10,000,000 $0 FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July August September October November December January February Month March April May June Cash Balances (Including Investments) by Month Millions $ $100,000,000 $90,000,000 $80,000,000 $70,000,000 $60,000,000 $50,000,000 $40,000,000 $30,000,000 $20,000,000 $10,000,000 $0 FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July August September October November December January Month February March April May June Page 6

Revenue by Month (Collections) Prior % of Prior % of Prior % of Current % of Month FY 2007-08 Year FY 2008-09 Year FY 2009-10 Year FY 2010-11 Year July $ 11,372,866 6% $ 11,033,244 6% $ 9,619,644 6% $ 8,939,646 7% August $ 10,827,018 12% $ 9,559,863 12% $ 9,997,578 12% $ 9,193,275 14% September $ 10,651,443 18% $ 10,936,762 18% $ 8,097,963 17% $ 8,670,822 21% October $ 11,023,336 24% $ 10,603,433 25% $ 9,859,423 23% $ 9,648,052 29% November $ 35,256,372 44% $ 28,727,396 41% $ 17,192,846 34% $ 12,529,159 39% December $ 22,309,090 57% $ 28,787,742 58% $ 38,105,243 57% $ 44,174,990 74% January $ 12,035,772 63% $ 10,849,527 64% $ 10,895,850 64% $ 10,335,982 83% February $ 12,605,637 70% $ 10,915,742 71% $ 10,425,917 70% $ 10,905,053 91% March $ 11,729,901 77% $ 10,270,886 77% $ 10,391,347 76% $ 10,813,119 100% April $ 15,559,545 86% $ 13,394,878 84% $ 12,600,226 84% 100% May $ 12,010,357 92% $ 10,529,679 91% $ 10,029,097 90% 100% June $ 13,923,691 100% $ 16,179,144 100% $ 15,648,061 100% 100% Total $ 179,305,031 $ 171,788,295 $ 162,863,195 $ 125,210,098 Revenue by Month (Collections) Prior % of Prior % of Prior % of Current % of Month FY 2007-08 Year FY 2008-09 Year FY 2009-10 Year FY 2010-11 Year July $ 12,050,343 5% $ 11,898,835 5% $ 10,218,591 4% $ 9,619,752 6% August $ 12,764,488 11% $ 11,403,903 11% $ 11,507,012 9% $ 12,205,953 13% September $ 12,907,149 16% $ 13,265,161 17% $ 11,098,473 14% $ 11,652,742 19% October $ 14,069,018 22% $ 13,696,097 23% $ 15,209,139 20% $ 13,980,547 27% November $ 44,017,757 41% $ 35,819,120 39% $ 23,286,823 30% $ 20,790,569 39% December $ 29,991,742 54% $ 36,895,895 56% $ 60,828,673 56% $ 59,435,996 74% January $ 16,733,743 61% $ 16,181,389 63% $ 16,840,531 63% $ 14,717,948 82% February $ 16,907,934 69% $ 14,422,866 70% $ 14,707,474 69% $ 15,051,644 91% March $ 15,383,317 75% $ 13,772,253 76% $ 14,623,113 75% $ 15,909,209 100% April $ 20,222,036 84% $ 17,082,186 84% $ 17,104,520 82% 100% May $ 16,659,510 91% $ 13,648,306 90% $ 14,247,837 88% 100% June $ 20,909,442 100% $ 22,103,977 100% $ 28,425,168 100% 100% Total $ 232,616,479 $ 220,189,988 $ 238,097,353 $ 173,364,360 Page 7

Revenue by Month (Collections) Millions $ $50,000,000 $45,000,000 $40,000,000 $35,000,000 $30,000,000 $25,000,000 $20,000,000 $15,000,000 $10,000,000 $5,000,000 $- FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July August September October November December January Month February March April May June Revenue by Month (Collections) Millions $ $70,000,000 $60,000,000 $50,000,000 $40,000,000 $30,000,000 $20,000,000 $10,000,000 $- FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July August September October November December January Month February March April May June 1 Page 8

Expenditures by Month (No Encumbrances) Prior % of Prior % of Prior % of Current % of Month FY 2007-08 Year FY 2008-09 Year FY 2009-10 Year FY 2010-11 Year July $ 5,009,299 3% $ 5,089,497 3% $ 4,644,423 3% $ 4,538,117 4% August $ 5,605,677 6% $ 6,347,423 6% $ 5,315,121 6% $ 6,546,038 11% September $ 14,384,133 14% $ 14,403,588 15% $ 11,220,854 13% $ 13,662,251 24% October $ 15,251,775 22% $ 15,685,959 24% $ 14,843,755 23% $ 13,793,821 38% November $ 16,131,498 31% $ 14,822,596 32% $ 12,838,555 31% $ 13,678,027 51% December $ 13,892,205 39% $ 13,600,175 40% $ 12,938,110 39% $ 13,146,049 64% January $ 15,270,458 48% $ 14,352,459 48% $ 12,664,151 47% $ 12,837,516 76% February $ 15,231,115 56% $ 13,666,140 56% $ 12,389,036 55% $ 11,886,481 88% March $ 15,606,661 65% $ 13,319,233 63% $ 12,461,822 63% $ 12,619,163 100% April $ 11,033,796 71% $ 14,786,931 72% $ 12,679,002 71% 100% May $ 17,345,855 81% $ 14,230,946 80% $ 12,749,077 79% 100% June $ 34,847,694 100% $ 35,762,724 100% $ 32,733,361 100% 100% Total $ 179,610,166 $ 176,067,671 $ 157,477,269 $ 102,707,464 Expenditures by Month (No Encumbrances) Prior % of Prior % of Prior % of Current % of Month FY 2007-08 Year FY 2008-09 Year FY 2009-10 Year FY 2010-11 Year July $ 6,153,239 3% $ 9,152,136 4% $ 7,225,670 3% $ 6,300,845 4% August $ 9,927,111 7% $ 10,407,055 8% $ 8,472,741 7% $ 11,599,250 12% September $ 17,940,598 14% $ 18,011,237 16% $ 14,573,905 13% $ 17,933,024 24% October $ 17,916,969 22% $ 19,950,458 24% $ 21,409,422 22% $ 18,911,053 37% November $ 18,280,324 30% $ 17,624,700 32% $ 17,951,840 30% $ 21,197,283 51% December $ 20,603,230 39% $ 18,872,829 40% $ 19,145,413 39% $ 19,725,087 64% January $ 18,156,992 46% $ 19,577,366 48% $ 19,304,998 47% $ 17,881,095 76% February $ 19,949,989 55% $ 19,740,332 57% $ 18,625,248 55% $ 18,482,032 88% March $ 19,806,550 63% $ 16,272,565 64% $ 17,350,402 63% $ 17,701,339 100% April $ 17,282,161 71% $ 18,208,860 71% $ 18,144,608 71% 100% May $ 22,549,240 80% $ 19,039,142 79% $ 18,451,199 79% 100% June $ 46,271,892 100% $ 48,680,745 100% $ 49,042,647 100% 100% Total $ 234,838,296 $ 235,537,425 $ 229,698,094 $ 149,731,007 Page 9

Expenditures by Month (No Encumbrances) Millions $ $40,000,000 $35,000,000 $30,000,000 $25,000,000 $20,000,000 $15,000,000 $10,000,000 $5,000,000 $- FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July August September October November December January Month February March April May June Expenditures by Month (No Encumbrances) $60,000,000 $50,000,000 Millions $ $40,000,000 $30,000,000 $20,000,000 FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 $10,000,000 $- July August September October November December February January Month March April May June Page 10

Revenue by Month by Type (Collections) Prior FY 2007-08 Prior FY 2008-09 Prior FY 2009-10 Current FY 2010-11 Month Federal State Local,Transfers Federal State Local,Transfers Federal State Local,Transfers Federal State Local,Transfers July $ 11,039,662 $ 333,204 $ 46,563.00 $ 10,663,745 $ 322,936 $ 14,267.04 $ 9,278,264 $ 327,113 $ 8,697,824 $ 241,822 August $ 9,987,393 $ 839,626 $ 201,695.00 $ 8,842,767 $ 515,400 $ 19,580.93 $ 9,085,334 $ 892,663 $ 286,644.70 $ 8,373,096 $ 533,535 September $ 10,060,159 $ 591,285 $ 1,800.02 $ 10,666,129 $ 268,832 $ 54,725.00 $ 7,664,958 $ 378,280 $ 8,364,558 $ 306,263 October $ 10,511,463 $ 511,873 $ 23,370.00 $ 9,874,067 $ 705,997 $ 174,897.29 $ 8,731,385 $ 953,141 $ 89,314.77 $ 9,284,846 $ 273,891 November $ 9,356,868 $ 25,899,504 $ 4,727.19 $ 8,888,801 $ 19,833,868 $ 503,821.06 $ 7,967,477 $ 8,721,548 $ 8,340,472 $ 4,188,687 December $ 9,406,325 $ 12,902,765 $ 3,222 $ 8,471,650 $ 20,312,870 $ 7,991,830 $ 30,113,412 $ 39,020 $ 8,386,942 $ 35,749,028 January $ 209,738 $ 9,801,788 $ 2,024,247 $ 165,687 $ 8,419,920 $ 2,263,920 $ 8,541,176 $ 2,354,674 $ 48,835 $ 8,304,202 $ 1,982,945 February $ 414,196 $ 9,655,757 $ 2,535,683 $ 13,035 $ 8,369,244 $ 2,533,464 $ 12,676 $ 8,548,825 $ 1,864,416 $ 1,367 $ 8,884,866 $ 2,018,820 March $ 9,691,000 $ 2,038,902 $ 108,529.16 $ 8,274,508 $ 1,887,849 $ 20.94 $ 8,681,174 $ 1,710,152 $ 750,318.94 $ 8,485,281 $ 1,577,519 April $ 188,957 $ 9,832,360 $ 5,538,228 $ 384,555 $ 9,055,597 $ 3,954,726 $ 247,271 $ 8,515,463 $ 3,837,492 May $ 217,861 $ 9,858,670 $ 1,933,826 $ 130,489 $ 8,397,366 $ 2,001,824 $ 31,250 $ 8,413,022 $ 1,584,824 June $ 165,859 $ 10,601,405 $ 3,156,428 $ 19,348 $ 8,819,021 $ 7,340,776 $ 8,585,266 $ 7,062,794 Total $ 1,196,611 $ 119,802,849 $ 58,305,571 $ 1,103,020 $ 108,742,813 $ 61,942,461 $ 1,058,510 $ 102,004,175 $ 59,800,510 $ 1,215,500 $ 77,122,089 $ 46,872,510 Revenue by Month by Type (Collections) Prior FY 2007-08 Prior FY 2008-09 Prior FY 2009-10 Current FY 2010-11 Month Federal State Local,Transfers Federal State Local,Transfers Federal State Local,Transfers Federal State Local,Transfers July $ 194,022 $ 11,055,796 $ 800,525 $ 296,230 $ 10,669,895 $ 932,710 $ 331,338 $ 9,283,475 $ 603,779 $ 467,396 $ 8,703,276 $ 449,079 August $ 399,595 $ 9,994,176, $ 2,370,717, $ 655,539 $ 8,848,906, $ 1,899,458, $ 375,087 $ 9,092,981, $ 2,038,944, $ 919,101 $ 8,378,528, $ 2,908,324, September $ 741,614 $ 10,091,415 $ 2,074,119 $ 1,100,284 $ 10,679,033 $ 1,485,844 $ 1,863,781 $ 7,675,105 $ 1,559,586 $ 1,841,184 $ 8,375,150 $ 1,436,408 October $ 1,619,337 $ 10,497,188 $ 1,952,492 $ 1,759,350 $ 9,888,943 $ 2,047,804 $ 2,219,801 $ 8,744,115 $ 4,245,223 $ 2,981,176 $ 9,605,048 $ 1,394,322 November $ 1,074,171 $ 9,383,236 $ 33,560,350 $ 1,104,174 $ 8,895,055 $ 25,819,891 $ 3,553,887 $ 8,003,841 $ 11,729,095 $ 4,823,311 $ 8,345,914 $ 7,621,344 December $ 1,074,963 $ 9,441,141 $ 19,475,638 $ 2,193,808 $ 8,542,559 $ 26,159,527 $ 2,517,438 $ 8,031,299 $ 50,279,935 $ 3,247,012 $ 8,391,670 $ 47,797,314 January $ 2,647,189 $ 10,277,067 $ 3,809,488 $ 1,713,905 $ 8,596,442 $ 5,871,041 $ 2,387,881 $ 8,731,532 $ 5,721,117 $ 2,825,555 $ 8,377,584 $ 3,514,809 February $ 1,607,217 $ 10,713,770 $ 4,586,947 $ 1,636,137 $ 8,440,823 $ 4,345,906 $ 2,652,969 $ 8,632,590 $ 3,421,914 $ 2,323,644 $ 9,027,423 $ 3,700,576 March $ 1,992,293 $ 9,808,679 $ 3,582,345 $ 1,522,122 $ 8,717,820 $ 3,532,311 $ 2,586,791 $ 8,791,230 $ 3,245,093 $ 4,530,145 $ 8,550,612 $ 2,828,452 April $ 1,423,816 $ 10,542,995 $ 8,255,225 $ 1,980,622 $ 9,141,956 $ 5,959,608 $ 2,820,030 $ 8,615,733 $ 5,668,756 May $ 2,661,087 $ 10,293,680 $ 3,704,743 $ 1,712,030 $ 8,371,255 $ 3,565,021 $ 2,721,581 $ 8,430,262 $ 3,095,995 June $ 2,874,703 $ 13,619,172 $ 4,415,568 $ 3,352,743 $ 10,034,153 $ 8,717,081 $ 7,145,811 $ 9,769,835 $ 11,509,522 Total $ 18,310,008 $ 125,718,315 $ 88,588,155 $ 19,026,946 $ 110,826,840 $ 90,336,202 $ 31,176,396 $ 103,801,997 $ 103,118,959 $ 23,958,525 $ 77,755,207 $ 71,650,627 Page 11

Expenditures by Month by Type (No Encumbrances) 2007-08 2008-09 2009-10 2010-11 Month Instruction Instr.Support Oth Support Instruction Instr.Support Oth Support Instruction Instr.Support Oth Support Instruction Instr.Support Oth Support July $ 1,262,647 $ 610,739 $ 3,135,914 $ 1,530,534 $ 497,723 $ 3,061,240 $ 684,726 $ 511,166 $ 3,448,531 $ 636,203 $ 535,992 $ 3,365,922 August $ 1,372,334 $ 568,455 $ 3,664,888 $ 1,490,417 $ 686,648 $ 4,170,358 $ 1,266,993 $ 480,764 $ 3,567,364 $ 1,855,436 $ 606,063 $ 4,084,539 September $ 9,215,766 $ 1,250,480 $ 3,917,887 $ 9,398,858 $ 1,170,657 $ 3,834,072 $ 7,595,793 $ 916,882 $ 2,708,178 $ 8,382,686 $ 1,034,069 $ 4,245,496 October $ 8,981,685 $ 1,308,790 $ 4,961,300 $ 9,515,527 $ 1,269,049 $ 4,901,382 $ 7,845,832 $ 1,374,858 $ 5,623,065 $ 7,934,181 $ 1,496,096 $ 4,363,544 November $ 9,927,580 $ 1,416,266 $ 4,787,652 $ 9,464,094 $ 1,258,339 $ 4,100,163 $ 8,098,972 $ 1,145,286 $ 3,594,296 $ 8,323,440 $ 1,297,064 $ 4,057,522 December $ 8,801,357 $ 1,198,695 $ 3,892,154 $ 9,020,394 $ 1,194,770 $ 3,385,011 $ 7,800,361 $ 1,101,044 $ 4,036,705 $ 8,079,416 $ 1,143,400 $ 3,923,233 January $ 9,367,009 $ 1,350,512 $ 4,552,937 $ 8,566,060 $ 1,073,380 $ 4,713,019 $ 7,462,835 $ 1,201,411 $ 3,999,905 $ 7,511,573 $ 1,191,718 $ 4,134,225 February $ 8,822,878 $ 1,288,709 $ 5,119,528 $ 8,632,870 $ 1,189,999 $ 3,843,272 $ 7,390,997 $ 1,093,759 $ 3,904,279 $ 7,474,945 $ 1,016,873 $ 3,394,663 March $ 9,291,766 $ 1,239,211 $ 5,075,684 $ 8,651,908 $ 1,240,725 $ 3,426,601 $ 7,311,399 $ 1,192,688 $ 3,957,735 $ 7,546,546 $ 1,128,849 $ 3,943,768 April $ 8,628,221 $ 990,209 $ 1,415,366 $ 8,954,697 $ 1,311,930 $ 4,520,304 $ 7,427,994 $ 1,193,897 $ 4,057,111 May $ 9,469,301 $ 1,940,382 $ 5,936,172 $ 8,695,078 $ 1,497,660 $ 4,038,208 $ 7,652,231 $ 1,294,126 $ 3,802,719 June $ 26,366,893 $ 2,766,429 $ 5,714,372 $ 26,775,301 $ 3,030,996 $ 5,956,427 $ 22,610,177 $ 2,887,675 $ 7,235,509 Total $ 111,507,436 $ 15,928,878 $ 52,173,852 $ 110,695,737 $ 15,421,878 $ 49,950,056 $ 93,148,311 $ 14,393,559 $ 49,935,399 $ 57,744,426 $ 9,450,124 $ 35,512,914 Expenditures by Month by Type (No Encumbrances) 2007-08 2008-09 2009-10 2010-11 Month Instruction Instr.Support Oth Support Instruction Instr.Support Oth Support Instruction Instr.Support Oth Support Instruction Instr.Support Oth Support July $ 1,350,158 158 $ 719,386 $ 4,083,695 $ 1,625,805 $ 665,625625 $ 6,860,706 $ 854,843843 $ 671,179179 $ 5,699,648 648 $ 824,756 $ 748,914 $ 4,727,175 August $ 1,408,524 $ 799,396 $ 7,719,191 $ 1,603,513 $ 925,039 $ 7,878,503 $ 1,364,596 $ 703,553 $ 6,404,592 $ 2,009,266 $ 1,007,438 $ 8,582,546 September $ 9,668,790 $ 1,572,695 $ 6,699,114 $ 9,886,756 $ 1,508,288 $ 6,616,194 $ 8,711,119 $ 1,373,485 $ 4,489,301 $ 9,544,109 $ 1,611,987 $ 6,776,928 October $ 9,496,663 $ 1,743,258 $ 6,677,048 $ 10,062,014 $ 1,650,736 $ 8,237,708 $ 9,061,684 $ 1,995,609 $ 10,352,128 $ 9,252,176 $ 2,187,014 $ 7,471,863 November $ 10,567,829 $ 1,802,335 $ 5,910,161 $ 10,014,575 $ 1,677,606 $ 5,932,518 $ 9,342,630 $ 1,645,509 $ 6,963,701 $ 11,565,192 $ 2,375,350 $ 7,256,741 December $ 9,478,479 $ 1,534,395 $ 9,590,356 $ 9,769,587 $ 1,626,448 $ 7,476,794 $ 9,240,114 $ 1,669,385 $ 8,235,914 $ 9,515,250 $ 1,740,364 $ 8,469,473 January $ 9,986,828 $ 1,752,653 $ 6,417,510 $ 9,250,880 $ 1,449,232 $ 8,877,254 $ 8,850,822 $ 1,849,832 $ 8,604,344 $ 9,227,019 $ 1,827,329 $ 6,826,746 February $ 9,446,439 $ 1,761,798 $ 8,741,752 $ 9,234,811 $ 1,622,118 $ 8,883,404 $ 8,839,331 $ 1,652,817 $ 8,133,100 $ 9,076,340 $ 1,624,063 $ 7,781,629 March $ 9,928,309 $ 1,713,536 $ 8,164,706 $ 9,205,674 $ 1,615,322 $ 5,451,568 $ 8,635,826 $ 1,837,177 $ 6,877,400 $ 9,303,284 $ 1,929,130 $ 6,468,926 April $ 9,265,237 $ 1,242,223 $ 6,774,701 $ 9,542,763 $ 1,682,807 $ 6,983,290 $ 8,713,272 $ 1,743,527 $ 7,687,810 May $ 10,156,913 $ 2,501,052 $ 9,891,275 $ 9,298,305 $ 1,939,979 $ 7,800,859 $ 9,373,634 $ 2,107,558 $ 6,970,008 June $ 27,948,479 $ 3,684,287 $ 14,639,126 $ 28,322,956 $ 4,139,140 $ 16,218,649 $ 26,259,800 $ 4,415,254 $ 18,367,593 Total $ 118,702,647 $ 20,827,014 $ 95,308,634 $ 117,817,638 $ 20,502,339 $ 97,217,447 $ 109,247,671 $ 21,664,886 $ 98,785,538 $ 70,317,392 $ 15,051,588 $ 64,362,028 Page 12

Expenditures by Month by Type-Salaries, Employee Benefits, and Other Personal Services (No Encumbrances) 2007-08 2008-09 2009-10 2010-11 Month Salaries Emp. Benefits PartTime/Sub Total Salaries Emp. Benefits PartTime/Sub Total Salaries Emp. Benefits Other Services Total Salaries Emp. Benefits Other Services Total July $ 2,266,846 $ 536,840 $ 67,793 $ 2,871,480 $ 2,409,903 $ 549,870 $ 5,297 $ 2,965,070 $ 2,001,698 $ 483,282 $ 947 $ 2,485,926 $ 1,909,616 $ 487,144 $ 3,221 $ 2,399,981 August $ 1,637,316 $ 455,617 $ 54,737 $ 2,147,670 $ 2,334,448 $ 487,014 $ 3,376 $ 2,824,839 $ 1,800,787 $ 455,379 $ 1,490 $ 2,257,656 $ 2,029,705 $ 462,365 $ 546 $ 2,492,617 September $ 8,496,372 $ 2,453,017 $ 117,499 $ 11,066,888 $ 8,655,962 $ 2,485,984 $ 26,004 $ 11,167,951 $ 7,503,842 $ 2,083,264 $ 13,329 $ 9,600,435 $ 7,610,167 $ 2,172,023 $ 17,397 $ 9,799,588 October $ 8,801,540 $ 2,164,272 $ 217,871 $ 11,183,682 $ 9,352,452 $ 2,569,646 $ 83,978 $ 12,006,075 $ 7,966,205 $ 2,186,634 $ 119,703 $ 10,272,541 $ 7,794,444 $ 2,217,509 $ 139,114 $ 10,151,067 November $ 9,858,515 $ 2,570,586 $ 248,595 $ 12,677,696 $ 9,515,105 $ 2,615,303 $ 105,837 $ 12,236,245 $ 8,495,112 $ 2,186,569 $ 128,878 $ 10,810,559 $ 8,348,723 $ 2,333,759 $ 126,690 $ 10,809,172 December $ 8,512,424 $ 3,220,272 $ 198,366 $ 11,931,061 $ 8,826,087 $ 2,915,019 $ 72,178 $ 11,813,284 $ 7,567,434 $ 2,916,006 $ 76,057 $ 10,559,498 $ 7,920,160 $ 2,540,962 $ 102,251 $ 10,563,374 January $ 9,534,397 $ 2,666,819 $ 183,283 $ 12,384,500 $ 8,715,319 $ 2,453,837 $ 54,683 $ 11,223,838 $ 7,628,239 $ 2,190,898 $ 65,487 $ 9,884,623 $ 7,774,526 $ 2,170,744 $ 80,342 $ 10,025,613 February $ 8,757,139 $ 2,550,464 $ 232,328 $ 11,539,931 $ 8,702,727 $ 2,482,328 $ 81,444 $ 11,266,499 $ 7,602,543 $ 2,102,582 $ 117,265 $ 9,822,391 $ 7,646,073 $ 2,176,369 $ 129,432 $ 9,951,874 March $ 9,129,223 $ 2,598,675 $ 244,476 $ 11,972,375 $ 8,699,102 $ 2,466,361 $ 86,722 $ 11,252,185 $ 7,610,140 $ 2,104,672 $ 91,556 $ 9,806,367 $ 7,768,989 $ 2,270,176 $ 123,002 $ 10,162,166 April $ 7,261,781 $ 2,110,588 $ 114,710 $ 9,487,079 $ 9,157,684 $ 2,463,465 $ 56,915 $ 11,678,063 $ 7,683,013 $ 2,129,465 $ 89,529 $ 9,902,007 May $ 10,563,559 $ 2,958,520 $ 353,825 $ 13,875,904 $ 9,006,703 $ 2,486,527 $ 71,589 $ 11,564,819 $ 8,011,587 $ 2,083,124 $ 143,912 $ 10,238,623 June $ 23,739,911 $ 7,100,380 $ 260,645 $ 31,100,936 $ 24,818,360 $ 6,934,540 $ 75,524 $ 31,828,424 $ 20,889,593 $ 5,983,164 $ 211,193 $ 27,083,950 Total $ 108,559,024 $ 31,386,051 $ 2,294,128 $ 142,239,202 $ 110,193,852 $ 30,909,895 $ 723,546 $ 141,827,293 $ 94,760,193 $ 26,905,040 $ 1,059,345 $ 122,724,578 $ 58,802,404 $ 16,831,052 $ 721,996 $ 76,355,452 Expenditures by Month by Type-Salaries, Employee Benefits, and Other Personal Services (No Encumbrances) 2007-08 2008-09 Month Salaries Emp. Benefits PartTime/Sub Total Salaries Emp. Benefits PartTime/Sub Total Salaries Emp. Benefits Other Services Total Salaries Emp. Benefits Other Services Total July $ 2,390,082 $ 571,355 $ 82,148 $ 3,043,585 $ 2,699,049 $ 588,156 $ 6,432 $ 3,293,637 $ 2,258,588 $ 549,600 $ 2,103 $ 2,810,291 $ 2,177,800 $ 537,871 $ 4,579 $ 2,720,250 August $ 1,765,101 $ 485,919 $ 68,877 $ 2,319,897 $ 2,617,189 $ 563,514 $ 6,061 $ 3,186,764 $ 2,041,040 $ 504,678 $ 10,844 $ 2,556,562 $ 2,364,054 $ 524,438 $ 1,595 $ 2,890,088 September $ 9,283,276 $ 2,721,449 $ 122,544 $ 12,127,269 $ 9,457,622 $ 2,726,237 $ 30,354 $ 12,214,213 $ 8,758,687 $ 2,446,197 $ 32,163 $ 11,237,047 $ 8,870,130 $ 2,526,636 $ 22,384 $ 11,419,150 October $ 9,603,122 $ 2,404,951 $ 237,952 $ 12,246,025 $ 10,226,364 $ 2,819,579 $ 99,718 $ 13,145,660 $ 9,131,999 $ 2,524,395 $ 152,970 $ 11,809,364 $ 8,958,564 $ 2,556,005 $ 173,088 $ 11,687,656 November $ 10,458,941 $ 2,762,978 $ 271,087 $ 13,493,007 $ 10,133,360 $ 2,815,672 $ 122,974 $ 13,072,006 $ 9,657,007 $ 2,524,909 $ 172,953 $ 12,354,869 $ 11,825,765 $ 2,851,996 $ 181,498 $ 14,859,259 December $ 9,544,811 $ 3,550,883 $ 212,968 $ 13,308,662 $ 9,882,412 $ 3,234,995 $ 85,356 $ 13,202,763 $ 8,750,679 $ 3,316,398 $ 113,745 $ 12,180,822 $ 9,091,906 $ 2,939,285 $ 127,685 $ 12,158,875 January $ 10,205,005 $ 2,876,153 $ 199,999 $ 13,281,157 $ 9,495,560 $ 2,680,171 $ 62,160 $ 12,237,891 $ 8,761,031 $ 2,514,194 $ 100,738 $ 11,375,963 $ 8,924,101 $ 2,507,022 $ 101,052 $ 11,532,175 February $ 9,805,269 $ 2,856,606 $ 257,443 $ 12,919,319 $ 9,594,080 $ 2,749,367 $ 99,191 $ 12,442,638 $ 8,765,343 $ 2,438,146 $ 159,811 $ 11,363,300 $ 9,121,632 $ 2,605,555 $ 176,190 $ 11,903,377 March $ 10,066,208 $ 2,864,035 $ 260,837 $ 13,191,080 $ 9,341,561 $ 2,664,993 $ 101,069 $ 12,107,623 $ 8,794,356 $ 2,439,166 $ 128,344 $ 11,361,867 $ 9,197,135 $ 2,678,495 $ 187,981 $ 12,063,611 April $ 7,804,514 $ 2,291,595 $ 123,557 $ 10,219,667 $ 9,986,549 $ 2,709,144 $ 70,559 $ 12,766,252 $ 8,863,223 $ 2,462,434 $ 112,410 $ 11,438,067 May $ 11,451,173 $ 3,218,329 $ 374,795 $ 15,044,296 $ 10,071,416 $ 2,791,569 $ 89,049 $ 12,952,034 $ 9,603,243 $ 2,447,515 $ 180,948 $ 12,231,706 June $ 25,943,478 $ 7,787,501 $ 281,914 $ 34,012,892 $ 26,941,940 $ 7,568,480 $ 100,013 $ 34,610,433 $ 24,286,805 $ 6,982,747 $ 216,623 $ 31,486,175 2009-10 2010-11 Total $ 118,320,980 $ 34,391,753 $ 2,494,123 $ 155,206,856 $ 120,447,103 $ 33,911,876 $ 872,936 $ 155,231,915 $ 109,671,999 $ 31,150,380 $ 1,383,652 $ 142,206,031 $ 70,531,087 $ 19,727,303 $ 976,051 $ 91,234,441 ** For fiscal year 2007-08, there were some changes in the way substitutes are coded. The column for "PartTime/Subs was changed to read "Other Services". Previously all substitutes were coded to one object and could be grouped here. Now, however, substitutes who have a written contract for an extended time are reflected within "salaries". Page 13

Expenditures by Month by Type-Purchased Services, Energy Services (Utilities), and Materials & Supplies (No Encumbrances) 2007-08 2008-09 2009-10 2010-11 Month Purch. Ser Energy Ser. Mat.& Supplies Purch. Ser Energy Ser. Mat.& Supplies Purch. Ser Energy Ser. Mat.& Supplies Purch. Ser Energy Ser. Mat.& Supplies July $ 795,425 $ 537,204 $ 389,008 $ 913,328 $ 463,451 $ 574,958 $ 1,005,222 $ 555,941 $ 303,316 $ 1,092,487 $ 741,789 $ 134,137 August $ 1,503,337 $ 556,168 $ 1,069,369 $ 1,939,798 $ 584,969 $ 753,189 $ 1,610,556 $ 581,110 $ 702,703 $ 1,967,038 $ 576,077 $ 1,249,309 September $ 1,402,564 $ 537,638 $ 1,118,700 $ 1,235,431 $ 737,681 $ 1,032,470 $ 392,527 $ 429,062 $ 699,959 $ 1,850,185 $ 544,797 $ 1,218,446 October $ 2,615,608 $ 794,630 $ 386,387 $ 2,419,384 $ 718,738 $ 408,619 $ 3,079,758 $ 870,871 $ 375,419 $ 1,757,624 $ 825,943 $ 540,990 November $ 2,269,880 $ 658,249 $ 313,210 $ 1,672,351 $ 594,241 $ 196,949 $ 1,481,493 $ 337,819 $ 128,634 $ 1,859,160 $ 550,008 $ 279,694 December $ 641,104 $ 619,903 $ 204,266 $ 1,198,866 $ 337,130 $ 138,097 $ 1,548,581 $ 590,786 $ 130,748 $ 1,563,925 $ 657,223 $ 173,843 January $ 1,985,692 $ 618,352 $ 139,153 $ 1,962,843 $ 838,905 $ 205,589 $ 1,809,582 $ 576,413 $ 155,910 $ 1,724,938 $ 700,298 $ 126,346 February $ 2,551,771 $ 774,846 $ 221,190 $ 1,624,998 $ 561,212 $ 116,898 $ 1,606,356 $ 636,075 $ 194,889 $ 896,357 $ 776,091 $ 160,178 March $ 2,482,693 $ 696,487 $ 268,493 $ 1,257,362 $ 336,577 $ 220,070 $ 1,541,912 $ 616,370 $ 157,210 $ 1,619,023 $ 509,876 $ 220,016 April $ 656,331 $ 592,210 $ 135,417 $ 2,053,624 $ 775,763 $ 170,746 $ 1,806,509 $ 758,804 $ 105,668 May $ 2,175,392 $ 675,594 $ 483,778 $ 1,710,247 $ 623,730 $ 171,232 $ 1,882,135 $ 351,699 $ 200,466 June $ 2,806,109 $ 239,647 $ 493,548 $ 3,075,155 $ 168,616 $ 286,782 $ 2,908,510 $ 589,828 $ 250,869 Total $ 21,885,908 $ 7,300,929 $ 5,222,517 $ 21,063,386 $ 6,741,013 $ 4,275,600 $ 20,673,142 $ 6,894,777 $ 3,405,791 $ 14,330,739 $ 5,882,102 $ 4,102,960 Expenditures by Month by Type-Purchased Services, Energy Services (Utilities), and Materials & Supplies (No Encumbrances) 2007-08 2008-09 2009-10 2010-11 Month Purch. Ser Energy Ser. Mat.& Supplies Purch. Ser Energy Ser. Mat.& Supplies Purch. Ser Energy Ser. Mat.& Supplies Purch. Ser Energy Ser. Mat.& Supplies July $ 876,077 $ 537,982 $ 414,705 $ 957,213 $ 463,708 $ 630,667 $ 1,032,329 $ 597,950 $ 356,248 $ 1,124,136 $ 737,638 $ 250,642 August $ 1,767,311 $ 557,421 $ 1,174,094 $ 2,007,716 $ 585,311 $ 860,542 $ 1,662,095 $ 626,248 $ 714,146 $ 2,190,158 $ 580,253 $ 1,243,544 September $ 1,546,871 $ 538,247 $ 1,453,929 $ 1,360,621 $ 739,148 $ 1,335,374 $ 433,576 $ 430,266 $ 719,541 $ 2,245,240 $ 636,380 $ 1,234,179 October $ 2,896,990 $ 795,763 $ 900,464 $ 2,773,757 $ 720,950 $ 1,131,200 $ 5,001,648 $ 894,341 $ 217,459 $ 3,384,688 $ 860,452 $ 571,944 November $ 2,517,614 $ 659,184 $ 394,942 $ 1,871,165 $ 595,385 $ 289,199 $ 2,899,661 $ 395,208 $ 86,811 $ 3,355,083 $ 601,748 $ 238,275 December $ 1,058,630 $ 620,966 $ 1,191,786 $ 1,729,621 $ 338,345 $ 997,320 $ 2,710,405 $ 612,586 $ 172,080 $ 2,863,912 $ 687,179 $ 171,596 January $ 2,241,737 $ 619,431 $ 228,165 $ 2,341,794 $ 838,905 $ 687,304 $ 3,156,105 $ 604,929 $ 131,965 $ 3,322,773 $ 743,465 $ 164,256 February $ 2,981,261 $ 776,265 $ 1,074,638 $ 1,942,986 $ 561,212 $ 651,058 $ 3,048,458 $ 668,824 $ 188,620 $ 1,154,305 $ 819,854 $ 186,605 March $ 2,853,968 $ 697,875 $ 762,604 $ 1,373,100 $ 337,164 $ 330,830 $ 2,946,237 $ 651,232 $ 133,576 $ 3,190,996 $ 560,262 $ 289,124 April $ 755,683 $ 593,562 $ 303,394 $ 2,257,588 $ 776,905 $ 763,166 $ 3,224,890 $ 797,393 $ 92,967 May $ 2,819,879 $ 675,706 $ 1,066,261 $ 1,986,650 $ 624,575 $ 1,223,774 $ 3,376,967 $ 387,788 $ 149,043 June $ 3,223,397 $ 241,818 $ 1,541,376 $ 3,673,998 $ 591,254 $ 936,692 $ 4,882,371 $ 646,529 $ 1,078,793 Total $ 25,539,419 $ 7,314,219 $ 10,506,357 $ 24,276,208 $ 7,172,863 $ 9,837,126 $ 34,374,743 $ 7,313,293 $ 4,041,250 $ 22,831,291 $ 6,227,230 $ 4,350,166 Page 14

Expenditures by Month by Type- Capital Outlay (mostly equipment), Other Expenses, and Transfers Between Funds (No Encumbrances) 2007-08 2008-09 2009-10 2010-11 Month Capital Outlay Oth. Exp. Disc. On COPS Transfers Capital Outlay Oth. Exp. Disc. On COPS Transfers Capital Outlay Oth. Exp. Disc. On COPS Transfers Capital Outlay Oth. Exp. Disc. On COPS Transfers July $ 394,591 $ 21,591 $ 118,825 $ 53,865 $ 239,736 $ 54,283 $ 107,687 $ 62,035 August $ 325,683 $ 3,450 $ 237,651 $ 6,978 $ 156,301 $ 6,795 $ 253,678 $ 7,319 September $ 249,627 $ 8,715 $ 217,848 $ 12,206 $ 97,438 $ 1,432 $ 246,335 $ 2,900 October $ 251,165 $ 20,303 $ 130,126 $ 3,016 $ 240,335 $ 4,830 $ 507,384 $ 10,813 November $ 204,684 $ 7,779 $ 106,502 $ 964 $ 15,344 $ 61,827 $ 1,896 $ 16,325 $ 172,727 $ 7,264 December $ 155,789 $ 7,005 $ 333,077 $ 110,423 $ 2,374 $ 106,090 $ 1,908 $ 500 $ 184,562 $ 3,123 January $ 139,410 $ 3,351 $ 118,854 $ 2,431 $ 99,977 $ 2,232 $ 135,413 $ 117,937 $ 6,771 $ 135,612 February $ 134,545 $ 8,832 $ 92,659 $ 3,874 $ 125,237 $ 4,089 $ 95,374 $ 4,707 $ 1,901 March $ 174,480 $ 12,134 $ 94,714 $ 2,558 $ 155,766 $ 336,133 $ 3,829 $ 104,515 $ 3,567 April $ 157,454 $ 5,304 $ 102,201 $ 6,534 $ 97,877 $ 8,136 May $ 129,467 $ 5,721 $ 157,483 $ 3,435 $ 72,560 $ 3,594 June $ 173,558 $ (8,914) $ 42,810 $ 248,850 $ 1,642 $ 153,256 $ 316,452 $ 5,041 $ 1,578,710 Total $ 2,490,453 $ 95,271 $ 375,887 $ 1,736,137 $ 99,875 $ 324,367 $ 1,949,965 $ 98,067 $ 1,730,948 $ 1,790,199 $ 108,500 $ 137,513 Expenditures by Month by Type - Capital Outlay (mostly equipment), Other Expenses, and Transfers Between Funds (No Encumbrances) 2007-08 2008-09 2009-10 2010-11 Month Capital Outlay Oth. Exp. Disc. On COPS Transfers Capital Outlay Oth. Exp. Disc. On COPS Transfers Capital Outlay Oth. Exp. Disc. On COPS Transfers Capital Outlay Oth. Exp. Disc. On COPS Transfers July $ 1,198,510 $ 82,381 $ 3,552,683 $ 254,228 $ 2,171,587 $ 257,264 $ 1,199,652 $ 268,528 August $ 3,056,599 $ 1,051,788 $ 3,722,751 $ 43,971 $ 2,873,424 $ 40,266 $ 2,451,780 $ 1,083,172 $ 1,160,255 September $ 2,197,517 $ 76,766 $ 2,287,692 $ 74,190 $ 1,713,113 $ 40,362 $ 2,348,926 $ 49,149 October $ 978,599 $ 99,129 $ 2,124,954 $ 53,936 $ 3,407,113 $ 79,498 $ 2,333,422 $ 72,890 November $ 1,241,478 $ (25,901) $ 1,727,066 $ 54,534 $ 15,344 $ 2,063,207 $ 135,759 $ 16,325 $ 1,997,175 $ 145,742 December $ 1,909,856 $ 135,227 $ 2,378,104 $ 2,533,235 $ 71,545 $ 3,284,038 $ 184,982 $ 500 $ 1,573,759 $ 141,183 $ 2,128,582 January $ 1,657,707 707 $ 128,795 $ 1,320,178 178 $ 99,324 $ 2,051,972 $ 2,006,292 292 $ 98,335 $ 1,931,409 $ 1,858,645 $ 124,170170 $ 135,612 February $ 2,073,801 $ 124,704 $ 1,963,795 $ 2,178,643 $ 1,463,747 $ 1,892,299 $ 1,702,425 $ 2,713,565 $ 1,901 March $ 2,209,168 $ 91,856 $ 1,897,076 $ 71,006 $ 155,766 $ 2,177,938 $ 79,553 $ 1,512,602 $ 84,744 April $ 2,299,328 $ 73,985 $ 3,036,543 $ 1,571,856 $ 73,093 $ 2,487,748 $ 103,543 May $ 2,848,253 $ 94,845 $ 2,038,020 $ 214,089 $ 2,201,664 $ 104,031 June $ 4,048,083 $ 3,161,516 $ 42,810 $ 2,392,633 $ 1,796,508 $ 4,679,226 $ 3,404,306 $ 1,874,103 $ 5,670,370 Total $ 25,718,898 $ 5,095,089 $ 5,457,457 $ 27,131,939 $ 4,985,066 $ 6,902,309 $ 29,254,178 $ 4,889,994 $ 7,618,604 $ 16,978,386 $ 4,683,142 $ 3,426,351 Page 15

Revenue Minus Expenditures Prior Prior Prior Current Month FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July $ 6,363,568 $ 5,943,746 $ 4,975,220 $ 4,401,529 August $ 5,221,341 $ 3,212,440 $ 4,682,457 $ 2,647,237 September $ (3,732,689) $ (3,466,826) $ (3,122,891) $ (4,991,429) October $ (4,228,439) $ (5,082,525) $ (4,984,332) $ (4,145,769) November $ 19,124,874 $ 13,904,799 $ 4,354,291 $ (1,148,868) December $ 8,416,885 $ 15,187,567 $ 25,167,133 $ 31,028,941 January $ (3,234,685) $ (3,502,932) $ (1,768,301) $ (2,501,535) February $ (2,625,479) $ (2,750,398) $ (1,963,119) $ (981,429) March $ (3,876,760) $ (3,048,347) $ (2,070,475) $ (1,806,045) April $ 4,525,749 $ (1,392,054) $ (78,776) May $ (5,335,498) $ (3,701,267) $ (2,719,980) June $ (20,924,003) $ (19,583,580) $ (17,085,301) Total $ (305,135) $ (4,279,376) $ 5,385,926 $ 22,502,634 Revenue Minus Expenditures Prior Prior Prior Current Month FY 2007-08 FY 2008-09 FY 2009-10 FY 2010-11 July $ 5,897,104 $ 2,746,699 $ 2,992,922 $ 3,318,906 August $ 2,837,376 $ 996,848 $ 3,034,271 $ 606,704 September $ (5,033,450) $ (4,746,076) $ (3,475,433) $ (6,280,282) October $ (3,847,952) $ (6,254,360) $ (6,200,283) $ (4,930,506) November $ 25,737,432 $ 18,194,420 $ 5,334,983 $ (406,713) December $ 9,388,512 $ 18,023,066 $ 41,683,260 $ 39,710,909 January $ (1,423,248) $ (3,395,978) $ (2,464,467) $ (3,163,146) February $ (3,042,055) $ (5,317,466) $ (3,917,775) $ (3,430,388) March $ (4,423,233) $ (2,500,312) $ (2,727,289) $ (1,792,130) April $ 2,939,875 $ (1,126,674) $ (1,040,089) May $ (5,889,729) $ (5,390,836) $ (4,203,362) June $ (25,362,450) $ (26,576,768) $ (20,617,479) Total $ (2,221,817) $ (15,347,437) $ 8,399,259 $ 23,633,352 Page 16

Major Contract Services Expenditures 2007-08 2008-09 2009-10 2010-11 Month Laidlaw Sodexho Southern Mgmt Laidlaw Sodexho Southern Mgmt Durham Sodexho Southern Mgmt Durham Sodexho Southern Mgmt July $ 1,594,458 $ 97,972 $ 27,303 $ 203,208 $ 607,999 $ 160,071 $ 379,334 $ 602,755 $ 57,897 $ 4,003 August $ 773,552 $ 597,976 $ 104,530 $ 738,600 $ 374,117 $ 632,012 $ 25,232 $ 795,645 September $ 538,640 $ 385,839 $ 591,229 $ 480,011 $ 2,200 $ 1,436 $ 625,427 $ 237,597 $ 404,718 October $ 1,895,434 $ 726,868 $ 4,077 $ 593,698 $ 1,006,586 $ 740,435 $ 1,231,658 $ 1,252,748 $ 747,294 $ 629,197 $ 1,164,168 $ 399,472 November $ 676,019 $ 781,095 $ 591,229 $ 700 $ 376,871 $ 607,362 $ 1,039,775 $ 377,631 $ 628,324 $ 1,024,357 $ 398,428 December $ 1,579,355 $ 7,220 $ 618,424 $ 1,466,056 $ 4,957 $ 628,661 $ 712,659 $ 374,740 $ 637,714 $ 834,657 $ 402,655 January $ 1,325,421 $ 595,496 $ 622,606 $ 738,800 $ 609,057 $ 654,345 $ 371,677 $ 644,080 $ 645,431 $ 402,423 February $ 672,676 $ 1,366,449 $ 1,170,792 $ 592,655 $ 811,597 $ 367,000 $ 612,417 $ 906,189 $ 374,824 $ 883 $ 397,459 March $ 1,447,314 $ 835,282 $ 391,418 $ 610,035 $ 613,824 $ 914,755 $ 375,738 $ 631,626 $ 985,973 $ 397,723 April $ 74,538 $ 3,663 $ 604,394 $ 761,269 $ 737,414 $ 618,635 $ 1,021,834 $ 411,364 May $ 650,606 $ 832,841 $ 781,811 $ 617,055 $ 1,601,761 $ 373,943 $ 615,315 $ 896,845 $ 380,822 June $ 1,569,148 $ 1,544,042 $ 394,544 $ 1,204,067 $ 869,801 $ 366,710 $ 628,807 $ 918,717 $ 379,534 Total $ 9,905,614 $ 7,521,448 $ 4,721,314 $ 7,216,257 $ 7,928,125 $ 4,446,929 $ 6,773,736 $ 8,477,938 $ 4,548,510 $ 5,032,018 $ 4,975,313 $ 3,602,526 Laidlaw & Durham Sodexho Southern Mgmt Total Expenditures to Date From July 1, 2007 $ 28,927,625 $ 28,902,824 $ 17,319,279 Grand Total $ 75,149,728 Page 17

FTE Count by Count Period* Full Year 2007-08 2008-09 2009-10 2010-11 Count Memo Date Unweighted Weighted Memo Date Unweighted Weighted Memo Date Unweighted Weighted Memo Date Unweighted Weighted Projection (Est. July,Oct,Feb,& June) 7/19/2007 24,947.00 26,535.33 7/16/2008 25,354.79 26,955.81 7/16/2009 24,538.48 26,019.02 7/16/2010 25,078.00 26,531.89 Actual July, Oct. (Est. Feb.& June) 12/24/2007 25,103.59 26,772.21 12/18/2008 24,814.53 26,386.67 12/24/2009 25,137.97 26,511.69 12/23/2010 25,046.48 26,516.19 Actual July, Oct.,Feb. (Est. June) 4/22/2008 25,124.84 26,792.32 4/28/2009 24,861.06 26,442.13 4/13/2010 25,079.81 26,446.58 Actual all counts, Final 12/12/2008 25,128.29 26,795.95 12/9/2009 24,862.25 26,440.69 11/30/2010 25,064.48 26,421.95 Difference, Projected to Final Final 181.29 260.62 Final (492.54) (515.12) Final 526.00 402.93 Final No Final Yet No Final Yet Difference, Projected to July/Oct 156.59 236.88 (540.26) (569.14) 599.49 492.67 (31.52) (15.70) Difference, Projected to July/Oct/Feb 177.84 256.99 (493.73) (513.68) 541.33 427.56 No Actual Yet No Actual Yet Difference-Final to Final from Prior Year 331.40 321.09 (266.04) (355.26) 202.23 (18.74) Difference-Final to Final from Prior 2006-07 Year Not shown on grid Unweighted 24,796.89 Weighted 26,474.86 *Full Time Equivalent Students (FTE) are projected and counts are done in July, October, February and June. Page 18