Fiscal Year. August 27, 2013

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2013-14 Fiscal Year August 27, 2013

Mission Atlanta ISD provides an exceptional education for all our students in a safe learning environment that encourages them to become productive citizens no matter their destination after graduation Vision Our vision is to create and nurture a systemic district-wide 21 st century classroom environment that enables our learners to be successful in a global society Goals Learning: 100% of our students will learn and improve on state and federal standards at their individual levels Climate: 100% of our campuses will be safe and will be maintained to ensure a conducive learning environment Communication: All stakeholders will have avenues of input and ownership in making decisions that affect our mission

General Fund To pay for teacher salaries and benefits, classroom resources, libraries, counseling and nursing services, keeping schools clean and maintained, transporting students and administrative support Major sources of revenue are state funding and local taxes Special Revenue Funds For local, state and federal grants such as the National School Lunch and Breakfast Program, Title I, IDEA-B, 21 st CCLC afterschool program and others Debt Service Fund Funded by local taxes, this fund is used to pay principal, interest and related fees on bonds previously approved by voters for building construction

Construction of Atlanta Middle School Original issue in 2010 for $13,815,500 Current balance $12,292,500 Debt service for 2013-14 Principal $596,000 Interest $320,277 Maturity 2010A - 3/15/2025 2010B - 8/15/2021 2010C 8/15/2035

2012 value $516,827,611 (net taxable) 2013 value $484,238,114 (net taxable) Decrease in tax revenue Maintenance $330,000 Debt service $51,000

Maintenance tax rate Unchanged at $1.04 per $100 valuation Debt service tax rate Prior year $0.16 per $100 valuation 2013 increase to $0.169 Decrease in local tax values of $32M Federal sequestration on interest rebate

Decrease enrollment 2%over 2012-13 Average trend for previous 5 years Increase in homeless students from 3% to 5 % Estimated attendance rate 95.5% Projected enrollment 1,787 Projected ADA 1,658

83 rd Legislature restored some cuts from 2011 Basic allotment increased per WADA For 2013-14 from $4,765 to $4,950 For 2014-15 and beyond to $5,040 Using 2012-13 WADA, revenue increase 2013-14 = 2,358 @ $185 = $436,230 2014-15 = 2,358 @ $275 = $648,450 State funding also affected by Decrease projected in ADA $170,000

Build America Bonds - $9,000 IDEA funds reduced by 8.5% CCSSA budget cutbacks $65,000 NCLB funds reduced by 8.5% Teacher salaries $51,000 Added back to local operating fund Funds not affected in 2013-14 21 st CCLC Afterschool TTIPS

Increase 3% of midpoint No salary increases since 2010-11 All staff included in proposed 3% Starting teacher pay from $32,000 to $33,000 Increases total by category: Teachers $201,100 (increase 3.4%) Administrative/Professional $58,537 (increase 3%) Clerical /Paraprofessional $38,893 (increase 3.2%) Auxiliary $31,832 (increase 3.1%)

Proposed New Hire Salaries for 2013 14 for Teachers, Librarians, and Nurses (RN) Years Exp Bachelor's Degree Master's Degree 0 $33,000 $34,000 1 $33,325 $34,325 2 $33,525 $34,525 3 $33,725 $34,725 4 $33,925 $34,925 5 $34,125 $35,125 6 $34,549 $35,549 7 $35,149 $36,149 8 $35,849 $36,849 9 $36,699 $37,699 10 $37,649 $38,649 11 $38,599 $39,599 12 $39,549 $40,549 13 $40,499 $41,499 14 $41,469 $42,469 15 $42,369 $43,369 16 $43,185 $44,185 17 $44,085 $45,085 18 $44,965 $45,965 19 $45,775 $46,775 20 $46,555 $47,555 Continuing full time teachers will receive a $1,325 general pay increase. Salary schedules are developed for one year only. Future salaries or pay increases cannot be predicted from this schedule. Pay increases are determined each year by the Board of Trustees.

General Fund $241,164 CCSSA Funds $32,423 Afterschool $15,124 TTIPS $13,516 Title I $11,683 Food Service $10,612 Title II $2,891 Other Funds $2,497

Employee health insurance average 8% increase Current health insurance contribution for participating employees $225 per month or $2,700 per year Current insurance stipend for all employees $62.50 per month or $750 per year Proposed increase in stipend to $83.33 per month or $1,000 per year Cost included in budget - $82,500 General Fund $60,225 Other Funds $22,275

21% 38% Local Revenues State Revenues Federal Revenues 41%

0% 2% 5% 1% 1% 11 - INSTRUCTION 12 - MEDIA SERVICES 8% 13 - STAFF DEVELOPMENT 21 - INSTRUCTIONAL ADMINISTRATION 5% 4% 48% 23 - SCHOOL ADMINISTRATION 31 - GUIDANCE & COUNSELING 33 - HEALTH SERVICES 5% 34 - PUPIL TRANSPORTATION 5% 35 - FOOD SERVICES 36 - COCURRICULAR ACTIVITIES 1% 3% 5% 3% 2% 41 - GENERAL ADMINISTRATION 51 - PLANT MAINT AND OPERATIONS 52 - SECURITY & MONITORING SERVICES 53 - DATA PROCESSING 0% 71 - DEBT SERVICE 93 - PAYMENT TO FISCAL AGENT 99 - INTERGOVERNMENTAL CHARGES

General Special Revenue Debt Service Governmental Totals Fund Funds Fund Expendable Revenues: 5700 REVENUES FROM LOCAL SOURCES $ 5,744,600 $ 646,793 $ 857,697 $ 200 $ 7,249,290 5800 STATE PROGRAM REVENUES 7,756,338 163,244 42,747 7,962,329 5900 FEDERAL PROGRAM REVENUES 30,000 3,950,736 3,980,736 Total Revenues 13,530,938 4,760,773 900,444 200 19,192,355 Expenditures: 11 INSTRUCTION 6,878,278 2,515,601 200 9,394,079 12 MEDIA SERVICES 373,269 373,269 13 STAFF DEVELOPMENT 56,160 56,160 21 INSTRUCTIONAL ADMINISTRATION 138,637 469,136 607,773 23 SCHOOL ADMINISTRATION 959,377 959,377 31 GUIDANCE & COUNSELING SERVICES 356,403 280,914 637,317 33 HEALTH SERVICES 183,558 183,558 34 PUPIL TRANSPORTATION 700,687 76,384 777,071 35 FOOD SERVICES 1,049,148 1,049,148 36 COCURRICULAR ACTIVITIES 945,905 82,426 1,028,331 41 GENERAL ADMINISTRATION 633,856 149,010 782,866 51 PLANT MAINT AND OPERATIONS 1,586,036 5,614 1,591,650 52 SECURITY & MONITORING SERVICES 44,511 44,511 53 DATA PROCESSING 283,799 33,653 317,452 71 DEBT SERVICE 122,981 917,278 1,040,259 93 PAYMENT TO FISCAL AGENT 131,721 98,887 230,608 99 INTERGOVERNMENTAL CHARGES 135,000 135,000 Total Expenditures 13,530,178 4,760,773 917,278 200 19,208,429 Excess (Deficiency) Revenue over Expenditures 760 (16,834) (16,074) Other Resources 5,000 5,000 Other Uses Estimated Fund Balance Last Year Closing 7,549,915 792,396 16,834 4,840 8,363,985 Increase (Decrease) in Fund Balance 5,760 (16,834) (11,074) Estimated Fund Balance Next Year Closing 7,555,675 792,396 4,840 8,352,911