DISTRICT SCHOOL BOARD OF GULF COUNTY BUDGET Select District: GULF DISTRICT SUMMARY BUDGET Select Year Ended June 30: 2018 Fiscal Year

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BUDGET Select District: GULF Select Year Ended June 30: 2018 Fiscal Year 2017-18 SECTION I. ASSESSMENT AND MILLAGE LEVIES Page 1 A. Certified Taxable Value of Property in County by Property Appraiser 1,823,834,953.00 B. Millage Levies on Nonexempt Property: DISTRICT MILLAGE LEVIES Nonvoted Voted Total 1. Required Local Effort 4.1080 4.1080 2. Prior-Period Funding Adjustment Millage 3. Discretionary Operating 0.7480 0.7480 4. Additional Operating 1.0000 1.0000 5. Additional Capital Improvement 6. Local Capital Improvement 0.6800 0.6800 7. Discretionary Capital Improvement 8. Debt Service TOTAL MILLS 5.5360 1.0000 6.5360 SECTION II. GENERAL FUND - FUND 100 Page 2 ESTIMATED REVENUES FEDERAL: Federal Impact, Current Operations 3121 Reserve Officers Training Corps (ROTC) 3191 60,000.00 Miscellaneous Federal Direct 3199 Total Federal Direct 3100 60,000.00 FEDERAL THROUGH STATE AND LOCAL: Medicaid 3202 50,000.00 National Forest Funds 3255 Federal Through Local 3280 Miscellaneous Federal Through State 3299 Total Federal Through State and Local 3200 50,000.00 STATE: Florida Education Finance Program (FEFP) 3310 4,200,701.00 Workforce Development 3315 98,605.00 Workforce Development Capitalization Incentive Grant 3316 Workforce Education Performance Incentive 3317 Adults With Disabilities 3318 35,000.00 CO&DS Withheld for Administrative Expenditure 3323 1,500.00 Diagnostic and Learning Resources Centers 3335 Sales Tax Distribution (s. 212.20(6)(d)6.a., F.S.) 3341 230,000.00 State Forest Funds 3342 State License Tax 3343 5,000.00 District Discretionary Lottery Funds 3344 30,209.00 Class Size Reduction Operating Funds 3355 1,999,624.00 Florida School Recognition Funds 3361 44,309.00 Voluntary Prekindergarten Program (VPK) 3371 125,000.00 Preschool Projects 3372 Reading Programs 3373 Full-Service Schools Program 3378 State Through Local 3380 Other Miscellaneous State Revenues 3399 50,000.00 Total State 3300 6,819,948.00 LOCAL:

District School Taxes 3411 10,253,162.00 Tax Redemptions 3421 Payment in Lieu of Taxes 3422 Excess Fees 3423 Tuition 3424 Rent 3425 30,000.00 Investment Income 3430 9,500.00 Adult General Education Course Fees 3461 500.00 Postsecondary Career Certificate and Applied Technology Diploma 3462 Continuing Workforce Education Course Fees 3463 Capital Improvement Fees 3464 Postsecondary Lab Fees 3465 Lifelong Learning Fees 3466 GED Testing Fees 3467 Financial Aid Fees 3468 Other Student Fees 3469 Preschool Program Fees 3471 Prekindergarten Early Intervention Fees 3472 25,000.00 School-Age Child Care Fees 3473 Other Schools, Courses and Classes Fees 3479 Miscellaneous Local Sources 3490 150,000.00 Total Local 3400 10,468,162.00 TOTAL ESTIMATED REVENUES 17,398,110.00 OTHER FINANCING SOURCES: Loans 3720 Sale of Capital Assets 3730 573,550.37 From Special Revenue Funds 3640 573,550.37 TOTAL OTHER FINANCING SOURCES 573,550.37 Fund Balance, July 1, 2017 2800 2,506,872.22 TOTAL ESTIMATED REVENUES, OTHER FINANCING SOURCES AND FUND BALANCE 20,478,532.59 SECTION II. GENERAL FUND - FUND 100 (Continued) Page 3 Salaries Employee Benefits Purchased Services Energy Services Materials and Supplies Capital Outlay Other APPROPRIATIONS Totals 100 200 300 400 500 600 700 Instruction 5000 10,616,528.82 6,580,253.02 2,006,651.34 507,441.00 537,606.02 792,915.44 191,662.00 Student Support Services 6100 1,044,452.00 780,453.00 221,074.00 41,000.00 925.00 1,000.00 Instructional Media Services 6200 272,615.98 200,840.00 52,729.00 95.00 7,751.00 11,200.98 Instruction and Curriculum Development Services 6300 170,810.00 128,080.00 36,680.00 2,100.00 3,950.00 Instructional Staff Training Services 6400 401,812.00 271,893.00 82,693.00 43,618.00 3,608.00 Instruction-Related Technology 6500 44,391.00 34,522.00 9,369.00 500.00 Board 7100 215,596.00 131,000.00 71,396.00 13,200.00 General Administration 7200 855,514.00 397,742.00 136,072.00 285,050.00 12,650.00 24,000.00 School Administration 7300 928,722.00 620,532.00 167,040.00 131,600.00 6,450.00 3,100.00 Facilities Acquisition and Construction 7400 Fiscal Services 7500 458,398.00 358,915.00 91,483.00 2,500.00 5,500.00 Food Service 7600 Central Services 7700 308,264.00 177,143.00 39,521.00 91,600.00 Student Transportation Services 7800 1,139,790.96 461,145.00 215,963.00 80,700.00 142,500.00 230,882.96 8,600.00 Operation of Plant 7900 1,516,090.00 756,590.00 734,500.00 25,000.00 Maintenance of Plant 8100 1,540,904.00 502,437.00 147,242.00 130,250.00 445,975.00 315,000.00 Administrative Technology Services 8200 82,574.00 54,791.00 14,283.00 13,500.00 Community Services 9100 Debt Service 9200 10,000.00 10,000.00 Other Capital Outlay 9300 TOTAL APPROPRIATIONS 19,606,462.76 10,699,746.02 3,292,196.34 2,099,744.00 877,000.00 1,280,297.98 1,119,116.42 238,362.00 OTHER FINANCING USES:

To Special Revenue Funds 940 25,000.00 25,000.00 TOTAL OTHER FINANCING USES 25,000.00 Nonspendable Fund Balance, June 30, 2018 2710 9,338.25 Restricted Fund Balance, June 30, 2018 2720 Assigned Fund Balance, June 30, 2018 2740 Unassigned Fund Balance, June 30, 2018 2750 837,731.58 TOTAL ENDING FUND BALANCE 2700 847,069.83 TOTAL APPROPRIATIONS, OTHER FINANCING USES AND FUND BALANCE 20,478,532.59 SECTION III. SPECIAL REVENUE FUNDS - FOOD SERVICES - FUND 410 Page 4 ESTIMATED REVENUES FEDERAL THROUGH STATE AND LOCAL: National School Lunch Act 3260 603,000.00 USDA-Donated Commodities 3265 25,000.00 Federal Through Local 3280 Miscellaneous Federal Through State 3299 Total Federal Through State and Local 3200 628,000.00 STATE: School Breakfast Supplement 3337 4,500.00 School Lunch Supplement 3338 5,000.00 State Through Local 3380 Other Miscellaneous State Revenues 3399 Total State 3300 9,500.00 LOCAL: Investment Income 3430 500.00 Food Service 3450 280,000.00 Other Miscellaneous Local Sources 3495 20.00 Total Local 3400 280,520.00 TOTAL ESTIMATED REVENUES 918,020.00 OTHER FINANCING SOURCES: Loans 3720 Sale of Capital Assets 3730 From General Fund 3610 25,000.00 Interfund 3650 25,000.00 TOTAL OTHER FINANCING SOURCES 25,000.00 Fund Balance, July 1, 2017 2800 37,247.89 TOTAL ESTIMATED REVENUES, OTHER FINANCING SOURCES AND FUND BALANCE 980,267.89 SECTION III. SPECIAL REVENUE FUNDS - FOOD SERVICES - FUND 410 (CONTINUED) Page 5

APPROPRIATIONS Food Services: (Function 7600) Salaries 100 295,000.00 Employee Benefits 200 151,900.00 Purchased Services 300 1,000.00 Energy Services 400 Materials and Supplies 500 510,000.00 Capital Outlay 600 Other 700 7,500.00 Capital Outlay (Function 9300) 600 9300 DO NOT MAKE CHANGES TO THIS CODE TOTAL APPROPRIATIONS 965,400.00 OTHER FINANCING USES: Transfers Out (Function 9700) Interfund 950 TOTAL OTHER FINANCING USES Nonspendable Fund Balance, June 30, 2018 2710 14,395.86 Restricted Fund Balance, June 30, 2018 2720 472.03 Assigned Fund Balance, June 30, 2018 2740 Unassigned Fund Balance, June 30, 2018 2750 TOTAL ENDING FUND BALANCE 2700 14,867.89 TOTAL APPROPRIATIONS, OTHER FINANCING USES AND FUND BALANCE 980,267.89 SECTION IV. SPECIAL REVENUE FUNDS - OTHER FEDERAL PROGRAMS - FUND 420 Page 6 ESTIMATED REVENUES FEDERAL DIRECT: Head Start 3130 Workforce Innovation and Opportunity Act 3170 Community Action Programs 3180 Reserve Officers Training Corps (ROTC) 3191 Pell Grants 3192 Miscellaneous Federal Direct 3199 Total Federal Direct 3100 FEDERAL THROUGH STATE AND LOCAL: Career and Technical Education 3201 60,842.00 Medicaid 3202 Workforce Innovation and Opportunity Act 3220 55,289.00 Teacher and Principal Training and Recruiting - Title II, Part A 3225 55,821.00 Math and Science Partnerships - Title II, Part B 3226 Individuals with Disabilities Education Act (IDEA) 3230 496,708.00 Elementary and Secondary Education Act, Title I 3240 552,570.86 Language Instruction - Title III 3241 Twenty-First Century Schools - Title IV 3242 35,083.23 Federal Through Local 3280 Miscellaneous Federal Through State 3299 24,790.32 Total Federal Through State And Local 3200 1,281,104.41 STATE: State Through Local 3380 Other Miscellaneous State Revenues 3399 Total State 3300 LOCAL: Investment Income 3430 Adult General Education Course Fees 3461 Other Miscellaneous Local Sources 3495

Total Local 3400 TOTAL ESTIMATED REVENUES 1,281,104.41 OTHER FINANCING SOURCES: Loans 3720 Sale of Capital Assets 3730 From General Fund 3610 Interfund 3650 TOTAL OTHER FINANCING SOURCES Fund Balance, July 1, 2017 2800 TOTAL ESTIMATED REVENUES, OTHER FINANCING SOURCES AND FUND BALANCE 1,281,104.41 SECTION IV. SPECIAL REVENUE FUNDS - OTHER FEDERAL PROGRAMS - FUND 420 (Continued) Page 7 Totals Salaries Employee Benefits Purchased Services Energy Services Materials and Supplies Capital Outlay Other APPROPRIATIONS 100 200 300 400 500 600 700 Instruction 5000 659,543.44 348,660.50 143,167.49 713.50 114,063.95 32,938.00 20,000.00 Student Support Services 6100 141,615.26 94,795.24 29,570.02 6,000.00 11,250.00 Instructional Media Services 6200 Instruction and Curriculum Development Services 6300 246,730.17 183,817.30 53,962.87 8,200.00 750.00 Instructional Staff Training Services 6400 103,274.66 67,387.00 14,923.00 18,464.66 2,500.00 Instruction-Related Technology 6500 Board 7100 General Administration 7200 110,986.92 26,458.50 9,673.16 6,900.00 67,955.26 School Administration 7300 Facilities Acquisition and Construction 7400 Fiscal Services 7500 Food Services 7600 Central Services 7700 Student Transportation Services 7800 16,453.96 8,025.50 5,053.46 800.00 2,575.00 Operation of Plant 7900 2,500.00 2,500.00 Maintenance of Plant 8100 Administrative Technology Services 8200 Community Services 9100 Other Capital Outlay 9300 TOTAL APPROPRIATIONS 1,281,104.41 729,144.04 256,350.00 43,578.16 2,575.00 126,063.95 32,938.00 90,455.26 OTHER FINANCING USES: Interfund 950 TOTAL OTHER FINANCING USES Nonspendable Fund Balance, June 30, 2018 2710 Restricted Fund Balance, June 30, 2018 2720 Assigned Fund Balance, June 30, 2018 2740 Unassigned Fund Balance, June 30, 2018 2750 TOTAL ENDING FUND BALANCE 2700 TOTAL APPROPRIATIONS, OTHER FINANCING USES AND FUND BALANCE 1,281,104.41

SECTION V. SPECIAL REVENUE FUNDS - MISCELLANEOUS - FUND 490 ESTIMATED REVENUES FEDERAL THROUGH STATE AND LOCAL: Federal Through Local 3280 Total Federal Through State and Local 3200 LOCAL: Investment Income 3430 Other Miscellaneous Local Sources 3495 Total Local 3400 TOTAL ESTIMATED REVENUES 3000 OTHER FINANCING SOURCES From General Fund 3610 Interfund 3650 TOTAL OTHER FINANCING SOURCES Page 8 Fund Balance, July 1, 2017 2800 TOTAL ESTIMATED REVENUES, OTHER FINANCING SOURCES AND FUND BALANCE SECTION V. SPECIAL REVENUE FUNDS - MISCELLANEOUS - FUND 490 (Continued) Page 9 Totals Salaries Employee Benefits Purchased Services Energy Services Materials and Supplies Capital Outlay Other APPROPRIATIONS 100 200 300 400 500 600 700 Instruction 5000 Student Support Services 6100 Instructional Media Services 6200 Instruction and Curriculum Development Services 6300 Instructional Staff Training Services 6400 Instruction-Related Technology 6500 Board 7100 General Administration 7200 School Administration 7300 Facilities Acquisition and Construction 7400 Fiscal Services 7500 Central Services 7700 Student Transportation Services 7800 Operation of Plant 7900 Maintenance of Plant 8100 Administrative Technology Services 8200 Community Services 9100 Other Capital Outlay 9300 TOTAL APPROPRIATIONS OTHER FINANCING USES: Interfund 950 TOTAL OTHER FINANCING USES Nonspendable Fund Balance, June 30, 2018 2710 Restricted Fund Balance, June 30, 2018 2720

Assigned Fund Balance, June 30, 2018 2740 Unassigned Fund Balance, June 30, 2018 2750 TOTAL ENDING FUND BALANCE 2700 TOTAL APPROPRIATIONS, OTHER FINANCING USES AND FUND BALANCE SECTION VI. DEBT SERVICE FUNDS Page 10 210 220 230 240 250 290 299 ESTIMATED REVENUES Totals SBE/COBI Special Act Sections 1011.14 & Motor Vehicle District Other ARRA Economic Bonds Bonds 1011.15, F.S., Loans Revenue Bonds Bonds Debt Service Stimulus Debt Service FEDERAL DIRECT SOURCES: Miscellaneous Federal Direct 3199 Total Federal Direct Sources 3100 FEDERAL THROUGH STATE AND LOCAL: Miscellaneous Federal Through State 3299 Total Federal Through State and Local 3200 STATE SOURCES: CO&DS Withheld for SBE/COBI Bonds 3322 100,000.00 100,000.00 SBE/COBI Bond Interest 3326 50.00 50.00 Sales Tax Distribution (s. 212.20(6)(d)6.a., F.S.) 3341 Total State Sources 3300 100,050.00 100,050.00 LOCAL SOURCES: District Debt Service Taxes 3412 County Local Sales Tax 3418 School District Local Sales Tax 3419 Tax Redemptions 3421 Excess Fees 3423 Rent 3425 Investment Income 3430 Total Local Sources 3400 TOTAL ESTIMATED REVENUES 100,050.00 100,050.00 OTHER FINANCING SOURCES: Issuance of Bonds 3710 Loans 3720 Proceeds of Lease-Purchase Agreements 3750 Premium on Long-term Debt 3790 From General Fund 3610 From Special Revenue Funds 3640 Interfund (Debt Service Only) 3650 TOTAL OTHER FINANCING SOURCES Fund Balance, July 1, 2017 2800 2,810.20 2,810.20 TOTAL ESTIMATED REVENUES, OTHER FINANCING SOURCES AND FUND BALANCES 102,860.20 102,860.20 SECTION VI. DEBT SERVICE FUNDS (Continued) Page 11 210 220 230 240 250 290 299 APPROPRIATIONS Totals SBE/COBI Special Act Sections 1011.14 & Motor Vehicle District Other ARRA Economic Bonds Bonds 1011.15, F.S., Loans Revenue Bonds Bonds Debt Service Stimulus Debt Service Debt Service: (Function 9200) Redemption of Principal 710 95,000.00 95,000.00 Interest 720 5,540.00 5,540.00 Dues and Fees 730 50.00 50.00 Miscellaneous 790 TOTAL APPROPRIATIONS 9200 100,590.00 100,590.00

OTHER FINANCING USES: Payments to Refunding Escrow Agent (Function 9299) 760 To Special Revenue Funds 940 Interfund (Debt Service Only) 950 TOTAL OTHER FINANCING USES Nonspendable Fund Balance, June 30, 2018 2710 Restricted Fund Balance, June 30, 2018 2720 2,270.20 2,270.20 Assigned Fund Balance, June 30, 2018 2740 Unassigned Fund Balance, June 30, 2018 2750 TOTAL ENDING FUND BALANCES 2700 2,270.20 2,270.20 TOTAL APPROPRIATIONS, OTHER FINANCING USES AND FUND BALANCES 102,860.20 102,860.20 SECTION VII. CAPITAL PROJECTS FUNDS Page 12 310 320 330 340 350 360 370 380 390 399 Totals Capital Outlay Special Sections 1011.14 & Public Education District Capital Outlay Nonvoted Capital Voted Other ARRA ESTIMATED REVENUES Bond Issues Act 1011.15, F.S., Capital Outlay Bonds and Improvement Capital Capital Economic Stimulus (COBI) Bonds Loans (PECO) Debt Service (Section 1011.71(2), F.S.) Improvement Projects Capital Projects FEDERAL DIRECT SOURCES: Miscellaneous Federal Direct 3199 Total Federal Direct Sources 3100 FEDERAL THROUGH STATE AND LOCAL: Miscellaneous Federal Through State 3299 Total Federal Through State and Local 3200 STATE SOURCES: CO&DS Distributed 3321 15,000.00 15,000.00 Interest on Undistributed CO&DS 3325 500.00 500.00 Sales Tax Distribution (s. 212.20(6)(d)6.a., F.S.) 3341 State Through Local 3380 Public Education Capital Outlay (PECO) 3391 82,103.00 82,103.00 Classrooms First Program 3392 SMART Schools Small County Assistance Program 3395 Class Size Reduction Capital Outlay 3396 Charter School Capital Outlay Funding 3397 Other Miscellaneous State Revenues 3399 Total State Sources 3300 97,603.00 82,103.00 15,500.00 LOCAL SOURCES: District Local Capital Improvement Tax 3413 1,190,599.00 1,190,599.00 County Local Sales Tax 3418 School District Local Sales Tax 3419 Tax Redemptions 3421 Investment Income 3430 31.00 1.00 10.00 5.00 15.00 Miscellaneous Local Sources 3490 Impact Fees 3496 Refunds of Prior Year's Expenditures 3497 Total Local Sources 3400 1,190,630.00 1.00 10.00 5.00 1,190,614.00 TOTAL ESTIMATED REVENUES 1,288,233.00 82,104.00 10.00 15,505.00 1,190,614.00 OTHER FINANCING SOURCES Issuance of Bonds 3710 Loans 3720 Sale of Capital Assets 3730 Proceeds of Lease-Purchase Agreements 3750 Proceeds from Special Facility Construction 3770 From General Fund 3610 From Special Revenue Funds 3640

Interfund (Capital Projects Only) 3650 TOTAL OTHER FINANCING SOURCES Fund Balance, July 1, 2017 2800 105,393.72 0.50 1,012.60 19,562.33 84,818.29 TOTAL ESTIMATED REVENUES, OTHER FINANCING SOURCES AND FUND BALANCES 1,393,626.72 82,104.50 1,022.60 35,067.33 1,275,432.29 SECTION VII. CAPITAL PROJECTS FUNDS (Continued) Page 13 310 320 330 340 350 360 370 380 390 399 Totals Capital Outlay Special Sections 1011.14 & Public Education District Capital Outlay Nonvoted Capital Voted Other ARRA APPROPRIATIONS Bond Issues Act 1011.15, F.S., Capital Outlay Bonds and Improvement Capital Capital Economic Stimulus (COBI) Bonds Loans (PECO) Debt Service (Section 1011.71(2), F.S.) Improvement Projects Capital Projects Appropriations: (Functions 7400/9200) Library Books (New Libraries) 610 Audiovisual Materials 620 Buildings and Fixed Equipment 630 Furniture, Fixtures and Equipment 640 73,000.00 73,000.00 Motor Vehicles (Including Buses) 650 111,341.98 111,341.98 Land 660 Improvements Other Than Buildings 670 Remodeling and Renovations 680 619,460.97 20,000.00 599,460.97 Computer Software 690 Redemption of Principal 710 Interest 720 Dues and Fees 730 TOTAL APPROPRIATIONS 803,802.95 20,000.00 783,802.95 OTHER FINANCING USES: 573,550.37 82,103.00 491,447.37 To Special Revenue Funds 940 Interfund (Capital Projects Only) 950 573,550.37 82,103.00 491,447.37 TOTAL OTHER FINANCING USES 573,550.37 82,103.00 491,447.37 Nonspendable Fund Balance, June 30, 2018 2710 Restricted Fund Balance, June 30, 2018 2720 16,273.40 1.50 1,022.60 15,067.33 181.97 Assigned Fund Balance, June 30, 2018 2740 Unassigned Fund Balance, June 30, 2018 2750 TOTAL ENDING FUND BALANCES 2700 16,273.40 1.50 1,022.60 15,067.33 181.97 TOTAL APPROPRIATIONS, OTHER FINANCING USES AND FUND BALANCES 1,393,626.72 82,104.50 1,022.60 35,067.33 1,275,432.29 SECTION VIII. PERMANENT FUNDS - FUND 000 Page 14 ESTIMATED REVENUES Federal Direct 3100 Federal Through State and Local 3200 State Sources 3300 Local Sources 3400 TOTAL ESTIMATED REVENUES OTHER FINANCING SOURCES: Sale of Capital Assets 3730

From General Fund 3610 From Special Revenue Funds 3640 TOTAL OTHER FINANCING SOURCES Fund Balance, July 1, 2017 2800 TOTAL ESTIMATED REVENUES, OTHER FINANCING SOURCES AND FUND BALANCE SECTION VIII. PERMANENT FUNDS - FUND 000 (Continued) Page 15 Totals Salaries Employee Benefits Purchased Services Energy Services Materials and Supplies Capital Outlay Other APPROPRIATIONS 100 200 300 400 500 600 700 Instruction 5000 Student Support Services 6100 Instructional Media Services 6200 Instruction and Curriculum Development Services 6300 Instructional Staff Training Services 6400 Instruction-Related Technology 6500 Board 7100 General Administration 7200 School Administration 7300 Facilities Acquisition and Construction 7400 Fiscal Services 7500 Central Services 7700 Student Transportation Services 7800 Operation of Plant 7900 Maintenance of Plant 8100 Administrative Technology Services 8200 Community Services 9100 Debt Service 9200 Other Capital Outlay 9300 TOTAL APPROPRIATIONS OTHER FINANCING USES: To Special Revenue Funds 940 TOTAL OTHER FINANCING USES Nonspendable Fund Balance, June 30, 2018 2710 Restricted Fund Balance, June 30, 2018 2720 Assigned Fund Balance, June 30, 2018 2740 Unassigned Fund Balance, June 30, 2018 2750 TOTAL ENDING FUND BALANCE 2700 TOTAL APPROPRIATIONS, OTHER FINANCING USES AND FUND BALANCE SECTION IX. ENTERPRISE FUNDS Page 16 911 912 913 914 915 921 922 ESTIMATED REVENUES Totals Self-Insurance Self-Insurance Self-Insurance Self-Insurance ARRA Other Enterprise Other Enterprise Consortium Consortium Consortium Consortium Consortium Programs Programs OPERATING REVENUES: Charges for Services 3481

Charges for Sales 3482 Premium Revenue 3484 Other Operating Revenues 3489 Total Operating Revenues NONOPERATING REVENUES: Investment Income 3430 Other Miscellaneous Local Sources 3495 Gain on Disposition of Assets 3780 Total Nonoperating Revenues From General Fund 3610 From Special Revenue Funds 3640 Interfund (Enterprise Funds Only) 3650 Net Position, July 1, 2017 2880 TOTAL OPERATING REVENUES, NONOPERATING REVENUES, TRANSFERS IN AND NET POSITION ESTIMATED EXPENSES Object OPERATING EXPENSES: (Function 9900) Salaries 100 Employee Benefits 200 Purchased Services 300 Energy Services 400 Materials and Supplies 500 Capital Outlay 600 Other (including Depreciation) 700 Total Operating Expenses NONOPERATING EXPENSES: (Function 9900) Interest 720 Loss on Disposition of Assets 810 Total Nonoperating Expenses To Special Revenue Funds 940 Interfund Transfers (Enterprise Funds Only) 950 Net Position, June 30, 2018 2780 TOTAL OPERATING EXPENSES, NONOPERATING EXPENSES, TRANSFERS OUT AND NET POSITION SECTION X. INTERNAL SERVICE FUNDS Page 17 711 712 713 714 715 731 791 ESTIMATED REVENUES Totals Self-Insurance Self-Insurance Self-Insurance Self-Insurance Self-Insurance Consortium Other Internal Programs Service OPERATING REVENUES: Charges for Services 3481 Charges for Sales 3482 Premium Revenue 3484 Other Operating Revenues 3489 Total Operating Revenues NONOPERATING REVENUES: Investment Income 3430 Other Miscellaneous Local Sources 3495 Gain on Disposition of Assets 3780

Total Nonoperating Revenues From General Fund 3610 From Special Revenue Funds 3640 Interfund (Internal Service Funds Only) 3650 Net Position, July 1, 2017 2880 TOTAL OPERATING REVENUES, NONOPERATING REVENUES, TRANSFERS IN AND NET POSITION ESTIMATED EXPENSES Object OPERATING EXPENSES: (Function 9900) Salaries 100 Employee Benefits 200 Purchased Services 300 Energy Services 400 Materials and Supplies 500 Capital Outlay 600 Other (including Depreciation) 700 Total Operating Expenses NONOPERATING EXPENSES: (Function 9900) Interest 720 Loss on Disposition of Assets 810 Total Nonoperating Expenses To Special Revenue Funds 940 Interfund Transfers (Internal Service Funds Only) 950 Net Position, June 30, 2018 2780 TOTAL OPERATING EXPENSES, NONOPERATING EXPENSES, TRANSFERS OUT AND NET POSITION