Download presentation
Presentation is loading. Please wait.
Published byBryan Carroll Modified over 9 years ago
1
Shawano School District Annual Meeting Budget 2008-09 School Year July 23, 2008
2
Income Summary 2007-08 School Year Source Budget Actual Federal Aid 483,562 444,686 Cat. State Aid 2,202,811 2,171,646 School Choice 525,000 691,700 General State Aid 16,502,781 16,502,781 Local Income 480,744 496,611 Prop. Tax Levy 8,776,180 8,776,180
3
Disbursements by Funds 2007-08 Budget Actual Comm. Services 180,031 175,625 General Fund 25,581,809 25,333,827 Fund 27 1,201,564 1,159,595 Debt Fund 1,981,113 1,981,113
4
2007-08 Income General Fund Budget$25,432,318 General Fund Actual $25,616,664 Difference/Over $ 184,346
5
Expenses 2007-08 General Fund Budget $25,631,690.00 General Fund Actual $25,333,827.32 Difference (Under) $297,862.68 Roof Middle School $180,792.00 Balance $117,070.68 Without Roofing Project 98.84% of budget With roofing project 99.54% of budget
6
2008-09 Budget Budget is prepared using revenue limit calculation with information from DPI. If 3 rd Friday student count is higher in September, the revenue limit will be recalculated. Equalized Valuation of District will not be known until Oct. 15.
7
Revenue Limit Revenue Limit 2008-09 $23,886,498 Revenue Limit 2007-08 $23,126,512 Increase $ 759,986
8
Equalized State Aid Estimated State Aid 2008-09 $ 15,950,070 Actual State Aid 2007-08 $16,502,781 Decrease $ 552,711
9
State Aid Information For 3 Years, beginning in 2008-09, State Aid will be increased 5% because of the separation of our district. 2008-09 State aid $15,950,070. Without the 5% increase State Aid $14,996,960 or $953,110 less.
10
Local Tax Levy 2008-09 General Fund 7,916,428 Debt Retirement 2,150,000 Community Services 157,418 Total $10,223,846 Increase in Tax Levy from 2006-07 to 2008-09. $ 580,841 $
11
Mill Rate Comparison 2008-09 mill rate 7.67 mills 2007-08 mill rate was 6.78 mills. 2006-07 mill rate was 7.29 mills. 2007-08 mill rate lower because we received larger amount of State Aid (prior year’s costs). From 2006-07 to 2008-09 Increase.38 mills
12
Proposed Mill Rate Proposed mill rate assumes a 3% increase in equalized valuation. Taxpayer with a home value at $100,000 will have a increase of $38.00 from 2006-07 to 2008- 09.
13
General Fund Revenue Changes Tax Levy + $1,447,666 Equalization Aid - 552,711 No Other Substantial Changes in Revenue.
14
Expenditures 2008-09 General Fund Includes Carry Over Project: SCMS School Roof OPEB Additional $26,505,726 $ 180,792 $ 100,000
15
Budget Notes Cont. Operational/Maintenance $435,176 Rental of Facilities $ 20,000 Second year of implementation of new telephone system $110,000 Pupil Transportation Inc. $ 92,375 Middle School Bus Loading $90,000
16
Instructional Budgets Schools prepared budget for their schools (Site Based Management). 3 Per Cent Per Student increase in instructional budget. Total expenditures for instructional budget $987,729.
17
Resource (Textbook) Allocation Resource (Textbook) Allocation - $117,008. Follows cycle set up by administrators. This year – Grades K-4 Science Grades 9-12 Language Arts Budget includes textbooks, software, and resource material.
18
Sage Funding We will continue SAGE at the 15- 1 ratio in Grades K-3. Anticipate $750,000 in revenue.
19
Fund 20 Gifts & Trusts Special Education Title IX Indian Education 17,000 $4,669,245 $ 127,364
20
Fund 39 Debt Retirement Tax Levy Interest Income Total Revenue Expenses Levy Increase 2008-09 Levy 2007-08 Levy Increase $2,150,000.00 $ 50,000.00 $2,200,000.00 $2,063,913.00 $2,150,000.00 $2,050,000.00 $ 100,000.00
21
Fund 38 Refinance Prior Service 2008-09 Estimated 1% of Salary Principal G O Bonds Interest G O Bonds $150,39200 $85,000.00 $65,393.00
22
Food Service (Fund 50 2007-08 Income 2007-08 Expenses Balance Fund Balance Exp. Current year Balance $1,243,855.28 $1,263,513.76 $ -19,658.48 $ 30,023.40 $ 10,364.92
23
Food Service (Fund 50) 2008-09 Income Expenses Balance With 10 cent in- crease in Breakfast & Lunches. $ 1,308,592.00 $ 1,282,026.00 $ 26,566.00
24
Community Ed. (Fund 80) 2007-08 Income $182,529.23 Expenses $175,625.01 Balance $ 6,904.22
25
Comm. Ed (Fund 80) & Summer School (Fund 90) Fund 80 Comm. Ed. 2008-09 Income & Expenses Fund 90 Coop. Programs 2008-09 Income & Expenses $218,4181.00 $499,429.00
26
Budget Changes Budget increase $ 921,836 Percent Increase 3.09%
32
In Conclusion This budget will be presented at the Annual Meeting. The Board will finalize the budget in October. Adopt the budget in function number order for the Annual Meeting.
Similar presentations
© 2024 SlidePlayer.com. Inc.
All rights reserved.