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Published byCameron Gardner Modified over 9 years ago
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FEBRUARY 14, 2011 2011/2012 PROPOSED BUDGET Middle Bucks Institute of Technology
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New Initiatives Expand Health Occupations – Health Sciences Hire new full time instructor High demand programs currently fully enrolled Expand Culinary Arts Hire half-time instructor Use Food Court Start new Building Trades Program Use current Construction Carpentry Instructor Use existing lab with minimal investment
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Challenges Many unknowns: Teachers’ salaries 2 out of 4 Member SD are negotiating Medical & Prescription benefit cost First Look - November 2010 - 27.67% Increase Second Look – May 2011 PSERS Projected rates - Certified rate set at 8.65% Pension reform – Passed in December 2010
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Assumptions Salaries & Wages Teachers - updated for contract settlement @ NHSD Administrative & Support Staff - 2% increase Medical & Prescription Benefits - used 19% for rate increase PSERS – used certified rate 8.65% Dental - net reduction for expected claims Workers’ Compensation - level with current year
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Overall Budget Change 2011/12 vs. 2010/11 General Fund + Lease Rental = $109,481 increase $9,651,216 vs. $9,541,735 Increase = 1.15%
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General Fund & Lease Rental 2011/20122010/2011 $ % General Fund $8,185,717$8,074,685$111,0321.38% Lease Rental – Authority $1,465,499$1,467,050-$1,551-0.11% Total $9,651,216$9,541,735$109,4811.15%
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General Fund – Receipts from Members 2011/12 vs. 2010/11 Member District Increase = $115,682 $7,052,697 vs. $6,937,015 Increase = 1.67% Allocated using 3 year averaging of ADM
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Proposed Member Contributions 2011/20122010/2011 $ % Receipts from Members – GF$7,052,697$6,937,015$115,6821.67% Lease Rental Paid Directly to Authority $1,465,499$1,467,050-$1,551-0.11% Total Member Contribution$8,518,196$8,404,065$114,1311.36%
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General Fund Expenditures 2011/12 vs. 2010/11 Expenditure Budget Increase = 1.38% $8,185,717 vs. $8,074,685 Increase $111,032
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Components of Increase New teaching position$ 87,236 Net increase – salaries & wages$ 107,527 Net increase – health insurance $63,659 Net decrease - dental claims ($26,846) Net increase - PSERS $27,042 Supplies for new Health program $9,580 Decrease in Electricity & Natural Gas($65,000) All other($92,166) Net increase$111,032
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OTHER BUDGETS Capital Reserve Fund Funded at discretion of Executive Council using unspent current year budget contribution – proposed $75,000 Funds to be used for acquisition of program equipment & capital repairs and maintenance to facilities Traffic signal $30,000 Digital Road Sign $75,000 Matching funds $100,000
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OTHER BUDGETS Adult Education $152,800 vs. $152,990 Fall & Spring Evening Programs Industry Specific Training Production Fund $ 302,960 vs. $353,850 Live work Student Built Modular House Aspirations Salon Extreme Student fees MBIT Summer School & Summer Enrichment Camp
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OTHER BUDGETS : PROPRIETARY & FIDUCIARY Proprietary Li’L Bucks Preschool in Learning Programs for Toddlers & Preschool children Fiduciary Student Activities Fund Skills USA HOSA
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Next Step Finalize General Fund & Lease Rental Budget March 14, 2011 Executive Council Meeting Finalize Other Budgets March 14, 2011 Executive Council Meeting Questions
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