Download presentation
Presentation is loading. Please wait.
Published byLinda Page Modified over 9 years ago
1
School District of Upper Dublin 2014-2015 Preliminary Budget January 13, 2014
2
Upper Dublin Timeline: ◦ January 13: Board authorizes publication of 2014-15 Preliminary Budget in PDE approved format AND Authorizes advertisement of intent to adopt 2014-15 Preliminary Budget on February 10 ◦ January 21: Deadline to publish 2014-15 Proposed Preliminary budget in PDE format ◦ January 31: Advertise Board’s intent to adopt the 2014-15 Preliminary budget on February 10
3
Upper Dublin Timeline: ◦ February 10: Board adopts the 2014-15 Preliminary Budget ◦ February 14: Submit Preliminary Budget including tax information to PDE ◦ February 27: Deadline to advertise intent to file for exceptions with PDE ◦ March 6: Deadline to file for exceptions with PDE ◦ March 26: Notification by PDE re: exceptions
4
Upper Dublin Timeline: ◦ May 12-The Board: Approves 2014-15 Proposed Final Budget Authorizes the display on May 22 of 2014-15 Final Budget Authorizes advertisement to adopt 2014-15 Final Budget Transfer dollars to Capital Reserve and/or Appropriate June 30, 2014 Fund Balance
5
Upper Dublin Timeline: ◦ May 22: Deadline for public inspection of the 2014- 2015 Proposed Final Budget ◦ June 1: Deadline to advertise intent to adopt 2014- 2015 Final Budget ◦ June 11: Adoption of the 2014-2015 Final Budget
6
4.5% real estate tax increase Earned Income Tax will increase 1% No increase to Basic Education funding No increase in Special Education funding Federal funds remain flat except IDEA will be reduced 5%
7
6000Local Revenue$ 72,702,313 7000State Revenue13,839,991 8000Federal Revenue360,725 TOTAL REVENUE$86,903,029
9
2013-14 Budget 2014-15 Budget$ Change% Change Local Revenue$69,873,003$72,702,313$2,829,3104.1% State Revenue12,776,28613,839,9911,063,7058.3% Federal Revenue384,789360,725(24,064)(6.3%) TOTAL$83,034,078$86,903,029$3,868,9514.7%
10
Components of 2014-2015 Preliminary Budget Tax Increase: ◦ Act 1 Index2.10% ◦ PSERS Exception* 1.21% ◦ Special Ed Exception 1.19% Total4.50%
11
No salary increases No staffing or program changes No retirements PSERS rate increase from 16.93% to 21.4% Medical Insurance rate increase of 15.9% Rx increase rate increase of 14.75% Budgetary reserve of $250,000 Supply and utility costs stable Building budgets unchanged Includes a HUB Payment of $1,190,000
12
1100Regular Education$ 36,637,490 1200Special Education13,091,639 1300Vocational Education520,000 1400Other Educational Programs260,829 1600Adult Education Programs36,165 2100Pupil Personnel Services3,319,087 2200Instructional Staff Services2,450,561 2300Administration Services4,048,289 2400Pupil Health Services792,205 2500Business Services762,747
13
2600Operations & Maintenance Services7,190,702 2700Student Transportation Services3,959,916 2800Support Services941,115 2900Other Support Services69,746 3200Student Activities1,472,369 3300Community Services331,680 5100Debt Service13,961,550 5200Fund Transfers0 5900Budgetary Reserve250,000 TOTAL EXPENDITURES$ 90,096,090
16
2013-14 Budget 2014-15 Budget $ Change % Change 1100Regular Education$ 35,820,025$ 36,637,490$817,4652.3% 1200Special Education11,375,71713,091,6391,715,92215.0% 1300Vocational Education515,143520,0004,857.9% 1400 Other Educational Programs 200,744260,82960,08529.9% 1600Adult Education Programs32,04736,1654,11812.9% 2100Pupil Personnel Services3,226,5993,319,08792,4882.9% 2200Instructional Staff Services2,277,2912,450,561173,2707.6% 2300Administration Services3,526,8604,048,289521,42914.8% 2400Pupil Health Services1,020,482792,205(228,277)(22.4) 2500Business Services758,978762,7473,769.5%
17
2013-14 Budget 2014-15 Budget $ Change % Change 2600 Operations & Maintenance Services $ 7,050,616$ 7,190,702$ 140,0862.0% 2700 Student Transportation Services 3,772,8363,959,916187,0805.0% 2800Support Services911,590941,11529,5253.2% 2900Other Support Services69,746 00.0% 3200Student Activities1,478,5831,472,369(6,214)(0.4%) 3300Community Services310,537331,68021,1436.8% 5100Debt Service12,968,02013,961,550993,5307.7% 5200Fund Transfers0000.0% 5900Budgetary Reserve187,021250,00062,97933.7% TOTAL EXPENDITURES$ 85,502,835$ 90,096,090$4,593,2555.4%
18
State budget- any significant changes? Experience for self-funded medical insurance The Villa Impact of winter weather – Repairs, OT, supplies, utilities Ongoing assessment appeals
19
Total Revenue$86,903,029 Total Expenditures90,096,090 Deficiency for 2014-2015($3,193,061)
20
Projected Fund Balance, 6/30/2014$ 2,120,289 Total Revenue86,903,029 Total Expenditures90,096,090 Ending Fund Balance, 6/30/2015$ (1,072,772)
Similar presentations
© 2024 SlidePlayer.com. Inc.
All rights reserved.