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Page 1 of 1 AQUILLA INDEPENDENT SCHOOL DISTRICT 404 N. Richards Aquilla, Texas 76622 254/694-3770 Fax: 254/694-6237 NOTICE OF REGULAR MEETING OF THE BOARD OF TRUSTEES Notice is hereby given that there will be no April 2016 Regular Meeting. David A. Edison, Ed.D. Superintendent

Notice is hereby given that there will be no April 2016 Regular … · april 2016 check register esc region 12 19911 621900001 611 $445.10 enhanced curr (7 of 10) esc region 12 19911

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AQUILLA INDEPENDENT SCHOOL DISTRICT

404 N. Richards Aquilla, Texas 76622

254/694-3770 Fax: 254/694-6237

NOTICE OF REGULAR MEETING OF THE BOARD OF TRUSTEES

Notice is hereby given that there will be no April 2016 Regular Meeting.

David A. Edison, Ed.D. Superintendent

04-19-2016 8:58 AM Program: FIN1000109-912

File ID: C

Credits ( - )Debits ( + )Fnc-Obj.So-Org-Prog Date Receipt Nbr Description

Fund: 199 / 6 GENERAL FUND 2011-2012

Cash Receipts JournalDate Run:Aquilla ISDCnty Dist:

For Accounting Periods 04 To 04From ToPage: 1 of 4

-337.61.0000-5932.00-000-600000 04-07-2016 002646 MEDICAID IN MARCH

-701.00.0000-5749.00-000-600000 04-07-2016 002647 95 INTERNATL BUS SOLD

-789.66.0011-6411.00-001-611000 04-11-2016 002651 REIMB FROM STUDO FOR ck #5006

-13,576.12.0000-5711.00-000-600000 04-13-2016 002653 TAXES 3/31

-3,105.71.0000-5712.00-000-600000 04-13-2016 002653 TAXES 3/31

-2,076.00.0000-5719.00-000-600000 04-13-2016 002653 TAXES 3/31

-18,757.83.00Totals for Net Receipt 002653 - TAXES 3/31-1,200.00.0000-5739.00-000-600000 04-14-2016 002655 PINNER TUITION JAN,FEB,MAR,APR

-175.00.0011-6494.00-001-611000 04-14-2016 002656 4TH-5TH TRIP TO HOMESTEAD

00-1110.00-000-600000

00-1110.00-000-600000 .00

21,961.10

21,961.10Gross Cash Receipts

Net Cash Receipts

-21,961.1021,961.10Totals for Fund 199 / 6

04-19-2016 8:58 AM Program: FIN1000109-912

File ID: C

Credits ( - )Debits ( + )Fnc-Obj.So-Org-Prog Date Receipt Nbr Description

Fund: 240 / 6 NATL SCHOOL BREAKFAST & LUNCH

Cash Receipts JournalDate Run:Aquilla ISDCnty Dist:

For Accounting Periods 04 To 04From ToPage: 2 of 4

-1,106.90.0000-5751.00-000-600000 04-07-2016 002645 LUNCHES 4/1 - 4/6

-2,486.65.0000-5921.00-000-600000 04-08-2016 002649 SBP & NSLP

-5,687.82.0000-5922.00-000-600000 04-08-2016 002649 SBP & NSLP

-8,174.47.00Totals for Net Receipt 002649 - SBP & NSLP-1,723.74.0000-5921.00-000-600000 04-08-2016 002650 NSLP & SBP

-4,450.62.0000-5922.00-000-600000 04-08-2016 002650 NSLP & SBP

-6,174.36.00Totals for Net Receipt 002650 - NSLP & SBP-663.10.0000-5829.00-000-600000 04-11-2016 002652 STATE MATCHING

-801.20.0000-5751.00-000-600000 04-14-2016 002657 LUNCHES 4/7 - 4/13

00-1110.00-000-600000

00-1110.00-000-600000 .00

16,920.03

16,920.03Gross Cash Receipts

Net Cash Receipts

-16,920.0316,920.03Totals for Fund 240 / 6

04-19-2016 8:58 AM Program: FIN1000109-912

File ID: C

Credits ( - )Debits ( + )Fnc-Obj.So-Org-Prog Date Receipt Nbr Description

Fund: 599 / 6 DEBT SERVICE

Cash Receipts JournalDate Run:Aquilla ISDCnty Dist:

For Accounting Periods 04 To 04From ToPage: 3 of 4

-2,174.47.0000-5711.00-000-600000 04-13-2016 002654 TAXES 3/31

-525.84.0000-5712.00-000-600000 04-13-2016 002654 TAXES 3/31

-340.15.0000-5719.00-000-600000 04-13-2016 002654 TAXES 3/31

-3,040.46.00Totals for Net Receipt 002654 - TAXES 3/31

00-1110.00-000-600000

00-1110.00-000-600000 .00

3,040.46

3,040.46Gross Cash Receipts

Net Cash Receipts

-3,040.463,040.46Totals for Fund 599 / 6

04-19-2016 8:58 AM Program: FIN1000109-912

File ID: C

Credits ( - )Debits ( + )Fnc-Obj.So-Org-Prog Date Receipt Nbr Description

Fund: 697 / 6 QSCB CONSTRUCTION

Cash Receipts JournalDate Run:Aquilla ISDCnty Dist:

For Accounting Periods 04 To 04From ToPage: 4 of 4

-.20.0000-5742.00-000-600000 04-07-2016 002648 MARCH INTEREST

00-1110.00-000-600000

00-1110.00-000-600000 .00

.20

.20Gross Cash Receipts

Net Cash Receipts

-.20.20Totals for Fund 697 / 6

End of Report-41,921.7941,921.79Final Totals

APRIL 2016 CHECK REGISTER

855BUGS.COM 199 51 6219 00 999 6 99 $167.00 PEST CONTROLA T & T 199 51 6256 00 999 6 99 $109.49 TELEPHONESACBMS, LLC 199 51 6219 43 999 6 99 $7,850.00 APRIL CUSTODIALACTION FIRE PROS 199 52 6219 00 999 6 99 $105.00 MONTHLY ALARMSAIRGAS 199 11 6399 00 001 6 23 $45.94 ACETY;OXYGEN;ARGON,HELIUMAIRGAS 199 11 6219 00 001 6 23 $77.60 LEASE CYL RENEWAL 5/16-4/17AMANDA MARTIN 199 36 6411 00 001 6 91 $109.56 TRACK MILEAGE [email protected] ISD 199 36 6411 00 001 6 91 $171.00 REGIONAL TENNISAQUILLA WATER 199 51 6255 00 999 6 99 $1,115.50 WATER (EST) 2/26 - 3/18ARLAN REBER JR 199 51 6249 00 999 6 99 $120.00 REPAIR @ W CTR,POLE,OFFICEBEAU DAVIS 199 51 6219 00 999 6 99 $575.00 WATER FOUNTAIN/SINK IN BOYS RrBETTY COX 199 11 6499 55 001 6 11 $140.00 TUTORIALSBORDEN 240 35 6341 98 999 6 99 $726.09 MILKC & C AUTO PARTS 199 34 6311 25 999 6 99 $58.71 FILTER,OIL FILTER,WD40CHALKS TRUCK PARTS 199 34 6311 25 999 6 99 $150.80 BUS TAIL LIGHTSCLIFTON ISD 199 36 6219 18 001 6 91 $450.00 TRACK FEECTWP 199 11 6269 44 001 6 11 $97.30 COLOR COPIESDEALERS ELECTRIC 199 36 6399 19 001 6 91 $91.43 PLUGS, LIGHTSDEALERS ELECTRIC 199 51 6316 00 999 6 99 $175.80 BULBSDEMCO 199 12 6399 00 001 6 11 $55.51 LABEL PROTECTORSDESOTO JANITORIAL 240 35 6342 43 999 6 99 $344.41 BAGS, SOAP, NAPKINSDIXIE LP GAS 199 34 6311 24 999 6 99 $939.58 297 GAL GAS/ 349 GAL DIESELDIXIE LP GAS 199 51 6258 00 999 6 99 $2,112.67 1250.1 GAL @1.69 PROPANEEICHELBAUM WARDELL 199 41 6211 00 750 6 99 $117.50 CONSULTATIONESC REGION 12 199 11 6219 00 001 6 11 $279.50 TEKS (7 OF 10)ESC REGION 12 199 11 6219 00 001 6 11 $59.50 INSTR LEADERSHIP (7 OF 10)ESC REGION 12 255 11 6219 00 001 6 11 $112.20 FED PROG PKG (7 OF 10)

APRIL 2016 CHECK REGISTER

ESC REGION 12 199 11 6219 00 001 6 11 $445.10 ENHANCED CURR (7 OF 10)ESC REGION 12 199 11 6219 00 001 6 11 $179.50 EDUPHORIA (7 OF 10)ESC REGION 12 199 31 6219 00 001 6 24 $75.00 COUNSELOR COOP (7 OF 10)FBS 863 0 2159 00 042 6 00 $365.90 APR DED INCOME REPLACEMENTFBS 863 0 2153 00 048 6 00 $27.50 APR DED LIFE INSURANCEFBS 863 0 2153 00 047 6 00 $16.80 APR DED LIFE INSURANCEFBS 863 0 2153 00 046 6 00 $137.17 APR DED LIFE INSURANCEFBS 863 0 2153 00 045 6 00 $277.11 APR DED HEALTH INSURANCEFBS 863 0 2153 00 044 6 00 $84.80 APR DED HEALTH INSURANCEFBS 863 0 2153 00 043 6 00 $193.20 APR DED HEALTH INSURANCEFBS 863 0 2153 00 039 6 00 $215.12 APR DED LIFE INSURANCEFBS 863 0 2153 00 029 6 00 $164.68 APR DED HEALTH INSURANCEFBS 863 0 2153 00 028 6 00 $695.39 APR DED HEALTH INSURANCEFBS 863 0 2153 00 026 6 00 $28.00 APR DED HEALTH INSURANCEFBS 199 41 6219 22 750 6 99 $221.81 APR LIFE & TELEHEATLHG&K SERVICES 199 51 6219 00 999 6 99 $170.24 RUGSG&K SERVICES 199 34 6219 00 999 6 99 $8.16 UNIFORM SHIRTSHEART OF TX PROD 240 35 6341 00 999 6 99 $498.31 FRUITS/VEGHILCO 199 51 6257 00 999 6 99 $7,368.86 ELECTRIC 2/17 - 3/16 HILL CO SSA 199 93 6492 00 001 6 23 $6,009.99 APR SP EDHILL CO TAX ASSESSOR 199 34 6219 00 999 6 99 $7.50 2015 PU REGISTRATIONHILL COUNTY JJAEP 199 11 6229 00 001 6 28 $2,720.00 JAN,FEB,MAR JJAEPHOLIDAY INN 199 11 6411 00 001 6 11 $789.66 STUCO CONFHSA BANK 863 0 2159 00 034 6 00 $275.00 APR DED HSAIRS 863 0 2152 02 000 6 00 $1,766.12 MED/SS FOR APRIRS 863 0 2152 01 000 6 00 $1,766.12 MED/SS FOR APRIRS 863 0 2151 00 000 6 00 $10,158.56 F W/H FOR APR

APRIL 2016 CHECK REGISTER

JANA PRATKA 199 11 6411 20 001 6 11 $65.00 REIMB UIL MEALSJASON BRUNETT 199 51 6316 00 999 6 99 $635.00 FREONJASON BRUNETT 199 51 6219 00 999 6 99 $150.00 CLEANED UNITSJASON BRUNETT 199 51 6639 00 999 6 99 $2,370.00 COMPRESSOR,DRYER,CONDENSERJOSEPH FONTENEAUX 199 11 6112 00 001 6 11 $60.00 2 1/2 DAY SUB @ 30 STAAR TESTJUAN CANO 199 51 6219 00 999 6 99 $400.00 MOW FIELD, WEED KILLERKARA HONZELL 199 11 6499 55 001 6 11 $140.00 TUTORIALSKEVIN TIDWELL 199 51 6219 00 999 6 99 $1,009.50 GUTTERING OLD AG BLDGKIM MONTGOMERY 199 11 6499 00 001 6 11 $1,623.00 STAAR SHIRTSLABATT FOOD 240 35 6342 67 999 6 99 $193.92 TRAYS, UTENSILS, CUPSLABATT FOOD 240 35 6341 32 999 6 99 $354.50 ALA CARTE IN MARLABATT FOOD 240 35 6342 43 999 6 99 $11.62 BLEACHLABATT FOOD 240 35 6341 00 999 6 99 $6,472.99 GROCERIESLAKELANDER 199 34 6219 00 999 6 99 $96.00 BUS BID NOTICE 95 INTERNATIONALMARSHA PHILLIPS 199 11 6229 00 001 6 28 $840.00 MAR 14 HRS @ 60 JJAEPMATH & MUSIC MASTERS 199 11 6399 45 001 6 11 $26.09 CLARINET REEDSMAUREA CRAIN 199 36 6399 54 001 6 91 $155.89 BALLS,TEES,SHIRT,HATMEALTIME 240 35 6219 00 999 6 99 $299.00 LICENSE FEE/SOFTWARE 16.17MERIDIAN ISD 199 36 6219 18 001 6 91 $250.00 TRACKMETALS 2 GO 199 11 6399 00 001 6 23 $1,599.99 TUBING, PURLINS, PIPENBS 863 0 2159 00 049 6 00 $514.95 APR DED HSAOFFICE ACCOUNT 199 36 6219 89 001 6 91 $125.00 #1177 R ROCK ISD REGIONAL TENNOFFICE ACCOUNT 199 51 6499 00 999 6 99 $36.00 #1176 SUPPLIESOFFICE ACCOUNT 199 31 6219 00 001 6 24 $9.21 #1175 USPS SCHOLARSHIPSOFFICE ACCOUNT 199 36 6219 54 001 6 91 $50.00 #1174 GLEN ROSE ISD GOLF TOURNOFFICE ACCOUNT 199 31 6219 00 001 6 24 $1.20 #1173 USPSOFFICE ACCOUNT 199 51 6316 00 999 6 99 $245.00 #1172 OLD AG GUTTERS

APRIL 2016 CHECK REGISTER

OFFICE ACCOUNT 199 36 6219 18 001 6 91 $300.00 #1171 COOLIDGE ISD TRACK FEESOFFICE ACCOUNT 199 36 6219 19 001 6 91 $150.00 #1170 ABBOTT ISD OAPOFFICE ACCOUNT 199 36 6219 54 001 6 91 $50.00 #1169 MOODY ISD GOLF TOURNOFFICE ACCOUNT 199 11 6399 26 001 6 11 $19.00 #1168 4TH 6 WK PERF ATTENDANCEOFFICE ACCOUNT 199 36 6219 19 001 6 91 $3.72 #1167 SCRIPT MAILINGOFFICE ACCOUNT 199 11 6399 00 001 6 11 $126.38 #1166 SURVEY MAILINGSOMNI 863 0 2159 00 052 6 00 $669.26 APR DED TAX SHEL. ANNUITYQUILL 199 11 6399 58 001 6 11 $20.00 HIGHLIGHTERSQUILL 199 11 6399 00 001 6 11 $106.77 MARKERS,PENSQUILL 199 11 6399 00 001 6 23 $64.99 TONERQUILL 199 41 6399 00 750 6 99 $17.94 INDEX CARDSQUILL 199 51 6315 00 999 6 99 $110.53 LYSOL WIPESQUILL 199 11 6399 00 001 6 11 $54.63 STAPLE REMOVERS & TAPE DISPQUILL 199 11 6399 00 001 6 11 $35.98 POST IT NOTESQUILL 199 41 6399 00 750 6 99 $3.99 CLIPBOARDQUILL 199 23 6399 00 001 6 11 $6.99 CONFIDENTIAL STAMPQUILL 199 11 6399 15 001 6 11 $67.98 LOCKETT INKQUILL 199 12 6399 00 001 6 11 $30.98 LABELSQUILL 199 11 6399 00 001 6 11 $44.95 PAPER CLIPSRCI 199 41 6219 93 750 6 99 $364.00 14 BOXES PROCESSEDRB'S REPAIR 199 34 6249 00 999 6 99 $25.00 #5 OIL CHANGERB'S REPAIR 199 34 6219 00 999 6 99 $100.00 TOWED VAN TO WESTRB'S REPAIR 199 34 6249 00 999 6 99 $25.00 #10 INSTALL FREONRB'S REPAIR 199 34 6311 25 999 6 99 $29.90 #10 FREONRB'S REPAIR 199 34 6311 25 999 6 99 $47.68 #8 OIL CAP & CLEANERSAFELITE AUTO GLASS 199 34 6311 25 999 6 99 $359.27 2015 AG TRUCK WINDSHIELDSCOTT GROSS CO 199 51 6219 00 999 6 99 $79.95 1 YR LEASE

APRIL 2016 CHECK REGISTER

SIM'S HOME CENTER 199 51 6315 00 999 6 99 $5.48 KEYSSIM'S HOME CENTER 199 11 6399 00 001 6 23 $37.98 BUNGEE CORDS, TIE DOWNSSIM'S HOME CENTER 199 51 6316 00 999 6 99 $73.51 PAINT, ROLLER, TRAYSSIM'S HOME CENTER 199 51 6317 00 999 6 99 $43.98 WEED B GONE; PRUNERSIM'S HOME CENTER 199 51 6317 00 999 6 99 $99.99 SEPTIC CHLORINE TABLETSSOUTHSIDE BANK 599 71 6219 00 999 6 99 $300.00 BOND FEETASBO 199 53 6219 00 999 6 99 $90.00 RENEW MEMBERSHIPTAMU 199 11 6219 00 001 6 22 $100.00 AG LEADERSHIP;EDUCATIONTX MULTI-CHEM,LTD 199 36 6219 16 001 6 91 $941.75 FIELD CHEMICALS APPLIEDTRACY MATUS 199 11 6499 55 001 6 11 $70.00 TUTORIALSTRACY MATUS 199 36 6411 00 001 6 91 $36.00 COOLIDGE TRACK MILEAGETRACY MATUS 199 36 6411 00 001 6 91 $28.80 HS TRACK IN MERIDIAN 72 MI @40TRACY MATUS 199 36 6411 00 001 6 91 $36.00 TRACK MILEAGE (COOLIDGE) 90 MITRS 863 0 2153 00 094 6 00 $3,065.26 SCOTT & WHITE FOR APRTRS 863 0 2153 00 093 6 00 $1,083.54 FIRST CARE FOR APRTRS 863 0 2153 00 091 6 00 $614.00 TRS #2 FOR APRTRS 863 0 2153 00 090 6 00 $762.00 ACTIVE SELECT FOR APRTRS 863 0 2153 00 089 6 00 $4,640.00 HD FOR APRTRS 199 11 6146 00 001 6 11 $1,680.00 TRS RETIREE CARE FOR MAR & APRTRS 863 0 2155 08 000 6 00 $1,411.54 NON OASDI FOR APRTRS 863 0 2155 06 000 6 00 $285.89 RETIREE SURCHARGE FOR APRTRS 863 0 2155 04 000 6 00 $559.75 REPORTING ENTITY FOR APRTRS 863 0 2155 03 000 6 00 $27.70 TRS 489 FOR APRTRS 863 0 2155 02 000 6 00 $521.42 STAT MIN FOR APRTRS 863 0 2155 01 000 6 00 $188.33 TRS 3 FOR APRTRS 863 0 2155 00 000 6 00 $7,988.93 TRS FOR APRUSPS 199 41 6219 00 750 6 99 $6.74 BALLOTS TO ESC

APRIL 2016 CHECK REGISTER

VERIZON 199 51 6256 49 999 6 99 $700.05 CELL PHONESV HAMPTON MITZEL 199 11 6499 55 001 6 11 $140.00 TUTORIALSWEST TRU VALUE 199 34 6311 25 999 6 99 $50.88 BUS BIT SET, BOLTS, NUTSWEST TRU VALUE 199 34 6311 25 999 6 99 $38.34 MAILBOX (HIT BY BUS)WINDSTREAM 199 51 6256 00 999 6 99 $384.06 PHONE LINES

4/13/2016

Fiscal Year = 9/1 thru 8/31 Cash Flow 199 General Op. AQUILLA ISD

(actual and/or projected)September October November December January February March April May June July August TOTALS BUDGET DIFFERENCE

(Place an X in box the left of "Projected" to change to "Actual" x Actual x Actual X Actual X Actual X Actual x Actual x Actual x Actual Projected Projected Projected Projected

Beginning Cash Balance in General Ledger $ 212,965 $ 184,214 $ 221,697 $ 13,609 $ (48,180) $ (49,063) $ 129,602 $ 53,023 $ (114,891) $ (114,891) $ (114,891) $ (114,891)

RECEIPTSTax Collections - Current $ 0 $ 2,043 $ 39,246 $ 32,234 $ 176,726 $ 376,700 $ 131,489 $ 13,576 $ 0 $ 0 $ 0 $ 0 $ 772,014 $ 0 $ 772,014Tax Collections - Delinquent $ 0 $ 3,203 $ 1,171 $ 4,671 $ 1,925 $ 3,111 $ 1,599 $ 3,105 $ 0 $ 0 $ 0 $ 0 $ 18,785 $ 0 $ 18,785Penalties & Interest $ 0 $ 1,222 $ 358 $ 1,395 $ 485 $ 801 $ 1,600 $ 2,076 $ 0 $ 0 $ 0 $ 0 $ 7,937 $ 0 $ 7,937Other Local Revenue $ 536 $ 9,796 $ 2,977 $ 7,072 $ 27,080 $ 3,096 $ 2,100 $ 1,827 $ 0 $ 0 $ 0 $ 0 $ 54,484 $ 0 $ 54,484State Revenue - Available School Fund $ 0 $ 0 $ 0 $ 0 $ 4,978 $ 1,519 $ 1,519 $ 6,858 $ 0 $ 0 $ 0 $ 0 $ 14,874 $ 0 $ 14,874State Revenue - Foundation $ 301,707 $ 247,302 $ 0 $ 130,077 $ 0 $ 0 $ 4,565 $ 0 $ 0 $ 0 $ 0 $ 0 $ 683,651 $ 0 $ 683,651State Revenue - Overpayment/August Prior $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0Other State Revenue $ 7,240 $ 14,637 $ 0 $ 7,589 $ 7,039 $ 0 $ 14,398 $ 7,135 $ 0 $ 0 $ 0 $ 0 $ 58,038 $ 0 $ 58,038Federal Funds (Food Service) $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0Federal Funds (Other) $ 0 $ 404 $ 0 $ 23,697 $ 0 $ 2,394 $ 548 $ 338 $ 0 $ 0 $ 0 $ 0 $ 27,380 $ 0 $ 27,380 Total Revenue $ 309,483 $ 278,607 $ 43,752 $ 206,735 $ 218,233 $ 387,621 $ 157,818 $ 34,914 $ 0 $ 0 $ 0 $ 0 $ 1,637,163 $ 0 $ 1,637,163

DISBURSEMENTSPayroll $ 157,984 $ 156,450 $ 162,782 $ 157,822 $ 149,861 $ 148,634 $ 151,194 $ 154,794 $ 0 $ 0 $ 0 $ 0 $ 1,239,521 $ 0 $ (1,239,521)Expenditures other than payroll $ 180,250 $ 84,674 $ 89,058 $ 12,930 $ 69,255 $ 60,322 $ 83,203 $ 47,734 $ 0 $ 0 $ 0 $ 0 $ 627,426 $ 0 $ (627,426)Cash to TEA/Overpayment $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0I&S Debt $ 0 $ 0 $ 0 $ 97,772 $ 0 $ 0 $ 0 $ 300 $ 0 $ 0 $ 0 $ 0 $ 98,072 $ 0 $ (98,072) Total Expenditures $ 338,234 $ 241,124 $ 251,840 $ 268,524 $ 219,116 $ 208,956 $ 234,397 $ 202,828 $ 0 $ 0 $ 0 $ 0 $ 1,965,019 $ 0 $ (1,965,019)

Net Change in Cash $ (28,751) $ 37,483 $ (208,088) $ (61,789) $ (883) $ 178,665 $ (76,579) $ (167,914) $ 0 $ 0 $ 0 $ 0 $ (327,856)

Ending Cash Balance $ 184,214 $ 221,697 $ 13,609 $ (48,180) $ (49,063) $ 129,602 $ 53,023 $ (114,891) $ (114,891) $ (114,891) $ (114,891) $ (114,891) $ (114,891)

ESC 12/Template/May 2009/Admin Lead-SF

4/13/2016

Fiscal Year = 9/1 thru 8/31 Fund 240 Food Service AQUILLA ISD

(actual and/or projected)September October November December January February March April May June July August TOTALS BUDGET DIFFERENCE

(Place an X in box the left of "Projected" to change to "Actual" x Actual x Actual x Actual X Actual X Actual x Actual X Actual x Actual Projected Projected Projected Projected

Beginning Cash Balance in General Ledger $ 0 $ (10,532) $ (19,060) $ (22,569) $ (16,587) $ (26,482) $ (31,650) $ (34,717) $ (31,095) $ (31,095) $ (31,095) $ (31,095)

RECEIPTSLunches/Breakfast Local $ 2,236 $ 5,851 $ 4,620 $ 6,809 $ 4,131 $ 3,677 $ 5,697 $ 3,828 $ 0 $ 0 $ 0 $ 0 $ 36,849 $ 0 $ 36,849Misc State Revenue $ 0 $ 277 $ 437 $ 218 $ 219 $ 0 $ 437 $ 882 $ 0 $ 0 $ 0 $ 0 $ 2,470 $ 0 $ 2,470Federal Funds (Food Service) $ 0 $ 1,835 $ 7,444 $ 14,996 $ 0 $ 7,363 $ 5,451 $ 14,349 $ 0 $ 0 $ 0 $ 0 $ 51,438 $ 0 $ 51,438 Total Revenue $ 2,236 $ 7,963 $ 12,501 $ 22,023 $ 4,350 $ 11,040 $ 11,585 $ 19,059 $ 0 $ 0 $ 0 $ 0 $ 90,757 $ 0 $ 90,757

DISBURSEMENTSPayroll $ 7,383 $ 7,244 $ 5,735 $ 5,349 $ 6,107 $ 6,234 $ 5,943 $ 6,537 $ 0 $ 0 $ 0 $ 0 $ 50,532 $ 0 $ (50,532)Expenditures other than payroll $ 5,385 $ 9,247 $ 10,275 $ 10,692 $ 8,138 $ 9,974 $ 8,709 $ 8,900 $ 0 $ 0 $ 0 $ 0 $ 71,320 $ 0 $ (71,320) Total Expenditures $ 12,768 $ 16,491 $ 16,010 $ 16,041 $ 14,245 $ 16,208 $ 14,652 $ 15,437 $ 0 $ 0 $ 0 $ 0 $ 121,852 $ 0 $ (121,852)

Net Change in Cash $ (10,532) $ (8,528) $ (3,509) $ 5,982 $ (9,895) $ (5,168) $ (3,067) $ 3,622 $ 0 $ 0 $ 0 $ 0 $ (31,095)

Ending Cash Balance $ (10,532) $ (19,060) $ (22,569) $ (16,587) $ (26,482) $ (31,650) $ (34,717) $ (31,095) $ (31,095) $ (31,095) $ (31,095) $ (31,095) $ (31,095)

ESC 12/Template/May 2009/Admin Lead-SF

4/13/2016

Fiscal Year = 9/1 thru 8/31 Fund 599 Debt Service for AQUILLA ISD

(actual and/or projected)September October November December January February March April May June July August TOTALS BUDGET DIFFERENCE

(Place an X in box the left of "Projected" to change to "Actual" x Actual x Actual x Actual X Actual X Actual x Actual x Actual x Actual Projected Projected Projected Projected

Beginning Cash Balance in General Ledger $ 128,280 $ 128,280 $ 128,831 $ 135,066 $ 192,227 $ 220,951 $ 20,318 $ 110,452 $ 113,492 $ 113,492 $ 113,492 $ 113,492

RECEIPTSTax Collections - Current $ 0 $ 551 $ 5,715 $ 5,164 $ 28,306 $ 60,749 $ 21,269 $ 2,174 $ 0 $ 0 $ 0 $ 0 $ 123,928 $ 0 $ 123,928Tax Collections - Delinquent $ 0 $ 0 $ 644 $ 896 $ 333 $ 656 $ 270 $ 526 $ 0 $ 0 $ 0 $ 0 $ 3,325 $ 0 $ 3,325Penalties & Interest $ 0 $ 0 $ 176 $ 270 $ 85 $ 235 $ 259 $ 340 $ 0 $ 0 $ 0 $ 0 $ 1,365 $ 0 $ 1,365Other Local Revenue $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0State Revenue $ 0 $ 0 $ 0 $ 50,831 $ 0 $ 0 $ 68,636 $ 0 $ 0 $ 0 $ 0 $ 0 $ 119,467 $ 0 $ 119,467Federal Funds $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 Total Revenue $ 0 $ 551 $ 6,535 $ 57,161 $ 28,724 $ 61,640 $ 90,434 $ 3,040 $ 0 $ 0 $ 0 $ 0 $ 248,085 $ 0 $ 248,085

DISBURSEMENTSBond Maintenance $ 0 $ 0 $ 300 $ 0 $ 0 $ 0 $ 300 $ 0 $ 0 $ 0 $ 0 $ 0 $ 600 $ 0 $ (600)Principal $ 0 $ 0 $ 0 $ 0 $ 0 $ 170,000 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 170,000 $ 0 $ (170,000)Interest $ 0 $ 0 $ 0 $ 0 $ 0 $ 92,273 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 92,273 $ 0 $ (92,273)

$ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 $ 0 Total Expenditures $ 0 $ 0 $ 300 $ 0 $ 0 $ 262,273 $ 300 $ 0 $ 0 $ 0 $ 0 $ 0 $ 262,873 $ 0 $ (262,873)

Net Change in Cash $ 0 $ 551 $ 6,235 $ 57,161 $ 28,724 $ (200,633) $ 90,134 $ 3,040 $ 0 $ 0 $ 0 $ 0 $ (14,788)

Ending Cash Balance $ 128,280 $ 128,831 $ 135,066 $ 192,227 $ 220,951 $ 20,318 $ 110,452 $ 113,492 $ 113,492 $ 113,492 $ 113,492 $ 113,492 $ 113,492

ESC 12/Template/May 2009/Admin Lead-SF

Date Run: Program: FIN3050Cnty Dist:

File ID: CAquilla ISD

Board Report04-19-2016 8:59 AM109-912

As of AprilFund 199 / 6 GENERAL FUND 2011-2012

Page: 1 of 7

EstimatedRevenue(Budget)

RevenueRealizedCurrent

RevenueRealizedTo Date

RevenueBalance

PercentRealized

Comparison of Revenue to Budget

5000 - REVENUE CONTROL ACCOUNTS5700 - REV FROM LOCAL & INTERM SOURCE

101.90%-14,894.35-798,737.35-18,757.83783,843.005710 - LOCAL REAL-PERS PROPERTY TAXES.00%-5,500.00-5,500.00-1,200.00.005730 - TUITION & FEES FROM PATRONS

174.75%-18,314.54-42,814.54-1,418.3024,500.005740 - TRANS FROM WITHIN STATE105.29%-370.25-7,370.25.007,000.005750 - ENTERPRISING ACTIVITIES

Total REV FROM LOCAL & INTERM SOURCE 104.79%-39,079.14-854,422.14-21,376.13815,343.005800 - STATE PROGRAM REVENUES

38.19%1,130,686.00-698,525.00.001,829,211.005810 - PER CAPITA-FOUNDATION REV.00%-1,215.00-1,215.00.00.005820 - STATE PROGRAM REVENUES - TEA

64.13%31,783.51-56,823.49-7,135.6288,607.005830 - STATE REV FM SOT GOVT AGE:OTHRTotal STATE PROGRAM REVENUES 39.45%1,161,254.51-756,563.49-7,135.621,917,818.005900 - FEDERAL PROGRAM REVENUES

.00%-27,379.96-27,379.96-337.61.005930 - VOC EDUCATION-NON FOUNDATIONTotal FEDERAL PROGRAM REVENUES .00%-27,379.96-27,379.96-337.61.007000 - OTHER RESOURCES7900 - OBJECT DESCR FOR 7900

.00%.00.00.00.007910 - OBJECT DESCR FOR 7910Total OBJECT DESCR FOR 7900 .00%.00.00.00.00

59.94%1,094,795.41-1,638,365.59-28,849.362,733,161.00Total Revenue Local-State-Federal

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ExpenditureYTD

CurrentExpenditure Balance

PercentExpended

Comparison of Expenditures and Encumbrances to Budget

6000 - EXPENDITURE/EXPENSE CONT ACCT11 - INSTRUCTION

79.14%-227,339.66108,017.15862,613.34.00-1,089,953.006100 - PAYROLL COSTS54.69%-31,037.334,798.5037,462.67.00-68,500.006200 - PURCHASE & CONTRACTED SVS65.02%-20,271.712,250.6838,169.08259.21-58,700.006300 - SUPPLIES AND MATERIALS41.61%-9,925.782,553.007,074.22.00-17,000.006400 - OTHER OPERATING COSTS93.57%-36.97.0016,000.281,062.75-17,100.006600 - CPTL OUTLY LAND BLDG & EQUIP

Total Function11 INSTRUCTION 76.83%-288,611.45117,619.33961,319.591,321.96-1,251,253.0012 - INST RESOURCES & MEDIA SERVICE

66.07%-7,459.781,884.8114,528.22.00-21,988.006100 - PAYROLL COSTS87.67%-37.00.00263.00.00-300.006200 - PURCHASE & CONTRACTED SVS47.62%-785.7586.49714.25.00-1,500.006300 - SUPPLIES AND MATERIALS15.91%-1,004.48.00238.65256.87-1,500.006600 - CPTL OUTLY LAND BLDG & EQUIP

Total Function12 INST RESOURCES & MEDIA 62.26%-9,287.011,971.3015,744.12256.87-25,288.0013 - STAFF DEV/CURRICULUM & INSTRUC

-.00%-590.00.00.00.00-590.006100 - PAYROLL COSTS98.75%-15.00.001,185.00.00-1,200.006200 - PURCHASE & CONTRACTED SVS

Total Function13 STAFF DEV/CURRICULUM & 66.20%-605.00.001,185.00.00-1,790.0021 - INSTRUCTIONAL ADMINISTRATION

60.92%-22,537.024,372.7335,137.98.00-57,675.006100 - PAYROLL COSTS25.00%-750.00.00250.00.00-1,000.006200 - PURCHASE & CONTRACTED SVS

9.08%-1,818.30.00181.70.00-2,000.006300 - SUPPLIES AND MATERIALS-.00%-500.00.00.00.00-500.006400 - OTHER OPERATING COSTS

Total Function21 INSTRUCTIONAL 58.14%-25,605.324,372.7335,569.68.00-61,175.0023 - SCHOOL ADMINISTRATION

82.07%-16,949.109,763.5977,602.90.00-94,552.006100 - PAYROLL COSTS7.84%-1,105.89.0094.11.00-1,200.006200 - PURCHASE & CONTRACTED SVS8.90%-2,433.026.99266.98300.00-3,000.006300 - SUPPLIES AND MATERIALS

25.80%-890.40.00309.60.00-1,200.006400 - OTHER OPERATING COSTSTotal Function23 SCHOOL ADMINISTRATION 78.31%-21,378.419,770.5878,273.59300.00-99,952.0031 - GUIDANCE AND COUNSELING SVS

53.06%-38,375.005,396.7243,384.00.00-81,759.006100 - PAYROLL COSTS48.61%-880.0985.41874.9145.00-1,800.006200 - PURCHASE & CONTRACTED SVS31.38%-2,127.10.00972.90.00-3,100.006300 - SUPPLIES AND MATERIALS

-.00%-500.00.00.00.00-500.006400 - OTHER OPERATING COSTSTotal Function31 GUIDANCE AND 51.90%-41,882.195,482.1345,231.8145.00-87,159.0033 - HEALTH SERVICES

66.62%-652.00162.961,301.00.00-1,953.006100 - PAYROLL COSTS-.00%-100.00.00.00.00-100.006200 - PURCHASE & CONTRACTED SVS

68.18%-222.73.00477.27.00-700.006300 - SUPPLIES AND MATERIALSTotal Function33 HEALTH SERVICES 64.59%-974.73162.961,778.27.00-2,753.0034 - PUPIL TRANSPORTATION-REGULAR

80.61%-5,969.772,977.0124,825.23.00-30,795.006100 - PAYROLL COSTS100.09%21.96261.6624,021.96.00-24,000.006200 - PURCHASE & CONTRACTED SVS

78.41%-10,577.621,675.1638,422.38.00-49,000.006300 - SUPPLIES AND MATERIALS-.00%-5,000.00.00.00.00-5,000.006400 - OTHER OPERATING COSTS1.42%-27,601.00.00399.00.00-28,000.006600 - CPTL OUTLY LAND BLDG & EQUIP

Total Function34 PUPIL TRANSPORTATION- 64.09%-49,126.434,913.8387,668.57.00-136,795.00

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ExpenditureYTD

CurrentExpenditure Balance

PercentExpended

Comparison of Expenditures and Encumbrances to Budget

6000 - EXPENDITURE/EXPENSE CONT ACCT36 - CO-CURRICULAR ACTIVITIES

70.48%-13,172.243,682.3131,453.76.00-44,626.006100 - PAYROLL COSTS65.44%-8,329.142,320.4715,770.86.00-24,100.006200 - PURCHASE & CONTRACTED SVS59.11%-11,098.61247.3217,081.39720.00-28,900.006300 - SUPPLIES AND MATERIALS67.59%-5,931.39381.3612,368.61.00-18,300.006400 - OTHER OPERATING COSTS

-.00%-1,000.00.00.00.00-1,000.006600 - CPTL OUTLY LAND BLDG & EQUIPTotal Function36 CO-CURRICULAR ACTIVITIES 65.58%-39,531.386,631.4676,674.62720.00-116,926.0041 - GENERAL ADMINISTRATION

67.91%-48,163.3912,708.17101,914.61.00-150,078.006100 - PAYROLL COSTS65.47%-12,328.75726.6523,371.25.00-35,700.006200 - PURCHASE & CONTRACTED SVS17.99%-2,870.4121.93629.59.00-3,500.006300 - SUPPLIES AND MATERIALS60.77%-11,965.69.0018,534.31.00-30,500.006400 - OTHER OPERATING COSTS41.55%-1,169.06.00830.94.00-2,000.006600 - CPTL OUTLY LAND BLDG & EQUIP

Total Function41 GENERAL ADMINISTRATION 65.51%-76,497.3013,456.75145,280.70.00-221,778.0051 - PLANT MAINTENANCE & OPERATION

64.85%-1,873.04431.873,454.96.00-5,328.006100 - PAYROLL COSTS59.90%-120,020.5422,313.32179,279.46.00-299,300.006200 - PURCHASE & CONTRACTED SVS66.03%-14,608.061,388.2928,391.94.00-43,000.006300 - SUPPLIES AND MATERIALS

2.45%-7,999.2536.00200.75.00-8,200.006400 - OTHER OPERATING COSTS113.34%2,360.452,370.0020,060.45.00-17,700.006600 - CPTL OUTLY LAND BLDG & EQUIP

Total Function51 PLANT MAINTENANCE & 61.95%-142,140.4426,539.48231,387.56.00-373,528.0052 - FACILITIES ACQUISITION & CONST

111.44%629.34105.006,129.34.00-5,500.006200 - PURCHASE & CONTRACTED SVS562.84%1,388.52.001,688.52.00-300.006300 - SUPPLIES AND MATERIALS

Total Function52 FACILITIES ACQUISITION & 134.79%2,017.86105.007,817.86.00-5,800.0053 - DATA PROCESSING

67.37%-20,969.445,396.2743,304.56.00-64,274.006100 - PAYROLL COSTS91.54%-5,577.5090.0060,322.50.00-65,900.006200 - PURCHASE & CONTRACTED SVS98.36%-34.36.002,065.64.00-2,100.006300 - SUPPLIES AND MATERIALS

8.32%-458.40.0041.60.00-500.006400 - OTHER OPERATING COSTSTotal Function53 DATA PROCESSING 79.63%-27,039.705,486.27105,734.30.00-132,774.0071 - MANAGEMENT

50.00%-300.00.00300.00.00-600.006200 - PURCHASE & CONTRACTED SVS99.77%-228.39.0097,771.61.00-98,000.006500 - DEBT SERVICE

Total Function71 MANAGEMENT 99.46%-528.39.0098,071.61.00-98,600.0093 - FISCAL AGENTS/SHARED SERVICES

62.08%-43,037.676,009.9970,462.33.00-113,500.006400 - OTHER OPERATING COSTSTotal Function93 FISCAL AGENTS/SHARED 62.08%-43,037.676,009.9970,462.33.00-113,500.008000 - OTHER USES ACCOUNTS00 - FLOW THROUGH OUT

.00%5,409.00.005,409.00.00.008900 - OBJECT DESCR FOR 8900Total Function00 FLOW THROUGH OUT .00%5,409.00.005,409.00.00.00

72.10%-758,818.56202,521.811,967,608.612,643.83-2,729,071.00Total Expenditures

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EstimatedRevenue(Budget)

RevenueRealizedCurrent

RevenueRealizedTo Date

RevenueBalance

PercentRealized

Comparison of Revenue to Budget

5000 - REVENUE CONTROL ACCOUNTS5700 - REV FROM LOCAL & INTERM SOURCE

.00%-24.00-24.00.00.005740 - TRANS FROM WITHIN STATE57.89%27,373.73-37,626.27-1,908.1065,000.005750 - ENTERPRISING ACTIVITIES

Total REV FROM LOCAL & INTERM SOURCE 57.92%27,349.73-37,650.27-1,908.1065,000.005800 - STATE PROGRAM REVENUES

71.69%261.90-663.10-663.10925.005820 - STATE PROGRAM REVENUES - TEA48.75%1,899.35-1,806.65-218.593,706.005830 - STATE REV FM SOT GOVT AGE:OTHR

Total STATE PROGRAM REVENUES 53.33%2,161.25-2,469.75-881.694,631.005900 - FEDERAL PROGRAM REVENUES

70.46%21,562.44-51,437.56-14,348.8373,000.005920 - FEDERAL REVENUE DIST BY TEATotal FEDERAL PROGRAM REVENUES 70.46%21,562.44-51,437.56-14,348.8373,000.007000 - OTHER RESOURCES7900 - OBJECT DESCR FOR 7900

.00%.00.00.00.007910 - OBJECT DESCR FOR 7910Total OBJECT DESCR FOR 7900 .00%.00.00.00.00

64.19%51,073.42-91,557.58-17,138.62142,631.00Total Revenue Local-State-Federal

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ExpenditureYTD

CurrentExpenditure Balance

PercentExpended

Comparison of Expenditures and Encumbrances to Budget

6000 - EXPENDITURE/EXPENSE CONT ACCT35 - FOOD SERVICES

83.34%-10,099.216,386.2250,531.79.00-60,631.006100 - PAYROLL COSTS45.90%-1,893.41299.001,606.59.00-3,500.006200 - PURCHASE & CONTRACTED SVS90.06%-7,552.758,601.8468,447.25.00-76,000.006300 - SUPPLIES AND MATERIALS

-.00%-1,000.00.00.00.00-1,000.006400 - OTHER OPERATING COSTS84.45%-233.20.001,266.80.00-1,500.006600 - CPTL OUTLY LAND BLDG & EQUIP

Total Function35 FOOD SERVICES 85.43%-20,778.5715,287.06121,852.43.00-142,631.0085.43%-20,778.5715,287.06121,852.43.00-142,631.00Total Expenditures

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EstimatedRevenue(Budget)

RevenueRealizedCurrent

RevenueRealizedTo Date

RevenueBalance

PercentRealized

Comparison of Revenue to Budget

5000 - REVENUE CONTROL ACCOUNTS5700 - REV FROM LOCAL & INTERM SOURCE

101.16%-1,476.25-128,618.25-3,040.46127,142.005710 - LOCAL REAL-PERS PROPERTY TAXES.00%.00.00.00.005740 - TRANS FROM WITHIN STATE

Total REV FROM LOCAL & INTERM SOURCE 101.16%-1,476.25-128,618.25-3,040.46127,142.005800 - STATE PROGRAM REVENUES

146.35%-37,834.60-119,466.60.0081,632.005820 - STATE PROGRAM REVENUES - TEATotal STATE PROGRAM REVENUES 146.35%-37,834.60-119,466.60.0081,632.007000 - OTHER RESOURCES7900 - OBJECT DESCR FOR 7900

.00%65,422.00.00.0065,422.007910 - OBJECT DESCR FOR 7910Total OBJECT DESCR FOR 7900 .00%65,422.00.00.0065,422.00

90.48%26,111.15-248,084.85-3,040.46274,196.00Total Revenue Local-State-Federal

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PercentExpended

Comparison of Expenditures and Encumbrances to Budget

6000 - EXPENDITURE/EXPENSE CONT ACCT71 - MANAGEMENT

100.00%.00300.00600.00.00-600.006200 - PURCHASE & CONTRACTED SVS95.86%-11,323.50.00262,272.50.00-273,596.006500 - DEBT SERVICE

Total Function71 MANAGEMENT 95.87%-11,323.50300.00262,872.50.00-274,196.008000 - OTHER USES ACCOUNTS00 - FLOW THROUGH OUT

.00%.00.00.00.00.008900 - OBJECT DESCR FOR 8900Total Function00 FLOW THROUGH OUT .00%.00.00.00.00.00

95.87%-11,323.50300.00262,872.50.00-274,196.00Total Expenditures