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P. 81

Rich Township High School District 227
                              Budget to Actual Summary
                              As of March 31, 2021



                              All Funds                           Current Year
                                                          All Funds Year   All Funds Total  Percentage of
                                                            to Date        Budget        Budget

                              Beginning Balance                 158,236,991                              -

                              Revenues:
                                 Local                             52,831,834           49,813,209                    (0.06)
                                 State                             14,363,107           10,038,786                    (0.43)
                                 Federal                              4,626,973             4,662,590                      0.01
                              Total Revenues                       71,821,914           64,514,585                    (0.11)

                              Expenditures:
                                 Salaries                          32,231,961           22,292,272                    (0.45)
                                 Benefits                          10,275,070             5,715,115                    (0.80)
                                 Purchased Services                14,162,297             9,414,242                    (0.50)
                                 Supplies and Materials               5,151,314             3,192,321                    (0.61)
                                 Capital Outlay                    17,726,667             8,130,435                    (1.18)
                                 Non-Captial Outlay                   9,281,900             9,667,414                      0.04
                                 Other                                1,497,808             1,464,052                    (0.02)
                              Total Expenditures                   90,327,017           59,875,850                    (0.51)

                              Surplus/(Deficit)                   (18,505,103)             4,638,735                      4.99

                              Ending Balance                     139,731,888            (4,638,735)                    (4.99)










               Respectfully submitted,




               Dr. Johnnie Thomas
               Superintendent
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