Page 1496 - draft
P. 1496

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                                               A               B      C          D          E          F          G          H           I         J          K
                               1                            STATEMENT OF REVENUES RECEIVED/REVENUES, EXPENDITURES DISBURSED/EXPENDITURES, OTHER SOURCES/USES
                               2                                            AND CHANGES IN FUND BALANCE - FOR YEAR ENDING JUNE 30, 2020
                               3
                               4                                      (10)       (20)       (30)       (40)       (50)       (60)       (70)       (80)       (90)
                                                                                                                Municipal
                                                              Acct            Operations &                                                                Fire Prevention &
                                            Description             Educational          Debt Service  Transportation  Retirement &   Capital Projects  Working Cash  Tort
                               5                               No             Maintenance                      Social Security                               Safety
                               6  RECEIPTS/REVENUES
                               7  Local Sources               1000   37,444,624  3,977,172  4,166,838  2,676,232  2,534,789   491,257    332,080   1,732,713   230,617
                                 Flow-Through Received/Revenue from One District to
                               8  Another District            2000         0          0                     0          0
                               9  State Sources               3000    7,627,390  2,800,000       0     3,905,875  1,800,000       0          0          0          0
                               10 Federal Sources             4000    3,314,250       0          0          0          0          0          0          0          0
                               11   Total Direct Receipts/Revenues   48,386,264  6,777,172  4,166,838  6,582,107  4,334,789   491,257    332,080   1,732,713   230,617
                               12 Rec./Rev. for "On Behalf" Payments  3998  12,114,461  0        0          0          0          0                     0          0
                               13   Total Receipts/Revenues          60,500,725  6,777,172  4,166,838  6,582,107  4,334,789   491,257    332,080   1,732,713   230,617
                               14 DISBURSEMENTS/EXPENDITURES
                               15 Instruction                 1000   34,663,693                                    688,699
                               16 Support Services            2000   12,665,813  5,179,129             5,273,327  1,161,606  2,259,977             1,109,428       0
                               17 Community Services          3000         0          0                     0          0
                               18 Payments to Other Districts & Govt Units  4000  1,853,962  0   0          0          0          0                                0
                               19 Debt Services               5000         0          0    82,626,607       0          0                                0          0
                               20   Total Direct Disbursements/Expenditures  49,183,468  5,179,129  82,626,607  5,273,327  1,850,305  2,259,977    1,109,428       0
                               21 Disb./Expend. for "On Behalf" Payments  4180  12,114,461  0    0          0          0          0                     0          0
                               22   Total Disbursements/Expenditures  61,297,929  5,179,129  82,626,607  5,273,327  1,850,305  2,259,977           1,109,428       0
                                 Excess of Direct Receipts/Revenues Over (Under)
                               23 Direct Disbursements/Expenditures    (797,204)  1,598,043  (78,459,769)  1,308,780  2,484,484  (1,768,720)  332,080  623,285  230,617
                               24 Other Sources of Funds      7000         0     1,400,000  82,257,968      0          0   107,334,165       0          0          0
                               25 Other Uses of Funds         8000     314,942   1,400,000       0          0          0          0     1,400,000       0          0
                               26   Total Other Sources/Uses of Funds  (314,942)      0    82,257,968       0          0   107,334,165  (1,400,000)     0          0
                                 Excess of Receipts/Revenues & Other Sources of Funds
                                 (Over/Under) Expenditures/Disbursements & Other Uses of
                               27 Funds                              (1,112,146)  1,598,043  3,798,199  1,308,780  2,484,484  105,565,445  (1,067,920)  623,285  230,617
                               28 Beginning Fund Balances - July 1, 2019  26,934,726  2,874,557  3,355,536  4,089,293  1,108,741  970,176  5,674,389  2,182,572  3,238,066
                                 Other Changes in Fund Balances Increases
                               29 (Decreases)                              0          0          0          0          0          0          0          0          0
                               30 Ending Fund Balances June 30, 2020  25,822,580  4,472,600  7,153,735  5,398,073  3,593,225  106,535,621  4,606,469  2,805,857  3,468,683
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