2017-2018 Final General Fund Budget AWS

Report 1 Downloads 92 Views
Page 1

Page 2

Page 3

2017-2018 Final General Fund Budget LEA : 110141003

Validations

Bald Eagle Area SD

Printed 6/9/2017 7:53:14 AM Val Number 5120

Page - 1 of 1

Description

Justification

Expenditure Detail: Amounts must be entered for both 100 Salaries and 200 Benefits.

Budgeted amount for Employee Tuition Reimbursement. Due to Employees receiving no additional compensation, no salaries are recorded/budgeted within this Function, per PA Office of the Budget's September 1, 2016 Chart of Accounts.

Function 2800, Object 100: $0.00 Function 2800, Object 200: $20,000.00 . Provide a justification.

5320

Expenditure Detail: 100 Salaries amount must be greater than 200 Benefits amount. For an exception, please enter a justification below.

Budgeted amount for Employee Tuition Reimbursement. Due to Employees receiving no additional compensation, no salaries are recorded/budgeted within this Function, per PA Office of the Budget's September 1, 2016 Chart of Accounts.

Function 2800, Object 100: $0.00 Function 2800, Object 200: $20,000.00

5330

Expenditure Detail: 100 Salaries amount must be greater than 200 Benefits amount. For an exception, please enter a justification below.

Employee granted Spousal Coverage for Medical and Dental Insurance; therefore, District cost for Insurance and other employee benefits exceed employees salary.

Function 2900, Object 100: $21,720.00 Function 2900, Object 200: $28,649.00

8060

Ending Fund Balance Entry and Budgetary Reserve: If 5900 Budgetary Reserve is not equal to 0, a justification must be entered below.

Budgetary Reserve for unforeseen emergency expenditure requirements during the fiscal year.

8080

Ending Fund Balance Entry and Budgetary Reserve: If 0850 Estimated Ending Unassigned Fund Balance is not equal to 0, a justification must be entered below.

The Bald Eagle Area School District School Board believes in sound fiscal management, maintaining adequate working capital to be fiscally responsible and advantageous for the District and the District's Taxpayers.

8150

Ending Fund Balance Entry and Budgetary Reserve: If 0830 Committed Fund Balance is not equal to 0, a justification must be entered below.

Estimated Ending Committed Fund Balance consists of funds committed for increases in PSERS Employer Contributions and projected increases in Employer Medical Benefit Contributions.

8160

Ending Fund Balance Entry and Budgetary Reserve: If 0840 Assigned Fund Balance is not equal to 0, a justification must be entered below.

Estimated Ending Assigned Fund Balance consists of funds earmarked for future Capital Purchases, including but not limited to Bus Camera Systems and Athletic Complex Upgrades.

Page 4

Estimated Revenues and Other Financing Sources: Budget Summary

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD Page - 1 of 1

Printed 6/9/2017 7:53:15 AM ITEM

AMOUNTS

Estimated Beginning Unreserved Fund Balance Available for Appropriation and Reserves Scheduled For Liquidation During The Fiscal Year 0810 Nonspendable Fund Balance 0820 Restricted Fund Balance 0830 Committed Fund Balance

3,930,537

0840 Assigned Fund Balance

1,998,519

0850 Unassigned Fund Balance

2,560,673

Total Estimated Beginning Unreserved Fund Balance Available for Appropriation and Reserves Scheduled For Liquidation During The Fiscal Year

$8,489,729

Estimated Revenues And Other Financing Sources 6000 Revenue from Local Sources

15,784,511

7000 Revenue from State Sources

15,195,646

8000 Revenue from Federal Sources

256,000

9000 Other Financing Sources

500

Total Estimated Revenues And Other Financing Sources

$31,236,657

Total Estimated Fund Balance, Revenues, and Other Financing Sources Available for Appropriation

$39,726,386

Page 5

2017-2018 Final General Fund Budget LEA : 110141003

Estimated Revenues and Other Financing Sources: Detail

Bald Eagle Area SD

Printed 6/9/2017 7:53:16 AM

Page - 1 of 2 Amount

REVENUE FROM LOCAL SOURCES 6111 Current Real Estate Taxes

9,258,743

6112 Interim Real Estate Taxes

25,500

6113 Public Utility Realty Taxes

15,800

6114 Payments in Lieu of Current Taxes - State / Local

98,327

6120 Current Per Capita Taxes, Section 679 6130 Current Taxpayer Relief Taxes - Proportional Assessments 6140 Current Act 511 Taxes - Flat Rate Assessments 6150 Current Act 511 Taxes - Proportional Assessments 6400 Delinquencies on Taxes Levied / Assessed by the LEA

37,000 2,507,287 64,015 2,767,479 561,610

6500 Earnings on Investments

50,000

6700 Revenues from LEA Activities

46,000

6800 Revenues from Intermediary Sources / Pass-Through Funds 6910 Rentals

303,100 4,150

6920 Contributions and Donations from Private Sources

10,500

6990 Refunds and Other Miscellaneous Revenue

35,000

REVENUE FROM LOCAL SOURCES

$15,784,511

REVENUE FROM STATE SOURCES 7110 Basic Education Funding

8,103,462

7160 Tuition for Orphans Subsidy

52,000

7220 Vocational Education

50,765

7271 Special Education funds for School-Aged Pupils

1,249,309

7311 Pupil Transportation Subsidy

1,056,462

7312 Nonpublic and Charter School Pupil Transportation Subsidy 7320 Rental and Sinking Fund Payments / Building Reimbursement Subsidy 7330 Health Services (Medical, Dental, Nurse, Act 25)

15,592 941,528 30,000

7340 State Property Tax Reduction Allocation

732,135

7505 Ready to Learn Block Grant

310,813

7810 State Share of Social Security and Medicare Taxes

506,333

7820 State Share of Retirement Contributions REVENUE FROM STATE SOURCES REVENUE FROM FEDERAL SOURCES 8514 NCLB, Title I - Improving the Academic Achievement of the Disadvantaged 8515 NCLB, Title II - Preparing, Training and Recruiting High Quality Teachers and Principals

2,147,247 $15,195,646 190,000 65,000

Page 6

2017-2018 Final General Fund Budget LEA : 110141003

Estimated Revenues and Other Financing Sources: Detail

Bald Eagle Area SD

Printed 6/9/2017 7:53:16 AM

Page - 2 of 2 Amount

REVENUE FROM FEDERAL SOURCES 8820 Medical Assistance Reimbursement for Administrative Claiming (Quarterly) Program REVENUE FROM FEDERAL SOURCES OTHER FINANCING SOURCES 9400 Sale of or Compensation for Loss of Fixed Assets OTHER FINANCING SOURCES TOTAL ESTIMATED REVENUES AND OTHER SOURCES

1,000 $256,000 500 $500 31,236,657

Page 7

2017-2018 Final General Fund Budget AUN: 110141003

Real Estate Tax Rate (RETR) Report Multi-County Rebalancing Based on Methodology of Section 672.1 of School Code

Bald Eagle Area SD

Page - 1 of 3

Printed 6/9/2017 7:53:16 AM Act 1 Index (current): 3.4% Calculation Method:

Approx. Tax Revenue from RE Taxes: Amount of Tax Relief for Homestead Exclusions

Rate

$9,258,743 $3,239,422

Total Approx. Tax Revenue:

$12,498,165

Approx. Tax Levy for Tax Rate Calculation:

$13,164,167 Centre

Total

a. Assessed Value

$232,889,375

$232,889,375

b. Real Estate Mills

54.6300

2016-17 Data

I. 2017-18 Data c. 2015 STEB Market Value

$694,485,697

$694,485,697

d. Assessed Value

$233,076,615

$233,076,615

$0

$0

$12,722,747

$12,722,747

g. Percent of Total Market Value

100.00000%

100.00000%

h. Rebalanced 2016-17 Tax Levy

$12,722,747

$12,722,747

e. Assessed Value of New Constr/ Renov 2016-17 Calculations f. 2016-17 Tax Levy (a * b) 2017-18 Calculations II.

(f Total * g) i. Base Mills Subject to Index

54.6300

(h / a * 1000) if no reassessment (h / (d-e) * 1000) if reassessment Calculation of Tax Rates and Levies Generated j. Weighted Avg. Collection Percentage k. Tax Levy Needed

93.28948%

93.28948%

$13,164,167

$13,164,167

(Approx. Tax Levy * g)

l. 2017-18 Real Estate Tax Rate

56.4800

(k / d * 1000) III.

m. Tax Levy Generated by Mills

$13,164,167

$13,164,167

(l / 1000 * d) n. Tax Levy minus Tax Relief for Homestead Exclusions

$9,924,745

(m - Amount of Tax Relief for Homestead Exclusions) o. Net Tax Revenue Generated By Mills

$9,258,743

(n * Est. Pct. Collection)

Page 8

2017-2018 Final General Fund Budget AUN: 110141003

Real Estate Tax Rate (RETR) Report Multi-County Rebalancing Based on Methodology of Section 672.1 of School Code

Bald Eagle Area SD

Page - 2 of 3

Printed 6/9/2017 7:53:16 AM Act 1 Index (current): 3.4% Calculation Method:

Approx. Tax Revenue from RE Taxes: Amount of Tax Relief for Homestead Exclusions

Rate

$9,258,743 $3,239,422

Total Approx. Tax Revenue:

$12,498,165

Approx. Tax Levy for Tax Rate Calculation:

$13,164,167 Total

Centre Index Maximums p. Maximum Mills Based On Index

56.4874

(i * (1 + Index)) q. Mills In Excess of Index

0.0000

(if (l > p), (l - p)) r. Maximum Tax Levy Based On Index IV.

$13,165,892

$13,165,892

(p / 1000 * d) s. Millage Rate within Index?

Yes

(If l > p Then No) t. Tax Levy In Excess of Index

$0

$0

$0

$0

(if (m > r), (m - r)) u.Tax Revenue In Excess of Index (t * Est. Pct. Collection)

Information Related to Property Tax Relief Assessed Value Exclusion per Homestead V.

Number of Homestead/Farmstead Properties

$14,090 4131

4131

Median Assessed Value of Homestead Properties

$35,225

Page 9

2017-2018 Final General Fund Budget AUN: 110141003

Real Estate Tax Rate (RETR) Report Multi-County Rebalancing Based on Methodology of Section 672.1 of School Code

Bald Eagle Area SD

Page - 3 of 3

Printed 6/9/2017 7:53:16 AM Act 1 Index (current): 3.4% Rate

Calculation Method:

Approx. Tax Revenue from RE Taxes: Amount of Tax Relief for Homestead Exclusions

$9,258,743 $3,239,422

Total Approx. Tax Revenue:

$12,498,165

Approx. Tax Levy for Tax Rate Calculation:

$13,164,167 Total

Centre

Portion of Act 1 EIT Revenue Used for Tax Relief used for: Homestead Exclusions State Property Tax Reduction Allocation used for: Homestead Exclusions Prior Year State Property Tax Reduction Allocation used for: Homestead Exclusions

$2,507,287

Lowering RE Tax Rate

$0

$2,507,287

$732,135

Lowering RE Tax Rate

$0

$732,135

$0

Amount of Tax Relief from State/Local Sources

$0 $3,239,422

Page 10

2017-2018 Final General Fund Budget

Local Education Agency Tax Data

Bald Eagle Area SD

REAL ESTATE, PER CAPITA (SEC. 679), EIT/PIT (ACT 1), LOCAL ENABLING (ACT 511)

LEA : 110141003 Printed 6/9/2017 7:53:17 AM

Page - 1 of 1

CODE 6111 Current Real Estate Taxes County Name Taxable Assessed Value Centre

233,076,615

Totals:

233,076,615

Real Estate Mills

Amount of Tax Relief for Homestead Exclusions

Tax Levy Generated by Mills

56.4800

Tax Levy Minus Homestead Exclusions

13,164,167 13,164,167

Net Tax Revenue Generated By Mills

Percent Collected 93.28948%

-

3,239,422

=

9,924,745 X

93.28948%

Rate 6120

Current Per Capita Taxes, Section 679

6130

Current Taxpayer Relief Taxes – Proportional Assessments

6131

Current Act 1 Earned Income Taxes

6140

Total Current Taxpayer Relief Taxes – Proportional Assessments Current Act 511 Taxes – Flat Rate Assessments

Rate

6141

Current Act 511 Per Capita Taxes

6142

Current Act 511 Occupation Taxes – Flat Rate

6143

=

9,258,743

Estimated Revenue

$5.00

37,000

Rate

Add'l Rate (if appl.)

Tax Levy

Estimated Revenue

1.000%

0.000%

2,507,287

2,507,287

2,507,287

2,507,287

Add'l Rate (if appl.)

Tax Levy

Estimated Revenue

$5.00

$0.00

37,000

37,000

$0.00

$0.00

0

0

Current Act 511 Local Services Taxes

$5.00

$0.00

27,015

27,015

6144

Current Act 511 Trailer Taxes

$0.00

$0.00

0

0

6145

Current Act 511 Business Privilege Taxes – Flat Rate

$0.00

$0.00

0

0

6146

Current Act 511 Mechanical Device Taxes – Flat Rate

$0.00

$0.00

0

0

6149

Current Act 511 Taxes, Other Flat Rate Assessments

$0.00

$0.00

0

0

Total Current Act 511 Taxes – Flat Rate Assessments Current Act 511 Taxes – Proportional Assessments

64,015

64,015

6150

Rate

Add'l Rate (if appl.)

Tax Levy

Estimated Revenue

6151

Current Act 511 Earned Income Taxes

1.050%

0.000%

2,632,704

2,632,704

6152

Current Act 511 Occupation Taxes

0.000

0.000

0

0

6153

Current Act 511 Real Estate Transfer Taxes

0.500%

0.000%

134,775

134,775

6154

Current Act 511 Amusement Taxes

0.000%

0.000%

0

0

6155

Current Act 511 Business Privilege Taxes

6156

Current Act 511 Mechanical Device Taxes – Percentage

6157

Current Act 511 Mercantile Taxes

6159

Current Act 511 Taxes, Other Proportional Assessments

0.000

0.000

0

0

0.000%

0.000%

0

0

0.000

0.000

0

0

0

0

0

0

2,767,479

2,767,479

Total Current Act 511 Taxes – Proportional Assessments

Total Act 511, Current Taxes

2,831,494 Act 511 Tax Limit

-->

694,485,697 X Market Value

Page 11

12

8,333,828

Mills

(511 Limit)

Comparison of Tax Rate Changes to Index

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:18 AM

Page - 1 of 1 Tax Rate Charged in:

Tax Functio n 6111

Description

2017-18

Less than or equal to Index

Index

Current Real Estate Taxes Centre

6120

2016-17 (Rebalanced)

Percent Change in Rate

Current Per Capita Taxes, Section 679

Current Taxpayer Relief Taxes – Proportional Assessments 6131 Current Act 1 Earned Income Taxes

54.6300

56.4800

3.39%

Yes

3.4%

$5.00

$5.00

0.00%

Yes

3.4%

1.000%

1.000%

0.00%

Yes

3.4%

Current Act 511 Taxes – Flat Rate Assessments 6141

Current Act 511 Per Capita Taxes

$5.00

$5.00

0.00%

Yes

3.4%

6143

Current Act 511 Local Services Taxes

$5.00

$5.00

0.00%

Yes

3.4%

Current Act 511 Taxes – Proportional Assessments 6151

Current Act 511 Earned Income Taxes

1.050%

1.050%

0.00%

Yes

3.4%

6153

Current Act 511 Real Estate Transfer Taxes

0.500%

0.500%

0.00%

Yes

3.4%

Page 12

Additional Tax Rate Charged in: 2017-18 2016-17 (Rebalanced)

Percent Change in Rate

Less than or equal to Index

Estimated Expenditures and Other Financing Uses: Budget Summary

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:18 AM

Page - 1 of 1

Description

Amount

1000 Instruction 1100 1200 1300 1400

Regular Programs - Elementary / Secondary Special Programs - Elementary / Secondary Vocational Education Other Instructional Programs - Elementary / Secondary

11,683,351 3,858,272 2,147,322 406,547

Total Instruction

$18,095,492

2000 Support Services 2100 2200 2300 2400 2500 2600 2700 2800 2900

Support Services - Students Support Services - Instructional Staff Support Services - Administration Support Services - Pupil Health Support Services - Business Operation and Maintenance of Plant Services Student Transportation Services Support Services - Central Other Support Services

1,171,912 2,167,284 1,694,684 352,117 394,618 2,888,985 1,992,000 47,500 52,369

Total Support Services

$10,761,469

3000 Operation of Non-Instructional Services 3200 Student Activities 3300 Community Services

923,864 16,918

Total Operation of Non-Instructional Services

$940,782

5000 Other Expenditures and Financing Uses 5100 Debt Service / Other Expenditures and Financing Uses 5200 Interfund Transfers - Out 5900 Budgetary Reserve

2,343,568 400,000 200,000

Total Other Expenditures and Financing Uses

$2,943,568

Total Estimated Expenditures and Other Financing Uses

$32,741,311

Page 13

Estimated Expenditures and Other Financing Uses: Detail

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:18 AM

Page - 1 of 4

Description

Amount

1000 Instruction 1100 Regular Programs - Elementary / Secondary 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 400 Purchased Property Services 500 Other Purchased Services 600 Supplies 800 Other Objects

6,102,840 4,114,333 362,750 101,045 590,026 397,207 15,150

Total Regular Programs - Elementary / Secondary

$11,683,351

1200 Special Programs - Elementary / Secondary 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 400 Purchased Property Services 500 Other Purchased Services 600 Supplies 700 Property 800 Other Objects

1,477,668 1,464,825 392,950 1,000 396,179 118,550 6,000 1,100

Total Special Programs - Elementary / Secondary

$3,858,272

1300 Vocational Education 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 400 Purchased Property Services 500 Other Purchased Services 600 Supplies 700 Property 800 Other Objects

344,175 239,336 500 1,476,011 56,150 25,000 6,150

Total Vocational Education

$2,147,322

1400 Other Instructional Programs - Elementary / Secondary 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 400 Purchased Property Services 500 Other Purchased Services 600 Supplies

158,132 128,615 3,000 104,400 12,400

Total Other Instructional Programs - Elementary / Secondary

$406,547

Total Instruction

$18,095,492

2000 Support Services 2100 Support Services - Students 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 400 Purchased Property Services 500 Other Purchased Services

Page 14

659,575 444,462 32,200 50 10,350

Estimated Expenditures and Other Financing Uses: Detail

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:18 AM

Page - 2 of 4

Description

Amount

600 Supplies 800 Other Objects

22,625 2,650

Total Support Services - Students

$1,171,912

2200 Support Services - Instructional Staff 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 400 Purchased Property Services 500 Other Purchased Services 600 Supplies 700 Property 800 Other Objects

639,861 613,423 101,650 11,200 106,335 354,515 338,000 2,300

Total Support Services - Instructional Staff

$2,167,284

2300 Support Services - Administration 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 400 Purchased Property Services 500 Other Purchased Services 600 Supplies 800 Other Objects

894,304 538,240 99,850 1,500 72,240 47,950 40,600

Total Support Services - Administration

$1,694,684

2400 Support Services - Pupil Health 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 400 Purchased Property Services 500 Other Purchased Services 600 Supplies 700 Property 800 Other Objects

183,599 143,838 6,875 300 3,950 10,005 3,000 550

Total Support Services - Pupil Health

$352,117

2500 Support Services - Business 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 400 Purchased Property Services 500 Other Purchased Services 600 Supplies 700 Property 800 Other Objects

188,205 136,213 5,500 5,350 22,250 27,350 4,000 5,750

Total Support Services - Business 2600 Operation and Maintenance of Plant Services 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits

$394,618

Page 15

868,189 729,046

Estimated Expenditures and Other Financing Uses: Detail

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:18 AM

Page - 3 of 4

Description 300 400 500 600 700 800

Amount

Purchased Professional and Technical Services Purchased Property Services Other Purchased Services Supplies Property Other Objects

84,750 666,300 122,500 341,700 65,000 11,500

Total Operation and Maintenance of Plant Services

$2,888,985

2700 Student Transportation Services 300 Purchased Professional and Technical Services 500 Other Purchased Services 600 Supplies

3,000 1,984,500 4,500

Total Student Transportation Services

$1,992,000

2800 Support Services - Central 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 500 Other Purchased Services 800 Other Objects

20,000 17,500 9,500 500

Total Support Services - Central

$47,500

2900 Other Support Services 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 400 Purchased Property Services

21,720 28,649 2,000

Total Other Support Services

$52,369

Total Support Services

$10,761,469

3000 Operation of Non-Instructional Services 3200 Student Activities 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services 400 Purchased Property Services 500 Other Purchased Services 600 Supplies 700 Property 800 Other Objects

460,000 190,675 103,000 9,500 50,700 77,893 11,996 20,100

Total Student Activities

$923,864

3300 Community Services 100 Personnel Services - Salaries 200 Personnel Services - Employee Benefits 300 Purchased Professional and Technical Services

7,020 2,898 7,000

Total Community Services

$16,918

Total Operation of Non-Instructional Services

$940,782

5000 Other Expenditures and Financing Uses 5100 Debt Service / Other Expenditures and Financing Uses

Page 16

Estimated Expenditures and Other Financing Uses: Detail

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:18 AM

Page - 4 of 4

Description

Amount

800 Other Objects 900 Other Uses of Funds

923,568 1,420,000

Total Debt Service / Other Expenditures and Financing Uses

$2,343,568

5200 Interfund Transfers - Out 900 Other Uses of Funds

400,000

Total Interfund Transfers - Out

$400,000

5900 Budgetary Reserve 800 Other Objects

200,000

Total Budgetary Reserve

$200,000

Total Other Expenditures and Financing Uses

$2,943,568

TOTAL EXPENDITURES

$32,741,311

Page 17

Schedule Of Cash And Investments (CAIN)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:19 AM

Page - 1 of 2

Cash and Short-Term Investments General Fund

06/30/2017 Estimate

06/30/2018 Projection

8,905,954

8,555,954

2,987,414

2,995,914

126,700

127,250

3,500

4,000

$12,023,568

$11,683,118

06/30/2017 Estimate

06/30/2018 Projection

Public Purpose (Expendable) Trust Fund Other Comptroller-Approved Special Revenue Funds Athletic / School-Sponsored Extra Curricular Activities Fund Capital Reserve Fund - § 690, §1850 Capital Reserve Fund - § 1431 Other Capital Projects Fund Debt Service Fund Food Service / Cafeteria Operations Fund Child Care Operations Fund Other Enterprise Funds Internal Service Fund Private Purpose Trust Fund Investment Trust Fund Pension Trust Fund Activity Fund Other Agency Fund Permanent Fund Total Cash and Short-Term Investments Long-Term Investments General Fund Public Purpose (Expendable) Trust Fund Other Comptroller-Approved Special Revenue Funds Athletic / School-Sponsored Extra Curricular Activities Fund Capital Reserve Fund - § 690, §1850 Capital Reserve Fund - § 1431 Other Capital Projects Fund Debt Service Fund Food Service / Cafeteria Operations Fund Child Care Operations Fund Other Enterprise Funds Internal Service Fund Private Purpose Trust Fund Investment Trust Fund Pension Trust Fund Activity Fund Other Agency Fund

Page 18

Schedule Of Cash And Investments (CAIN)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:19 AM

Page - 2 of 2

Long-Term Investments

06/30/2017 Estimate

06/30/2018 Projection

$12,023,568

$11,683,118

Permanent Fund Total Long-Term Investments TOTAL CASH AND INVESTMENTS

Page 19

Schedule Of Indebtedness (DEBT)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:19 AM

Page - 1 of 6

Long-Term Indebtedness

06/30/2017 Estimate

06/30/2018 Projection

20,525,000

19,035,000

674,655

709,655

413,837

633,328

General Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total General Fund Public Purpose (Expendable) Trust Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Public Purpose (Expendable) Trust Fund Other Comptroller-Approved Special Revenue Funds 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Other Comptroller-Approved Special Revenue Funds Athletic / School-Sponsored Extra Curricular Activities Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Athletic / School-Sponsored Extra Curricular Activities Fund Capital Reserve Fund - § 690, §1850 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable

Page 20

38,778,525

41,889,450

$60,392,017

$62,267,433

Schedule Of Indebtedness (DEBT)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:19 AM

Page - 2 of 6

Long-Term Indebtedness

06/30/2017 Estimate

06/30/2018 Projection

29,750

28,500

0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Capital Reserve Fund - § 690, §1850 Capital Reserve Fund - § 1431 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Capital Reserve Fund - § 1431 Other Capital Projects Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Other Capital Projects Fund Debt Service Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Debt Service Fund Food Service / Cafeteria Operations Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations

Page 21

Schedule Of Indebtedness (DEBT)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:19 AM

Page - 3 of 6

Long-Term Indebtedness

06/30/2017 Estimate

06/30/2018 Projection

0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Food Service / Cafeteria Operations Fund Child Care Operations Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Child Care Operations Fund Other Enterprise Funds 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Other Enterprise Funds Internal Service Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Internal Service Fund Private Purpose Trust Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Private Purpose Trust Fund

Page 22

1,406,475

1,295,550

$1,436,225

$1,324,050

Schedule Of Indebtedness (DEBT)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:19 AM

Page - 4 of 6

Long-Term Indebtedness

06/30/2017 Estimate

Investment Trust Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Investment Trust Fund Pension Trust Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Pension Trust Fund Activity Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Activity Fund Other Agency Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable 0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Other Agency Fund Permanent Fund 0510 Bonds Payable 0520 Extended-Term Financing Agreements Payable

Page 23

06/30/2018 Projection

Schedule Of Indebtedness (DEBT)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:19 AM

Page - 5 of 6

Long-Term Indebtedness

06/30/2017 Estimate

06/30/2018 Projection

$61,828,242

$63,591,483

0530 Lease-Purchase Obligations 0540 Accumulated Compensated Absences 0550 Authority Lease Obligations 0560 Other Post-Employment Benefits (OPEB) 0599 Other Long-Term Liabilities Total Permanent Fund Total Long-Term Indebtedness

Page 24

Schedule Of Indebtedness (DEBT)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:19 AM

Page - 6 of 6

Short-Term Payables General Fund

06/30/2017 Estimate

06/30/2018 Projection

1,420,000

1,490,000

$1,420,000

$1,490,000

$63,248,242

$65,081,483

Public Purpose (Expendable) Trust Fund Other Comptroller-Approved Special Revenue Funds Athletic / School-Sponsored Extra Curricular Activities Fund Capital Reserve Fund - § 690, §1850 Capital Reserve Fund - § 1431 Other Capital Projects Fund Debt Service Fund Food Service / Cafeteria Operations Fund Child Care Operations Fund Other Enterprise Funds Internal Service Fund Private Purpose Trust Fund Investment Trust Fund Pension Trust Fund Activity Fund Other Agency Fund Permanent Fund Total Short-Term Payables TOTAL INDEBTEDNESS

Page 25

Fund Balance Summary (FBS)

2017-2018 Final General Fund Budget LEA : 110141003

Bald Eagle Area SD

Printed 6/9/2017 7:53:20 AM

Page - 1 of 1

Account Description

Amounts

0810 Nonspendable Fund Balance 0820 Restricted Fund Balance 0830 Committed Fund Balance

3,937,037

0840 Assigned Fund Balance

639,595

0850 Unassigned Fund Balance

2,408,443

Total Ending Fund Balance - Committed, Assigned, and Unassigned

$6,985,075

5900 Budgetary Reserve

200,000

Total Estimated Ending Committed, Assigned, and Unassigned Fund Balance and Budgetary Reserve

Page 26

$7,185,075