2013-2014 year review of major financial funds mount vernon community school district
TRANSCRIPT
![Page 1: 2013-2014 Year Review of Major Financial Funds Mount Vernon Community School District](https://reader035.vdocument.in/reader035/viewer/2022080915/56649e1b5503460f94b09746/html5/thumbnails/1.jpg)
2013-2014 YearReview of Major Financial Funds
Mount Vernon Community School District
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Nutrition Fund
• The Nutrition provides school meals to students.
• 2013-2014 total revenues were $634,961• 2013-2014 total expenditures were $614,775• Nutrition guidelines changes continue • Net cash balance at June 30, 2014 was
$239,341.19
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Day Care Funds
• The Day Care program provides before and after school day care, early childhood day care, and summer day care
• 2013-2014 total revenues were $213,615• 2013-2014 total expenditures were $201,368• Net cash at June 30, 2014 was $12,832.54
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Management Fund
• The Management Fund pays the districts liability insurance and any teacher early retirement payments
• 2013-2014 Total Revenues were $400,638• Total Expenditures $285,095 including
$266,048 insurance and $19,047 for early retirement plans
• Net cash balance at June 30, 2014 was $167,758.65
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Activity Fund
• The Activity Fund pays for student activities in fine arts, athletics, and clubs
• 2013-2014 Total Receipts were $397,990• 2013-2014 Total Expenditures were $396,980• Net cash balance at June 30, 2014 was
$101,575.01
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Capital Projects Fund• Pays for technology expenditures, and
construction debt repayment through sales tax receipts
• 2013-2014 Total Revenue was $926,228• 2013-2014 Total Expenditures were $876,909
including $170,322 in technology, $706,587 debt repayment
• Net cash at June 30, 2014 was $20,227.39
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Physical Plant & Equipment Levy
• The PPEL Fund pays for transportation vehicles, building and grounds maintenance, and construction costs
• 2013-2014 Total Revenues were $453,279• 2013-2014 Total Expenditures were $426,104• Net cash at June 30, 2014 was $266,019
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Debt Service Fund
• The debt service fund pays debt incurred for construction projects
• 2013-2014 Total Revenue was $1,416,952• 2013-2014 Total Expenditures were
$6,837,432• Net cash at June 30, 2014 was $498,086
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Debt Service Fund• Construction Debt outstanding as of June 30,
2014• $5,560,000 from high school construction
payable through 2024 from property tax• $7,330,000 from elementary and middle
school projects payable through 2030 from sales tax receipts
• $135,000 high school constr energy loan payable through 2016 from sales tax receipts
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General Fund
• The General Fund pays for school operations not covered by another fund
• 2013-2014 Total Revenues were $12,041,510• 2013-2014 Total Expenditures were
$12,399,701• Net cash at June 30, 2013 was $1,543,001 and
decreased to $1,184,810 at June 30, 2014