Colchester, Connecticut

december_2016_monthly_report

https://www.colchesterct.org/monthly-financials

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8.2.1

                                                            COLCHESTER PUBLIC SCHOOLS
                                                            YEAR TO DATE BUDGET REPORT
                                                       FOR THE PERIOD ENDED DECEMBER 31, 2016

                                                                                                                            UNEXPENDED/
                                                 TOTAL        BUDGET     REVISED          YTD                              UNENCUMBERED              PERCENT
OBJECT             ACCOUNT DESCRIPTION          BUDGET       TRANSFERS   BUDGET        EXPENDED        ENCUMBRANCES           BALANCE        NOTES    USED
 40111 CERTIFIED PERSONNEL SALARIES             18,515,852                18,515,852    6,889,399.34       11,554,475.25          71,977.41    1         99.6
 40111 CERTIFIED DAILY SUBSTITUTES                 250,000                   250,000       81,430.00                             168,570.00              32.6
 40111 STIPENDS                                    313,076                   313,076      112,841.55            2,500.00         197,734.45    1         36.8
 40112 CLASSIFIED PERSONNEL SALARIES             5,313,916                 5,313,916    2,296,591.61        2,836,347.72         180,976.67    1         96.6
 40112 CLASSIFIED DAILY SUBSTITUTES                 80,000                    80,000       16,702.33                              63,297.67              20.9
 40113 ADDITIONAL STAFF HOURS                       40,748                    40,748       26,244.93                              14,503.07              64.4
 40130 CLASSIFIED OVERTIME                          34,500                    34,500       17,601.51                              16,898.49              51.0
 41210 EMPLOYEE RELATED INSURANCE                4,562,868                 4,562,868    2,334,370.80        2,207,761.68          20,735.52    2         99.5
 41220 SOCIAL SECURITY                             380,895                   380,895      162,487.99                             218,407.01    2         42.7
 41221 MEDICARE                                    359,092                   359,092      133,123.61                             225,968.39    2         37.1
 41230 PENSION                                     222,315                   222,315       90,371.93                             131,943.07    2         40.7
 41250 UNEMPLOYMENT                                 59,629                    59,629        9,878.00              500.00          49,251.00    2         17.4
 41260 WORKERS' COMPENSATION INSURANCE             215,842                   215,842      183,100.65           54,035.31         (21,293.96)   3        109.9
 41290 OTHER EMPLOYEE BENEFITS                     352,872                   352,872      190,908.62                             161,963.38              54.1
 42323 PROTECTIVE CLOTHING & SAFETY EQUIPMENT          500                       500            0.00                                 500.00               0.0
 42535 POSTAGE                                      21,450                    21,450        3,454.40                              17,995.60              16.1
 42611 INSTRUCTIONAL SUPPLIES                      232,552                   232,552      181,027.21           14,173.65          37,351.14              83.9
 42613 MAINTENANCE SUPPLIES                         66,726                    66,726       27,069.22           16,916.28          22,740.50              65.9
 42614 GROUNDS MAINTENANCE SUPPLIES                 26,400                    26,400       16,524.73                               9,875.27              62.6
 42641 TEXTBOOKS                                    99,531                    99,531       75,658.30           16,288.00           7,584.70              92.4
 42642 LIBRARY BOOKS                                18,843                    18,843       14,604.75            4,183.47              54.78              99.7
 42643 PERIODICALS                                   5,394                     5,394        3,969.35            1,126.42             298.23              94.5
 42690 OTHER SUPPLIES/MATERIALS                    318,118                   318,118      136,684.62           74,140.56         107,292.82              66.3
 43320 PROFESSIONAL DEVELOPMENT                     48,565                    48,565       17,864.64              842.32          29,858.04              38.5
 43322 INSTRUCTIONAL PROGRAM IMPROVEMENTS           33,150                    33,150       10,695.05           11,850.00          10,604.95              68.0
 43323 PUPIL SERVICES                              163,987                   163,987       32,682.90           38,646.10          92,658.00              43.5
 43510 PUPIL TRANSPORTATION - REGULAR EDUC       1,182,223                 1,182,223      569,632.21          560,884.56          51,706.23              95.6
 43510 PUPIL TRANSPORTATION - SPECIAL EDUC         904,597                   904,597      392,325.21          515,486.58          (3,214.79)   4        100.4
 43511 TECH TRANSPORTATION                         190,587                   190,587       79,796.31          112,895.44          (2,104.75)   3        101.1
 43580 TRAVEL                                       39,561                    39,561       15,245.50            5,500.00          18,815.50              52.4
 43810 DUES AND FEES                                53,279                    53,279       43,758.73              404.00           9,116.27              82.9
 44203 LEGAL                                       100,000                   100,000       61,266.00                              38,734.00              61.3
 44330 OTHER PROFESSIONAL TECHNICAL SERVICES       189,282                   189,282      101,092.20           30,832.64          57,357.16              69.7
 44340 FINANCIAL MANAGEMENT SERVICES                50,831                    50,831       50,831.00                                   0.00             100.0
 44520 PROPERTY INSURANCE                           70,970                    70,970       55,567.67           17,391.04          (1,988.71)   3        102.8
 44521 LIABILITY INSURANCE GENERAL                  58,524                    58,524       46,018.50           11,761.50             744.00              98.7
 44522 LIABILITY INSURANCE TRANSPORTATION            1,171                     1,171          879.75              293.25              (2.00)   3        100.2
 44540 ADVERTISING                                       0                         0          835.00                                (835.00)   3          0.0
 44550 PRINTING                                     19,220                    19,220        9,036.02            7,750.50           2,433.48              87.3
 44561 TUITION - VO-AG                             136,460                   136,460       71,641.50           71,641.50          (6,823.00)   3        105.0
 44561 TUITION - PUBLIC                          1,117,701                 1,117,701      424,316.73          520,888.92         172,495.35              84.6
 44562 TUITION - PRIVATE                         1,101,711                 1,101,711      531,753.43          554,811.69          15,145.88              98.6
 44563 TUITION - SAP OTHER                         192,916                   192,916       31,092.76           83,333.34          78,489.90              59.3
 44566 TUITION - MAGNET SCHOOLS                    322,297                   322,297      324,701.00                              (2,404.00)   3        100.7
                                                                        COLCHESTER PUBLIC SCHOOLS
                                                                        YEAR TO DATE BUDGET REPORT
                                                                   FOR THE PERIOD ENDED DECEMBER 31, 2016

                                                                                                                                           UNEXPENDED/
                                                             TOTAL        BUDGET          REVISED         YTD                             UNENCUMBERED              PERCENT
OBJECT            ACCOUNT DESCRIPTION                       BUDGET       TRANSFERS        BUDGET       EXPENDED        ENCUMBRANCES          BALANCE        NOTES    USED
 44590 OTHER PURCHASED SERVICES                                 42,877                        42,877       42,655.46                                221.54              99.5
 44610 CURRICULUM IMPLEMENTATION                                30,950                        30,950       19,758.27          1,640.49            9,551.24              69.1
 44815 SOFTWARE LICENSING & SUPPORT                            143,921                       143,921      123,925.64         13,011.04            6,984.32              95.1
 45411 WATER/SEWER                                              53,550                        53,550        9,831.84                             43,718.16              18.4
 45530 TELEPHONES                                               36,360                        36,360       20,882.49                             15,477.51              57.4
 45620 HEAT ENERGY SUPPLIES                                    243,164                       243,164       44,281.98                            198,882.02              18.2
 45622 ELECTRICITY                                             696,319                       696,319      338,413.87                            357,905.13              48.6
 45623 PROPANE                                                     500                           500            0.00                                500.00               0.0
 45626 GASOLINE - MAINTENANCE VEHICLES                           3,160                         3,160        1,118.98                              2,041.02              35.4
 45627 TRANSPORTATION SUPPLIES                                  71,780                        71,780       15,855.84                             55,924.16              22.1
 46410 RECYCLING                                                32,905                        32,905       21,266.41         16,565.86           (4,927.27)   3        115.0
 46420 CLEANING/REPAIRING MAINTENANCE                          143,025                       143,025       43,230.47          5,608.00           94,186.53              34.1
 46430 EQUIPMENT CONTRACTS - OFFICE                            129,307                       129,307       55,707.13         41,048.22           32,551.65              74.8
 46430 EQUIPMENT CONTRACTS - FACILITIES                        121,887                       121,887       48,983.99          5,369.00           67,534.01              44.6
 46431 VEHICLE MAINTENANCE                                       2,700                         2,700        3,433.09                               (733.09)   3        127.2
 48730 INSTRUCTIONAL EQUIPMENT                                  12,598                        12,598        5,527.00              0.00            7,071.00              43.9
 48731 NON-INSTRUCTIONAL EQUIPMENT                              47,500                        47,500       32,679.36            326.24           14,494.40              69.5
 48733 FURNITURE & FIXTURES                                      2,000                         2,000          154.98                              1,845.02               7.7
 48734 OTHER CAPITAL OUTLAY                                    215,735                       215,735      100,754.78           7,300.00         107,680.22              50.1
 50700 TRANSFER TO DEBT SERVICE FUND                           206,675                       206,675      206,675.00                                  0.00             100.0

        TOTAL                                               39,705,064              0     39,705,064   17,010,214.14      19,418,530.57        3,276,319.29             91.7

        Purchase orders for goods and services are issued throughout the school year.

  (1)   Vacant positions exist as of 12/31/16
  (2)   Employee benefit amounts reflect only actual expended amounts to date.
  (3)   Pending budget transfer
  (4)   Special Education expenditures subject to reimbursement from Excess Costs grant