Colchester, Connecticut

january_2025_monthly_budget_report

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

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COLCHESTER PUBLIC SCHOOLS

Monthly Year to Date Budget Report

Period Ending January 31, 2025

 

OBJECT

ACCOUNT DESCRIPTION

BUDGET

TOTAL BUDGET | TRANSFERS

REVISED
BUDGET

YTD EXPENDED

ENCUMBRANCES

UNEXPENDED/
UNENCUMBERED
BALANCE

NOTES

PERCENT USED

 

40111

CERTIFIED PERSONNEL SALARIES

22,085,777

22,085,777

9,683,008.32

12,090,250.29

312,518.39

98.58%

 

40111

CERTIFIED DAILY SUBSTITUTES

150,000

150,000

119,340.00

0.00

30,660.00

79.56%

 

40111

STIPENDS

528,522

528,522

225,346.33

0.00

303,175.67

42.64%

 

40112

CLASSIFIED PERSONNEL SALARIES

6,299,532 22,321

6,321,853

3,186,884.16

2,970,450.05

164,518.51

97.40%

 

40112

CLASSIFIED DAILY SUBSTITUTES

160,000

160,000

106,054.42

0.00

53,945.58

66.28%

 

40113

ADDITIONAL STAFF HOURS

39,539

39,539

26,492.04

0.00

13,046.96

67.00%.

 

40130

CLASSIFIED OVERTIME

43,800

43,800

27,277.16

0.00

16,522.84

62.28%

 

41210

EMPLOYEE RELATED INSURANCE

3,632,879

3,632,879

2,105,690.59

1,470,730.00

56,458.41

98.45%

 

41220

SOCIAL SECURITY

469,051

469,051

236,491.68

0.00

232,559.32

50.42%

 

41221

MEDICARE

438,316

438,316

187,910.55

0.00

250,405.45

42.87%

 

41230

PENSION

219,118

219,118

98,983.80

0.00

120,134.20

45.17%

 

41250

UNEMPLOYMENT.

44,600

44,600

1,020.00

340.00

43,240.00

A| A} Atal

3.05%

 

41260

WORKERS' COMPENSATION INSURANCE

230,884

230,884

172,060.53

0.00

58,823.47

74.52%

 

41290

OTHER EMPLOYEE BENEFITS

106,590

106,590

66,324.97

0.00

40,265.03

62.22%

 

42323

PROTECTIVE CLOTHING & SAFETY EQUIPMENT

0

0

0.00

0.00

0.00

0.00%

 

42535

POSTAGE

16,400

16,400

2,953.50

3,000.00

10,446.50

36.30%

 

42611

INSTRUCTIONAL SUPPLIES

302,124

302,124

192,303.17

20,305.57

89,515.26

70.37%

 

42613

MAINTENANCE SUPPLIES

77,350

77,350

46,411.28

12,817.97

18,120.75

76.57%

 

42614

GROUNDS MAINTENANCE SUPPLIES

40,000

40,000

25,535.52

1,500.00

12,964.48

67.59%

 

42641

TEXTBOOKS

48,362

48,362

24,966.93

2,882.53

20,512.54

57.59%:

 

42642

LIBRARY BOOKS

14,170

14,170

9,733.48

1,658.78

2,777.74

80.40%

 

42643

PERIODICALS

1,344

1,344

1,336.62

0.00

7.38

99.45%.

 

42690

OTHER SUPPLIES/MATERIALS

595,805

595,805

433,232.61

56,168.66

106,403.73

82.14%

 

43320

PROFESSIONAL DEVELOPMENT.

55,255

555255)

17,103.11

1,842.00

36,309.89

34.29%

 

43322

INSTRUCTIONAL PROGRAM IMPROVEMENTS.

19,475

19,475

5,186.05

0.00

14,288.95

26.63%

 

43323

PUPIL SERVICES - IN DIST

177,014

177,014

78,978.76

0.00

98,035.24

44.62%

 

43326

PUPIL SERVICES - PUBLIC

199,818

199,818

94,224.72

100,520.57

5,072.71

97.46%

 

43327

PUPIL SERVICES - PRIVATE

291,970 (22,321)

269,649

275,330.44

303,330.29

(309,011.45)

214.60%

 

43510

PUPIL TRANSPORTATION - REGULAR EDUC

1,438,848

1,438,848

842,306.27

577,485.00

19,056.73

98.68%

 

43510

PUPIL TRANSPORTATION - SPECIAL EDUC

1,257,278

1,257,278

419,863.17

0.00

837,414.83

33.39%

 

43510

PUPIL TRANSPORTATION - ALT ED

0

0

0.00

0.00

0.00

0.00%

 

43511

TECH TRANSPORTATION

133,930

133,930

32,026.94

0.00

101,903.06

23.91%

 

43580

TRAVEL

62,635

62,635

43,646.48

530.00

18,458.52

70.53%

 

43810

DUES AND FEES

55,351

$5,351

38,630.18

196.00

16,524.82

70.15%:

 

44203

LEGAL

120,000

120,000

54,032.18

0.00

65,967.82

45.03%

 

44215

FACILITY RENTAL

15,000

15,000

0.00

0.00

15,000.00

0.00%

 

44330

OTHER PROFESSIONAL TECHNICAL SERVICES

$04,959

504,959

233,629.32

73,509.85

197,819.83

60.82%

 

44340

FINANCIAL MANAGEMENT SERVICES

65,596

65,596

65,596.15

0.00

(0.15)

100.00%

 

44520

PROPERTY INSURANCE

182,583

182,583

137,765.24

0.00

44,817.76

75.45%

 

44521

LIABILITY INSURANCE GENERAL

98,170

98,170

82,134.20

0.00

16,035.80

83.67%

 

44522

LIABILITY INSURANCE TRANSPORTATION

2,153

2,153

1,374.03

0.00

778.97

63.82%

 

44540

ADVERTISING

1,046

1,046

2,221.00

0.00

(1,175.00)

212.33%

 

44550

PRINTING

17,945

17,945

6,522.41

5,450.00

5,972.59

66.72%

 

44561

TUITION - VO-AG

122,814

122,814

33,637.39

33,637.39

55,539.22

54.78%

 

44561

TUITION - PUBLIC

684,131

684,131

254,256.53

229,693.95

200,180.52

70.74%

 

44562

TUITION - PRIVATE

1,658,070

1,658,070

786,749.64

886,355.44

(15,035.08)

100.91%

 

44563

TUITION - SAP OTHER

0

0

0.00

0.00

0.00

0.00%

 

44566

 

TUITION - MAGNET SCHOOLS

 

 

103,583

 

 

103,583

 

38,627.00

 

0.00

 

64,956.00

 

37.29%

 

 

 


       

COLCHESTER
PUBLIC SCHOOLS.

SANS

COLCHESTER PUBLIC SCHOOLS
Monthly Year to Date Budget Report
Period Ending January 31, 2025

 

OBJECT

ACCOUNT DESCRIPTION

TOTAL BUDGET

BUDGET
TRANSFERS

REVISED
BUDGET

YTD EXPENDED

ENCUMBRANCES

UNEXPENDED/
UNENCUMBERED
BALANCE

NOTES PERCENT USED

 

44590

OTHER PURCHASED SERVICES

50,286

50,286

43,348.55

204.52

6,732.93

86.61%

 

44610

CURRICULUM IMPLEMENTATION

40,000

40,000

26,841.25

0.00

13,158.75

67.10%

 

44815

SOFTWARE LICENSING & SUPPORT.

490,620

490,620

362,184.10

5,247.23

123,188.67

74.89%

 

45411

WATER/SEWER

66,992

66,992

31,003.20

0.00

35,988.80

46.28%

 

45530

TELEPHONES

86,744

86,744

64,383.01

0.00

22,360.99

74.22%

 

45620

HEAT ENERGY SUPPLIES

407,537

407,537

186,716.88

0.00

220,820.12

45.82%:

 

45622

ELECTRICITY

824,180

824,180

$31,237.33

0.00

292,942.67

64.46%

 

45623

PROPANE

750

750

37.66

0.00

712.34

5.02%

 

45626

GASOLINE - MAINTENANCE VEHICLES

1,355

1,355

779.37

0.00

575.63

57.52%

 

45627

TRANSPORTATION SUPPLIES

154,450

154,450

60,153.57

0.00

94,296.43

38.95%

 

46410

RECYCLING

44,048

44,048

19,841.96

0.00

24,206.04

45.05%

 

46420

CLEANING/REPAIRING MAINTENANCE

203,870

203,870

109,855.30

9,708.76

84,305.94

58.65%

 

46430

EQUIPMENT CONTRACTS - OFFICE

98,994

98,994

59,644.27

24,895.95

14,453.78

85.40%

 

46430

EQUIPMENT CONTRACTS - FACILITIES

162,607

162,607

74,337.75

37,953.76

50,315.49

69.06%

 

46431

VEHICLE MAINTENANCE

3,000

3,000

1,747.81

0.00

1,252.19

58.26%

 

48730

INSTRUCTIONAL EQUIPMENT

0

0

0.00

0.00

0.00

0.00%

 

48731

NON-INSTRUCTIONAL EQUIPMENT

0

0

0.00

0.00

0.00

0.00%

 

48733

FURNITURE & FIXTURES

19,424

19,424

12,016.73

3,106.50

4,300.77

77.86%

 

48734

OTHER CAPITAL OUTLAY

69,431

69,431

0.00

0.00

69,431.00

0.00%

 

50205

TRANSFER TO BOE CAPITAL RESERVE

0

0

0.00

0.00

0.00

0.00%

 

50260

TRANSFER TO EDUCATION GRANTS FUND.

40,000

40,000

0.00

0.00

40,000.00

0.00%

 

50700

TRANSFER TO DEBT SERVICE FUND

0

0

0.00

0.00

0.00

0.00%

 

50900

CONTINGENCY

0

0

0.00

0.00

0.00

0.00%

 

TOTAL

 

 

45,576,075

 

 

45,576,075

 

22,107,327.61

 

18,923,771.06

 

4,544,976.33

 

 

90.03%

 

 

(1)
(2)
(3)
(4)

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

Vacant positions exist as of 1/31/25.

Employee benefit amounts reflect only actual expended amounts to date.

Pending budget transfer

Special Education expenditures subject to reimbursement from Excess Cost grant