Colchester, Connecticut

quarterly_revenue_report_-_dec_2023_1

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

← Document Library

financial report District / Town websites

Machine-extracted text of a publicly posted document, provided for reference and search. The original document at the link above is authoritative.

Colchester Public Schools
                                                                      Quarterly Revenue Report
                                                                         December 31, 2023
Revenue Source       Pay to Park             Pay to Play ‐ WJJMS      Pay to Play ‐ BA         Pre‐K Tuition          Tuition
                                                                                               Offset a Preschool
Offset               Offset Transportation Offset Athletic Expenses   Offset Athletic Expenses Teacher &
                                                                                                                      No offset money goes       Total
                                                                                               Paraprofessional
                                                                                                                      directly go to Town.
                                             321003‐40111, 44330 &
Offset Account       101604‐43511                                     321004‐44330 & 43580 120005‐40111 & 40112
                                             43580
July                  $                  ‐    $                   ‐    $                ‐   $             150.00      $             3,870.00 $   4,020.00
August                $             2,000.00 $                    ‐    $                ‐   $           1,973.00      $             3,547.50 $   7,520.50
September             $             7,300.00 $               3,420.00 $           19,860.00 $          24,728.00                             $ 55,308.00
October               $             3,200.00                           $           5,610.00 $          15,595.00                             $ 24,405.00
November              $               500.00 $                 540.00                       $          15,569.00      $           123,357.26 $ 139,966.26
December              $               400.00 $               1,620.00 $           11,430.00 $          17,438.00      $               496.73 $ 31,384.73
January                                                                                                                                      $        ‐
February                                                                                                                                     $        ‐
March                                                                                                                                        $        ‐
April                                                                                                                                        $        ‐
May                                                                                                                                          $        ‐
June                                                                                                                                         $        ‐
      Total Collected $            13,400.00 $               5,580.00 $             36,900.00 $             75,453.00 $           131,271.49 $ 262,604.49
  Forecasted Amount $              20,000.00 $              20,000.00 $             82,000.00 $            134,010.00                        $ 256,010.00
 Uncollected Amount $              (6,600.00) $            (14,420.00) $           (45,100.00) $           (58,557.00) $          131,271.49 $   6,594.49