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School District R2 Wheatland
Trial Balance Report
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07/2024
-03/2025
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Regular; Beginning Month 07/2024; Processing Month 03/2025
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Fund: 10
GENERAL
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Beginning BalanceDebitsCreditsEnding Balance
6
Current Assets
7
10 1111
CASH IN BANK
1,568,121.061,818,836.021,012,483.612,374,473.47
8
10 1131
CASH ON HAND
1,100.000.000.001,100.00
9
10 1141 100
TRUST ACCT SAVINGS
29,040.75959.55400.0029,600.30
10
10 1141 300
ACTIVITIES ACCOUNT
424.9120,030.8416,082.004,373.75
11
10 1141 592
CD 136592
69,230.622,124.230.0071,354.85
12
10 1141 593
CD 136593
69,725.952,139.430.0071,865.38
13
10 1141 594
CD 136594
69,264.722,125.270.0071,389.99
14
10 1141 973
CD 131973
647,907.2618,478.540.00666,385.80
15
Total:
Current Assets
2,454,815.271,864,693.881,028,965.613,290,543.54
16
Current Liabilities
17
10 2151
FED WITHOD PAYABLE
0.0015,861.7015,861.700.00
18
10 2152
OASDI PAYABLE
0.0038,712.7438,712.740.00
19
10 2153
MEDICARE TAX PAYABLE
0.009,400.889,400.880.00
20
10 2154
MO INCOME TAX PAYABLE
0.006,600.666,600.660.00
21
10 2154 006
AFA INSURANCE
0.001,763.081,763.080.00
22
10 2154 007
AFA REIMBURSEMENT
0.150.000.000.15
23
10 2154 023
FORREST T JONES 403B
0.001,000.001,000.000.00
24
10 2154 026
TEXAS LIFE
0.00280.80280.800.00
25
10 2154 050
CHILD SUPPORT
0.002,694.342,694.340.00
26
10 2156 012
BP HSA ADDITIONAL BEN
0.001,568.001,568.000.00
27
10 2157
ANTHEM INSURANCE
(558.46)72,791.4872,272.25(1,077.69)
28
10 2158
TEA RETIRE PAYABLE
0.003,538.083,538.080.00
29
10 2159
NON TEA RET PAYABLE
(123.40)48,527.2048,527.20(123.40)
30
10 2165
MSTA
0.0090.0090.000.00
31
Total:
Current Liabilities
(681.71)202,828.96202,309.73(1,200.94)
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Fund Balance
33
10 3111
FUND BALANCE
2,455,540.421,020,888.371,857,135.873,291,787.92
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10 3321
INS LOSS CLEARING
(43.44)0.000.00(43.44)
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Total:
Fund Balance
2,455,496.981,020,888.371,857,135.873,291,744.48
36
Revenue
37
10 5111
CURRENT TAXES
0.000.001,426,257.961,426,257.96
38
10 5112
DELINQUENT TAXES
0.000.0032,343.1832,343.18
39
10 5114
FINANCE INST TAXES
0.000.0047.3447.34
40
10 5115
M & M SURTAX
0.000.0013,571.9313,571.93
41
10 5141
EARNINGS ON INVEST
0.000.0078,684.0978,684.09
42
10 5141 100
EARN ON INVEST-TRUST
0.000.00759.55759.55
43
10 5151
STUDENT MEALS
0.00145.2020,580.6020,435.40
44
10 5161
ADULT MEALS
0.000.001,640.771,640.77
45
10 5165
NON-PROGRAM RECEIPTS
0.000.0070.5570.55
46
10 5181
CS PRESCHOOL TUITION
0.000.00884.00884.00
47
10 5198
MISC LOCAL REVENUE
0.002,000.002,474.91474.91
48
10 5221
RAILROAD, UTILITY TAX
0.000.0058,084.5158,084.51
49
10 5231
FLOOD CONTROL
0.000.007,628.497,628.49
50
10 5312
TRANSPORTATION REV
0.000.00103,970.00103,970.00
51
10 5314
ECSE EARLY CHILDHOOD
0.000.002,749.262,749.26
52
10 5324
EARLY CHILDHOOD
0.000.00320.00320.00
53
10 5397
OTHER STATE MONEY
0.000.0010,170.3610,170.36
54
10 5412
MEDICAID
0.000.009,605.779,605.77
55
10 5442 000 0000 44200
ECSE FEDERAL
0.000.002,005.002,005.00
56
10 5445
FEDERAL LUNCH PROGRAM
0.000.0027,852.2927,852.29
57
10 5446
FEDERAL BREAK PROGRAM
0.000.0011,443.7111,443.71
58
10 5451 024 0000 45100
TITLE I
0.000.00635.88635.88
59
10 5451 025 0000 45100
TITLE I
0.000.0012,184.3312,184.33
60
10 5461 025 0000 46100
TITLE IV
0.000.001,500.001,500.00
61
10 5465 024 0000 46500
TITLE II.A
0.000.00266.32266.32
62
10 5465 025 0000 46500
TITLE II.A
0.000.004,388.994,388.99
63
Total:
Revenue
0.002,145.201,830,119.791,827,974.59
64
Expenditure
65
10 1111 6371 000 4020 1 00000
EL DUES/MEMBERSHIPS
0.00579.000.00579.00
66
10 1111 6391 000 4020 1 00000
EL PURCHASE SERVICE
0.0033.000.0033.00
67
10 1111 6411 000 4020 1 00000
EL GEN SUPPLIES
0.0024,976.23986.1023,990.13
68
10 1111 6411 000 4020 4 46100
EL TITLE IV GEN SUPP
0.002,382.300.002,382.30
69
10 1111 6412 000 4020 1 00000
EL TECH SUPPLIES
0.00156.650.00156.65
70
10 1111 6412 000 4020 4 49200
EL TECH SUPP REAP
0.005,831.195,831.190.00
71
10 1111 6412 000 4020 4 49201
EL TECH SUPPLY TITLE V.B RLIS
0.005,831.190.005,831.19
72
10 1111 6431 000 4020 1 00000
EL TEXTBOOK
0.004,389.000.004,389.00
73
10 1151 6343 000 1050 1 00000
HS TRAVEL
0.00154.360.00154.36
74
10 1151 6371 000 1050 1 00000
HS DUES/MEMBERSHIPS
0.00760.000.00760.00
75
10 1151 6391 000 1050 1 00000
HS PURCHASE SERVICE
0.00835.00181.50653.50
76
10 1151 6411 000 1050 1 00000
HS GEN SUPPLIES
0.0024,870.20181.7724,688.43
77
10 1151 6411 000 1050 3 39703
HS GEN SUPP GROW YOUR OWN
0.001,714.720.001,714.72
78
GRANT
79
10 1151 6411 000 1050 4 46100
HS TITLE IV GEN SUPP
0.00310.000.00310.00
80
10 1151 6412 000 1050 1 00000
HS TECH SUPPLIES
0.00150.500.00150.50
81
10 1151 6412 000 1050 4 49200
HS TECH SUPP REAP
0.004,108.734,108.730.00
82
10 1151 6412 000 1050 4 49201
HS TECH SUPP TITLE V.B RLIS
0.004,108.730.004,108.73
83
10 1151 6431 000 1050 1 00000
HS TEXTBOOK
0.008,083.040.008,083.04
84
10 1221 6319 000 4020 3 12210
SE PROF SERVICE
0.0030.000.0030.00
85
10 1221 6343 000 1050 3 12210
SE TRAVEL
0.00445.410.00445.41
86
10 1221 6343 000 4020 3 12210
SE TRAVEL
0.00208.700.00208.70
87
10 1221 6411 000 1050 1 12210
SE GEN SUPPLIES
0.00539.920.00539.92
88
10 1221 6411 000 4020 1 12210
SE GEN SUPPLIES
0.0038.120.0038.12
89
10 1251 6151 000 4020 3 00000
SI ADMIN STIPEND
0.00416.720.00416.72
90
10 1251 6151 200 4020 4 45100
SI ADMIN STIPEND
0.00583.280.00583.28
91
10 1251 6221 000 4020 3 00000
SI ADMIN STIP NON TEACH RETIRE
0.0028.560.0028.56
92
10 1251 6221 200 4020 4 45100
SI ADMIN NON TEAC RET
0.0040.000.0040.00
93
10 1251 6231 000 4020 3 00000
SI ADMIN STIP SOC SEC
0.0025.840.0025.84
94
10 1251 6231 200 4020 4 45100
SI ADMIN STIP SOC SEC
0.0036.160.0036.16
95
10 1251 6232 000 4020 3 00000
SI ADMIN STIP MEDICARE
0.006.080.006.08
96
10 1251 6232 200 4020 4 45100
SI ADMN STIP MEDICARE
0.008.480.008.48
97
10 1251 6411 000 4020 4 45100
SI GEN SUPPLIES
0.009,459.900.009,459.90
98
10 1251 6411 000 4020 4 46500
SI GEN SUP TITLE IIA
0.0013.5013.500.00
99
10 1251 6412 000 4020 4 45100
SI TECH SUPPLIES
0.001,850.000.001,850.00
100
10 1311 6411 000 1050 1 00000
VO AG GEN SUPPLIES
0.004,103.11207.643,895.47