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Item Description2025/26 Approved Budget2025/2026 Revised Budget2025/2026 Revised Budget - Final adjustments
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INCOME
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1000MISC, DONATIONS, GIFTS & GRANTS
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1100Amazon Smile0.000.000.00
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1200Box Tops for Education0.000.000.00
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1300Fred Meyer Community Rewards1,000.001,000.001,000.00
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1400Ballard Market Receipts0.000.000.00
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1600Miscellaneous Donations0.008,453.608,453.60
*One time increase to reflect one-time donation and additional flash gift card drive
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1650Family Events (Mariners + Kraken games)2,700.004,297.714,297.71
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1660Programs2,500.002,500.003,800.00
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1700Interest Income500.00500.00500.00
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2000FUNDRAISERS
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2100Annual Give 130,000.00130,000.00130,000.00
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2200Auction/Spring Fling84,500.0090,000.0090,000.00
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2500Move-a-thon20,000.0020,000.0020,000.00
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2600Yearbooks0.000.000.00
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2800Spirit Gear0.000.000.00
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2900Fall Festival1,500.001,500.001,500.00
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2950Nature Bridge Fundraising and Student Pay0.000.000.00
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3000MEMBERSHIP
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3100Membership Income2,400.002,400.002,400.00
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NEW 3150Ice Skating2,000.002,000.002,000.00
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TOTAL INCOME247,100.00262,651.31263,951.31
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EXPENSES
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4000ADMINISTRATION
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4050Annual Incorporation Renewal20.0020.0020.00
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4100Bank Fees400.00400.00400.00
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4150Business License Renewal (one for City of Seattle and one for WA state) 100.00100.00100.00
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4200Charitable Solicitation Renewal40.0040.0040.00
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4250Gambling License0.000.000.00
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4300Insurance490.00490.00490.00
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4350Legislative Assembly265.00265.00265.00
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4400President's Discretionary Fund350.00350.00350.00
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4450Printing & Publications0.000.000.00
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4500Supplies250.00250.00250.00
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4550PTA Website and Konstella615.00615.00615.00
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4650Accountant/Bookkeeper and Quickbooks4,100.004,100.004,100.00
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4700Membership Expense (WSPTA/NPTA/Seattle Council PTSA)2,000.002,000.001,375.00not as many members this year
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4800Taxes/9901,000.001,000.001,000.00
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5000FUNDRAISING
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5100Annual Give3,500.003,500.002,275.00
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5200Auction/Spring Fling17,000.0018,500.0018,675.00
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5500Move-a-thon700.00700.00760.00
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5600 Book Fair200.00200.00200.00
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5800 Spirit Gear0.000.000.00
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6000EVENTS
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6050Nature Bridge Chaperones0.000.000.00
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6100Nature Bridge Students0.000.000.00
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6150Art Walk200.00200.00200.00
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6200Enrichment Assemblies2,500.002,500.002,500.00
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6250Field Day300.00300.00300.00
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6300Fifth Grade Graduation500.00500.00500.00
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6350Ice Skating2,000.002,000.001,870.00
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6400Movie Nights0.000.000.00
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6450Family Nights and Community Events 1,000.001,000.001,000.00
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6520EDI Organized Parent Education and Programs3,500.003,500.003,500.00
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6550Reflections Art Contest50.0050.0050.00
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6600STEM Fair0.000.000.00
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6650Classroom STEM Projects0.000.000.00
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6700Staff Appreciation1,500.001,500.001,500.00
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6750Fall Festival3,500.003,500.002,900.00
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6800Global Reading Challenge 200.00200.00200.00
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6850Family Events (Mariners game)2,700.004,249.384,249.38
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7000PROJECTS
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7050Awards & Gifts300.00300.00300.00
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7100Directory0.000.000.00
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7150Family Support (Scholarships, Bussing, Gift Cards, Food Pantry, Trauma Support)3,500.006,000.006,000.00*One time increase to reflect additional gift card spending
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7200Fish Tank0.000.000.00
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7250Funding Proposals4,000.004,000.004,000.00
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7300Grounds Committee0.000.000.00
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7350Hospitality1,500.001,500.001,500.00
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7400Fill Us In/Back to Business0.000.000.00
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7450Playground Supplies0.000.000.00
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7500Safety Patrol250.00250.00250.00
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7750Wildcats READ!2,000.002,000.002,000.00
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8000SPECIAL GRANTS, PROG'S, PROJ'S
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8800Whittier Support Grant130,766.00132,342.00132,342.00*Actual 2025-26 grant is for $135,355 ($33,838 each of 4 quarters but only 3 quarters paid during 25-26). $29,250 ($117,000/4 quarters) from Q4 of 24-25 paid at start of 25-26 school year. Last payment of $33,838 carried over into start of 26-27 school year.
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8810Instructional Supports4,650.004,650.004,650.00
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8840Curriculum Enrichment 6,000.009,354.009,763.00
*One time increase to address delayed 2024-2025 expenses
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8850Enrichment Residencies 6,600.006,600.006,600.00
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8860Maker Space in Library500.00500.00500.00
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8870Math/Science Intervention75,000.0075,000.0075,000.00
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9000MISC.
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9100Outreach1,300.001,300.001,300.00
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9200Staff Discretionary Fund7,500.0012,500.0012,500.00*This amount represents a one-time increase based on an individual donation requesting it be applied to this line item.
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9250Programs2,500.002,500.005,800.00
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NEW 9260Snack Pantry4,000.004,000.003,500.00
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TOTAL EXPENSES299,346.00314,825.38315,689.38
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Net Income-52,246.00-52,174.07-51,738.07
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