ABCD
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Budget Summary 2020-21
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Contact: Lisa Anderson, Business Manager
Telephone: 503-876-1502
Email: lisa.anderson@willamina.k12.or.us
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FINANCIAL SUMMARY - RESOURCESActual Amount Last Year 2019-20Adopted Budget This Year 2020-21Approved Budget Next Year 2021-22
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Beginning Fund Balance$4,019,630 $4,044,384 $4,161,253
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Current Year Property Taxes, other than Local Option Taxes 2,287,360 2,075,597 2,279,455
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Current Year Local Option Property Taxes
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Other Revenue from Local Sources 1,090,984 887,286 1,129,222
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Revenue from Intermediate Sources 253,800 160,000 160,200
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Revenue from State Sources 7,163,576 8,792,517 8,430,192
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Revenue from Federal Sources 1,388,200 1,747,756 2,457,559
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Interfund Transfers 326,850 241,938 252,510
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All Other Budget Resources
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Total Resources of ALL FUNDS$16,530,400 $17,949,478 $18,870,391
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FINANCIAL SUMMARY - REQUIREMENTS BY OBJECT CLASSIFICATIONActual Amount Last Year 2019-20Adopted Budget This Year 2020-21Approved Budget Next Year 2021-22
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Salaries$5,842,360 $6,168,331 $6,186,307
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Other Associated Payroll Costs 3,541,436 3,973,667 4,287,826
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Purchased Services 1,819,008 1,987,986 2,030,148
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Supplies & Materials 1,377,248 1,872,717 1,816,954
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Capital Outlay 935,400 1,080,723 1,401,335
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Other Objects (except debt service & interfund transfers)
140,000 138,359 141,855
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Debt Service* 536,000 555,534 630,000
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Interfund Transfers* 324,450 238,688 250,000
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Operating Contingency 1,622,088 1,574,755 1,768,095
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Unappropriated Ending Fund Balance & Reserves 392,410 358,718 357,871
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Total Requirements $16,530,400 $17,949,478 $18,870,391
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FINANCIAL SUMMARY - REQUIREMENTS AND FULL-TIME EQUIVALENT EMPLOYEES (FTE) BY FUNCTIONActual Amount Last Year 2019-20Adopted Budget This Year 2020-21Approved Budget Next Year 2021-22
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1000 Instruction$7,313,170 $8,784,040 $8,666,744
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FTE77.483.576
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2000 Support Services 5,085,392 5,228,200 5,658,544
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FTE30.4830.6228.2816
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3000 Enterprise & Community Service 880,494 879,272 913,520
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FTE5.836.036.03
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4000 Facility Acquisition & Construction 376,396 330,271 625,617
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FTE
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5000 Other Uses
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5100 Debt Service*536,000555,534630,000
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5200 Interfund Transfers*324,450238,688250,000
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5400 PES UAL Payments*
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6000 Contingency1,622,0881,574,7551,768,095
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7000 Unappropriated Ending Fund Balance392,410358,718357,871
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Total Requirements$16,530,400$17,949,478$18,870,391
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Total FTE113.71120.15110.3116
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* not included in total 5000 Other Uses. To be appropriated separately from other 5000 expenditures.
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STATEMENT OF CHANGES IN ACTIVITIES and SOURCES OF FINANCING
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The 2021-22 Budget was developed in a manner consistent with the 2020-21 Budget. Revenue estimates are based upon data provided to the district from the Oregon Department of Education and other agencies. Expenditures reflect current collective bargaining agreements and our estimates of inflationary factors in other areas. Overall our estimated staffing is increasing slightly in anticipation of the changing programatic needs for students.
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PROPERTY TAX LEVIES
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Levy TypeRate or Amount ImposedRate or Amount Imposed
Rate or Amount Approved
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Permanent Rate Levy (Rate Limit $5.0022 per $1,000)
5.00225.00225.0022
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Local Option Levy
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Levy For General Obligation Bonds$250,000 $275,000
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STATEMENT OF INDEBTEDNESS
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LONG TERM DEBTEstimated Debt Outstanding on July 1Estimated Debt Authorized, But Not Incurred on July 1
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General Obligation Bonds$970,000$0
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Other Bonds$1,770,000$0
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Other Borrowings$212,157$0
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Total$2,952,157$0