2013 - 14 CENTRALIZED ACCOUNTS As of March 2014 Cyclical Closing SAP ACCOUNT 2013 - 14 2012 - 13 BUS AREA FUND GL ACCNT FCNTL AREA COST CENTER ACADEMIC SENATE-PRINTING C000 10059 453100 6030 ZC001B 450.00 300 204.00 0.00 96.00 ACADEMIC SENATE - OTHER EXPENSE C000 10059 589000 6030 ZC001B 1,456.93 2,200 143.85 0.00 2,056.15 ACADEMIC SENATE-INSTRUCTOR, N-TEACH,RE D000 10059 121100 6030 Z0001B 166,992.00 108,696 129,450.00 40,136.00 -60,890.00 ACADEMIC SENATE-INSTRUCTION,N-TEACH H D000 10059 141500 6030 Z0001B 71,131.60 183,971 89,710.64 0.00 94,260.36 ACADEMIC SENATE-OFF/CLERICAL, REG D000 10059 213100 6030 Z0001B 0.00 7,500 0.00 0.00 7,500.00 ACADEMIC SENATE - UNCLASSIFIED, NON-INSTRUCTIONAL D000 10059 239200 6030 Z0001B 0.00 2,000 0.00 0.00 2,000.00 ACADEMIC SENATE-DISTRIBUTED EMP BEN D000 10059 392000 6030 Z0001B 29,655.79 1 24,317.39 0.00 -24,316.39 ACADEMIC SENATE-SUPPLIES D000 10059 452100 6030 Z0001B 0.00 3,157 0.00 730.33 2,426.67 ACADEMIC SENATE - PRINTING D000 10059 453100 6030 Z0001B 0.00 2,085 0.00 0.00 2,085.00 ACADEMIC SENATE-MEMBERSHIP D000 10059 583100 6030 Z0001B 14,460.00 14,875 14,875.00 0.00 0.00 ACADEMIC SENATE-MILEAGE D000 10059 584100 6030 Z0001B 3,534.54 3,100 710.21 0.00 2,389.79 ACADEMIC SENATE-TRAVEL EXPENSE D000 10059 586100 6030 Z0001B 25,296.91 26,321 11,904.64 12,113.97 2,302.39 ACADEMIC SENATE-OTHER EXPENSE D000 10059 589000 6030 Z0001B 5,231.40 7,900 7,000.00 0.00 900.00 ACADEMIC SENATE-EQUIPMENT D000 10059 640100 6030 Z0001B 0.00 2,000 0.00 0.00 2,000.00 ACADEMIC SENATE-LOW VALUE, ASSET EQUIP D000 10059 642300 6030 Z0001B 2,053.20 0 0.00 0.00 0.00 ACADEMIC SENATE - UNCLASSIFIED, NON-INSTRUCTION E000 10059 239200 6030 ZE001B 140.30 0 0.00 0.00 0.00 ACADEMIC SENATE-SUPPLIES E000 10059 452100 6030 ZE001B 291.47 2,000 0.00 0.00 2,000.00 ACADEMIC SENATE - OTHER EXPENSE E000 10059 589000 6030 ZE001B 0.00 500 0.00 0.00 500.00 ACADEMIC SENATE-SUPPLIES H000 10059 452100 6030 ZH001B 0.00 1,500 0.00 0.00 1,500.00 ACADEMIC SENATE-PRINTING H000 10059 453100 6030 ZH001B 0.00 500 0.00 0.00 500.00 ACADEMIC SENATE-OTHER EXPENSE H000 10059 589000 6030 ZH001B 0.00 500 0.00 0.00 500.00 ACADEMIC SENATE-UNCLASSIFIED, NON-INSTRUCTIONAL M000 10059 239200 6030 ZM001B 0.00 500 0.00 0.00 500.00 ACADEMIC SENATE-SUPPLIES M000 10059 392000 6030 ZM001B 0.00 0 -253.43 0.00 253.43 ACADEMIC SENATE-SUPPLIES M000 10059 452100 6030 ZM001B 578.80 500 0.00 0.00 500.00 ACADEMIC SENATE-OTHER EXPENSE M000 10059 589000 6030 ZM001B 1,417.00 500 0.00 0.00 500.00 ACADEMIC SENATE-LOW VALUE, EQUIP M000 10059 642300 6030 ZM001B 0.00 1,000 0.00 0.00 1,000.00 ACADEMIC SENATE - OTHER EXPENSE P000 10059 589000 6030 ZP001B 0.00 2,500 0.00 0.00 2,500.00 ACADEMIC SENATE-UNCLASSIFIED, NON-INSTRUCTIONAL T000 10059 239200 6030 ZT001B 0.00 100 0.00 0.00 100.00 ACADEMIC SENATE - SUPPLIES T000 10059 452100 6030 ZT001B 1,603.22 2,605 476.11 0.00 2,128.89 ACADEMIC SENEATE - UNCLASSIFIED, NON-INSTRUCTIONAL V000 10059 239200 6030 ZV001B 124.20 0 0.00 0.00 0.00 ACADEMIC SENATE - SUPPLIES V000 10059 452100 6030 ZV001B 1,860.01 2,500 0.00 0.00 2,500.00 ACADEMIC SENATE - SUPPLIES W000 10059 452100 6030 ZW001B 541.98 800 0.00 0.00 800.00 DESCRIPTION YEAR END EXPEND CURRENT BUDGET CURRENT EXPEND CURRENT COMMITMENT CURRENT BALANCE A. OPERATING BUDGETS Thursday, April 17, 2014 Page 1 of 8 2013 - 14 CENTRALIZED ACCOUNTS As of March 2014 Cyclical Closing SAP ACCOUNT 2013 - 14 2012 - 13 BUS AREA FUND GL ACCNT FCNTL AREA COST CENTER ACADEMIC SENATE-PRINTING W000 10059 453100 6030 ZW001B 0.00 300 0.00 0.00 300.00 ACADEMIC SENATE-OTHER EXPENSE W000 10059 589000 6030 ZW001B 1,457.23 1,400 1,299.00 0.00 101.00 LDP - INSTRUCTOR REGULAR D000 10059 111100 6600 ZD002B 350.00 0 0.00 0.00 0.00 LDP - INSTRUCTIONAL, NON-TEACHING REGULAR D000 10059 121100 6600 ZD002B 125.00 0 0.00 0.00 0.00 LDP - INSTRUCTIONAL, HOURLY D000 10059 131500 6600 ZD002B 325.00 0 0.00 0.00 0.00 LDP - EMP BENEFITS D000 10059 392000 6600 ZD002B 171.17 0 0.00 0.00 0.00 LDP - CONTRACT PRSNL SVCS D000 10059 562100 6600 ZD002B 0.00 24,000 0.00 5,000.00 19,000.00 LDP - MEMBERSHIP D000 10059 583100 6600 ZD002B 730.00 0 0.00 0.00 0.00 LDP - TRAVEL EXPENSE D000 10059 586100 6600 ZD002B 6,437.06 0 0.00 0.00 0.00 LDP - OTHER EXPENSE D000 10059 589000 6600 ZD002B 1,398.23 11,000 8,013.21 1,635.00 1,351.79 $9,536 $35,000 $8,013 $6,635 $20,352 AUDIT EXPENSE D000 6710 Z0003B 565,180.00 1,239,999 501,200.00 171,298.60 567,500.40 $501,200 $171,299 BENEFITS - RETIREE MEDICAL D000 10100 346000 6720 Z0080A 19,723,725.88 18,944,584 BENEFITS - RETIREE, DENTAL D000 10100 346100 6720 Z0080A 111,820.80 BENEFITS - RETIREES, HRA D000 10100 346500 6720 Z0080A 466,500.00 BENEFITS - RETIREE, DENTAL D000 10100 348100 6720 Z0080A BENEFITS - RETIREE, VISION D000 10100 348200 6720 BENEFITS - RETIREE, EMP BEN DISTRIBUTED D000 10100 392000 6720 CFAU - EMP BENEFITS D000 10059 392000 6460 D0264B 67,515.32 0 0.00 0.00 CFAU - OFFICE & CLERICAL, REGULAR D000 10151 213100 6460 D0264B 699,753.98 698,063 544,287.15 153,775.85 0.00 CFAU - OFF/CLERICAL, OVERTIME D000 10151 233400 6460 D0264B 3,162.76 0 3,186.21 0.00 -3,186.21 CFAU - UNCLASSIFIED, NON- INSTRUCTION D000 10151 239200 6460 D0264B 29,656.22 29,650 27,675.42 0.00 1,974.58 CFAU - DISTRIBUTED FRINGE BENEFITS & IN D000 10151 392000 6460 D0264B -39.48 1 85,226.86 0.00 -85,225.86 CFAI - ATTENDANCE INCENTIVE D000 10151 395400 6460 D0264B 0.00 350 350.00 0.00 0.00 CFAU - SUPPLIES D000 10151 452100 6460 D0264B 14,955.58 21,309 7,494.17 1,142.92 12,671.91 CFAU - PRINTING D000 10151 453100 6460 D0264B 109,188.76 55,500 18,726.20 36,733.00 40.80 CFAU - TELEPHONE D000 10151 550100 6460 D0264B 927.80 973 624.00 349.00 0.00 CFAU - POSTAGE AND MAIL SERVICE D000 10151 552200 6460 D0264B 49,000.00 35,000 33,451.97 0.00 1,548.03 CFAU - RENTAL OF EQUIPMENT ALL OTHER D000 10151 565100 6460 D0264B 260.51 581 260.96 39.64 280.40 CFAU - CONTRACTS, OTHER D000 10151 569400 6460 D0264B 55,604.03 147,793 119,152.38 27,706.54 934.08 DESCRIPTION FUNCTION TOTAL 573100 FUNCTION TOTAL $565,180 CURRENT EXPEND $381,811 $1,239,999 CURRENT COMMITMENT $279,837 $52,980 CURRENT BALANCE $48,993 $567,500 14,187,660.82 0.00 4,756,923.18 119,422 81,060.98 0.00 38,361.02 510,000 414,000.00 0.00 96,000.00 2,619,425.45 2,437,758 1,700,467.11 0.00 737,290.89 Z0080A 478,205.52 482,851 269,214.99 0.00 213,636.01 Z0080A 0.00 0 -868.82 0.00 868.82 FUNCTION TOTAL Thursday, April 17, 2014 CURRENT BUDGET $328,277 FUNCTION TOTAL 10059 YEAR END EXPEND $23,399,678 $22,494,615 $16,651,535 $0 $5,843,080 0.00 Page 2 of 8 2013 - 14 CENTRALIZED ACCOUNTS As of March 2014 Cyclical Closing SAP ACCOUNT 2013 - 14 2012 - 13 BUS AREA FUND GL ACCNT FCNTL AREA COST CENTER CFAU - EQUIPMENT MAINTENANCE D000 10151 582400 6460 D0264B 2,276.48 5,902 2,872.32 2,929.68 100.00 CFAU - MEMBERSHIP D000 10151 583100 6460 D0264B 1,165.00 1,470 1,185.00 0.00 285.00 CFAU - MILEAGE D000 10151 584100 6460 D0264B 1,342.65 1,400 195.84 0.00 1,204.16 CFAU - OTHER EXPENSE D000 10151 589000 6460 D0264B 1,921.16 2,000 -40.00 372.44 1,667.56 CFAU - LOW VALUE ASSET EQUIPMENT D000 10151 642300 6460 D0264B 6,326.43 6,001 0.00 0.01 6,000.99 CFAU - LEASE-PURCHASE EQUIP D000 10151 652000 6460 D0264B 11,070.36 11,192 5,535.18 5,551.04 105.78 DOLORES HUERTA-INTRAFUND, UNRES/RETRICTED D000 10059 739900 7310 Z6178B 0.00 208,000 208,000.00 0.00 0.00 DOLORES HUERTA-INTRAFUND, UNRES/RESTR D000 10059 739900 6730 Z0095B 268,790.00 0 0.00 0.00 0.00 $0 $0 DW MARKETING (PUBLIC RELATIONS) SUPPLIES D000 10059 452100 6770 Z0056B 1,231.31 1 0.00 0.01 0.99 DW MARKETING (PUBLIC RELATIONS)-CNTRCT PERSNAL SV D000 10059 562100 6770 Z0056B 230,733.08 284,506 61,134.05 97,031.00 126,340.95 DW MARKETING (PUBLIC RELATIONS) - ADVERTISING D000 10059 587100 6770 Z0056B 8,500.00 43,000 16,247.90 6,444.00 20,308.10 EMPLOYEE ASSISTANCE PROGRAM-UNCLASSIFIED, NON-INS D000 10059 239200 6730 Z0011B 4,052.60 0 0.00 0.00 0.00 EMPLOYEE ASSISTANCE PROGRAM - SUPPLIES D000 10059 452100 6730 Z0011B 0.00 30,328 5,440.97 476.31 24,410.72 EMPLOYEE ASSISTANCE PROG - PRINTING D000 10059 453100 6730 Z0011B 0.00 2,000 0.00 0.00 2,000.00 EMPLOYEE ASSIST PROGRAM - CONTRACT D000 10059 562100 6730 Z0011B 136,703.42 167,491 101,062.84 66,427.82 0.34 EMPLOYEE ASSISTANCE PROG - MILEAGE D000 10059 584100 6730 Z0011B 0.00 500 0.00 0.00 500.00 EMPLOYEE ASSISTANCE PROGRAM - OTHER EXP D000 10059 589000 6730 Z0011B 946.53 5,318 289.62 2,317.36 2,711.02 ENVIRONMENTAL HEALTH & SAFETY-SUPPLIES D000 10059 452100 6770 Z0012B 18,615.32 20,591 6,787.07 7,759.00 6,044.93 ENVIRONMENTAL HEALTH & SAFETY-PRINTING D000 10059 453100 6770 Z0012B 0.00 1,000 0.00 0.00 1,000.00 ENVIRONMENTAL HEALTH & SAFETY - PHONE D000 10059 550100 6770 Z0012B 0.00 500 0.00 0.00 500.00 ENVIRONMENTAL HEALTH & SAFETY-CONTRCT PRSN D000 10059 562100 6770 Z0012B 265,650.85 346,285 207,052.30 111,151.48 28,081.22 ENVIRONMENTAL HEALTH & SAFETY-MILEAGE D000 10059 584100 6770 Z0012B 922.55 1,000 0.00 0.00 1,000.00 ENVIRONMENTAL HEALTH & SAFETY-TRAVEL EXPEN D000 10059 586100 6770 Z0012B 100.00 2,000 0.00 0.00 2,000.00 ENVIRONMENTAL HEALTH & SAFETY-OTHER EXPENSE D000 10059 589000 6770 Z0012B 3,067.50 1,000 0.00 0.00 1,000.00 ENVIRONMENTAL HEALTH & SAFETY - LOW VALUE ASSET EQUIP D000 10059 642300 6770 Z0012B 0.00 10,100 0.00 0.00 10,100.00 GOLD CREEK - INSTR, NON-TEACHING V000 10160 121100 6020 ZV044B 48,600.00 0 0.00 0.00 0.00 GOLD CREEK - INSTR, NON-TEACHING, HOUR V000 10160 141500 6020 ZV044B 10,759.30 0 0.00 0.00 0.00 GOLD CREEK - DISTR EMP BENEFITS & INSU V000 10160 392000 6020 ZV044B 6,127.67 0 0.00 0.00 0.00 DESCRIPTION FUNCTION TOTAL CURRENT BUDGET $1,054,088 FUNCTION TOTAL $268,790 FUNCTION TOTAL $240,464 FUNCTION TOTAL $141,703 FUNCTION TOTAL Thursday, April 17, 2014 YEAR END EXPEND $288,356 CURRENT EXPEND $1,017,185 $208,000 $327,507 $205,637 $382,476 CURRENT COMMITMENT $850,184 $208,000 $77,382 $106,793 $213,839 $228,600 $103,475 $69,221 $118,910 CURRENT BALANCE ($61,599) $146,650 $29,622 $49,726 Page 3 of 8 2013 - 14 CENTRALIZED ACCOUNTS As of March 2014 Cyclical Closing SAP ACCOUNT 2013 - 14 2012 - 13 BUS AREA FUND GL ACCNT FCNTL AREA COST CENTER GOLD CREEK - SUPPLIES V000 10160 452100 6020 ZV044B 394.60 0 0.00 0.00 0.00 GOLD CREEK - SUPPLIES FOR MAINT & REP V000 10160 452300 6020 ZV044B 3,383.51 0 0.00 0.00 0.00 GOLD CREEK - RENT EQUIP, OTHER V000 10160 565100 6020 ZV044B 149.43 0 0.00 0.00 0.00 GOLD CREEK - MILEAGE V000 10160 584100 6020 ZV044B 1,008.26 0 0.00 0.00 0.00 GOLD CREEK - OTHER EXPENSE V000 10160 589000 6020 ZV044B 108.02 0 0.00 0.00 0.00 $0 $0 $0 METRO RECORDS - OFFICE & CLERICAL REG M000 10114 213100 6200 ZM045B 42,473.74 0 0.00 0.00 0.00 METRO RECORDS - DISTR EMP BENEFITS M000 10114 392000 6200 ZM045B 27,173.63 0 0.00 0.00 0.00 METRO RECORDS - SUPPLIES M000 10114 452100 6200 ZM045B 824.82 0 0.00 0.00 0.00 METRO RECORDS - PRINTING M000 10114 453100 6200 ZM045B 184.21 0 0.00 0.00 0.00 METRO RECORDS - POSTAGE M000 10114 552200 6200 ZM045B 60.80 0 0.00 0.00 0.00 SPEC PROJ - ACCREDITATION, INSTRUCTIONAL, NONTEACHING, REG SPECIAL PROJECT-ACCREDITATION, INSTRUCTNL NONTEACHING HRLY SPEC PROJ - COMPLIANCE OFFICERS, OFF/CLRK, REG. D000 10059 121100 6400 Z0061B 16,490.40 D000 10059 141500 6400 Z0061B 27,588.79 20,000 D000 10059 213100 6600 Z0062B 202,375.44 205,500 SPEC PROJ - ACCREDITATION, EMP BEN D000 10059 392000 6400 Z0061B 4,760.63 4,000 2,850.12 0.00 1,149.88 SPEC PROJ - COMPLIANCE OFFICERS, EMP BENEFITS D000 10059 392000 6600 Z0062B 71,475.55 102,086 54,997.41 0.00 47,088.59 SPEC PROJ - COMPLIANCE OFFICERS, CNTRCT PRSNL SVCS D000 10059 562100 6600 Z0062B 12,381.69 122,674 60,544.88 61,929.12 200.00 SPEC PROJ - EMSI, CONTRACT PRSNL SVCS D000 10059 562100 6400 Z0063B 0.00 30,000 30,000.00 0.00 0.00 SPEC PROJ - ACCREDITATION, CONTRACT PRSNL SVCS D000 10059 562100 6400 Z0061B 5,775.00 225 0.00 225.00 0.00 SPEC PROJ - CLASSIFIED APPL TRACKING UPGRADE, CON PRSNL SVC SPEC PROJ - ACCREDITATION, CONTRACT OTHER D000 10059 562100 6400 Z0064B 0.00 120,000 26,500.00 0.00 93,500.00 D000 10059 569400 6400 Z0061B 0.00 6,000 0.00 0.00 6,000.00 SPEC PROJ - ACCREDITATION, TRAVEL EXP D000 10059 586100 6400 Z0061B 2,470.28 2,500 1,137.10 424.75 938.15 SPEC PROJ - ACCREDITATION, OTHER EXPENSE D000 10059 589000 6400 Z0061B 1,746.02 2,712 323.05 0.00 2,388.95 SPEC PROJ - ONLINE PEOPLE D000 10100 562100 6010 ZD089A 0.00 73,460 29,689.61 41,033.70 2,736.69 SIS MODERNIZATION PROJ-ADM, REGULAR D000 10059 122100 6780 Z0052B 105,046.88 160,800 123,914.07 SIS MODERNIZATION PROJ-ADM, REGULAR (CLASSIFIED) D000 10059 212100 6780 Z0052B 0.00 223,956 SIS MODERNIZATION PROJ-OFF/CLERICAL, REGULAR D000 10059 213100 6780 Z0052B 12,222.67 65,444 SIS MODERNIZATION PROJ-EMP BENEFITS D000 10059 392000 6780 Z0052B 25,725.88 204,480 SIS MODERNIZATION PROJ-SUPPLIES D000 10059 452100 6780 Z0052B 2,146.60 10,413 SIS MODERNIZATION PROJ-MAINTENANCE, EQUIPMENT D000 10059 582400 6780 Z0052B 1,682.40 SIS MODERNIZATION PROJ - MILEAGE D000 10059 584100 6780 Z0052B 16.85 DESCRIPTION FUNCTION TOTAL CURRENT BUDGET $70,531 FUNCTION TOTAL $70,717 FUNCTION TOTAL Thursday, April 17, 2014 YEAR END EXPEND $345,064 CURRENT EXPEND $0 $0 40,000 $729,157 CURRENT COMMITMENT $0 12,740.40 $0 CURRENT BALANCE $0 3,750.60 23,509.00 16,442.30 0.00 3,557.70 160,259.49 43,577.51 1,663.00 $395,484 $150,941 $182,732 35,547.93 1,338.00 70,545.78 0.00 153,410.22 49,077.71 18,824.74 -2,458.45 65,416.33 0.00 139,063.67 2,798.77 355.35 7,258.88 10,200 1,405.00 0.00 8,795.00 1,250 164.91 0.00 1,085.09 Page 4 of 8 2013 - 14 CENTRALIZED ACCOUNTS As of March 2014 Cyclical Closing SAP ACCOUNT 2013 - 14 2012 - 13 BUS AREA FUND GL ACCNT FCNTL AREA COST CENTER SIS MODERNIZATION PROJ-TRAVEL EXP D000 10059 586100 6780 Z0052B 0.00 26,000 13,601.25 2,550.00 9,848.75 SIS MODERNIZATION PROJ-LOW VALUE EQUIPMENT D000 10059 642300 6780 Z0052B 2,829.64 69,432 54,469.75 8,152.16 6,810.09 SW BASEBALL FIELD-MAINT & OPERATION, REG D000 10059 214100 6550 ZD057B SOUTHWEST BASEBALL FIELD-MAINT/OPER O/T D000 10059 234400 6550 ZD057B 360.20 SW BASEBALL FIELD-EMP BEN D000 10059 392000 6550 ZD057B 25,141.36 DESCRIPTION FUNCTION TOTAL YEAR END EXPEND CURRENT BUDGET $149,671 46,598.40 FUNCTION TOTAL $72,100 SUBTOTAL $27,004,154 CURRENT EXPEND $771,975 46,598 CURRENT COMMITMENT $381,394 $65,430 CURRENT BALANCE $325,151 36,505.08 12,720.91 0 134.40 0.00 -134.40 24,641 18,527.08 0.00 6,113.92 $71,239 $27,864,601 $55,167 $19,728,828.60 $12,721 $980,213 -2,627.99 $3,352 $7,155,560 B. OPERATING BUDGETS WITH VARIABLE EXPENSES COL BARGN - INSTRUCTIONAL, NON-TEACHING C000 10059 121100 6730 ZC006B 27,865.64 0 0.00 0.00 0.00 COL BARGN - ADM REG C000 10059 122100 6730 ZC006B 61,150.80 63,785 47,465.54 0.00 16,319.46 COL BARGN-INSTRUCTIONAL, FALL HRLY C000 10059 131500 6730 ZC006B 24,920.05 16,740 16,756.20 0.00 -16.20 COL BARGN-INSTRUCTIONAL, SPRING HRLY C000 10059 132500 6730 ZC006B 24,920.04 16,740 6,702.48 0.00 10,037.52 COL BARGN - TUITION REIMBURSEMENT C000 10059 581100 6730 ZC006B 7,761.00 4,000 3,405.00 0.00 595.00 COL BARGN - TRAVEL EXPENSE C000 10059 586100 6730 ZC006B 27,423.33 32,506 8,856.41 11,940.00 11,709.59 COL BARGN - INST-NON-TEACH REG D000 10059 121100 6730 Z0006B 0.00 25,601 0.00 0.00 25,601.00 COL BARGN - INSTRUCTIONAL, NON-TEACHING HOURLY D000 10059 141500 6730 Z0006B 3,850.20 2,500 54,912.48 0.00 -52,412.48 COL BARGN - INSTRUCTIONAL, NON-TEACHING EXTRA ASSIGN COL BARGN - CERTIFICATED, UNALLOCATED D000 10059 141700 6730 Z0006B 0.00 2,500 0.00 0.00 2,500.00 D000 10059 190100 6730 Z0006B 0.00 240,136 0.00 0.00 240,136.00 COL BARGN - UNALLOCATED, CLASSIFIED D000 10059 290100 6730 Z0006B 0.00 10,000 0.00 0.00 10,000.00 COL BARGN - EMP BENEFITS D000 10059 392000 6730 Z0006B 98.18 1 5,135.76 0.00 -5,134.76 COL BARGN - ATTENDANCE INCENTIVE D000 10059 395400 6730 Z0006B 0.00 20,000 0.00 0.00 20,000.00 COL BARGN - PRINTING D000 10059 453100 6730 Z0006B 28,975.31 9,002 8,175.00 0.02 826.98 COL BARGN - CONTRACT PRSNL SVCS D000 10059 562100 6730 Z0006B 0.00 93,001 0.00 0.00 93,001.00 COL BARGN - MAINTENANCE, EQUIPMENT D000 10059 582400 6730 Z0006B 0.00 1 0.00 0.00 1.00 COL BARGN - MEMBERSHIP D000 10059 583100 6730 Z0006B 2,600.00 3,500 3,250.00 100.00 150.00 COL BARGN - OTHER EXPENSE D000 10059 589000 6730 Z0006B 0.00 6,000 1,486.52 0.00 4,513.48 COL BARGN - IN-SVC TRAINING, TUITION REIMBURSEMENT E000 10059 581100 6730 ZE006B 0.00 12,057 6,153.00 0.00 5,904.00 COL BARGN - TRAVEL EXPENSE E000 10059 586100 6730 ZE006B 38,109.63 36,675 22,542.12 13,517.66 615.22 COL BARGN - IN-SERVICE TUITION REIMB H000 10059 581100 6730 ZH006B 0.00 4,774 0.00 0.00 4,774.00 COL BARGN - TRAVEL EXPENSE H000 10059 586100 6730 ZH006B 6,127.71 12,242 2,579.51 5,149.12 4,513.37 COL BARGN - INSTRUCTIONAL HOURLY, FALL M000 10059 131500 6730 ZM006B 9,889.56 0 0.00 0.00 0.00 COL BARGN - INSTRUCTIONAL HOURLY, SPRING M000 10059 132500 6730 ZM006B 8,860.00 0 0.00 0.00 0.00 Thursday, April 17, 2014 Page 5 of 8 2013 - 14 CENTRALIZED ACCOUNTS As of March 2014 Cyclical Closing SAP ACCOUNT 2013 - 14 2012 - 13 BUS AREA FUND GL ACCNT FCNTL AREA COST CENTER COL BARGN - OFFICE/CLERICAL, SUB/REL M000 10059 233600 6730 ZM006B 27,326.00 0 0.00 0.00 0.00 COL BARGN - TRAVEL EXPENSE M000 10059 586100 6730 ZM006B 10,186.10 14,610 4,778.99 2,742.92 7,088.09 COL BARGN - TUITION REIMBURSEMENT P000 10059 581100 6730 ZP006B 9,944.25 17,309 2,440.00 0.00 14,869.00 COL BARGN - TRAVEL EXPENSE P000 10059 586100 6730 ZP006B 19,448.92 17,476 11,829.93 5,420.32 225.75 COL BARGN - INSTRUCTIONAL, HRLY S000 10059 131500 6730 ZS006B 27,244.00 0 0.00 0.00 0.00 COL BARGN - INSTRUCTIONAL, HRLY S000 10059 132500 6730 ZS006B 27,244.00 0 0.00 0.00 0.00 COL BARGN - OFFICE/CLERICAL, SUB/REL S000 10059 233600 6730 ZS006B 35,714.00 0 0.00 0.00 0.00 COL BARGN - TUITION REIMB, IN-SERVICE TRAINING S000 10059 581100 6730 ZS006B 185.00 4,918 0.00 0.00 4,918.00 COL BARGN - TRAVEL EXPENSE S000 10059 586100 6730 ZS006B 8,027.76 9,136 1,172.67 4,774.00 3,189.33 COL BARGN - INSTRUCTIONAL HOURLY, FALL T000 10059 131500 6730 ZT006B 83,486.00 0 0.00 0.00 0.00 COL BARGN - OFF/CLERK, REGULAR T000 10059 213100 6730 ZT006B 25,965.00 0 0.00 0.00 0.00 COL BARGN - SUPPLIES T000 10059 452100 6730 ZT006B -0.01 0 0.00 0.00 0.00 COL BARGN - TUITION REIMBURSEMENT T000 10059 581100 6730 ZT006B 7,522.00 5,500 4,382.50 0.00 1,117.50 COL BARGN - TRAVEL EXPENSE T000 10059 586100 6730 ZT006B 20,182.84 27,327 15,785.80 8,960.00 2,581.20 COL BARGN - INSTRUCTIONAL HOURLY, FALL V000 10059 131500 6730 ZV006B 51,597.80 0 0.00 0.00 0.00 COL BARGN - INSTRUCTIONAL HOURLY, SPRING V000 10059 132500 6730 ZV006B 52,020.20 0 0.00 0.00 0.00 COL BARGN - TUITION REIMBURSEMENT V000 10059 581100 6730 ZV006B 12,309.00 12,550 12,549.75 0.00 0.25 COL BARGN - TRAVEL EXPENSE V000 10059 586100 6730 ZV006B 22,700.79 21,568 18,904.21 2,250.14 413.65 COL BARGN - IN-SVS TRAIN TUITION REIMBURSEMENT W000 10059 581100 6730 ZW006B 1,387.76 0 0.00 0.00 0.00 COL BARGN - TRAVEL EXPENSE W000 10059 586100 6730 ZW006B 7,959.07 17,352 2,240.63 3,010.00 12,101.37 INSURANCE - ADM, REGULAR D000 10059 212100 6770 Z0022B 0.00 0 INSURANCE-OFF/CLK (PROG ADM, SECRETAR D000 10059 213100 6770 Z0022B 68,884.76 INSURANCE - DISTR EMP BEN & INS D000 10059 392000 6770 Z0022B 32,686.29 INSURANCE-CLAIMS, SUPPLIES D000 10059 452100 6770 Z0022B INSURANCE - CLAIMS, INTERNATIONAL STUDENT HEALTH INSURANCE INSURANCE - CLAIMS CNTRCT PRSNL SVCS D000 10059 544300 6770 D000 10059 562100 6770 INSURANCE - CLAIMS SETTLEMENT D000 10059 574100 INSURANCE - NON-LITIGATED SETTLEMENTS D000 10059 574200 INSURANCE - LIABILITY PROPERTY D000 10100 INSURANCE - LIABILITY D000 10100 INSURANCE-LIABILITY, FIDELITY D000 INSURANCE-LIABILITY, INSURANCE PREMIUM D000 DESCRIPTION FUNCTION TOTAL Thursday, April 17, 2014 YEAR END EXPEND CURRENT BUDGET $723,002 CURRENT EXPEND $759,507 CURRENT COMMITMENT $261,505 $57,864 CURRENT BALANCE $440,138 56,560.56 0.00 -56,560.56 71,027 139.17 38,567.68 32,320.15 27,663 25,536.38 0.00 2,126.62 0.00 500 492.23 0.00 7.77 Z0023B 1,872,803.00 2,003,504 889,821.00 1,100,912.00 12,771.00 Z0022B 326,763.56 416,895 221,061.37 108,333.30 87,500.33 6770 Z0022B 369,360.01 387,143 320,407.86 0.00 66,735.14 6770 Z0022B 541.20 0 0.00 0.00 0.00 541100 6770 Z0023A 632,238.09 712,431 622,800.57 0.00 89,630.43 542100 6770 Z0023A 1,823,538.42 3,422,340 2,156,442.86 943,302.75 322,594.39 10100 543100 6770 Z0023A 27,570.00 33,416 33,416.00 0.00 0.00 10100 546200 6770 Z0023A 0.00 3,226 0.00 3,226.00 0.00 Page 6 of 8 2013 - 14 CENTRALIZED ACCOUNTS As of March 2014 Cyclical Closing SAP ACCOUNT DESCRIPTION BUS AREA FUND GL ACCNT 2013 - 14 2012 - 13 FCNTL AREA COST CENTER FUNCTION TOTAL YEAR END EXPEND CURRENT BUDGET $5,154,385 $7,078,145 $4,326,678 $2,194,342 452100 6600 Z0024B LEGAL EXPENSE - PERSONAL CNTRCT SVCS D000 10059 562100 6600 Z0024B 0.00 86 0.00 85.84 0.16 LEGAL COST OF LITIGATION D000 10059 571100 6600 Z0024B 1,968,861.20 1,547,061 782,912.23 255,248.40 508,900.37 LEGAL SETTLEMENTS D000 10059 574100 6600 Z0024B 1,588,121.54 1,907,674 24,768.12 2,672.81 1,880,233.07 WORKER'S COMPENSATION - REG ADMIN D000 10009 212100 6730 Z0041B 80,041.44 80,042 61,831.98 18,210.02 0.00 WORKER'S COMP - MAINT & OPER, REGULAR D000 10009 214100 6730 Z0041B 10,605.73 131,365 12,354.69 0.00 119,010.31 WORKER'S COMPENSATION-HEALTH BEN SAVI D000 10009 360005 6730 Z0041B 5,454,895.27 4,604,602 3,384,345.08 0.00 1,220,256.92 WORKER'S COMPENSATION-DISTR BENEFITS D000 10009 392000 6730 Z0041B 48,067.01 100,000 34,909.65 0.00 65,090.35 WORKER'S COMPENSATION-SUPPLIES D000 10009 452100 6730 Z0041B 0.00 100,000 33.87 0.00 99,966.13 WORKER'S COMPENSATION-EXCESS WC INS D000 10009 546100 6730 Z0041B 216,696.96 250,000 242,731.04 0.00 7,268.96 WORKER'S COMPENSATION - PERSNL SVC D000 10009 562100 6730 Z0041B 571,296.00 615,607 443,089.00 152,863.50 19,654.50 WORKER'S COMPENSATION - MILEAGE D000 10009 584100 6730 Z0041B 0.00 500 0.00 0.00 500.00 WORKER'S COMPENSATION - TRAVEL D000 10009 586100 6730 Z0041B 57.21 2,000 98.00 0.00 1,902.00 WORKER'S COMPENSATION - OTHER EXP D000 10009 589000 6730 Z0041B 125,767.09 123,915 123,914.27 0.00 0.73 WORKER'S COMPENSATION-LOW VALUE, EQUIPMENT D000 10009 642300 6730 Z0041B 464.91 0 0.00 0.00 0.00 FUNCTION TOTAL RESERVE FOR INSURANCE/LEGAL/WORKER'S COMPUNALLOCATED D000 10059 790100 $6,507,892 6600 Z0098B 0.00 FUNCTION TOTAL $0 SUBTOTAL $15,941,489 $6,008,031 1,626,727 $1,626,727 $18,977,231 $808,302 $4,303,308 0.00 $0 $9,699,791.93 5.45 $557,125 10059 $3,504,821 621.50 CURRENT BALANCE D000 $3,556,210 50,000 CURRENT COMMITMENT LEGAL EXPENSE - SUPPLIES FUNCTION TOTAL -773.00 CURRENT EXPEND $258,013 $171,074 0.00 $0 $2,681,292 49,373.05 $2,438,507 $1,533,650 1,626,727.00 $1,626,727 $6,596,147 C. OTHER CENTRALIZED ACCOUNTS BOARD ELECTION EXPENSE D000 10059 DBC INITIATED FAC/STAFF TRANSFER D000 10059 DBC-INITIATED FACULTY/STAFF TRANSFER, D000 10059 DISTRICTWIDE BENEFITS D000 GASB 34/35 - CONTRACT PERSONNAL SVCS D000 PROJECT MATCH -INSTRUCTOR D000 10059 PROJECT MATCH - UNCLASSIFIED, STUD ASST D000 10059 572100 6600 Z0005B 125100 4900 Z0092B 99,279.18 0 392000 4900 Z0092B 10,361.05 0 0.00 6720 Z0046B 297,803.30 6770 Z0059B 111100 6730 Z0025B 0.00 11,000 0.00 0.00 11,000.00 239200 6730 Z0025B 49,000.00 80,000 49,000.00 0.00 31,000.00 FUNCTION TOTAL $4,500,000 FUNCTION TOTAL 10059 392000 $109,640 FUNCTION TOTAL 10059 562100 $297,803 FUNCTION TOTAL Thursday, April 17, 2014 4,500,000.00 5,055.50 $5,056 3,000,000 $3,000,000 $0 150,000 $150,000 78,501 $78,501 0.00 0.00 3,000,000.00 $0 $0 $3,000,000 0.00 0.00 0.00 0.00 0.00 $0 211,425.53 $211,426 $0 $0 0.00 -61,425.53 $0 ($61,426) 13,655.59 58,433.99 $13,656 $58,434 6,411.42 $6,411 Page 7 of 8 2013 - 14 CENTRALIZED ACCOUNTS As of March 2014 Cyclical Closing SAP ACCOUNT 2013 - 14 2012 - 13 BUS AREA FUND GL ACCNT FCNTL AREA COST CENTER PROJECT MATCH - UNCLASS D000 10059 239300 6730 Z0025B 34,000.00 4,000 36,400.00 0.00 -32,400.00 PROJECT MATCH-DISTRIBUTED EMP BEN D000 10059 392000 6730 Z0025B 2,461.33 0 3,179.14 0.00 -3,179.14 PROJECT MATCH - OTHER EXPENSE D000 10059 589000 6730 Z0025B 0.00 13,000 0.00 0.00 13,000.00 TUITION REIMB-FACULTY-IN-SERVICE D000 10059 581100 5900 Z0029B 0.00 162,500 0.00 0.00 162,500.00 TUITION REIMB - MANAGEMENT/CONFIDNTIA D000 10059 581100 6730 Z0034B 15,130.00 27,873 3,742.60 24,128.63 1.77 TUITION REIMB - SUPERVISOR D000 10059 581100 6530 Z0036B 7,623.13 37,662 6,715.34 30,945.86 0.80 TUITION REIMB - LOCAL 99 D000 10059 581100 6730 Z0031B 4,503.67 61,138 1,184.00 59,954.00 0.00 TUITION REIMB - ADMINISTRATORS TUITIO D000 10059 581100 6730 Z0030B 10,694.56 10,058 2,000.00 8,057.50 0.50 TUITION REIMB - CRAFTS D000 10059 581100 6730 Z0032B 2,191.78 26,081 1,740.00 24,341.00 0.00 TUITION REIMB - UNIT 1 D000 10059 581100 6730 Z0038B 120,152.09 182,776 53,750.16 109,024.63 20,001.21 TUITION REIMBURSEMENT - TRAVEL D000 10059 586100 6730 Z0030B 7,317.80 10,000 2,013.92 7,732.30 253.78 TUITION REIMB-FACULTY-IN-SERVICE E000 10059 581100 5900 ZE029B 10,558.00 0 0.00 0.00 0.00 TUITION REIMB-FACULTY-IN-SERVICE M000 10059 581100 5900 ZM029B 2,186.00 0 0.00 0.00 0.00 VACATION BALANCE D000 10100 392000 6730 Z0039A 12,635.39 0 7,914.76 0.00 -7,914.76 VACATION BALANCE D000 10100 395100 6730 Z0039A 821,242.91 750,000 716,973.92 0.00 33,026.08 $724,889 $0 $25,111 DESCRIPTION FUNCTION TOTAL TOTAL Thursday, April 17, 2014 CURRENT BUDGET $85,461 FUNCTION TOTAL GRAND YEAR END EXPEND $180,357 CURRENT EXPEND $108,000 $518,088 CURRENT COMMITMENT $88,579 $71,146 $0 $264,184 CURRENT BALANCE $19,421 $182,758 FUNCTION TOTAL $833,878 SUBTOTAL $6,012,196 $4,604,589 $1,109,694.96 $322,618 $3,172,276 $48,957,838 $51,446,421 $30,538,315 $3,984,123 $16,923,983 $750,000 Page 8 of 8