North Penn School District Nutrition Services Income Statement For the periods ending June

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North Penn School District
Nutrition Services
Income Statement
For the periods ending June
2015 and 2014
2015 - PERIOD 13 THRU JULY 16, 2015
2014 - PERIOD 13 THRU JULY 23, 2014
Current Month
2015
Sales to Pupils
Daily Sales Breakfast program
Extended Care Income
A La Carte Sales - Students
Sales to Adults
Vending Machine
Income from Special Events
Fiscal Year to Date
2015
2014
2014
$
77,522.50
3,629.95
6,785.75
53,168.37
2,363.78
3,236.27
$
109,313.40
5,548.40
9,117.35
77,459.13
3,506.89
4,870.44
$
1,804,574.85
75,735.00
132,935.45
752,062.14
39,790.63
45,296.42
$ 1,753,449.75
81,749.35
138,383.40
950,598.11
61,542.59
37,804.19
$
146,706.62
$
209,815.61
$
2,850,394.49
$ 3,023,527.39
$
85.61
7,026.22
88,880.40
1,679.90
-
$
98.20
9,532.20
109,855.86
-
$
1,079.76
149,508.30
1,957,293.84
29,200.00
2,106.90
3,152.41
$
Total Nonoperating Revenues
$
97,672.13
$
119,486.26
$
2,142,341.21
$ 1,843,180.25
Total Revenues
$
244,378.75
$
329,301.87
$
4,992,735.70
$ 4,866,707.64
$
(21,796.81)
(76.07)
-
$
80,284.51
16,856.50
-
$
1,333,936.97
259,651.63
-
$ 1,498,114.57
295,553.85
-
Total Cost Of Sales
$
(21,872.88)
$
97,141.01
$
1,593,588.60
$ 1,793,668.42
Gross Profit
$
266,251.63
108.95%
$
232,160.86
70.50%
$
3,399,147.10
68.08%
$ 3,073,039.22
63.14%
$
7,401.05
11,008.38
83,405.93
6,535.66
631.58
4,017.58
667.74
408.53
28.66
834.68
4,334.89
11,954.86
935.84
$
7,220.52
10,747.48
170,635.12
13,703.92
826.86
10,281.98
505.31
414.96
30.14
2,101.44
8,513.11
18,349.86
1,214.80
$
96,214.00
85,567.55
1,435,667.47
119,650.40
9,720.82
519,955.18
41,145.16
4,307.64
2,251.61
107,677.11
63,508.78
186,331.30
12,485.95
$
Salaries and Benefits
$
132,165.38
$
244,545.50
$
2,684,482.97
$ 2,734,470.68
Employees Medical Exam
Conference Registration
Misc. Professional Svcs
Technical Services
Dry Cleaning
Repairs - Equipment
Telephone/Postage
Travel
Paper Supplies
Expendable
General Supplies
Office Supplies
Tech Supplies
Books & Periodicals
Replacement Equipment
New Equipment
Depreciation
Dues and Fees
Misc. Expenditures
$
1,958.59
51.17
350.62
13,674.39
1,106.24
3,891.78
2,700.00
70.00
$
75.00
1,810.29
283.80
17,581.77
1,259.80
686.88
118.00
2,700.00
-
$
75.00
71.00
7,735.61
130.00
15,168.54
1,468.88
2,166.37
96,779.90
21,581.58
17,466.12
711.69
4,331.79
19,800.00
2,379.25
70.00
$
1,395.00
356.25
330.00
6,346.35
24,003.03
2,617.84
2,593.12
100,108.54
18,782.13
14,496.09
633.76
20,479.00
1,437.59
29,700.00
2,685.75
-
Total Operating Expenses
$
23,802.79
$
24,515.54
$
189,935.73
$
225,964.45
Net Income (Loss)
$
110,283.46
$
(36,900.18)
$
524,728.40
$
112,604.09
Total Operating Revenues
Nonoperating Revenues
Interest Income
State Subsidies
Federal Subsidies
Value of Donated Commodities
Extra Grants
Gain on Sale of Fixed Asset
Refund of Prior Year Expenditure
Cost of Sales
Purchases-Food
Purchases-Milk
Purchases-Donated Commodities
Operating Expenses
Administrative Salaries
Clerical Salaries
Cafeteria Salaries
Aides Salaries
Employes Ins Opt out
Medical
Dental
Life Insurance
Vision
Prescriptions
Social Security
Retirement
Other Benefits
(Unaudited - For Management Purposes Only)
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
830.41
146,898.02
1,695,451.82
-
93,867.00
84,277.20
1,491,625.41
117,871.68
10,757.54
545,836.32
30,618.77
4,334.82
2,278.36
107,646.44
67,055.23
147,174.25
31,127.66
North Penn School District
Nutrition Services
Balance Sheet
June 30, 2015 and 2014
2015
2014
ASSETS
Current Assets
Cash
State Subsidies Receivable
Federal Subsidies Receivable
Student Accounts Receivable
Other Accounts Receivable
Inventory - Food
Total Current Assets
Property and Equipment
Food Service Equipment
Accumulated Depreciation
Total Property and Equipment
Total Assets
$
684,645.72
7,026.22
88,880.40
14,499.39
6,768.89
223,536.30
$ 1,025,356.92
$
414,778.99
9,532.20
109,855.86
8,558.79
14,107.44
117,880.77
674,714.05
$ 1,414,962.82
(1,282,575.56)
$
132,387.26
$ 1,372,936.66
(1,302,878.56)
70,058.10
$ 1,157,744.18
$
744,772.15
$
205,255.91
6,545.85
128,901.29
340,703.05
$
220,402.39
97,843.38
99,358.86
120,162.82
537,767.45
292,312.73
524,728.40
817,041.13
$
$
94,400.61
112,604.09
207,004.70
$ 1,157,744.18
$
744,772.15
LIABILITIES AND CAPITAL
Current Liabilities
Interfund Accounts Payable
Accounts Payable
Accrued Salaries and Benefits
Deferred Revenue
Total Current Liabilities
Capital
Unrestricted Net Assets
Net Income (Loss)
Total Capital
$
$
$
Total Liabilities and Capital
$
(Unaudited - For Management Purposes Only)
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
North Penn School District
Extended School Care
Income Statement
For the periods ending June 2015 and 2014
2015- PERIOD 13 THRU JULY 16, 2014
2014 - PERIOD 13 THRU JULY 23, 2014
Current Month
2015
Operating Revenues
Interest on Investments
Summer Camp
Holiday Camp
Revenue - Bridle Path
Revenue - Gwyn-Nor
Revenue - Gwynedd Sq.
Revenue - Hatfield
Revenue - Inglewood
Revenue - Knapp
Revenue - Kulp
Revenue - Montgomery
Revenue - Nash
Revenue - North Wales
Revenue - Oak Park
Revenue - Walton Farm
Revenue - York
2014
2015
Fiscal Year to Date
2014
$
124.85
116,517.00
80.00
3,746.22
115.00
494.75
283.22
103.00
75.00
118.00
50.00
122.00
(29.00)
145.00
78.00
$
93.99
42,047.00
(25.50)
2,469.62
698.24
2,169.08
439.67
(99.00)
385.75
662.03
225.00
586.33
80.50
3,085.46
49.00
$
Total Operating Revenues
$
122,023.04
$
52,867.17
$ 2,214,448.59
$ 1,920,403.92
Non-Operation Revenues
Extra Grants
Refund of Prior Year Expenditure
$
$
$
TOTAL REVENUE
$
122,023.04
$
52,867.17
$
6,995.97
8,935.18
90,414.27
20,556.96
4,521.65
44.07
1,848.32
137.97
213.28
34.11
4.98
404.47
5,807.03
16,155.61
25.00
22.51
2,429.00
288.75
6,795.52
3,858.04
$
6,825.40
8,718.46
103,943.19
8,733.29
4,413.74
44.07
3,050.74
135.79
224.72
8.78
612.62
5,962.84
13,227.88
29.00
450.00
28.80
64.96
9,133.31
901.51
Total Operating Expenses
$
169,492.69
$ 166,509.10
$ 2,016,433.85
$ 1,958,739.96
Net Income (Loss)
$
(47,469.65)
$ (113,641.93)
$
$
Operating Expenses
Administrative Salaries
Professional Salaries
Site Staff
Summer Staff
Clerical Salaries
Staff Development
Employee Ins Opt Out
Medical
Dental
Life Insurance
Income Protection
Vision
Prescriptions
Social Security
Retirement
Other Benefits
Assemblies
Other Professional Svcs
Student Transportation
Advertising
Postage
Conference Expenses
Mileage
Field Trip Fees
Promotional Supplies
General Supplies
Child Care Supplies
Food
Books & Periodicals
New Equipment
Bad Debt
-
$
-
1,130.28
251,201.00
14,688.00
209,074.00
199,992.72
245,793.50
69,370.24
133,889.72
159,553.45
90,911.72
250,035.24
153,456.00
132,289.56
74,347.50
132,575.66
96,140.00
2,963.06
2,223.70
966.26
166,858.26
13,081.00
179,948.00
177,390.62
209,945.58
76,719.07
107,046.02
115,501.50
102,776.14
222,741.03
134,045.00
110,276.92
58,321.50
148,002.03
96,784.99
4,725.00
-
$ 2,219,635.35
$ 1,925,128.92
$
$
92,947.00
116,158.06
908,139.33
75,706.96
58,245.41
572.55
328,303.74
22,727.59
2,619.37
374.37
990.22
68,789.99
46,355.66
135,100.88
749.94
2,801.00
3,108.75
527.66
9,636.25
86.06
5,038.09
133,361.24
203.69
3,890.04
203,201.50
(Unaudited - For Management Purposes Only
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
$
88,729.00
113,424.51
886,127.50
58,319.54
57,379.10
1,212.27
350,860.33
17,398.08
2,692.00
398.43
1,215.34
70,272.12
44,232.22
102,604.84
1,766.29
3,153.00
3,475.16
335.54
588.30
14.50
29.00
6,008.35
28.80
423.31
8,387.40
138,763.52
901.51
(33,611.04)
North Penn School District
Extended School Care
Balance Sheet
June 30, 2015 and 2014
2015
2014
ASSETS
Current Assets
Cash
Interfund Accounts Receivable
Other Accounts Receivable
Prepaid Expenses
Total Assets
$
539,053.87
12,789.90
1,818.50
553,662.27
$ 344,131.66
4,960.29
1,182.00
$ 350,273.95
129,913.52
130,594.96
26,506.38
287,014.86
$ 126,307.25
124,071.61
29,594.27
$ 279,973.13
$
63,445.90
203,201.50
266,647.40
$ 103,911.85
(33,611.04)
$ 70,300.81
$
553,662.27
$ 350,273.95
$
LIABILITIES AND CAPITAL
Current Liabilities
Interfund Accounts Payable
Accounts Payable
Unapplied Credits
Accrued Salaries & Benefits
Deferred Revenue
Total Current Liabilities
$
$
Capital
Fund Balance
Net Income (Loss)
Total Capital
$
Total Liabilities and Capital
(Unaudited - For Management Purposes Only)
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
North Penn School District
Community Education
Balance Sheet
June 30, 2015 and 2014
2015
2014
ASSETS
Current Assets
Cash
Other Accounts Receivable
Total Current Assets
$
$
352,071.18
130.91
352,202.09
$ 346,173.03
137.76
$ 346,310.79
Furniture and Equipment
$
26,792.97
Total Assets
$
378,995.06
$ 346,310.79
$
24,780.96
86,358.10
828.00
5,184.91
117,151.97
$ 22,537.58
89,353.96
200.00
2,335.79
$ 114,427.33
$
226,501.78
1,380.31
10,254.84
(4,813.96)
28,520.12
261,843.09
$ 160,593.69
5,942.52
6,555.51
1,859.91
56,931.83
$ 231,883.46
$
378,995.06
$ 346,310.79
$
-
LIABILITIES AND CAPITAL
Current Liabilities
Interfund Accounts Payable
Deferred Revenue
Accounts Payable
Accrued Salaries & Benefits
Total Current Liabilities
Capital
Fund Balance
Net Income - Aquatics Lessons
Net Income - Swim Team
Net Income - Water Polo
Net Income - Community Ed.
Total Capital
Total Liabilities and Capital
$
$
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
North Penn School District
Community Education
Income Statement
For the periods ending
June 2015 and 2014
2015 - PERIOD 13 THRU JULY 16, 2015
2014 - PERIOD 13 THRU JULY 23, 2014
Current Month
2015
Operating Revenues
Interest on Investments
Adult Education Tuition
Aquatics-Summer
Sports Camp
Trips
Refund Prior Yr. Expend.
Total Operating Revenues
Operating Expenses
Professional Salaries
Clerical Salaries
Medical
Dental
Life Insurance
Vision
Prescriptions
Social Security
Retirement
Other Benefits
Pur. Educational Svcs
Conf. Registrations
Tech Svcs
Pur. Svcs. - Sports Camp
Pur. Svcs. - Aquatics
Repairs - Equipment
Postage & Machine Rental
Telephone
Advertising
Printing/Binding
Travel
Other Pur. Svcs.
General Supplies
Supplies - Sports Camp
Supplies - Aquatics
Books & Periodicals
Administrative Fees - Aquatics
Dues and Fees
Miscellaneous
Total Operating Expenses
Net Income (Loss)
Fiscal Year to Date
2015
2014
2014
$
64.16
5,529.70
9,058.00
-
$
61.96
487.70
4,528.00
-
$
$
14,651.86
$
5,077.66
$ 264,350.52
$ 308,811.35
$
488.00
3,122.72
865.91
69.76
5.72
3.82
185.09
135.73
397.90
9.79
3,990.00
119.85
60.80
1,861.16
488.19
4,489.55
-
$
818.92
3,031.33
911.85
51.92
5.72
3.58
182.55
159.89
363.24
9.79
11,850.00
3,064.74
77.42
-
$
$
16,293.99
$
20,530.95
$ 235,830.40
(1,642.13)
$ (15,453.29)
$
(Unaudited - For Management Purposes Only)
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
676.55
125,186.69
138,487.28
-
51,190.81
40,838.49
12,332.27
906.88
74.36
49.66
2,537.82
3,442.46
9,527.86
127.15
710.00
56,229.43
20,087.00
9,015.10
16,719.38
5,462.95
17,850.17
2,228.28
13,802.68
15.00
(27,317.35)
-
28,520.12
$
638.57
140,962.24
167,210.54
-
55,095.74
39,960.22
11,971.53
680.72
74.94
47.18
2,397.41
3,524.16
7,620.60
107.59
250.00
1,500.00
66,026.11
31,279.56
8,037.21
15,748.06
710.17
16,072.53
4,857.19
11,848.55
(25,929.95)
-
$ 251,879.52
$
56,931.83
North Penn School District
Community Education
Income Statement - Aquatics Lessons
For the period ending
June 2015 and 2014
Current Month
2015 - PERIOD 13 THRU JULY 16, 2015
2014 - PERIOD 13 THRU JULY 23, 2014
Operating Revenues
Aquatics
2015
$
Total Operating Revenues
Operating Expenses
Professional Salaries
Salaries Technical
Medical
Dental
Life Insurance
Vision
Prescriptions
Social Security
Retirement
Other Benefits
Conf. Registrations
Travel
Other Pur. Svcs.
General Supplies
Books & Periodicals
Replacement Equipment
Dues and Fees
2,796.10
Fiscal Year to Date
2015
2014
2014
$
2,796.10
1,283.00
54,176.00
56,040.61
1,283.00
54,176.00
56,040.61
$
829.67
3,738.51
208.42
19.50
2.14
0.72
45.46
220.34
453.06
1,086.00
-
$
792.43
2,317.95
100.06
4.16
1.42
0.34
20.06
118.13
108.25
440.43
-
$ 10,785.85
27,143.95
2,896.14
253.74
27.82
9.36
607.08
1,465.75
2,190.35
32.34
99.55
1,866.16
-
$ 10,301.47
27,061.40
1,100.66
45.76
18.46
3.74
220.66
1,418.89
1,306.66
384.00
2,632.33
-
Total Operating Expenses
$
6,603.82
$
3,903.23
$ 47,378.09
$ 44,494.03
Operating Income (Loss)
$
(3,807.72)
$
(2,620.23)
$
$ 11,546.58
Less: 10% Administrative Fee
6,797.91
(5,417.60)
(5,604.06)
1,380.31
5,942.52
Starting Fund Balance
3,233.24
(2,709.28)
Ending Fund Balance
4,613.55
3,233.24
Net Income (Loss)
(Unaudited - For Management Purposes Only)
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
North Penn School District
Community Education
Income Statement - Swim Team
For the period ending
June 2015 and 2014
Current Month
2015 - PERIOD 13 THRU JULY 16, 2015
2014 - PERIOD 13 THRU JULY 23, 2014
2015
2014
Fiscal Year to Date
2015
2014
Operating Revenues
$
3,204.30
3,204.30
$ 14,357.40
14,357.40
198,190.00
198,190.00
180,127.92
180,127.92
$
3,079.55
5,757.81
1,109.96
77.52
5.72
4.24
237.29
424.73
1,181.72
547.18
-
$
2,931.65
4,933.46
1,168.88
57.68
8.58
3.98
234.06
335.77
589.07
1,158.75
1,217.74
1,793.60
$ 39,299.33
70,325.34
15,807.91
1,007.76
78.65
55.12
3,253.41
4,208.07
11,396.89
4,227.50
4,169.74
2,775.63
458.00
11,052.81
$ 38,112.53
62,921.30
15,195.44
749.84
111.54
51.98
3,043.50
3,794.99
4,691.38
4,165.25
3,018.30
10,013.77
510.00
9,179.80
$
12,425.72
$ 14,433.22
$ 168,116.16
$ 155,559.62
30,073.84
24,568.30
(19,819.00)
(18,012.79)
10,254.84
6,555.51
Starting Fund Balance
25,163.28
18,607.77
Ending Fund Balance
35,418.12
25,163.28
Total Operating Revenue
Operating Expenses
Professional Salaries
Salaries Technical
Medical
Dental
Life Insurance
Vision
Prescriptions
Social Security
Retirement
Conf. Registrations
Other Rentals
Travel
Team Prop & Liab
Other Pur. Svcs.
General Supplies
Books & Periodicals
Replacement Equipment
Dues and Fees
Conference Fees
Total Operating Expenses
Operating Income (Loss)
(9,221.42)
(75.82)
Less: 10% Administrative Fee
Net Income (Loss)
(Unaudited - For Management Purposes Only)
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
North Penn School District
Community Education
Income Statement - Water Polo
For the period ending
June 2015 and 2014
Current Month
2015 - PERIOD 13 THRU JULY 16, 2015
2014 - PERIOD 13 THRU JULY 23, 2014
2015
Fiscal Year to Date
2015
2014
2014
Operating Revenues
Water Polo
$
-
$
560.00
$
20,807.50
$ 23,131.00
Total Operating Revenue
$
-
$
560.00
$
20,807.50
$ 23,131.00
Operating Expenses
Professional Salaries
Salaries Technical
Life Insurance
Social Security
Retirement
Conf. Registrations
Officials
Other Rental
Travel
Other Pur. Svcs.
General Supplies
Books & Periodicals
Replacement Equipment
Dues and Fees
Conference Fees
Total Operating Expenses
Operating Income(Loss)
$
1,012.00
52.86
147.87
825.86
3,735.00
$
976.50
53.88
107.27
888.45
3,535.00
$
12,147.98
478.90
1,204.04
975.00
1,000.00
825.86
3,023.93
3,885.00
$
$
5,773.59
$
5,561.10
$
23,540.71
$ 18,957.99
(5,773.59)
(5,001.10)
8,137.24
324.79
462.16
1,140.00
1,419.77
300.00
2,854.03
4,320.00
(2,733.21)
4,173.01
(2,080.75)
(2,313.10)
(4,813.96)
1,859.91
Starting Fund Balance
8,018.15
6,158.24
Ending Fund Balance
3,204.19
8,018.15
Less: 10% Administrative Fee
Net Income (Loss)
(Unaudited - For Management Purposes Only)
DGM G:\Business Office\BOOKKEEPING\EnterpriseFunds\14-15\JUNE_2015thru7-16
7/27/2015 1:21 PM
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