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