Web Reporter Copyright 1999 Soft Tech, Inc.
BALANCE SHEET
Mar 02, 2000     001        Penn Manor School District
                 STATEMENT OF ASSETS, LIABILITIES AND FUND BALANCES
                                 February 29, 2000
                                   GENERAL FUND
CASH                                      130,527.85                                   10 0101 001 000 00 00
CASH PSDLAF                                      .00                                   10 0101 002 000 00 00
CASH TAXES                                       .00                                   10 0101 003 000 00 00
CASH PAYROLL                               10,153.58-                                  10 0101 004 000 00 00
CASH TAX REBATE                                  .00                                   10 0101 005 000 00 00
CASH FULTON TRUST AGENCY ACCT                    .01                                   10 0101 006 000 00 00
CASH SPECIAL REVENUE                             .00                                   10 0101 007 000 00 00
PETTY CASH, DISTRICT OFFICE                   350.00                                   10 0103 000 000 00 00
PETTY CASH, CENTRAL MANOR                      30.00                                   10 0103 000 000 11 00
PETTY CASH, CONESTOGA                          30.00                                   10 0103 000 000 12 00
PETTY CASH, ESHLEMAN                           30.00                                   10 0103 000 000 13 00
PETTY CASH, HAMBRIGHT                          30.00                                   10 0103 000 000 14 00
PETTY CASH, LETORT                             30.00                                   10 0103 000 000 15 00
PETTY CASH, MARTIC                             30.00                                   10 0103 000 000 16 00
PETTY CASH, PEQUEA                             30.00                                   10 0103 000 000 17 00
PETTY CASH, MARTICVILLE                        50.00                                   10 0103 000 000 23 00
PETTY CASH, MANOR MIDDLE                       50.00                                   10 0103 000 000 24 00
PETTY CASH, HIGH SCHOOL                        60.00                                   10 0103 000 000 30 00
PSDLAF HEALTHCARE ACCOUNT                        .00                                   10 0107 000 000 00 00
PLGIT HEALTHCARE ACCOUNT                      140.82                                   10 0108 000 000 00 00
INVESTMENTS                                      .00                                   10 0111 001 000 00 00
INVESTMENTS  PLGIT                             39.55                                   10 0111 002 000 00 00
INVESTMENTS  PSDLAF                              .00                                   10 0111 003 000 00 00
INVESTMENTS  US TREASURY NOTES         14,887,000.00                                   10 0111 004 000 00 00
INVESTMENTS MMF                         2,252,961.61                                   10 0111 005 000 00 00
UNAMORTIZED PREMIUM ON INV.                      .00                                   10 0112 000 000 00 00
UNAMORTIZED DISCOUNT ON INV.              228,418.70-                                  10 0113 000 000 00 00
INTEREST RECEIVABLE ON INVESTM                   .00                                   10 0114 000 000 00 00
ACCRUED INTEREST ON INV PURCH               5,805.00                                   10 0115 000 000 00 00
    TOTAL CASH & INVESTMENTS                         17,038,622.56
TAXES RECEIVABLE                                 .00                                   10 0121 000 000 00 00
INTERFUND LOANS RECEIVABLE                       .00                                   10 0131 000 000 00 00
INTERFUND RECEIVABLES                            .00                                   10 0132 000 000 00 00
DUE FROM OTHER FUNDS, ELEM                       .00                                   10 0132 110 000 00 00
DUE FROM CAFE, CENTRAL MANOR                2,585.17                                   10 0132 110 000 11 00
DUE FROM CAFE, CONESTOGA                    2,415.55                                   10 0132 110 000 12 00
DUE FROM CAFE, ESHLEMAN                     2,202.42                                   10 0132 110 000 13 00
DUE FROM CAFE, HAMBRIGHT                    2,166.03                                   10 0132 110 000 14 00
DUE FROM CAFE, LETORT                       2,393.80                                   10 0132 110 000 15 00
DUE FROM CAFE, MARTIC                       2,459.89                                   10 0132 110 000 16 00
DUE FROM CAFE, PEQUEA                       2,437.00                                   10 0132 110 000 17 00
DUE FROM CAFE, MARTICVILLE                  2,905.10                                   10 0132 110 000 23 00
DUE FROM CAFE, MANOR MIDDLE                 3,752.43                                   10 0132 110 000 24 00
DUE FROM CAFE, HIGH SCHOOL                 13,740.39                                   10 0132 110 000 30 00
DUE FROM CAFE, CAFE SUBS                    1,644.38                                   10 0132 110 000 31 00
DUE FROM CAFE, ADMIN                        1,748.33                                   10 0132 110 000 32 00
DUE FROM OTHER FUNDS, SEC                        .00                                   10 0132 210 000 00 00
Mar 02, 2000     001        Penn Manor School District
                 STATEMENT OF ASSETS, LIABILITIES AND FUND BALANCES
                                 February 29, 2000
                                   GENERAL FUND
DUE FROM CAFE, Health                       4,578.77-                                  10 0132 211 000 00 00
DUE FROM CAFE, Health                         184.80-                                  10 0132 211 000 10 00
DUE FROM CAFE, Health                          52.80-                                  10 0132 211 000 20 00
DUE FROM CAFE, Health                          92.80-                                  10 0132 211 000 30 00
DUE FROM CAFE, Dental                         636.59-                                  10 0132 212 000 00 00
DUR FROM CAFE, Life                            69.68                                   10 0132 213 000 00 00
DUE FROM CAFE - Income Prot                      .00                                   10 0132 214 000 00 00
DUE FROM OTHER FUNDS, S.S.TAX                    .00                                   10 0132 220 000 00 00
DUE FROM CAFE, S.S. TAX                     1,256.01                                   10 0132 220 000 10 00
DUE FROM CAFE, S.S. TAX                       504.58                                   10 0132 220 000 20 00
DUE FROM CAFE, S.S. TAX                     1,303.20                                   10 0132 220 000 30 00
DUE FROM CAFE, Retirement                     739.54                                   10 0132 230 000 10 00
DUE FROM CAFE, Retirement                     306.81                                   10 0132 230 000 20 00
DUE FROM CAFE, Retirement                     705.23                                   10 0132 230 000 30 00
DUE FROM CAFE, Workers Comp                      .00                                   10 0132 260 000 00 00
DUE FROM OTHER FUNDS, CAFE EXT                   .00                                   10 0132 460 000 00 00
DUE FROM OTHER GOVERNMENTS                       .00                                   10 0141 000 000 00 00
STATE SUBSIDIES RECEIVABLE                       .00                                   10 0142 000 000 00 00
FEDERAL SUBSIDIES RECEIVABLE                     .00                                   10 0143 000 000 00 00
OTHER INTERGOVERNMENTAL REV RE             11,493.85                                   10 0149 000 000 00 00
OTHER ACCOUNTS RECEIVABLE                        .00                                   10 0153 000 000 00 00
Credits Receivable                          1,461.08                                   10 0153 000 000 00 01
    TOTAL RECEIVABLES                                    52,744.71
PREPAID EXPENSE                                  .00                                   10 0181 000 000 00 00
    TOTAL ASSETS                                                   17,091,367.27
INTERFUND PAYABLE                                .00                                   10 0401 000 000 00 00
INTERFUND LOANS PAYABLE                          .00                                   10 0402 000 000 00 00
ACCOUNTS PAYABLE                                 .00                                   10 0420 000 000 00 00
ACCOUNTS PAYABLE, 95/96                          .00                                   10 0420 000 000 00 01
ACCOUNTS PAYABLE ENCUMBRANCE              150,485.31                                   10 0421 000 000 00 00
ACCOUNTS PAYABLE, WOODS SCHOOL                   .00                                   10 0421 000 000 00 01
ACCOUNTS PAYABLE, 96/97                          .00                                   10 0421 000 000 00 02
ACCOUNTS PAYABLE, 97/98                          .00                                   10 0421 000 000 00 03
ACCOUNTS PAYABLE, 98/99                        21.50                                   10 0421 000 000 00 04
TAX DEPOSITS FOR REFUND                         5.46                                   10 0429 000 000 00 01
REVENUE ANTICIPATION NOTES PAY                   .00                                   10 0451 000 000 00 00
ACCRUED SALARIES & BENEFITS                      .00                                   10 0460 000 000 00 00
PAYROLL PAYABLE                                  .00                                   10 0461 000 000 00 00
F I T PAYABLE                                  29.70-                                  10 0470 001 000 00 00
F I C A PAYABLE                                42.96-                                  10 0470 002 000 00 00
STATE INCOME TAX PAYABLE                        8.40-                                  10 0470 003 000 00 00
LOCAL WAGE TAX PAYABLE                     30,696.57                                   10 0470 004 000 00 00
RETIREMENT DEDUCTIONS PAYABLE                    .00                                   10 0470 005 000 00 00
RETROACTIVE RETIREMENT DED PAY              3,801.72                                   10 0470 006 000 00 00
CREDIT UNION DEDUCTIONS PAYABL                   .00                                   10 0470 007 000 00 00
Mar 02, 2000     001        Penn Manor School District
                 STATEMENT OF ASSETS, LIABILITIES AND FUND BALANCES
                                 February 29, 2000
                                   GENERAL FUND
TSA DEDUCTIONS PAYABLE                           .00                                   10 0470 008 000 00 00
SAVINGS BONDS DEDUCTIONS PAYAB                   .00                                   10 0470 009 000 00 00
UNITED FUND PLEDGES PAYABLE                      .00                                   10 0470 010 000 00 00
PSEA PAYABLES                                    .00                                   10 0470 011 000 00 00
HOSPITALIZATION DEDUCTIONS PAY                   .00                                   10 0470 012 000 00 00
OCCUPATIONAL PRIVILEGE TAX PAY                   .00                                   10 0470 013 000 00 00
PA UNEMPLOYMENT TAX                              .00                                   10 0470 014 000 00 00
PMEA DEDUCTIONS PAYABLE                          .00                                   10 0470 015 000 00 00
WAGE ATTACHMENTS PAYABLE                         .00                                   10 0470 016 000 00 00
PM EDUC FOUNDATION PAYABLE                       .00                                   10 0470 017 000 00 00
COLONIAL PRETAX PAYABLE                          .00                                   10 0470 018 000 00 00
COLONIAL POSTTAX PAYABLE                         .00                                   10 0470 019 000 00 00
DEPENDENT CARE PRETAX                            .00                                   10 0470 020 000 00 00
EMPLOYER RETIREMENT PAYABLE               368,672.79                                   10 0470 021 000 00 00
TAP PAYABLE                                      .00                                   10 0470 022 000 00 00
DEFERRED REVENUE                            5,808.97                                   10 0480 000 000 00 00
DEPOSITS PAYABLE                                 .00                                   10 0491 000 000 00 00
PREPAYMENTS, PERSONS OR FIRMS               5,387.10                                   10 0493 000 000 00 00
PREPAYMENTS, LETORT                              .00                                   10 0493 000 000 00 05
PREPAYMENTS, HIGH SCHOOL VOD                  188.53                                   10 0493 000 000 00 06
PREPAYMENTS, RDG REC CONF                        .00                                   10 0493 000 000 00 07
REVENUE RECEIVED IN ADVANCE                      .00                                   10 0494 000 000 00 00
OTHER CURRENT LIABILITIES                        .00                                   10 0499 000 000 00 00
IMPROVEMENTS & EQUIPMENT NOTES                   .00                                   10 0510 000 000 00 00
ENCUMBRANCE CONTROL                    72,868,216.80                                   10 0753 000 000 00 00
    TOTAL LIABILITIES                                73,433,203.69
REVENUES CONTROL                       32,794,022.43                                   10 0302 000 000 00 00
EXPENDITURES CONTROL                   19,782,413.67-                                  10 0602 000 000 00 00
RESERVE FOR ENCUMBRANCE CONTRL         72,868,216.80-                                  10 0603 000 000 00 00
SPECIFIC FUND BALANCE RESERVES                   .00                                   10 0760 000 000 00 00
UNRESERVED FUND BAL, DESIGNATD                   .00                                   10 0771 000 000 00 00
UNRESERVED FUND BAL, UNDESIGNA          3,514,771.62                                   10 0772 000 000 00 00
    TOTAL EQUITY                                     56,341,836.42-
    TOTAL LIABILITIES  & EQUITY                                    17,091,367.27
Mar 02, 2000     001        Penn Manor School District
                 STATEMENT OF ASSETS, LIABILITIES AND FUND BALANCES
                                 February 29, 2000
                              1996 CONSTRUCTION FUND
CASH, DAUPHIN DEPOSIT                  21,271,418.66-                                  30 0101 001 000 00 00
INVESTMENTS, DEVON                               .00                                   30 0111 000 000 00 01
INTEREST RECEIVABLE ON INVESTM                   .00                                   30 0114 000 000 00 00
    TOTAL CASH & INVESTMENTS                         21,271,418.66-
INTERFUND LOANS RECEIVABLE                       .00                                   30 0131 000 000 00 00
INTERFUND RECEIVABLES, A/P                       .00                                   30 0132 000 000 00 00
    TOTAL RECEIVABLES                                          .00
PREPAID EXPENSES                                 .00                                   30 0181 000 000 00 00
    TOTAL ASSETS                                                   21,271,418.66-
INTERFUND PAYABLE                                .00                                   30 0401 000 000 00 00
ACCOUNTS PAYABLE                                 .00                                   30 0420 000 000 00 00
ACCOUNTS PAYABLE ENCUMBRANCE                     .00                                   30 0421 000 000 00 00
CONSTRUCTION CONTRACTS PAYABLE                   .00                                   30 0431 000 000 00 00
CONTRACTS PAYABLE - RETAINAGE                    .00                                   30 0432 000 000 00 00
ENCUMBERANCE CONTROL                             .00                                   30 0753 000 000 00 00
    TOTAL LIABILITIES                                          .00
REVENUES CONTROL                          784,237.76-                                  30 0302 000 000 00 00
EXPENDITURES CONTROL                   20,487,180.90-                                  30 0602 000 000 00 00
RESERVE FOR ENCUMBRANCE CONTRL                   .00                                   30 0603 000 000 00 00
SPECIFIC FUND BALANCE RESERVES                   .00                                   30 0760 000 000 00 00
UNRESERVED FUND BAL, DESIGNATD                   .00                                   30 0771 000 000 00 00
UNRESERVED FUND BAL, UNDESIGNA                   .00                                   30 0772 000 000 00 00
    TOTAL EQUITY                                     21,271,418.66-
    TOTAL LIABILITIES & EQUITY                                     21,271,418.66-
Mar 02, 2000     001        Penn Manor School District
                 STATEMENT OF ASSETS, LIABILITIES AND FUND BALANCES
                                 February 29, 2000
                                   FOOD SERVICE
LANCASTER COUNTY CHECKING                        .00                                   51 0101 000 000 00 LC
LANCASTER COUNTY SAVINGS                         .00                                   51 0101 000 000 00 LS
PLGIT SAVINGS                                    .00                                   51 0101 000 000 00 PS
REVENUE CONTROL                                  .00                                   51 0302 000 000 00 00
ACCOUNTS PAYABLE                                 .00                                   51 0421 000 000 00 00
FUND BALANCE                                     .00                                   51 0770 000 000 00 00
End of Report - 16.33.39