Web Reporter Copyright 1999 Soft Tech, Inc.
DETAIL OF EXPENSES
 Mar 03, 2004                                        Penn Manor School District                                          Page:     1
Type of Report: SUMMARY                               YTD SUMMARY OF REVENUES                                            ID:  AC0836
                                                   For the Period Ending  2/29/2004
                                                            GENERAL FUND
                                                     Adjusted       Current      Year-To-Date                  Unencumbered
                                                      Budget        Activity       Revenues       Encumbers       Balance    % Rem
6000-000  REVENUE FROM LOCAL SOURCES
6100-000  REVENUE FROM LOCAL SOURCES
6110-000       AD VALOREM TAXES                   25,478,607.00      42,734.08  26,061,485.87            .00     582,878.87-    2.3-
6120-000       CURRENT PER CAP TAXES  679                   .00            .00            .00            .00            .00     ***
6140-000       CURRENT LOCAL ENABLING TAXES                 .00            .00            .00            .00            .00     ***
6150-000       CURRENT LOCAL ENABLING TAXES        3,961,763.00   1,108,653.64   2,229,158.22            .00   1,732,604.78    43.7
6170-000       CURRENT TAXES                                .00            .00           9.48            .00           9.48-    ***
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 ** 6100 TOTAL REVENUE FROM LOCAL SOURCES         29,440,370.00   1,151,387.72  28,290,653.57            .00   1,149,716.43     3.9
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6200-000  DISCOUNTS TAKEN ON TAXES
6210-000       DISCOUNTS TAKEN ON AD VALOREM TAXE           .00         829.35-    425,500.55-           .00     425,500.55     ***
6220-000       DISCOUNTS TAKEN ON CURRENT P C TAX           .00            .00            .00            .00            .00     ***
6240-000       DISCOUNTS TAKEN ON CURRENT FLAT TA           .00            .00            .00            .00            .00     ***
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 ** 6200 TOTAL DISCOUNTS TAKEN ON TAXES                     .00         829.35-    425,500.55-           .00     425,500.55     ***
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6300-000  PENALTIES AND INTEREST COLLECTED
6310-000       PENALTIES AND INTEREST - AD VALORE           .00            .00      37,668.17            .00      37,668.17-    ***
6320-000       PENALTIES AND INTEREST ON P C TAX            .00            .00            .00            .00            .00     ***
6340-000       PENALTIES AND INTEREST - FLAT TAX            .00            .00            .00            .00            .00     ***
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 ** 6300 TOTAL PENALTIES AND INTEREST COLLECTED             .00            .00      37,668.17            .00      37,668.17-    ***
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6400-000  DELINQUENCIES ON TAXES LEVIED
6410-000       DELINQUENT AD VALOREM TAXES           425,000.00      23,985.87     264,492.82            .00     160,507.18    37.8
6420-000       DELINQUENT PER CAPITA TAXES, 679             .00            .00         917.00            .00         917.00-    ***
6440-000       DELINQUENT FLAT TAXES                        .00            .00         592.50            .00         592.50-    ***
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 ** 6400 TOTAL DELINQUENCIES ON TAXES LEVIED         425,000.00      23,985.87     266,002.32            .00     158,997.68    37.4
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6500-000  EARNINGS ON INVESTMENTS
6510-000       INTEREST ON INVESTMENTS               338,616.00       8,275.99     148,598.89            .00     190,017.11    56.1
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 ** 6500 TOTAL EARNINGS ON INVESTMENTS               338,616.00       8,275.99     148,598.89            .00     190,017.11    56.1
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6800-000  REVENUES FROM INTERMEDIATE SOURCES
6810-000       REVENUE FROM LOCAL GOVT UNITS                .00            .00            .00            .00            .00     ***
6830-000       REVENUE FROM INTERMEDIATE FEDERAL     303,863.00      11,439.12      98,167.12            .00     205,695.88    67.7
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 ** 6800 TOTAL REVENUES FROM INTERMEDIATE SOURCES    303,863.00      11,439.12      98,167.12            .00     205,695.88    67.7
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6900-000  OTHER REVENUE FROM LOCAL SOURCES
6910-000       RENTALS                                32,000.00       3,041.26      19,820.80            .00      12,179.20    38.1
6920-000       CONTRIBUTIONS AND DONATIONS PRIVAT           .00            .00            .00            .00            .00     ***
6940-000       TUITION FROM PATRONS                   73,331.00         390.00      10,174.75            .00      63,156.25    86.1
6970-000       SERVICES PROVIDED OTHER FUNDS                .00            .00            .00            .00            .00     ***
 Mar 03, 2004                                        Penn Manor School District                                          Page:     2
Type of Report: SUMMARY                               YTD SUMMARY OF REVENUES                                            ID:  AC0836
                                                   For the Period Ending  2/29/2004
                                                            GENERAL FUND
                                                     Adjusted       Current      Year-To-Date                  Unencumbered
                                                      Budget        Activity       Revenues       Encumbers       Balance    % Rem
6990-000       MISCELLANEOUS REVENUE                 244,492.00         787.83     202,100.37            .00      42,391.63    17.3
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 ** 6900 TOTAL OTHER REVENUE FROM LOCAL SOURCES      349,823.00       4,219.09     232,095.92            .00     117,727.08    33.7
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*** 6000 TOTAL REVENUE FROM LOCAL SOURCES         30,857,672.00   1,198,478.44  28,647,685.44            .00   2,209,986.56     7.2
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7000-000  REVENUE FROM STATE SOURCES
7100-000  BASIC INSTRUCTIONAL & OPER SUBSIDY
7110-000       BASIC INSTURCTIONAL & OPERATING SU  8,885,113.00   1,287,603.00   5,150,412.00            .00   3,734,701.00    42.0
7140-000                                              45,000.00       2,376.00       9,504.00            .00      35,496.00    78.9
7150-000       SCHOOL PERFORMANCE INCENTIVES                .00            .00            .00            .00            .00     ***
7160-000       TUITION FOR ORPHANS & CHILDREN         48,000.00            .00            .00            .00      48,000.00   100.0
7170-000       INSTRUCTIONAL SUPPORT TEAM SUBSIDY           .00            .00            .00            .00            .00     ***
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 ** 7100 TOTAL BASIC INSTRUCTIONAL & OPER SUBSIDY  8,978,113.00   1,289,979.00   5,159,916.00            .00   3,818,197.00    42.5
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7200-000  SUBSIDIES FOR SPECIFIC PROGRAMS
7210-000       HOMEBOUND INSTRUCTION                   1,000.00            .00            .00            .00       1,000.00   100.0
7220-000       VOCATIONAL EDUCATION                   69,427.00      12,190.00      45,298.00            .00      24,129.00    34.8
7230-000                                              22,950.00       6,088.30      12,979.55            .00       9,970.45    43.4
7240-000       DRIVER EDUCATION - STUDENT                   .00            .00            .00            .00            .00     ***
7250-000       MIGRATORY CHILDREN                           .00            .00            .00            .00            .00     ***
7270-000       VOCATIONAL EDUCATION                2,240,698.00            .00   1,371,732.00            .00     868,966.00    38.8
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 ** 7200 TOTAL SUBSIDIES FOR SPECIFIC PROGRAMS     2,334,075.00      18,278.30   1,430,009.55            .00     904,065.45    38.7
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7300-000  SUBSIDIES FOR NONED PROGRAMS
7310-000       TRANSPORTATION                      1,600,000.00            .00     885,607.47            .00     714,392.53    44.6
7320-000       RENTAL AND SINKING FUND PAYMENTS    1,424,802.00            .00   1,765,230.32            .00     340,428.32-   23.9-
7330-000       MEDICAL AND DENTAL SERVICES           105,794.00     108,837.09     108,837.09            .00       3,043.09-    2.9-
7340-000       NURSE SERVICES                               .00            .00       9,802.00            .00       9,802.00-    ***
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 ** 7300 TOTAL SUBSIDIES FOR NONED PROGRAMS        3,130,596.00     108,837.09   2,769,476.88            .00     361,119.12    11.5
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7400-000  VOCATIONAL TRAINING - UNEMPLOYED
7400-000       VOCATIONAL TRAINING - UNEMPLOYED             .00            .00            .00            .00            .00     ***
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 ** 7400 TOTAL VOCATIONAL TRAINING - UNEMPLOYED             .00            .00            .00            .00            .00     ***
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7500-000  EXTRA GRANTS
7500-000       EXTRA GRANTS                                 .00            .00            .00            .00            .00     ***
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 ** 7500 TOTAL EXTRA GRANTS                                 .00            .00            .00            .00            .00     ***
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7800-000  REVENUE FOR SOCIAL SECURITY PAYMENT
7800-000       REVENUE FOR SOCIAL SECURITY PAYMEN           .00            .00            .00            .00            .00     ***
7810-000       STATE SHARE - SOC SEC AND MEDICARE    946,634.00      60,405.22     466,496.18            .00     480,137.82    50.7
 Mar 03, 2004                                        Penn Manor School District                                          Page:     3
Type of Report: SUMMARY                               YTD SUMMARY OF REVENUES                                            ID:  AC0836
                                                   For the Period Ending  2/29/2004
                                                            GENERAL FUND
                                                     Adjusted       Current      Year-To-Date                  Unencumbered
                                                      Budget        Activity       Revenues       Encumbers       Balance    % Rem
7820-000       STATE SHARE - RETIREMENT              550,361.00         801.03-     77,144.36            .00     473,216.64    86.0
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 ** 7800 TOTAL REVENUE FOR SOCIAL SECURITY PAYMEN  1,496,995.00      59,604.19     543,640.54            .00     953,354.46    63.7
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7900-000  TECHNOLOGY FUNDING
7910-000       TECHNOLOGY FOR EDUCATION                     .00            .00            .00            .00            .00     ***
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 ** 7900 TOTAL TECHNOLOGY FUNDING                           .00            .00            .00            .00            .00     ***
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*** 7000 TOTAL REVENUE FROM STATE SOURCES         15,939,779.00   1,476,698.58   9,903,042.97            .00   6,036,736.03    37.9
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8000-000  REVENUE FROM FEDERAL SOURCES
8500-000  RESTRICTED GRANTS
8510-000       ELEMENTARY AND SECONDARY              318,581.00      63,285.16     276,554.76            .00      42,026.24    13.2
8520-000       VOCATIONAL EDUCATION                         .00            .00            .00            .00            .00     ***
8560-000       FEDERAL BLOCK GRANTS, TITLE VI               .00            .00            .00            .00            .00     ***
8570-000       EESA TITLE II                                .00            .00            .00            .00            .00     ***
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 ** 8500 TOTAL RESTRICTED GRANTS                     318,581.00      63,285.16     276,554.76            .00      42,026.24    13.2
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8600-000  RESTRICTED GRANTS IN AID
8670-000       DRUG FREE SCHOOLS                      16,437.00       1,264.38       6,321.90            .00      10,115.10    61.5
8680-000       GOALS 2000 EDUCATE AMERICA                   .00            .00            .00            .00            .00     ***
8690-000       OTHER RESTRICTED FEDERAL GRANTS              .00            .00       1,169.95            .00       1,169.95-    ***
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 ** 8600 TOTAL RESTRICTED GRANTS IN AID               16,437.00       1,264.38       7,491.85            .00       8,945.15    54.4
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8700-000  COMMONWEALTH REVENUE SHARING FUNDS
8710-000       REVENUE SHARING - TRANSPORTATION             .00            .00            .00            .00            .00     ***
8720-000       REVENUE SHARING - TRANSPORTATION             .00            .00            .00            .00            .00     ***
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 ** 8700 TOTAL COMMONWEALTH REVENUE SHARING FUNDS           .00            .00            .00            .00            .00     ***
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8800-000  MEDICAL ASSISTANCE REIMBURSEMENTS
8820-000       HEALTH RELATED TRANSPORTATION                .00            .00            .00            .00            .00     ***
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 ** 8800 TOTAL MEDICAL ASSISTANCE REIMBURSEMENTS            .00            .00            .00            .00            .00     ***
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*** 8000 TOTAL REVENUE FROM FEDERAL SOURCES          335,018.00      64,549.54     284,046.61            .00      50,971.39    15.2
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9000-000  OTHER FINANCING SOURCES
9100-000  SALE OF BONDS
9120-000       PROCEEDS OF REFUNDING BONDS                  .00            .00            .00            .00            .00     ***
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 ** 9100 TOTAL SALE OF BONDS                                .00            .00            .00            .00            .00     ***
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9200-000  PROCEEDS FROM EXT. TERM FINANCING
 Mar 03, 2004                                        Penn Manor School District                                          Page:     4
Type of Report: SUMMARY                               YTD SUMMARY OF REVENUES                                            ID:  AC0836
                                                   For the Period Ending  2/29/2004
                                                            GENERAL FUND
                                                     Adjusted       Current      Year-To-Date                  Unencumbered
                                                      Budget        Activity       Revenues       Encumbers       Balance    % Rem
9200-000       PROCEEDS FROM EXT. TERM FINANCING            .00            .00            .00            .00            .00     ***
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 ** 9200 TOTAL PROCEEDS FROM EXT. TERM FINANCING            .00            .00            .00            .00            .00     ***
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9300-000  INTERFUND TRANSFERS
9320-000                                                    .00            .00            .00            .00            .00     ***
9330-000       CAPITAL PROJECTS FUND TRANSFERS              .00            .00            .00            .00            .00     ***
9360-000                                                    .00            .00            .00            .00            .00     ***
9380-000       ACTIVITY FUND TRANSFERS                      .00            .00            .00            .00            .00     ***
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 ** 9300 TOTAL INTERFUND TRANSFERS                          .00            .00            .00            .00            .00     ***
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9400-000  SALE OF OR COMPENSATION FOR LOSSES
9400-000       SALE OF OR COMPENSATION FOR LOSSES           .00           2.00           2.00            .00           2.00-    ***
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 ** 9400 TOTAL SALE OF OR COMPENSATION FOR LOSSES           .00           2.00           2.00            .00           2.00-    ***
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9500-000  REFUNDS OF PRIOR YEARS EXPENDITURES
9500-000       REFUNDS OF PRIOR YEARS EXPENDITURE           .00       3,570.00       3,570.00            .00       3,570.00-    ***
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 ** 9500 TOTAL REFUNDS OF PRIOR YEARS EXPENDITURE           .00       3,570.00       3,570.00            .00       3,570.00-    ***
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9600-000  INCOMING TRANSFERS
9610-000       RECEIPTS FROM OTHER LEAS IN PA               .00            .00            .00            .00            .00     ***
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 ** 9600 TOTAL INCOMING TRANSFERS                           .00            .00            .00            .00            .00     ***
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*** 9000 TOTAL OTHER FINANCING SOURCES                      .00       3,572.00       3,572.00            .00       3,572.00-    ***
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**** GENERAL FUND                                 47,132,469.00   2,743,298.56  38,838,347.02            .00   8,294,121.98    17.6
 Mar 03, 2004                                        Penn Manor School District                                          Page:     5
Type of Report: SUMMARY                               YTD SUMMARY OF REVENUES                                            ID:  AC0836
                                                   For the Period Ending  2/29/2004
                                                            GENERAL FUND
                                                     Adjusted       Current      Year-To-Date                  Unencumbered
                                                      Budget        Activity       Revenues       Encumbers       Balance    % Rem
*****  GRAND TOTAL                                47,132,469.00   2,743,298.56  38,838,347.02            .00   8,294,121.98    17.6
End of Report -  9.28.45