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Business office gives monthly budget update; some spoken dollar figures in record need verification
Summary
The district presented monthly maintenance & operations and capital budget updates and the student activities fund report; the business presenter provided percentages and cash balances but several spoken dollar amounts in the transcript were garbled and should be checked against the board book.
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The Yuma Union High School District's business office provided its regular monthly update on maintenance and operations, capital budgeting and the student activities fund.
The presenter, Brenda Higuera, reviewed the district's M&O and capital pages in the board book and described percent-of-year and percent-expended figures. She reported that the district has spent roughly half of the M&O budget for the year and about half of the capital budget. Higuera also reported the district's student activities ending cash balance as $750,214.62 and a year-to-date student-activities balance of $15,099.
Several dollar figures spoken during the presentation were difficult to parse from the audio record; Higuera read totals and percentages from the board book and the board chair noted the budget pages were in the packet. Board members asked if there were questions; none were raised and the update was accepted as informational.
Because some spoken dollar amounts in the transcript were garbled, reporters and stakeholders should refer to the published board book and the district's official financial reports for precise figures.

