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Laredo ISD reports March cash disbursements of $22.7 million; budget amendments and bond project status presented

5036090 · May 13, 2025
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Summary

District staff reported $22.7 million in cash disbursements for March 2025, with $15 million for payroll and $7.7 million for goods and services. Trustees were presented unaudited financial statements, tax-collection figures and several budget amendments and bond-project expenditure updates.

Miss Ayala, presenting financial summaries to the Laredo ISD Board of Trustees, said total cash disbursements for March 2025 were $22,700,000, with $15,000,000 for payroll and $7,700,000 for goods and services.

The board received unaudited financial statements through March 31, 2025. Ayala said year-to-date revenues were above expenditures by about 4.6% for the general operating fund and that year-to-date revenues compared to time lapsed were at about 79% (time lapsed…

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