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Solanco SD board approves December fund reports; general fund shows monthly drawdown

Solanco SD School Board · January 26, 2026
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Summary

The Solanco SD school board approved monthly reports for the general, capital project, cafeteria and athletic/student activity funds. The December general fund showed $5.16 million in receipts, $6.06 million in disbursements and a month‑end balance of $37.27 million.

The Solanco SD school board on Jan. 26 approved December financial reports for the district’s general, capital project, cafeteria and athletic/student activity funds.

Missus Tucker, the district finance presenter, told the board the general fund had receipts of $5,155,347.33 and disbursements of $6,060,996.25 for December, leaving a monthly reduction of $905,648.92 and a balance on Dec. 31 of $37,269,054.90. The capital project fund showed receipts of $65,086.32 and disbursements of $168,047.35, a monthly reduction of $102,961.03 and a Dec. 31 balance of $30,521,707.49.

For the cafeteria fund, Tucker reported December receipts of $342,328.60 against disbursements of $223,080.27, producing an increase for the month of $119,248.33 and a balance of $1,358,641.18. A board member asked whether the high‑school dishwasher replacement had been completed; Tucker said planned purchases had been made but some installations were awaiting electrical upgrades.

Tucker told the board the athletic fund for the Oct. 1–Dec. 31 quarter had receipts of $16,177 and disbursements of $298,684.93, a net cost to the district of $282,507.93; for July 1–Dec. 31 receipts were $29,009.52 and disbursements $587,001.61, a net cost of $557,049.49.

Each report was approved by motion and voice vote. The board did not record roll‑call tallies in the meeting transcript.