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Salt Creek SD 48 board reviews August financials and approves $1.7 million in September disbursements
Summary
The board reviewed August financial reports, the Treasurer's report showing $18,484,770.13 in total funds, and approved disbursements including an AP register with $1,700,633.10 in transactions dated Sept. 19, 2024.
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Salt Creek School District 48 staff presented the Treasurer's Report for the period ending Aug. 31, 2024, listing fund balances and the district's total cash balance of $18,484,770.13. The report broke balances down by fund: Education Fund $14,177,228.68; Operations & Maintenance Fund $2,786,532.71; Debt Service $429,131.35; Transportation $1,180,569.56; IMRF Fund $132,846.60; Medicare/Social Security Fund ($6,670.29); Capital Projects Fund $0.08; Working Cash Fund $285,131.44.
Board packets included the AP check registers with multiple vendor payments for August and September. Notable items recorded in the AP registers included a $488,000 payment for a title/escrow related to Elmhurst property settlement, a $656,372.40 invoice to FGM Architects for pre-referendum services, and a Sep. 19 AP run totaling $1,700,633.10 across funds (Education $750,109.01; O&M $899,078.77; Transportation $51,445.32). The board approved consent items that included the August disbursements noted in the packet.
Provenance: topicintro SEG 015, topfinish SEG 716
