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Quinlan ISD board reviews March budget; ending cash reported at $47.55 million
Summary
Business staff reported March revenues of $1,500,339.21, expenditures $4,068,198.48 and an ending cash flow balance of $47,546,805.50; taxes collected in March were $539,536.86.
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At the April 21 board meeting, Quinlan ISD business staff presented the March cash-flow and budget figures. Rebecca Pfeil reported revenues of $1,500,339.21 and expenditures of $4,068,198.48, yielding a cash-flow ending balance of $47,546,805.50.
Board members accepted the report as part of routine financial oversight; the minutes record the figures and no formal objections. The figures will be included in the district's financial attachments referenced in the meeting materials.
