Laserfiche WebLink
FY 2020-2021SECTION A: BITDGET SUMI'ARYTotal- Revenues and Other Financing SourcesTotal Appropriat.ion (Expenditures)Other Financing Uses--Transfers Out (c.L,s36)Other Financing Uses (c.L. 535)Excess of Revenues/Other Fj-nancing SourcesOver/ (Under) Expendit.ures and Ot.her.t rnancl.ng usesBeginning Total Fund BalanceEnding Total- Fund Bal-anceSECTION B: EXCESS LEVIES r.OR 2021COLLECTIONExcess lewies approved by voters for 2021-collect.ionRollback mandated by school district Boardof Directors 1/Net excess le\ry amount. fot 2O2L col_l_ectionafter rollbackDa.man School District lilo-007BUDGET AND EXCESS LEVY SI'I{MARYCapitalProjects FundTransportationvehicle FundRlJn: I0/6/2020 L2:l_6:33 pMGeneral FundAssociatedStudent BodyFundDebt ServiceFund624 ,393666 ,561_00-42,7683s0, 000307 ,83285, 00085,000XXXXXXXX451,500875. 000-423 ,500500, 00076,sOO000000000000000000000000000000XXXXj-/ Rollback of levies needs to be certified pursuant to RCW a4.52.020. Please do NoT include such resolution as part of this documentForm F-195Page 1 of 1Fund Summary