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FY 2020-202LSECTION A: BUDGET SUM!4ARYTotal Revenues and Other Financing SourcesTotal Appropriat j"on (Expenditures )Other Financing Uses--Transfers Out (G.L.s36)Other Financing Uses (c.L. 535)Excess of Revenues/Other Financing SourcesOver/ (Under) Expenditures and OtherFinancing UsesBeginning TotaL Fund Bal-anceEnding Tota1 Fund BalanceSECTION B: ,EXCESS LEVIES FOR 2021COLI,ECTIONExcess levies approved by voters for 2OZlcol l-ect ionRollback mandated by school district Boardof Directors 1/Net excess levy amount for 202I col]ectionafLer rollbackRutit I0/6/2o2o :-,2;31:40 pMSelah School District No.119BUDGET AND EXCESS LEVY SIJ}4IIIARYGeneral FundAssociatedStudent BodyFundDebt. ServiceFundCapital-Projects FundTransportationVehicle Fund53 , 984 ,34754 ,309 , 63A400. 0000-725 ,2A39, 500, 0008,774,7'L73 ,468 ,86903 ,468 ,869732 , 1L5830,5254,448, AOO4,333 , r5000114. 850I,222 , O37L,336 ,88710,215.00025 ,334 , 000-15,119,00026,523,785r.l-,s04,7851-34, 000275 ,000-141,000]-tI,422XXXXXXXX0000-98,410398 ,682300,272XXXX0000004,452,00000l-/ Rolfback of fevies needs to be certified pursuant. t.o RCW 84.52.02o. please do Nor j-nclude such resolutrion as part of this documentPage 1 of 1Form F-195Fund Summary