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Fv 2021-2022SECTION A: BITDGET SItldlfARYTotal Revenues and Other Financing SourcesTotal Appropriatsion (Expenditures)Other Financing Uses--Transfers Out (G.L. 535)Other Financing Uses (G.L. 535)Excess of Revenues/Other Financing Sources Over/ (Under)Expenditures and Other Financing UsesDaman School District No.007BI'DGET AND EXCESS tE\TT SI'I{IfARYGeneral FundAssociatedStudent BodyFund602 ,289815, 8400Debt ServiceFund)apital ProjectsFundRun: 7O/6/2021 3:06:35 PMTransportationVehicle Fund0-2r-3,5s1600,300386,7490xxxxxXXXXX0xxxxx00000000000000Beginning Totsal F\rnd BalanceEnding Total Fund Bal-anceSECTION B: EXCESS LEVIES FOR 2022 COLTECTIONExcess levies approved by voters for 2022 collectionRolLback mandated by school district Board of Directorsr/Net excess levy amount for 2022 collection afterrollback1/ Rollback of levies needs to be certified pursuant to Rcw 84.52.0200000000085,00085, 00000000P1ease do NOT include such resolution as part of this document0000000Form F-L95Page 1 of l-Fund Summary: 1 of 1