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FY 2022-2023SECTION A: BUDGET SI]MMARYTotal Revenues and other Financing SourcesTotal Appropriation (Expenditures)Other Financing Uses--Transfers Out (c.i,. 535)Other Financing Uses (G.L. 535)Excess of Revenues/Other Financing Sources Over/ (under)Expenditures and Other Financing UsesBeginning Total Fund BalanceEnding Total Fund Bal-anceSECTION B: EXCESS LEVIES FOR 2023 COLLECTIONExcess fevies approved by voters for 2023 coll-ectj-onRol-lback mandated by school district Board of Direct.orst/Net excess le\/y amount for 2023 col-l-ection afterrollbackThorp School District No.400BUDGET AND EXCESS LEVC SUIA4ARYGeneral- FundAssociatedStudent BodyFundDebt ServiceFundRun: 10/30/2022 L0:24:47 Attl)apiLal Projects TransportationFundVehicfe Fund3 ,540 ,93728, 0005,5L9,3765,6L8,37600l-,000500,000501_,0006L3,78620 aoo39,298XXXXXXXXXX038,15238,r52000003,503,1820037,t55400,000437,r55L2 ,21600L5,7843 0, 00045,7840000000000000613,786xxxxx502 ,'t 82l-/ Rollback of levies needs to be certified pursuant to RCW 84.52.020. Please do NOT include such resolution as part of this documentForm F-195Page l. oI .LFund Summary: 1 of 1