View original file202934
Annual Statement of Financial Condition
Potlatch School District #285
2024-2025
REVENUES AND EXPENDITURES SUMMARY STATEMENT - ALL FUNDS
     BUDGET      ACTUAL
REVENUES
    Local Revenue $  2,147,600.00 $ 1,989,547.00
    State Revenue    6,976,796.00     5,758,351.00
    Federal Revenue    461,205.00   502,810.00
    Other Revenue   195,983.00  -
TOTAL REVENUES $  9,781,584.00 $ 8,250,708.00
  Transfers IN  -   164,911.00
TOTAL REVENUE & TRANSFERS $ 9,781,584.00 $ 8,415,619.00
EXPENDITURES 
    Salaries $  3,914,810.00 $ 3,873,248.00
    Benefits   1,616,913.00   1,604,486.00
    Purchased Services    1,713,603.00  1,274,737.00
    Supplies & Materials   664,564.00   726,395.00
    Capital Objects  589,250.00   282,205.00
    Debt Retirement  -  
    Insurance & Judgments   68,900.00   68,686.00
TOTAL EXPENDITURES $  8,568,040.00 $ 7,829,757.00
Transfers OUT  195,983.00   164,911.00
TOTAL EXPENDITURES  & TRANSFERS $ 8,764,023.00 $ 7,994,668.00
 
BEGINNING FUND BALANCE at July 1, 2024  $ 2,945,997.00 $ 2,133,455.00
Adjustments  -  -
ADJUSTED BEGINNING FUND BALANCE 
at July 1, 2024  $ 2,945,997.00 $ 2,133,455.00
ENDING FUND BALANCE at June 30, 2025 $ 3,963,558.00 $ 2,554,406.00
The undersigned certify that this is a true and correct report of the financial condition of the Potlatch School District #285.
        /s/Ryan Beckner                         
Chair of the Board
        /s/Tanner McGreal                      
Clerk of the Board
        /s/Tanner McGreal                      
Treasurer of the Board