This document is the annual expenditure budget for the Tempe Elementary School District in Maricopa County, Arizona for fiscal year 2012. It provides details on estimated revenues, tax rates, budget limits, and budgeted expenditures for the district. The total aggregate budget limit for the district is $110,349,010 and the total budgeted expenditures are $75,386,784, which is below the budget limit. The largest expenditure categories are for regular education classroom instruction and special education classroom instruction.
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2011-2012 Adopted Budget
1. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000
FY 2012 REVENUES AND PROPERTY TAXATION (This section is not applicable to budget revisions)
STATE OF ARIZONA 1. Total Budgeted Revenues for Fiscal Year 2011 $ 118,102,789
SCHOOL DISTRICT ANNUAL EXPENDITURE BUDGET 2. Estimated Revenues by Source for Fiscal Year 2012 (excluding property taxes)
DISTRICTWIDE BUDGET Local 1000 $ 2,812,500
Intermediate 2000 $
Adopted State 3000 $ 23,436,958
Version Federal 4000 $ 26,030,000
TOTAL $ 52,279,458
BY THE GOVERNING BOARD
3. District Tax Rates for Current and Budget Fiscal Years (A.R.S. §15-903.D.4)
We hereby certify that the Budget for the Fiscal Year 2012 was Current FY 2011 Est. Budget FY 2012
Proposed June 8, 2011 Primary Tax Rate: 2.3099 2.9275
Adopted June 22, 2011 Secondary Tax Rates:
Revised M&O Override 0.3871 0.4895
Date Special K-3 Program Override
Special Program Override
Capital Override 0.2372 0.3114
Class A Bonds 0.4126 0.6559
Class B Bonds 0.2568 0.5618
JTED
Total Secondary Tax Rate 1.2937 2.0186
A. TOTAL AGGREGATE SCHOOL DISTRICT BUDGET LIMIT (A.R.S. §15-905.H)
1. General Budget Limit (from Budget, page 7, line 10) $ 75,386,784
2. Unrestricted Capital Budget Limit (from Budget, page 8, line A.12) $ 10,955,952
SIGNED SIGNED 3. Soft Capital Allocation Limit (from Budget, page 8, line B.12) $ 2,976,274
4. Subtotal (line A.1 + A.2 + A.3) $ 89,319,010
The budget file(s) for FY 2012 sent to the Arizona Department of Education, via the internet, on 5. Federal Projects (from Budget, page 6, line 18) $ 21,030,000
June 23, 2011 contain(s) the data for the budget described above. 6. Title VIII-Impact Aid (from Budget, page 6, Federal Projects, line 16) $ 0
Date 7. Total Aggregate School District Budget Limit (line A.4 + A.5 - A6) $ 110,349,010
B. BUDGETED EXPENDITURES
1. Maintenance and Operation (from Budget, page 1, line 30) $ 75,386,784
Superintendent Signature Business Manager Signature 2. Unrestricted Capital Outlay (from Budget, page 4, line 10) $ 10,955,952
3. Soft Capital Allocation (from Budget, page 4, line 19) $ 2,976,274
District Contact Employee: Liz Yeskey 4. Total Budget Subject to Budget Limits (line B.1 + B.2 + B.3)
Telephone: (480) 730-7128 E-mail: lyeskey@tempeschools.org (This line cannot exceed line A.4.) $ 89,319,010
Prelimina #DIV/0!
Rev. 5/11-FY 2012 6/15/2011 9:22 AM
3. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
SPECIAL EDUCATION PROGRAMS BY TYPE (M&O Fund Only) Utilities Tuition Out Audit
Program 200 Total Program 200 Total 6411, 6421, Debt Svc. Services
(A.R.S. §§15-761 and 15-903) Current FY Current FY Budget FY Budget FY M&O DETAIL BY OBJECT CODE 6531, 6621-25 6565 6350
1. Autism 995,081 995,081 941,111 941,111 1. 1. Regular Education * 2,564,781 35,000 1.
2. Emotional Disability 1,157,635 1,157,635 1,094,848 1,094,848 2. 2. Special Education 200 336,375 2.
3. Hearing Impairment 97,636 97,636 92,340 92,340 3. 3. Spec. Ed. Dis. ESEA, Title VIII 300 3.
4. Other Health Impairments 521,935 521,935 493,627 493,627 4. 4. Pupil Transportation 400 4.
5. Specific Learning Disability 3,994,563 3,994,563 3,777,909 3,777,909 5. 5. Desegregation 510 458,844 5.
6. Mild, Moderate or Severe Intell. Disab.* 972,598 972,598 919,847 919,8476. 6. Special K-3 Program Override 520 6.
7. Multiple Disabilities 164,452 164,452 155,533 155,5337. 7. Dropout Prevention Programs 530 7.
8. Multiple Disabilities with S.S.I.** 260,534 260,534 246,403 246,403 8. 8. Joint Career & Tech. Ed. & Voc. E 540 8.
9. Orthopedic Impairment 107,287 107,287 101,468 101,468 9. 9. Subtotal (lines 1-8) 3,360,000 0 35,000 9.
10. Developmental Delay 372,527 372,527 352,322 352,32210. 10. School Plant Lease over 1 yr. Fund 500 10.
11. Preschool Severe Delay 353,098 353,098 333,947 333,94711. 11. School Plant Lease 1 yr. or less Fund 505 11.
12. Speech/Language Impairment 2,602,248 2,602,248 2,461,109 2,461,10912. 12. Total (lines 9-11) 3,360,000 0 35,000 12.
13. Traumatic Brain Injury 16,080 16,080 15,208 15,20813. * Include program codes 100, 610, 620, 630, 700, 800, and 900. (M&O Fund only)
14. Visual Impairment 147,941 147,941 139,917 139,91714.
15. Subtotal (lines 1 through 14) 11,763,615 11,763,615 11,125,589 11,125,58915.
16. Gifted Education 674,174 674,174 777,361 777,36116.
17. Remedial Education 0 0 17.
18. ELL Incremental Costs 785,663 785,663 199,057 199,057 18. FY 2012 Performance Pay (A.R.S. §15-920)
19. ELL Compensatory Instruction 0 0 19. Amount Budgeted in M&O Fund for a Performance Pay Component
20. Vocational and Technological Education 0 0 20. Do not report budgeted amounts for the Performance Pay Component of the Classroom Site Fund on this line.
21. Career Education 0 0 21.
22. Total (lines 15 through 21. Must equal Average Daily Membership
total of lines 23 & 24, page 1) 13,223,452 13,223,452 12,102,007 12,102,007 22. A. FY 2011 Average Daily Membership: Resident 11,242.635 Attending 11,342.430
* Intellectual Disability (formerly Mental Retardation) B. FY 2010 Average Daily Membership: Resident 11,686.255 Attending 11,779.047
** Severe Sensory Impairment
Proposed Ratios for Special Education Expenditures Budgeted in the M&O Fund for Food Service
(A.R.S. §§15-903.E.1 and 15-764.A.5) Teacher-Pupil 1 to 12 Enter the amount budgeted in M&O for Food Service (Fund 001, Function 3100)
Staff-Pupil 1 to 10 (This amount will be used to determine district compliance with state matching
requirements pursuant to Code of Federal Regulations (CFR) Title 7, §210.17(a)]
Estimated FTE Certified Employees
(A.R.S. §15-903.E.2) Current FY Budget FY Estimated Transportation Revenues for FY 2012
964.56 909.73 Enter the estimated transportation revenues (object code 1400) to be received
Rev. 5/11-FY 2012 6/15/2011 9:22 AM Page 2 of 8
4. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
Purchased Services Totals %
Expenditures Salaries Employee Benefits 6300, 6400, Supplies Other Interest Current FY Budget FY Increase/
6100 6200 6500 (1) 6600 6850 2011 2012 Decrease
Classroom Site Fund 011 - Base Salary
100 Regular Education
1000 Classroom Instruction 1. 531,069 99,575 406,228 630,644 55.2% 1.
2100 Support Services - Students 2. 0 0 0.0% 2. (1) For FY 2012, the district has budgeted $ in Fund 010,
2200 Support Services - Instructional Staff 3. 0 0 0.0% 3. object code 6590 for Classroom Site Fund pass-through payments to district-
Program 100 Subtotal (lines 1-3) 4. 531,069 99,575 406,228 630,644 55.2% 4. sponsored charter schools. This amount is not included in the amounts reported
200 Special Education for Fund 013.
1000 Classroom Instruction 5. 72,418 13,578 0 85,996 -- 5.
2100 Support Services - Students 6. 0 0 0.0% 6.
2200 Support Services - Instructional Staff 7. 0 0 0.0% 7.
Program 200 Subtotal (lines 5-7) 8. 72,418 13,578 0 85,996 -- 8.
Other Programs (Specify) _____________________
1000 Classroom Instruction 9. 0 0 0.0% 9.
2100 Support Services - Students 10. 0 0 0.0% 10.
2200 Support Services - Instructional Staff 11. 0 0 0.0% 11.
Other Programs Subtotal (lines 9-11) 12. 0 0 0 0 0.0% 12.
Total Expenditures (lines 4, 8, and 12) 13. 603,487 113,153 406,228 716,640 76.4% 13.
Classroom Site Fund 012 - Performance Pay
100 Regular Education
1000 Classroom Instruction 14. 684,237 128,295 1,332,189 812,532 -39.0% 14.
2100 Support Services - Students 15. 0 0 0.0% 15.
2200 Support Services - Instructional Staff 16. 0 0 0.0% 16.
Program 100 Subtotal (lines 14-16) 17. 684,237 128,295 1,332,189 812,532 -39.0% 17.
200 Special Education
1000 Classroom Instruction 18. 93,305 17,495 0 110,800 -- 18.
2100 Support Services - Students 19. 0 0 0.0% 19.
2200 Support Services - Instructional Staff 20. 0 0 0.0% 20.
Program 200 Subtotal (lines 18-20) 21. 93,305 17,495 0 110,800 -- 21.
Other Programs (Specify) _____________________
1000 Classroom Instruction 22. 0 0 0.0% 22.
2100 Support Services - Students 23. 0 0 0.0% 23.
2200 Support Services - Instructional Staff 24. 0 0 0.0% 24.
Other Programs Subtotal (lines 22-24) 25. 0 0 0 0 0.0% 25.
Total Expenditures (lines 17, 21, and 25) 26. 777,542 145,790 1,332,189 923,332 -30.7% 26.
Classroom Site Fund 013 - Other
100 Regular Education
1000 Classroom Instruction 27. 1,063,144 199,340 813,816 1,262,484 55.1% 27.
2100 Support Services - Students 28. 0 0 0.0% 28.
2200 Support Services - Instructional Staff 29. 0 0 0.0% 29.
Program 100 Subtotal (lines 27-29) 30. 1,063,144 199,340 0 0 813,816 1,262,484 55.1% 30.
200 Special Education
1000 Classroom Instruction 31. 144,974 27,183 0 172,157 -- 31.
2100 Support Services - Students 32. 0 0 0.0% 32.
2200 Support Services - Instructional Staff 33. 0 0 0.0% 33.
Program 200 Subtotal (lines 31-33) 34. 144,974 27,183 0 0 0 172,157 -- 34.
530 Dropout Prevention Programs
1000 Classroom Instruction 35. 0 0 0.0% 35.
Other Programs (Specify) _____________________
1000 Classroom Instruction 36. 0 0 0.0% 36.
2100, 2200 Support Serv. Students & Instructional Staff 37. 0 0 0.0% 37.
Other Programs Subtotal (lines 36-37) 38. 0 0 0 0 0 0 0.0% 38.
Total Expenditures (lines 30, 34, 35, and 38) 39. 1,208,118 226,523 0 0 813,816 1,434,641 76.3% 39.
Total Classroom Site Funds (lines 13, 26, and 39) 40. 2,589,147 485,466 0 0 0 2,552,233 3,074,613 20.5% 40.
Rev. 5/11-FY 2012 6/15/2011 9:22 AM Page 3 of 8
5. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
FUNDS 610 AND 625 UNRESTRICTED CAPITAL OUTLAY AND SOFT CAPITAL ALLOCATION FUNDS
Library Books,
Textbooks, All Other All Other Totals
& Instructional Redemption of Object Codes Object Codes Current Budget %
Expenditures Rentals Aids (2) Property (2) Principal (3) Interest (4) (UCO & SCA type (M&O Type FY FY Increase/
6440 6641-6643 6700 6830 6840, 6850 excluding 6900) excluding 6900) 2011 2012 Decrease
Unrestricted Capital Outlay Override (1) 1. 9,572,486 9,211,301 9,572,486 3.9% 1.
Unrestricted Capital Outlay Fund 610
1000 Instruction 2. 300,000 4,885,748 4,206,064 5,185,748 23.3% 2.
2000 Support Services
2100, 2200 Students and Instructional Staff 3. 0 0 0.0% 3.
2300, 2400, 2500, 2900 Administration 4. 2,795,001 2,243,150 2,795,001 24.6% 4.
2600 Operation & Maintenance of Plant 5. 1,567,544 1,566,316 1,567,544 0.1% 5.
2700 Student Transportation 6. 942,233 759,065 942,233 24.1% 6.
3000 Operation of Noninstructional Services (5) 7. 150,000 169,379 150,000 -11.4% 7.
4000 Facilities Acquisition and Construction 8. 315,426 1,415,051 315,426 -77.7% 8.
5000 Debt Service 9. 0 0 0.0% 9.
Total Unrestricted Capital Outlay Fund (lines 2-9) 10. 0 300,000 10,655,952 0 0 0 10,359,025 10,955,952 5.8% 10.
Soft Capital Allocation Fund 625
1000 Instruction 11. 449,663 2,491,111 3,350,561 2,940,774 -12.2% 11.
2000 Support Services
2100, 2200 Students and Instructional Staff 12. 7,500 23,500 7,500 -68.1% 12.
2300, 2400, 2500, 2900 Administration 13. 23,000 23,000 23,000 0.0% 13.
2600 Operation & Maintenance of Plant 14. 2,500 2,500 2,500 0.0% 14.
2700 Student Transportation 15. 2,500 2,500 2,500 0.0% 15.
3000 Operation of Noninstructional Services (5) 16. 0 0 0.0% 16.
4000 Facilities Acquisition and Construction 17. 0 0 0.0% 17.
5000 Debt Service 18. 0 0 0.0% 18.
Total Soft Capital Allocation Fund (lines 11-18) 19. 0 449,663 2,526,611 0 0 0 0 3,402,061 2,976,274 -12.5% 19.
(1) Amounts in the Unrestricted Capital Outlay Override line 1 above must be (5) Expenditures Budgeted in Unrestricted Capital Outlay (UCO) and Soft Capital Allocation (SCA) Funds Unrestricted Soft Capital
included in the appropriate individual line items for Fund 610 and in the Budget for Food Service Capital Outlay Allocation
Year Total Column.
Enter the amount budgeted in UCO and SCA for Food Service $ 150,000
(2) Detail by object code: [Amounts will be used to determine district compliance with state
Unrestricted Soft Capital matching requirements pursuant to CFR Title 7, §210.17(a)]
Capital Outlay Allocation
6641 Library Books
6642 Textbooks
6643 Instructional Aids 300,000 449,663
6731 Furniture and Equipment 3,816,232 2,526,611
6734 Vehicles 223,000
6737 Tech Hardware & Software 6,616,720
(3) Includes principal on Capital Equity Fund loans of , principal on capital leases of , and principal on bonds of .
(4) Includes interest on Capital Equity Fund loans of , interest on capital leases of , and interest on bonds of .
Rev. 5/11-FY 2012 6/15/2011 9:22 AM Page 4 of 8
6. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
FUNDS 630, 690, and 695 BOND BUILDING AND CAPITAL FUNDS
Employee Redemption Other All Other Totals %
Expenditures Salaries Benefits Property of Principal Interest Object Codes Current FY Budget FY Increase/ Renovation New Construction
6100 6200 6700 6830 6850 (excluding 6900) 2011 2012 Decrease
Bond Building Fund 630
1000 Instruction 1. 0 0 0.0% 1.
2000 Support Services
2100, 2200 Students and Instructional Staff 2. 0 0 0.0% 2.
2300, 2400, 2500, 2900 Administration 3. 145,600 0 -100.0% 3.
2600 Operation & Maintenance of Plant 4. 0 0 0.0% 4.
2700 Student Transportation 5. 2,670,000 0 -100.0% 5.
3000 Operation of Noninstructional Services 6. 0 0 0.0% 6.
4000 Facilities Acquisition and Construction 7. 14,000,000 25,574,732 14,000,000 -45.3% 7.
5000 Debt Service 8. 0 0 0.0% 8.
Total Bond Building Fund Expenditures (lines 1-8) 9. 0 0 0 0 0 14,000,000 28,390,332 14,000,000 -50.7% 9.
Building Renewal Fund 690
1000 Instruction 10. 0 0 0.0% 10.
2000 Support Services
2100, 2200 Students and Instructional Staff 11. 0 0 0.0% 11.
2300, 2400, 2500, 2900 Administration 12. 0 0 0.0% 12.
2600 Operation & Maintenance of Plant 13. 0 0 0.0% 13.
2700 Student Transportation 14. 0 0 0.0% 14.
3000 Operation of Noninstructional Services 15. 0 0 0.0% 15.
4000 Facilities Acquisition and Construction 16. 475,000 715,000 475,000 -33.6% 16.
5000 Debt Service 17. 0 0 0.0% 17.
Total Building Renewal Fund Expenditures (lines 10-17) 18. 0 0 0 0 0 475,000 715,000 475,000 -33.6% 18.
New School Facilities Fund 695
1000 Instruction 19. 0 0 0.0% 19.
2000 Support Services
2100, 2200 Students and Instructional Staff 20. 0 0 0.0% 20.
2300, 2400, 2500, 2900 Administration 21. 0 0 0.0% 21.
2600 Operation & Maintenance of Plant 22. 0 0 0.0% 22.
2700 Student Transportation 23. 0 0 0.0% 23.
3000 Operation of Noninstructional Services 24. 0 0 0.0% 24.
4000 Facilities Acquisition and Construction 25. 0 0 0.0% 25.
5000 Debt Service 26. 0 0 0.0% 26.
Total New School Facilities Fund Expenditures (lines 19-26) 27. 0 0 0 0 0 0 0 0 0.0% 27.
Rev. 5/11-FY 2012 6/15/2011 9:22 AM Page 5 of 8
7. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
SPECIAL PROJECTS OTHER FUNDS (DO NOT Add to Aggregate) Current FY Budget FY
1. 050 County, City, and Town Grants 6000 0 1.
NO. OF PERSONNEL TOTAL ALL FUNCTIONS 2. 071 Structured English Immersion (1) 6000 0 0 2.
FEDERAL PROJECTS Current FY Budget FY Current FY Budget FY 3. 072 Compensatory Instruction (1) 6000 0 0 3.
1. 100-130 ESEA Title I - Helping Disadvantaged Children 6000 0.00 6,200,000 6,200,000 1. 4. 500 School Plant (Lease over 1 year) (2) 6000 280,000 280,000 4.
2. 140-150 ESEA Title II - Prof. Dev. and Technology 6000 0.00 1,400,000 1,400,000 2. 5. 505 School Plant (Lease 1 year or less) 6000 15,000 0 5.
3. 160 ESEA Title IV - 21st Century Schools 6000 0.00 125,000 125,000 3. 6. 506 School Plant (Sale) 6000 100,000 100,000 6.
4. 170-180 ESEA Title V - Promote Informed Parent Choice 6000 0.00 0 4. 7. 510 Food Service 6000 6,000,000 6,200,000 7.
5. 190 ESEA Title III - Limited Eng. & Immigrant Students 6000 0.00 650,000 650,000 5. 8. 515 Civic Center 6000 50,000 75,000 8.
6. 200 ESEA Title VII - Indian Education 6000 0.00 225,000 225,000 6. 9. 520 Community School 6000 500,000 500,000 9.
7. 210 ESEA Title VI - Flexibility and Accountability 6000 0.00 0 7. 10. 525 Auxiliary Operations 6000 0 10.
8. 220 IDEA Part B 6000 0.00 5,300,000 5,300,000 8. 11. 526 Extracurricular Activities Fees Tax Credit 6000 400,000 400,000 11.
9. 230 Johnson-O'Malley 6000 0.00 20,000 20,000 9. 12. 530 Gifts and Donations 6000 350,000 300,000 12.
10. 240 Workforce Investment Act 6000 0.00 0 10. 13. 535 Career & Tech. Ed. & Voc. Ed. Projects 6000 0 13.
11. 250 AEA - Adult Education 6000 0.00 0 11. 14. 540 Fingerprint 6000 2,500 2,500 14.
12. 260-270 Vocational Education - Basic Grants 6000 0.00 10,000 10,000 12. 15. 545 School Opening 6000 0 15.
13. 280 ESEA Title X - Homeless Education 6000 0.00 0 13. 16. 550 Insurance Proceeds 6000 20,000 20,000 16.
14. 290 Medicaid Reimbursement 6000 0.00 1,500,000 1,500,000 14. 17. 555 Textbooks 6000 20,000 10,000 17.
15. 3__ E-Rate 6000 0.00 3,100,000 3,100,000 15. 18. 565 Litigation Recovery 6000 40,000 0 18.
16. 3__ Impact Aid 6000 0.00 0 16. 19. 570 Indirect Costs 6000 800,000 700,000 19.
17. 300-399 Other Federal Projects (Besides E-rate & Impact Aid) 6000 0.00 2,500,000 2,500,000 17. 20. 575 Unemployment Insurance 6000 0 20.
18. Total Federal Project Funds (lines 1-17) 0.00 0.00 21,030,000 21,030,000 18. 21. 580 Teacherage 6000 0 21.
STATE PROJECTS 22. 585 Insurance Refund 6000 0 22.
19. 400 Vocational Education 6000 0.00 0 19. 23. 590 Grants and Gifts to Teachers 6000 0 23.
20. 410 Early Childhood Block Grant 6000 0.00 0 20. 24. 595 Advertisement 6000 0 24.
21. 420 Ext. School Yr. - Pupils with Disabilities 6000 0.00 0 21. 25. 596 Joint Technical Education 6000 0 25.
22. 425 Adult Basic Education 6000 0.00 0 22. 26. 620 Adjacent Ways 6000 2,300,000 2,300,000 26.
23. 430 Chemical Abuse Prevention Programs 6000 0.00 0 23. 27. 639 Impact Aid Revenue Bond Building 6000 0 27.
24. 435 Academic Contests 6000 0.00 0 24. 28. 640 School Plant - Special Construction 6000 0 28.
25. 450 Gifted Education 6000 0.00 3,000 3,000 25. 29. 650 Gifts and Donations 6000 0 29.
26. 455 Family Literacy Program 6000 0.00 0 26. 30. 660 Condemnation 6000 0 30.
27. 460 Environmental Special Plate 6000 0.00 0 27. 31. 665 Energy and Water Savings 6000 0 31.
28. 465-499 Other State Projects 6000 0.00 675,000 675,000 28. 32. 686 Emergency Deficiencies Correction 6000 0 32.
29. Total State Project Funds (lines 19-28) 0.00 0.00 678,000 678,000 29. 33. 691 Building Renewal Grant 6000 0 33.
30. Total Special Projects (lines 18 and 29) 0.00 0.00 21,708,000 21,708,000 30. 34. 700 Debt Service 6000 14,500,000 21,000,000 34.
35. 720 Impact Aid Revenue Bond Debt Service 6000 0 35.
INSTRUCTIONAL IMPROVEMENT FUND (020) Current FY Budget FY 36. 750 Permanent 6000 0 36.
1. Teacher Compensation Increases 6000 250,000 270,000 1. 37. Other _________________________________ 6000 0 37.
2. Class Size Reduction 6000 0 2. INTERNAL SERVICE FUNDS 950-989
3. Dropout Prevention Programs (M&O purposes) 6000 0 3. 1. 9___ Self-Insurance 6000 0 1.
4. Instructional Improvement Programs (M&O purposes) 6000 275,000 270,000 4. 2. 955 Intergovernmental Agreements 6000 100,000 50,000 2.
5. Total Instructional Improvement Fund (lines 1-4) 525,000 540,000 5. 3. 9__ OPEB 6000 0 3.
4. 953 Transportation 6000 400,000 350,000 4.
(1) From Supplement, page 3, line 10 and line 20, respectively.
(2) Indicate amount budgeted in Fund 500 for M&O purposes $ 280,000
Rev. 5/11-FY 2012 6/15/2011 9:22 AM Page 6 of 8
8. DISTRICT NAME Tempe Elementary School Distric COUNTY Maricopa CTD NUMBER 070403000
VERSION Adopted
CALCULATION OF FY 2012 GENERAL BUDGET LIMIT
(A.R.S. §15-947.C)
A. B.
Maintenance Unrestricted
and Operation Capital Outlay
1. (a) FY 2012 Revenue Control Limit (RCL)
(from Work Sheet E, line VIII, or Work Sheet F, line III) $ 50,300,314
* (b) Plus Adjustment for Growth (1)
* (c) Increase or (Decrease) in 03 District High School Tuition
Payments (A.R.S. §15-905.J) (1)
(d) Adjusted RCL $ 50,300,314 $ 50,300,314 $ 0
2. (a) FY 2012 Capital Outlay Revenue Limit (CORL) (from Work
Sheet H, lines VII.E.1 and VII.F.1) $ 2,539,895
(b) CORL Reduction for State Budget Adjustments (from Work
Sheet H, lines VII.E.2 and VII.F.2) 1,156,359
* (c) CORL Reduction for ASRS Employer Contribution Change
(from Work Sheet H, lines VII.E.3 and VII.F.3) 0
(d) Adjusted CORL $ 1,383,536 1,383,536 0
3. FY 2012 Override Authorization (A.R.S. §§15-481 and 15-482)
* (a) Maintenance and Operation 8,028,419
(b) Unrestricted Capital Outlay 5,100,000
* (c) Special Program
*4. Small School Adjustment for Districts with a Student Count of 125 or less in K-8 or 100 or
less in 9-12 (A.R.S. §15-949) (If phase-down applies, see Work Sheets K and K2)
*5. Tuition Revenue (A.R.S. §§15-823 and 15-824)
Local
(a) Individuals and Other Private Sources
(b) Other Arizona Districts
(c) Out-of-State Districts and Other Governments
State
(d) Certificates of Educational Convenience (A.R.S. §§15-825, 15-825.01, and 15-825.02)
*6. State Assistance (A.R.S. §15-976) and Special Ed. Voucher Payments Received (A.R.S. §15-1204)
*7. Increase Authorized by County School Superintendent for Accommodation Schools
(not to exceed Work Sheet S, line II.B.5) (A.R.S. §15-974.B)
8. Budget Increase for:
(a) Desegregation Expenditures (ARS §15-910.G-K) 13,878,248 300,000
* (b) Tuition Out Debt Service (from Work Sheet O, line 7) (A.R.S. §15-910.L) 0
* (c) Budget Balance Carryforward (from Work Sheet M, line 12) (A.R.S. §15-943.01) 2,054,699
(d) Dropout Prevention Programs (Laws 1992, Ch. 305, §32 and Laws 2000, Ch. 398, §2)
* (e) Assistance for Education (A.R.S. §15-973.01) (1)
(f) Registered Warrant or Tax Anticipation Note Interest Expense Incurred in
FY 2010 (A.R.S. §15-910.M)
* (g) Joint Career and Technical Education and Vocational Education Center (A.R.S. §15-910.01)
* (h) FY 2011 Career Ladder Unexpended Budget Carryforward (from Work
Sheet M, line 6.f) (A.R.S. §15-918.04.C) 0
* (i) FY 2011 Optional Performance Incentive Program Unexpended Budget
Carryforward (from Work Sheet M, line 6.g) (A.R.S. §15-919.04) 0
* (j) FY 2011 Performance Pay Unexpended Budget Carryforward (from Work
Sheet M, line 6.h) (A.R.S. §15-920) 0
(k) Excessive Property Tax Valuation Judgments (A.R.S. §§42-16213 and 42-16214)
* (l) Transportation Revenues for Attendance of Nonresident Pupils (A.R.S. §15-947)
*9. Adjustment to the General Budget Limit (A.R.S. §§15-105, 15-272, 15-905.M, 15-910.02,
and 15-915) (Do not use this line as a subtotal) (2) (258,432)
10. FY 2012 General Budget Limit (column A, lines 1 through 9)
(A.R.S. §15-905.F) (page 1, line 30 cannot exceed this amount) $ 75,386,784
11. Total Amount to be Used for Capital Expenditures (column B, lines 1 through 8)
( A.R.S. §15-905.F) (to page 8, line A.11) $ 5,400,000
* Subject to adjustment prior to May 15 as allowed by A.R.S. and described in the budget revision memo to be issued in April 2012.
(1) For budget adoption, this line should be left blank.
(2) This line can be used to adjust the FY 2012 GBL for any of the following: (1) reductions for (a) exceeding the prior year(s) GBL, (b) exceeding the prior
year(s) M&O section of the Budget, (c) Early Graduation Scholarship, or (d) ASRS employer contribution change, or (2) reductions or increases due to (a)
transfers to/from the EWS Fund, (b) A.R.S. §15-915 adjustments as approved by ADE, or (c) other adjustments as notified by ADE. NOTE: In accordance
with Laws 2011, Ch. 29, §24, the Early Graduation Scholarship Program has been suspended for FY 2012.
Rev. 5/11-FY 2012 6/15/2011 9:22 AM Page 7 of 8
9. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000
VERSION Adopted
UNRESTRICTED CAPITAL BUDGET LIMIT, SOFT CAPITAL ALLOCATION LIMIT, AND CLASSROOM SITE FUND
BUDGET LIMIT (A.R.S. §15-947.D and .E and A.R.S. §15-978)
CALCULATION OF UNRESTRICTED CAPITAL BUDGET LIMIT
A. 1. FY 2011 Unrestricted Capital Budget Limit (UCBL)
(from FY 2011 latest revised Budget, page 8, line A.12) $ 10,359,025
2. Total UCBL Adjustment for prior years as notified by ADE on BUDG75 report (For budget
adoption, use zero.) $
3. Adjusted Amount Available for FY 2011 Capital Expenditures (line A.1 + A.2) $ 10,359,025
4. Amount Budgeted in Fund 610 in FY 2011
(from FY 2011 latest revised Budget, page 4, line 10) $ 10,359,025
5. Lesser of lines A.3 or A.4 $ 10,359,025
6. FY 2011 Fund 610 Actual Expenditures (For budget adoption use actual expenditures
to date plus estimated expenditures through fiscal year-end.) $ 4,853,073
7. Unexpended Budget Balance in Fund 610 (line A.5 minus A.6) If negative, use zero in
calculation, but show negative amount here in parentheses. -- $ 5,505,952
8. Interest Earned in Fund 610 in FY 2011 $ 50,000
9. Monies deposited in Fund 610 from School Facilities Board for donated land (A.R.S. §15-2041.F) $
10. Adjustment to UCBL for FY 2012 (A.R.S. §15-905.M) (1) $ 0
11. Amount to be Used for Capital Expenditures (from page 7, line 11) $ 5,400,000
12. FY 2012 Unrestricted Capital Budget Limit (lines A.7 through A.11) (2) $ 10,955,952
CALCULATION OF SOFT CAPITAL ALLOCATION LIMIT
B. 1. FY 2011 Soft Capital Allocation Limit (SCAL)
(from FY 2011 latest revised Budget, page 8, line B.12) $ 3,402,061
2. Total SCAL Adjustment for prior years as notified by ADE on BUDG75 report
(For budget adoption, use zero.) $
3. Adjusted FY 2011 SCAL (line B.1 + B.2) $ 3,402,061
4. Amount Budgeted in Fund 625 in FY 2011 (from FY 2011 latest revised Budget, page 4, line 19) $ 3,402,061
5. Lesser of lines B.3 or B.4 $ 3,402,061
6. FY 2011 Fund 625 Actual Expenditures (For budget adoption use actual expenditures
to date plus estimated expenditures through fiscal year-end.) $ 426,959
7. Unexpended Budget Balance in Fund 625 (line B.5 minus B.6) If negative, use zero in
calculation, but show negative amount here in parentheses. -- $ 2,975,102
8. Interest Earned in Fund 625 in FY 2011 $ 35,000
9. Soft Capital Allocation (from Work Sheet I, lines V.E.1 and V.F.1) $ 2,531,345
10. Capital Transportation Adjustment Approved by State Board of Education (A.R.S. §15-963.B) $
11. Adjustment to SCAL for FY 2012 (A.R.S. §15-905.M) (3) $ (2,565,173)
12. FY 2012 Soft Capital Allocation Limit (Add lines B.7 through B.11) (4) $ 2,976,274
CALCULATION OF CLASSROOM SITE FUND BUDGET LIMIT
C. 1. FY 2011 Classroom Site Fund Budget Limit (from FY 2011 latest revised Budget, page 8, line C.7) $ 2,538,637
2. FY 2011 Classroom Site Fund Actual Expenditures (For budget adoption use actual expenditures
to date plus estimated expenditures through fiscal year-end.) $ 1,030,249
3. Unexpended Budget Balance in Classroom Site Fund (line C.1 minus C.2) $ 1,508,388
4. Interest Earned in the Classroom Site Fund in FY 2011 $ 0
5. FY 2012 Classroom Site Fund Allocation (provided by ADE, based on $120) (5) $ 1,566,224
6. Adjustments to FY 2012 Classroom Site Fund Budget Limit $ 0
7. FY 2012 Classroom Site Fund Budget Limit (Sum of lines C.3 through C.6) (6) $ 3,074,612
(1) This line can be used to adjust the FY 2012 UCBL for any of the following: (1) reductions for (a) exceeding the prior year(s) UCBL, (b) exceeding the
prior year(s) UCO section of the Budget, or (c) ASRS employer contribution change, or (2) reductions or increases due to (a) A.R.S. §15-915
adjustments as approved by ADE or (b) other adjustments as notified by ADE.
(2) The amount budgeted on page 4, line 10 cannot exceed this amount.
(3) This line can be used to adjust the FY 2012 SCAL for any of the following: (1) reductions for (a) exceeding the prior year(s) SCAL, (b) state budget
adjustments, or (c) ASRS employer contribution change, or (2) reductions or increases due to (a) A.R.S. §15-915 adjustments as approved by ADE or
(b) other adjustments as notified by ADE.
(4) The amount budgeted on page 4, line 19 cannot exceed this amount.
(5) In accordance with A.R.S. §15-977(G)(1), the per pupil amount is calculated based on estimated available resources in the Classroom Site Fund for
the budget year and adjusted for prior year revenue carryforwards or shortfalls. However, actual payments to districts may differ from the estimated
per pupil Classroom Site Fund allocation.
(6) The sum of the amounts budgeted on page 3, line 40 and footnote (1) on that page, cannot exceed this amount
Rev. 5/11-FY 2012 6/15/2011 9:22 AM Page 8 of 8
10. Use the table below to calculate the amounts for Page 8, section C. These calculations need not be printed as an official part of
the budget forms.
Payments to
Fund 011 Fund 012 Fund 013 Charter Schools Total Fund 010
1. FY 2011 Classroom Site Fund Budget Limit (from FY
2011 latest revised Budget, page 8, line 7 of the table)
403,395 1,327,091 808,151 0 2,538,637
2. FY 2011 Actual Expenditures (For budget adoption
use actual expenditures to date plus estimated
expenditures through fiscal year-end.) 0 1,030,249 1,030,249
3. Unexpended Budget Balance (line 1 minus 2)
403,395 296,842 808,151 0 1,508,388
4. Interest Earned in FY 2011
0
5. FY 2012 Classroom Site Fund Allocation (provided by
ADE, based on $120) Enter the total allocation in the
Total Fund 010 column. Funds 011, 012, and 013 will
automatically calculate.
313,245 626,490 626,490 1,566,224
6. Adjustments to FY 2012 Classroom Site Fund Budget
Limit * 0
7. FY 2012 Classroom Site Fund Budget Limit (Sum of
lines 3 through 6) ** 716,640 923,332 1,434,641 0 3,074,612
* This line may be used to recapture lost CSF budget capacity that resulted from underbudgeting in prior fiscal years.
** The amounts budgeted on page 3, lines 13, 26, 39, and footnote (1) should not exceed the amounts on this line.
Rev. 5/11-FY 2012 6/15/2011 9:22 AM Page 8 of 8
11. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
FY 2012
STATE OF ARIZONA
SUPPLEMENT
TO
SCHOOL DISTRICT ANNUAL EXPENDITURE BUDGET
FOR DISTRICTS THAT BUDGET FOR:
SPECIAL EDUCATION DISABILITY ESEA, TITLE VIII
SPECIAL K-3 PROGRAM OVERRIDE (A.R.S. §15-903.D and Laws 2010, Ch. 179, §4)
JOINT CAREER AND TECHNICAL EDUCATION AND VOCATIONAL EDUCATION CENTER (A.R.S. §15-910.01)
ENGLISH LANGUAGE LEARNERS (A.R.S. §§15-756.04 and 15-756.11)
Rev. 5/11-FY 2012
6/15/2011 9:22 AM
12. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
No. of Employee Purchased Debt Service Totals
M&O Fund Supplement Personnel Salaries Benefits Services Supplies and Miscellaneous Current Budget %
Current Budget 6300, 6400, FY FY Increase/
Expenditures FY FY 6100 6200 6500 6600 6800 2011 2012 Decrease
300 Special Education Disability ESEA, Title VIII
1000 Classroom Instruction 1. 0.00 0 0 0.0% 1.
2000 Support Services
2100 Students 2. 0.00 0 0 0.0% 2.
2200 Instructional Staff 3. 0.00 0 0 0.0% 3.
2300 General Administration 4. 0.00 0 0 0.0% 4.
2400 School Administration 5. 0.00 0 0 0.0% 5.
2500 Central Services 6. 0.00 0 0 0.0% 6.
2600 Operation & Maintenance of Plant 7. 0.00 0 0 0.0% 7.
2900 Other 8. 0.00 0 0 0.0% 8.
3000 Operation of Noninstructional Services 9. 0.00 0 0 0.0% 9.
Subtotal (lines 1-9) (to Budget, page 1, line 24) 10. 0.00 0.00 0 0 0 0 0 0 0 0.0% 10.
520 Special K-3 Program Override
1000 Classroom Instruction 11. 0.00 0 0 0.0% 11.
2000 Support Services
2100 Students 12. 0.00 0 0 0.0% 12.
2200 Instructional Staff 13. 0.00 0 0 0.0% 13.
2300 General Administration 14. 0.00 0 0 0.0% 14.
2400 School Administration 15. 0.00 0 0 0.0% 15.
2500 Central Services 16. 0.00 0 0 0.0% 16.
2600 Operation & Maintenance of Plant 17. 0.00 0 0 0.0% 17.
2900 Other 18. 0.00 0 0 0.0% 18.
3000 Operation of Noninstructional Services 19. 0.00 0 0 0.0% 19.
Subtotal (lines 11-19) (to Budget, page 1, line 27) 20. 0.00 0.00 0 0 0 0 0 0 0 0.0% 20.
540 Joint Career and Technical Education & Vocational Education Center
1000 Classroom Instruction 21. 0.00 0 0 0.0% 21.
2000 Support Services
2100 Students 22. 0.00 0 0 0.0% 22.
2200 Instructional Staff 23. 0.00 0 0 0.0% 23.
2300 General Administration 24. 0.00 0 0 0.0% 24.
2400 School Administration 25. 0.00 0 0 0.0% 25.
2500 Central Services 26. 0.00 0 0 0.0% 26.
2600 Operation & Maintenance of Plant 27. 0.00 0 0 0.0% 27.
2900 Other 28. 0.00 0 0 0.0% 28.
3000 Operation of Noninstructional Services 29. 0.00 0 0 0.0% 29.
Subtotal (lines 21-29) (to Budget, page 1, line 29) 30. 0.00 0.00 0 0 0 0 0 0 0 0.0% 30.
Rev. 5/11-FY 2012 Page 1 of 3
13. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
Library Books, Totals
Unrestricted Capital Outlay Fund Supplement Textbooks, & Redemption of All Other Current Budget %
Rentals Instructional Aids Property Principal Interest Object Codes FY FY Increase/
Expenditures 6440 6641-6643 6700 6830 6840, 6850 (excluding 6900) 2011 2012 Decrease
300 Special Education Disability ESEA, Title VIII
1000 Classroom Instruction 31. 0 0 0.0% 31.
2000 Support Services 32. 0 0 0.0% 32.
3000 Operation of Noninstructional Services 33. 0 0 0.0% 33.
4000 Facilities Acquisition & Construction 34. 0 0 0.0% 34.
5000 Debt Service 35. 0 0 0.0% 35.
Subtotal (lines 31-35) 36. 0 0 0 0 0 0 0 0 0.0% 36.
520 Special K-3 Program Override
1000 Classroom Instruction 37. 0 0 0.0% 37.
2000 Support Services 38. 0 0 0.0% 38.
3000 Operation of Noninstructional Services 39. 0 0 0.0% 39.
4000 Facilities Acquisition & Construction 40. 0 0 0.0% 40.
5000 Debt Service 41. 0 0 0.0% 41.
Subtotal (lines 37-41) 42. 0 0 0 0 0 0 0 0 0.0% 42.
540 Joint Career and Technical Education & Vocational Education Center
1000 Classroom Instruction 43. 0 0 0.0% 43.
2000 Support Services 44. 0 0 0.0% 44.
3000 Operation of Noninstructional Services 45. 0 0 0.0% 45.
4000 Facilities Acquisition & Construction 46. 0 0 0.0% 46.
5000 Debt Service 47. 0 0 0.0% 47.
Subtotal (lines 43-47) 48. 0 0 0 0 0 0 0 0 0.0% 48.
Total (lines 36, 42, & 48)
(Include in Fund 610 Budget, page 4, lines 2-9) 49. 0 0 0 0 0 0 0 0 0.0% 49.
Rev. 5/11-FY 2012 Page 2 of 3
14. DISTRICT NAME Tempe Elementary School District COUNTY Maricopa CTD NUMBER 070403000 VERSION Adopted
No. of Employee Purchased Debt Service Totals
English Language Learners Supplement Personnel Salaries Benefits Services Supplies Property and Miscellaneous Current Budget %
Current Budget 6300, 6400, FY FY Increase/
Expenditures FY FY 6100 6200 6500 6600 6700 6800 2011 2012 Decrease
Structured English Immersion Fund 071
1000 Classroom Instruction 1. 0.00 0 0 0.0% 1.
2000 Support Services
2100 Students 2. 0.00 0 0 0.0% 2.
2200 Instructional Staff 3. 0.00 0 0 0.0% 3.
2300 General Administration 4. 0.00 0 0 0.0% 4.
2400 School Administration 5. 0.00 0 0 0.0% 5.
2500 Central Services 6. 0.00 0 0 0.0% 6.
2600 Operation & Maintenance of Plant 7. 0.00 0 0 0.0% 7.
2700 Student Transportation 8. 0.00 0 0 0.0% 8.
2900 Other 9. 0.00 0 0 0.0% 9.
Total (lines 1-9) (to Budget, page 6, Other Funds, line 2) 10. 0.00 0.00 0 0 0 0 0 0 0 0.0% 10.
Compensatory Instruction Fund 072
1000 Classroom Instruction 11. 0.00 0 0 0.0% 11.
2000 Support Services
2100 Students 12. 0.00 0 0 0.0% 12.
2200 Instructional Staff 13. 0.00 0 0 0.0% 13.
2300 General Administration 14. 0.00 0 0 0.0% 14.
2400 School Administration 15. 0.00 0 0 0.0% 15.
2500 Central Services 16. 0.00 0 0 0.0% 16.
2600 Operation & Maintenance of Plant 17. 0.00 0 0 0.0% 17.
2700 Student Transportation 18. 0.00 0 0 0.0% 18.
2900 Other 19. 0.00 0 0 0.0% 19.
Total (lines 11-19) (to Budget, page 6, Other Funds, line 3) 20. 0.00 0.00 0 0 0 0 0 0 0 0.0% 20.
Rev. 5/11-FY 2012 Page 3 of 3