Center Cass School District 66 as Fiscal Agent for SASED
     699 Plainfield Road
      Downers Grove, IL
Budget for year ending June 30, 2012
      Operations & Bond &    IMRF & Site & Working   Fire Prevention
Description Acct Educational Maintenance Interest Transportation Social Security Construction Cash Rent & Safety
     Receipts and Revenues 
Local Sources 1000  $  29,118,721  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Flow-through from other LEA 2000  $    9,581,527  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
State Sources 3000  $    3,433,639  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
"On behalf of" Payments 3998  $    2,886,866  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Federal Sources 4000  $    8,804,154  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Transfers from Other Funds 0  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Sale of Bonds 7200  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Sale of Fixed Assets 7300  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Technology Loan Program 7500  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Other Sources 0  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
    Total Receipts/Revenues    $  53,824,907  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
     Disbursements and Expenditures  
Instruction 1000  $  21,450,355  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Support Services 2000  $  19,086,553  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Community Services 3000  $        99,000  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Nonprogrammed Charges 4000  $  10,302,133  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
"On behalf of" Payments 4180  $    2,886,866  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Debt Services 5000  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Provisions for Contingencies 6000  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Transfers to Other Funds 8100  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
Other Uses 8190  $               -    $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -  
     Total Disbursement/Expenditure    $  53,824,907  $            -    $             -    $              -    $               -    $             -    $             -    $             -    $               -