FINANCIAL STATEMENTS OCTOBER 2007

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EXHIBIT T-1A SHAKER HEIGHTS CITY SCHOOL DISTRICT OFFICE OF THE TREASURER 15600 Parkland Drive Shaker Heights, Ohio 44120 (216) 295-4317 Bryan C. Christman Treasurer FINANCIAL STATEMENTS OCTOBER 2007

INDEX SECTION # SECTION NAME 1. FINANCIAL AND MISCELLANEOUS BRIEFS 2. CHARTS 3. CONSOLIDATED INVESTMENT PORTFOLIO 4. FINANCIAL SUMMARY FOR GENERAL FUND 5. FINANCIAL REPORT BY BANK 6. FINANCIAL REPORT BY FUND 7. REVENUE ACCOUNT SUMMARY 8. BUDGET ACCOUNT SUMMARY 9. SUMMARY CHECK REGISTER ALL CHECKS 10. BOND ISSUE EXPENDITURE SUMMARY

1. FINANCIAL AND MISCELLANEOUS BRIEFS

SHAKER HEIGHTS BOARD OF EDUCATION SHAKER HEIGHTS, OHIO November 16, 2007 TO: FROM: SUBJECT: Members, Shaker Heights Board of Education Bryan C. Christman, Treasurer Financial and Miscellaneous Briefs I. GENERAL FUND (As of October 31, 2007) A. REVENUE 1. Real Estate Taxes: $1,455,200 or 6.2% more than taxes received through October 2006. 42.5% of estimated real estate tax collections have been received to date. Last year at this time, we had received 43.0% of the estimated taxes. The variance is attributable to the new 9.9 mill levy that became effective January 1, 2007. 2. Personal Property Taxes: $16,495 or 1.6% less than the amount received at this time last year. 160.8% of the estimated tangible tax has been received to date. Last year at this time, we had received 81.7% of the estimated taxes. Although this is the second year of the phase-out of this tax in accordance with House Bill No. 66, such reduction is being offset by another provision of H. B. No. 66, which is actually increasing our personal property tax collections. The implementation of the House Bill No. 66 provision converting that portion of the public utility telecommunications property that was formerly treated as public utility property (and accordingly included in with real estate tax collections) to being classified as general business property (part of the tangible personal property) began in calendar 2007. Consequently, our personal property tax collections increased this year due to this switchover. The real estate tax collections for calendar 2007 are reduced due to the original phased-in reduction in the assessment percentage of the legacy telecommunications property under the provisions of House Bill No. 95, and beginning in calendar 2008, there will be no more real estate tax collections for telecommunications property. The phase-out of the tangible personal property tax for telecommunications property extends an additional year beyond calendar 2008 (the last year for regular tangible personal property) in accordance with the provisions of H.B. No. 66.

Financial & Miscellaneous Briefs November16, 2007 Page 2 of 5 The tangible personal property tax replacement payments from the State theoretically incorporate the loss of this converted public utility tax to tangible personal property. 3. Investment Earnings: $552,715 received this year, which is $133,450 or 31.8% more than received at this time last year. 61.4% of estimated interest income has been received to date. Last year at this time, we had received 61.1% of the estimated interest. Cash-basis interest income varies month-to-month and year-to-year due to the varying maturity dates of the investment portfolio. Consequently, the monthly variances may swing from positive to negative throughout the year. The Federal Reserve last raised targeted short-term interest rates a quarter point to 5.25% on June 29, 2006, and then left them unchanged at each of their nine meetings since then, including on August 7 th. In an attempt to promote the restoration of orderly conditions in the financial markets, the Federal Reserve approved on August 17 th a temporary 50-basis point reduction (from 6.25% to 5.75%) in the discount rate, which is the rate banks pay to borrow from the Federal Reserve. This was intended as an alternate move to lowering the targeted short-term interest rates (referred to as the fed funds rate), which is the rate that banks pay to borrow from each other. Given the continuing uncertainty in the financial markets specifically concerning the mortgage industry, the Fed lowered the Fed funds rate by 50 basis points from 5.25% to 4.75%, at their meeting on September 18 th. They also lowered the discount rate from 5.75% to 5.25%. With the continuing softness in the economy caused by the sub prime mortgage collapse, the Fed again lowered the Fed funds rate by 25 basis points to 4.50% on October 31 st. We have benefited from the increasing short-term interest rates over the last several fiscal years, however, the yield curve which was relatively flat for an extended period of time and actually became inverted (short-term rates higher than long-term rates), thereby reducing the attractiveness of lengthening maturities in the portfolio. There had been some steepening of the curve, although it had remained inverted. With these latest rate adjustments, the short-end of the yield curve has dropped thereby eliminating most of the inversion. We continue to monitor and adjust the maturity length target for the District s portfolio in accordance with our ongoing discussions and consultation with our investment advisors. 4. Other Local: Last years YTD receipts included the second semester fiscal 2005-06 SF-14 pupil payment from the State amounting to nearly $646,000, while this years YTD revenue includes the handicapped SF-14 payment for the first and second semester fiscal 2006-2007. The second semester fiscal 2006-07 SF-14 payments are expected to be received in November. Such payments vary with

Financial & Miscellaneous Briefs November16, 2007 Page 3 of 5 both the number of out-of-district students that are court-placed in our District and the number of days those pupils are enrolled in our District during the school year. 5. State Sources: Foundation program receipts are $67,661 or 1.4% less than those of one year ago. 33.5% of estimated Foundation receipts have been received to date compared to 34.1% for last year. It should be noted, however, that the State Foundation payments are merely estimates until the ADM counts are finalized and adjusted starting in January, and as in last fiscal year, with further adjustments for a second ADM count in February. 6. Other State Sources: $326,870 or 43.7% more than the amount received in the prior year due primarily to a $22,885 increase in 027 and 028 property tax appraisal adjustment payments, and a $306,948 increase in the House Bill No. 66 scheduled tangible personal property tax loss reimbursement payment over the prior year. Also included in YTD receipts is a $2,083 refund of the State fuel tax paid on fuel purchases during the second half of calendar 2006. 42.9% of estimated Other State receipts have been received to date compared to 46.0% for last year. Other State Sources for the current and prior year YTD include a semi-annual public utility property tax reimbursement of $387,952 and $388,031 respectively, which as you may recall, is to help offset the reduction in real estate taxes collected due to the lower assessed value applied to the electric and natural gas industry properties. 7. Federal Sources: The $26,828 received in this YTD represents the fiscal year 1999-2000 final settlement for the CAFS (Medicaid reimbursement) program. We are still awaiting the implementation of the new Medicaid reimbursement program expected some time later this fall. The Auditor of State recently completed their field audit of our CAFS fiscal year 2002-03 cost report. The District received $364,000 in reimbursement payments in Fiscal 2003. Although we haven t received the final report, it is our understanding that the audit adjustments total less than $1,000. 8. Total Revenue: $1,680,839 or 5.4% more than the amount received during the prior fiscal YTD. 38.5% of estimated income has been received to date compared to 39.0% last year. The variance is primarily due to the higher real estate tax collections.

Financial & Miscellaneous Briefs November16, 2007 Page 4 of 5 B. EXPENDITURES 1. Salaries & Wages: Payroll expenses as of October 31 st represent a 4.2% increase from last year s payrolls for the same number of year-to-date pay dates. Payrolls averaged $1,984,427 for the year-to-date vs. $1,904,206 for the prior year. Excluding sick leave severance payments, however, the increase is only 2.3% over the prior year, which reflects the cumulative effect of the contractual and step increases that went into effect over the last 12 months. YTD total salaries and wages (including severance payments) are 4.4% above the prior year due to the timing of other fund chargebacks. Classified overtime paid in October 2007 was $21,377 more than in October 2006, while the cumulative YTD classified overtime amounted to $112,380 over prior YTD. Sick leave severance payments this YTD totaled $459,341, representing a $297,969, or 184.6% increase over the prior year YTD total of $161,372. 2. Total Expenditures: On a cash basis, total expenses were $1,942,977 or 7.8% more than the YTD expenditure level for the prior fiscal year. This variance is due to a combination of increased costs and timing differences in payments. The encumbrances ($7,193,794 at October 31, 2007), which include $3,439,793 for out-of-district tuition, are $2,498,028 higher than the prior year attributable to: a $1,903,231 increase in tuition encumbrances, a $192,281 increase in materials and supplies, a $416,548 decrease in utilities, a $314,742 increase in repairs and maintenance, a $317,918 increase in other professional and technical services, a $96,373 increase in outside pupil transportation, and a $29,092 increase in all other primary object categories. These differences are attributable to both timing and increases in costs. II. CONCLUSIONS 1. Cash balance reflects an increase of $4.7 million from that of one year ago. This is due to the $5.0 million higher beginning of year balance, decreased by the $0.3 million smaller excess of revenues over expenditures for the current YTD vs. the prior YTD. 2. The following cash deficits are due to a delay in the receipt of State or Federal fund cash requests from the State: Fund 452 - $1,716; Fund 463 - $1,451; Fund 516 - $192,870; Fund 551 - $6,669; Fund 572 - $41,283; Fund 573 - $6,018; Fund 590 - $11,340; and Fund 599 - $25,245.

Financial & Miscellaneous Briefs November16, 2007 Page 5 of 5 III. OTHER ITEMS 1. Bus Bond Anticipation Notes: We received the proceeds from the issuance of the bus notes in the principal amount of $500,000 from the bid winner, Sweney Cartwright & Co., on October 18 th. The winning bid was a net interest rate of 3.66% for a one-year maturity (due 10/16/08). For comparison, last year s winning bid, by A.G. Edwards, was for an effective net interest rate 3.60%. Such issuance as approved in September by the Board, reflects a renewal of last years note amount less a $70,000 principal payment. In total we received six bids with effective net interest rates ranging from 3.66% to 4.35%.

2. CHARTS

SHAKER HEIGHTS BOARD OF EDUCATION GENERAL FUND CASH BALANCE $35,000,000 2005-2006 2006-2007 2007-2008 $30,000,000 $25,000,000 $20,000,000 $15,000,000 $10,000,000 $5,000,000 $0 JUN JUL AUG SEP OCT NOV DEC JAN FEB MAR APR MAY JUN October 31, 2007

SHAKER HEIGHTS BOARD OF EDUCATION GENERAL FUND 2005-2006 2006-2007 2007-2008 $90,000,000 $80,000,000 $70,000,000 $60,000,000 $50,000,000 $32,993,696 $40,000,000 $26,864,574 $30,000,000 $20,000,000 $10,000,000 $0 RECEIPTS EXPENDITURES October 31, 2007

SHAKER HEIGHTS BOARD OF EDUCATION GENERAL FUND RECEIPTS 2005-2006 2006-2007 2007-2008 $22,000,000 $21,000,000 $20,000,000 $19,000,000 $18,000,000 $17,000,000 $16,000,000 $15,000,000 $14,000,000 $13,000,000 $12,000,000 $11,000,000 $10,000,000 $9,000,000 $8,000,000 $7,000,000 $6,000,000 $5,000,000 $4,000,000 $3,000,000 $2,000,000 $1,000,000 $0 JUL AUG SEP OCT NOV DEC JAN FEB MAR APR MAY JUN October 31, 2007

SHAKER HEIGHTS BOARD OF EDUCATION GENERAL FUND EXPENDITURES 2005-2006 2006-2007 2007-2008 $7,000,000 $6,000,000 $5,000,000 $4,000,000 $3,000,000 $2,000,000 $1,000,000 $0 JUL AUG SEP OCT NOV DEC JAN FEB MAR APR MAY JUN October 31, 2007

3. CONSOLIDATED INVESTMENT PORTFOLIO

This report prepared for: BRYAN CHRISTMAN Prepared by: Productive Portfolios, Inc. SHAKER HEIGHTS CITY SCHOOL DISTRICT Consolidated Investment Portfolio As of: 10/31/2007 Settle Date Page 1 of 2 CASH ACCOUNTS 1 ORIGINAL PAR TYPE COUPON MATURITY DATE SETTLE DATE PRINCIPAL 2 PURCHASE YLD NOTE/CALL FEATURE MATURITY 4,327,687 STAR OHIO 4.820% 11/1/07 10/31/07 4,327,686.62 4.820% GF 1 2,731,287 NOW 4.680% 11/1/07 10/31/07 2,731,287.26 4.680% CHARTER ONE 1 SECURITIES PAR TYPE COUPON MATURITY DATE SETTLE DATE ORIGINAL PRINCIPAL 2 PURCHASE YLD NOTE/CALL FEATURE SAFEKEEPING CUSIP DAYS TO MATURITY 1,000,000 CD 5.330% 11/01/07 02/02/07 1,000,000.00 5.404% Chrtr One 1 1,000,000 CD 4.750% 11/16/07 09/19/07 1,000,000.00 4.816% Chrtr One 16 1,000,000 FNMA 5.000% 11/23/07 11/23/05 999,400.00 5.032% not called 8/23/07 JPM 3136F7MT1 23 1,500,000 CD 5.330% 11/30/07 02/02/07 1,500,000.00 5.404% Chrtr One 30 1,000,000 FNMA DN 0.000% 12/05/07 06/08/07 974,500.00 5.306% Citigroup 313588QC2 35 1,500,000 CD 5.330% 12/14/07 02/02/07 1,500,000.00 5.404% Chrtr One 44 2,000,000 CP 0.000% 01/04/08 07/24/07 1,952,895.56 5.368% Citigroup Fdg Inc. Citigroup 17307RA46 65 2,000,000 FHLB 5.000% 01/11/08 01/23/07 1,995,540.00 5.237% JPM 3133XJK72 72 1,000,000 FNMA 5.000% 02/01/08 02/01/06 998,530.00 5.078% called 11/1/07 JPM 3136F7RJ8 93 1,000,000 CD 5.330% 02/01/08 02/02/07 1,000,000.00 5.404% Chrtr One 93 1,500,000 CD 5.160% 02/12/08 08/30/07 1,500,000.00 5.232% Chrtr One 104 1,500,000 CD 5.150% 02/29/08 08/30/07 1,500,000.00 5.222% Chrtr One 121 1,000,000 FHLB 4.300% 03/26/08 04/13/07 991,770.00 5.194% Citigroup 3133XDCF6 147 1,000,000 FHLMC DN 0.000% 04/18/08 07/26/07 962,990.83 5.211% MST 313396VT7 170 1,000,000 FHLMC 3.150% 06/04/08 07/26/07 982,690.00 5.240% 11/05/07 continuous HNB 3128X1HJ9 217 1,000,000 FNMA 2.750% 06/30/08 07/26/07 977,800.00 5.230% HNB 3136F3C87 243 1,000,000 FHLMC 5.100% 12/26/08 12/27/06 1,000,000.00 5.100% 12/26/07 1x Citigroup 3128X5TD0 422 2,000,000 FHLMC 5.300% 02/27/09 08/15/07 1,998,740.00 5.342% 2/27/08 1x JPM 3128X5K56 485 1,000,000 FHLB 5.375% 03/19/09 03/19/07 1,000,000.00 5.375% 12/19/07 qtrly HNB 3133XKA47 505 1,000,000 FNMA 5.250% 06/04/09 06/08/07 997,380.00 5.390% 6/4/08 1x HNB 313396RU9 582 2,000,000 FNMA 5.375% 07/02/09 07/24/07 1,999,400.00 5.389% 7/2/08 1x Citigroup 3136F8PP4 610 1,000,000 FNMA 5.200% 03/26/10 08/15/07 997,170.00 5.342% 3/26/08 1x JPM 31359M6B4 877 1,000,000 FFCB 5.200% 05/07/10 08/15/07 997,400.00 5.300% 5/7/08 continuous HNB 31331XYC0 919 970,000 FHLB 5.400% 02/22/11 08/22/07 969,854.50 5.405% 8/22/08 1x HNB 3133XLYC1 1,210 ORIGINAL TOTALS PAR PRINCIPAL WTD MATURITY WTD YIELD CASH ACCOUNTS 1 $ 7,058,974 $ 7,058,973.88 1 4.77% SECURITIES 29,970,000 $ 29,796,060.89 281 5.28% TOTAL $ 37,028,974 $ 36,855,034.77 228 5.18% DAYS TO 1 Balances for Cash accounts are based on information provided by the client and may not reflect true balances as of the date of this report. 2 Does not include accrued interest, if any, paid at time of purchase. Printed: 11/1/2007 12:03 PM

This report prepared for: BRYAN CHRISTMAN Prepared by: Productive Portfolios, Inc. SHAKER HEIGHTS CITY SCHOOL DISTRICT Consolidated Investment Portfolio As of: 10/31/2007 Settle Date Page 2 of 2 Maturity & Yield Distribution (Securities Only) Securities Distribution $9,000,000 7.00% Par $8,000,000 $7,000,000 $6,000,000 $5,000,000 $4,000,000 $3,000,000 $2,000,000 $1,000,000 6.00% 5.00% 4.00% 3.00% 2.00% 1.00% Yield Par (Left) Yield (Right) Par $20,000,000 $15,000,000 $10,000,000 $5,000,000 $0 <1 mo 1-3 4-6 7-12 13-18 19-24 25-36 >3 yrs Months to Maturity 0.00% $0 Non-callable Callable Par $18,000,000 $11,970,000 Diversification by Asset Class Type2 Type Par % Cash Equivalents $7,058,974 19.1% Cash Equivalents $7,058,974 19.1% Maturities by Month (Securities Only) US Treasury $0 0.0% US Treasury $0 0.0% Agencies $18,970,000 51.2% FFCB $1,000,000 2.7% FHLB $4,970,000 13.4% FHLMC $5,000,000 13.5% FNMA $8,000,000 21.6% GNMA $0 0.0% Certificates of Deposit $9,000,000 24.3% CD $9,000,000 24.3% Other $2,000,000 5.4% BA $0 0.0% CP $2,000,000 5.4% Other $0 0.0% Grand Total $37,028,974 100.0% Par $6,000,000 $5,000,000 $4,000,000 $3,000,000 $2,000,000 $1,000,000 $0 Nov-07 Jan-08 Mar-08 May-08 Jul-08 Sep-08 Nov-08 Jan-09 Mar-09 May-09 Jul-09 Sep-09 Nov-09 Jan-10 Mar-10 May-10 Jul-10 Sep-10 Nov-10 Jan-11 Mar-11 May-11 Jul-11 Sep-11 Nov-11 1 Balances for Cash accounts are based on information provided by the client and may not reflect true balances as of the date of this report. 2 Does not include accrued interest, if any, paid at time of purchase. Printed: 11/1/2007 12:03 PM

4. FINANCIAL SUMMARY FOR GENERAL FUND

SHAKER HEIGHTS CITY SCHOOL DISTRICT General Fund-Financial Statement Fiscal Year Ending June 30, 2008 FS04Oct07Web/SummaryF08 2/19/2008 Month of October Year-To-Date October Year-To-Date October Actual F08 Actual F07 $ Inc(Dec) %Inc(Dec) Actual F08 Actual F07 $ Inc(Dec) %Inc(Dec) YTDBud.F08 $ Inc(Dec) %Inc(Dec) REVENUE: Real Estate Taxes $0 $0 $0 #DIV/0! $24,948,982 $23,493,782 $1,455,200 6.2% $24,950,000 ($1,018) 0.0% Personal Property Taxes 887,047 875,817 11,230 1.3% 1,001,779 1,018,274 (16,495) -1.6% 330,000 671,779 203.6% Investment Earnings 157,911 79,182 78,729 99.4% 552,715 419,265 133,450 31.8% 454,000 98,715 21.7% Other Local 276,562 15,403 261,159 1695.5% 527,244 704,597 (177,353) -25.2% 775,000 (247,756) -32.0% State Foundation 1,220,712 1,226,384 (5,672) -0.5% 4,861,708 4,929,369 (67,661) -1.4% 4,835,000 26,708 0.6% Homestead Exemption & RollBack 0 0 0 #DIV/0! 0 0 0 #DIV/0! 0 0 #DIV/0! Other State 326,353 174,240 152,113 87.3% 1,074,440 747,570 326,870 43.7% 1,147,384 (72,944) -6.4% Federal-primarily Medicaid 0 0 0 #DIV/0! 26,828 0 26,828 #DIV/0! 30,000 (3,172) -10.6% Transfers & Advances In 0 0 0 #DIV/0! 0 0 0 #DIV/0! 0 0 #DIV/0! TOTAL REVENUE 2,868,585 2,371,026 497,559 21.0% 32,993,696 31,312,857 1,680,839 5.4% 32,521,384 472,312 1.5% 0 0 0 0 0 0 0 0 EXPENDITURES: Salaries & Wages 3,958,446 3,831,263 127,183 3.3% 15,876,927 15,211,235 665,692 4.4% 15,905,392 (28,465) -0.2% Fringe Benefits: Health Insurance 644,668 610,421 34,247 5.6% 2,621,257 2,570,123 51,134 2.0% 2,693,000 (71,743) -2.7% Retirement Expense 619,137 603,630 15,507 2.6% 2,402,139 2,365,545 36,594 1.5% 2,516,000 (113,861) -4.5% All Other Fringes 100,236 117,241 (17,005) -14.5% 384,921 380,381 4,540 1.2% 405,000 (20,079) -5.0% Total Fringe Benefits 1,364,041 1,331,292 32,749 2.5% 5,408,317 5,316,049 92,268 1.7% 5,614,000 (205,683) -3.7% Purchased Services: 0 0 0 0 Utilities 164,888 120,421 44,467 36.9% 384,635 474,179 (89,544) -18.9% 431,000 (46,365) -10.8% Out-of-District Tuition 145,199 78,177 67,022 85.7% 1,254,161 1,511,664 (257,503) -17.0% 1,321,000 (66,839) -5.1% Pupil Transportation 140,871 160,657 (19,786) -12.3% 272,631 262,549 10,082 3.8% 286,000 (13,369) -4.7% All Other Purchased Services 467,322 264,639 202,683 76.6% 2,051,280 1,092,806 958,474 87.7% 1,827,000 224,280 12.3% Total Purchased Services 918,280 623,894 294,386 47.2% 3,962,707 3,341,198 621,509 18.6% 3,865,000 97,707 2.5% Materials & Supplies 272,714 200,316 72,398 36.1% 1,195,198 801,921 393,277 49.0% 1,085,000 110,198 10.2% Capital Outlay 84,915 10,811 74,104 685.4% 200,584 106,944 93,640 87.6% 163,000 37,584 23.1% Other-primarily Cty.Aud.&Treas.Fees 16,167 16,105 62 0.4% 160,841 84,250 76,591 90.9% 178,000 (17,159) -9.6% Transfers & Advances Out 0 0 0 #DIV/0! 60,000 60,000 0 0.0% 60,000 0 0.0% TOTAL EXPENDITURES 6,614,563 6,013,681 600,882 10.0% 26,864,574 24,921,597 1,942,977 7.8% 26,870,392 (5,818) 0.0% 0 0 0 0 0 0 0 0 Net Revenues/(Expenditures) (3,745,978) (3,642,655) (103,323) 2.8% 6,129,122 6,391,260 (262,138) -4.1% 5,650,992 478,130 8.5% Cash, Beginning of Period 26,868,912 22,046,727 4,822,185 21.9% 16,993,812 12,012,812 4,981,000 41.5% 16,993,812 0 0.0% Cash, End of Month 23,122,934 18,404,072 4,718,862 25.6% 23,122,934 18,404,072 4,718,862 25.6% 22,644,804 478,130 2.1% 0 0 0 0 0 0 0 Less O/S Encumbrances 7,193,794 4,695,766 2,498,028 53.2% 7,193,794 4,695,766 2,498,028 53.2% 4,700,000 2,493,794 53.1% Less Budget Reserve 353,070 353,070 0 0.0% 353,070 353,070 0 0.0% 353,070 0 0.0% Fund Balance, End of Month $15,576,070 $13,355,236 $2,220,834 16.6% $15,576,070 $13,355,236 $2,220,834 16.6% $17,591,734 ($2,015,664) -11.5% 0 0 0 0 0 0 (0) 0.0% 0 0 0.0% Total General Obligation Debt Outstanding $27,530,569 $21,234,987 0

5. FINANCIAL REPORT BY BANK

SHAKER HEIGHTS CITY SCHOOL DISTRICT FINANCIAL REPORT BY BANK OCTOBER 2007 BEGINNING OF CURRENT YEAR BALANCE MTD RECEIPTS YTD RECEIPTS MTD EXPENDITURES YTD EXPENDITURES FUND BALANCE NATIONAL CITY BANK $8,929.87 $0.00 $250.00 $3,904.87 $5,025.00 CHARTER ONE ($515,690.04) 9,258,785.73 35,373,345.28 9,162,534.51 35,891,180.71 (1,033,525.47) INVESTMENTS & OTHER $32,518,711.72 (4,777,956.99) 4,364,167.49 0.00 0.00 36,882,879.21 DEPOSITS GRAND TOTAL $32,011,951.55 $4,480,828.74 $39,737,512.77 $9,162,784.51 $35,895,085.58 $35,854,378.74 0.00 0.00 0.00 0.00 0.00 0.00 BankPosition 10-31-07 Rev11-30-07 2/19/2008

6. FINANCIAL REPORT BY FUND

Date: 11/07/2007 Shaker Heights City Schools Page: 1 Time: 5:38 pm Financial Report by Fund (FINSUM) FY 08 - OCT 2007 FYTD MTD FYTD Current Current Unencumbered Begin Balance MTD Receipts Receipts Expenditures Expenditures Fund Balance Encumbrances Fund Balance TOTAL FOR Fund 001 - GENERAL: 16,993,812.30 2,868,584.77 32,993,695.46 6,614,562.91 26,864,574.12 23,122,933.64 7,193,793.96 15,929,139.68 TOTAL FOR Fund 002 - BOND RETIREMENT: 2,025,346.52 19,537.07 1,395,081.68 452.33 1,461.48-3,421,889.68 10,000.00 3,411,889.68 TOTAL FOR Fund 004 - BUILDING: 9,763,845.69 579,191.16 707,897.42 1,355,252.91 4,240,341.13 6,231,401.98 3,881,132.05 2,350,269.93 TOTAL FOR Fund 006 - FOOD SERVICE: 40,056.61 97,339.82 332,285.65 161,045.28 339,129.19 33,213.07 563,548.43 530,335.36- TOTAL FOR Fund 007 - SPECIAL TRUST: 89,327.25 57,950.00 108,000.00 5,558.07 45,731.16 151,596.09 28,830.00 122,766.09 TOTAL FOR Fund 009 - UNIFORM SCHOOL SUPPLIES: 7,376.27 3,174.45 49,354.70 4,647.32 37,903.03 18,827.94 569.12 18,258.82 TOTAL FOR Fund 011 - ROTARY-SPECIAL SERVICES: 66,406.61 6,164.00 22,168.18 27.00 3,131.74 85,443.05 7,260.00 78,183.05 TOTAL FOR Fund 014 - ROTARY-INTERNAL SERVICES: 98,816.55 7,683.25 10,544.75 0.00 21,412.83 87,948.47 23,501.00 64,447.47 TOTAL FOR Fund 018 - PUBLIC SCHOOL SUPPORT: 177,435.87 14,572.56 41,045.07 8,177.25 57,612.42 160,868.52 27,367.39 133,501.13 TOTAL FOR Fund 020 - SPECIAL ENTERPRISE FUND: 6,723.37 1,180.88 2,469.81 1,698.25 1,698.25 7,494.93 6,600.00 894.93 TOTAL FOR Fund 022 - DISTRICT AGENCY: 448,747.47 2,999.07 3,224.07 70,859.61-49,658.41-501,629.95 0.01 501,629.94 TOTAL FOR Fund 024 - EMPLOYEE BENEFITS SELF INS.: 896,300.00 753,658.77 3,063,212.15 714,603.83 2,820,227.82 1,139,284.33 0.00 1,139,284.33 TOTAL FOR Fund 027 - WORKMANS COMPENSATION-SELF IN 665,000.00 0.00 0.00 0.00 0.00 665,000.00 0.00 665,000.00 TOTAL FOR Fund 200 - STUDENT MANAGED ACTIVITY: 144,932.85 28,839.40 71,898.71 19,175.00 57,641.06 159,190.50 29,750.01 129,440.49 TOTAL FOR Fund 300 - DISTRICT MANAGED ACTIVITY: 36,618.29 10,289.00 97,100.08 28,599.13 57,759.30 75,959.07 42,079.60 33,879.47 TOTAL FOR Fund 401 - AUXILIARY SERVICES: 498,175.40 1,063.52 310,362.36 95,011.05 579,034.23 229,503.53 117,888.47 111,615.06

Date: 11/07/2007 Shaker Heights City Schools Page: 2 Time: 5:38 pm Financial Report by Fund (FINSUM) FY 08 - OCT 2007 FYTD MTD FYTD Current Current Unencumbered Begin Balance MTD Receipts Receipts Expenditures Expenditures Fund Balance Encumbrances Fund Balance TOTAL FOR Fund 432 - MANAGEMENT INFORMATION SYSTEM 0.00 0.00 4,036.08 905.78 1,811.56 2,224.52 1,811.56 412.96 TOTAL FOR Fund 440 - ENTRY YEAR PROGRAMS: 1,279.00 0.00 0.00 0.00 0.00 1,279.00 1,029.00 250.00 TOTAL FOR Fund 452 - SCHOOLNET PROFESS. DEVELOPMEN 0.00 0.00 0.00 0.00 1,716.20 1,716.20-100.12 1,816.32- TOTAL FOR Fund 463 - ALTERNATIVE SCHOOLS: 0.00 0.00 5,803.90 7,255.00 7,255.00 1,451.10-50,354.00 51,805.10- TOTAL FOR Fund 494 - POVERTY AID: 0.00 9,486.02 37,944.08 9,486.02 37,944.08 0.00 0.00 0.00 TOTAL FOR Fund 499 - MISCELLANEOUS STATE GRANT FUN 4,224.37 19,115.00 43,490.00 2,754.74 4,132.11 43,582.26 0.00 43,582.26 TOTAL FOR Fund 516 - IDEA PART B GRANTS: 32,139.63 0.00 248,945.56 123,144.29 473,955.48 192,870.29-10,650.79 203,521.08- TOTAL FOR Fund 551 - LIMITED ENGLISH PROFICIENCY: 1,529.75-0.00 2,516.96 4,849.33 7,655.99 6,668.78-0.00 6,668.78- TOTAL FOR Fund 572 - TITLE I DISADVANTAGED CHILDRE 13,649.80 0.00 114,374.26 47,463.88 169,306.88 41,282.82-291.50 41,574.32- TOTAL FOR Fund 573 - TITLE V INNOVATIVE EDUC PGM: 2,839.69 0.00 0.00 7,605.85 8,858.06 6,018.37-0.00 6,018.37- TOTAL FOR Fund 584 - DRUG FREE SCHOOL GRANT FUND: 2,935.31 0.00 0.00 1,312.86 1,312.86 1,622.45 0.00 1,622.45 TOTAL FOR Fund 587 - IDEA PRESCHOOL-HANDICAPPED: 72.00-0.00 150.00 0.00 0.00 78.00 0.00 78.00 TOTAL FOR Fund 590 - IMPROVING TEACHER QUALITY: 5,713.84-0.00 56,911.84 6,646.51 62,538.16 11,340.16-4,198.60 15,538.76- TOTAL FOR Fund 599 - MISCELLANEOUS FED. GRANT FUND 3,278.29 0.00 15,000.00 13,409.53 43,522.81 25,244.52-41,833.00 67,077.52- GRAND TOTALS: 32,011,951.55 4,480,828.74 39,737,512.77 9,162,784.51 35,895,085.58 35,854,378.74 12,042,588.61 23,811,790.13

7. REVENUE ACCOUNT SUMMARY

Date: 11/07/07 Shaker Heights City Schools Page: 1 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FUND: 001 (GENERAL) FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1111 (GEN. PROP. TAX - REAL UNRESERV): 58,676,677.00 24,948,982.36 0.00 55,935,927.90 33,727,694.64 42.52 *****TOTAL FOR RCPT 1120 (TANG PERSONAL PROP TAX (GRS)): 623,105.00 1,001,779.81 887,047.09 1,924,457.97 378,674.81-160.77 *****TOTAL FOR RCPT 1190 (OTHER RECEIPTS (LOCAL TAXES)): 30,000.00 0.00 0.00 29,741.14 30,000.00 0.00 *****TOTAL FOR RCPT 1221 (TUITION/DST-REGULAR DAY SCHOOL): 1,199,000.00 0.00 0.00 333,279.33 1,199,000.00 0.00 *****TOTAL FOR RCPT 1222 (TUITION/DST-SUMMER SCHOOL): 0.00 1,800.00 0.00 1,800.00 1,800.00-0.00 *****TOTAL FOR RCPT 1223 (TUITION/DST-SPECIAL EDUCATION): 38,000.00 454,020.44 259,607.50 491,137.78 416,020.44-0.00 *****TOTAL FOR RCPT 1231 (TUITION/OTH-REGULAR DAY SCHOOL): 12,000.00 140.00 0.00 5,882.34 11,860.00 1.17 *****TOTAL FOR RCPT 1232 (TUITION/OTH-SUMMER SCHOOL): 8,000.00 540.00 0.00 7,265.00 7,460.00 6.75 *****TOTAL FOR RCPT 1344 (TRANS/OTHER-EXTRACURRIC ACTIV.): 1,000.00 0.00 0.00 715.00 1,000.00 0.00

Date: 11/07/07 Shaker Heights City Schools Page: 2 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1390 (OTHER TRANSPORTATION FEES): 3,000.00 0.00 0.00 1,901.25 3,000.00 0.00 *****TOTAL FOR RCPT 1410 (INTEREST IN INVESTMENTS): 900,000.00 552,714.89 157,911.15 1,006,764.55 347,285.11 61.41 *****TOTAL FOR RCPT 1730 (SALE OF TEXTBOOKS): 3,100.00 4,805.61 34.94 5,054.06 1,705.61-155.02 *****TOTAL FOR RCPT 1810 (RENTALS): 48,000.00 14,373.16 3,545.83 34,973.19 33,626.84 29.94 *****TOTAL FOR RCPT 1820 (CONTRIB & DONATION - PRIVATE): 0.00 10.00 10.00 10.00 10.00-0.00 *****TOTAL FOR RCPT 1839 (SERVICES PROVIDED-OTHER ENTITY): 70,000.00 20,886.61 0.00 90,837.56 49,113.39 29.84 *****TOTAL FOR RCPT 1860 (FINES): 14,200.00 2,929.34 915.05 13,658.08 11,270.66 20.63 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 59,450.00 27,739.11 12,448.85 77,354.84 31,710.89 46.66 *****TOTAL FOR RCPT 3110 (SCHOOL FOUNDATION ALLOWANCE): 14,500,000.00 4,861,706.76 1,220,711.86 12,003,788.79 9,638,293.24 33.53 *****TOTAL FOR RCPT 3131 (10% AND 2.5% ROLLBACK): 6,700,000.00 0.00 0.00 3,386,294.54 6,700,000.00 0.00

Date: 11/07/07 Shaker Heights City Schools Page: 3 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 3132 (HOMESTEAD EXEMPTION): 200,000.00 0.00 0.00 91,813.70 200,000.00 0.00 *****TOTAL FOR RCPT 3134 (ELECTRIC DREG PROP TAX REPLACE): 776,061.00 387,952.47 0.00 775,983.03 388,108.53 49.99 *****TOTAL FOR RCPT 3135 (TANGIBLE PER. PROP. TAX LOSS): 813,260.00 655,428.08 327,714.04 764,472.48 157,831.92 80.59 *****TOTAL FOR RCPT 3190 (OTHER UNRESTRC GRANTS-IN-AID): 5,000.00 31,058.82 1,361.54-31,966.36 26,058.82-621.18 *****TOTAL FOR RCPT 3212 (BUS PURCHASE ALLOWANCE): 11,000.00 0.00 0.00 22,122.70 11,000.00 0.00 *****TOTAL FOR RCPT 3219 (OTHER REST GRANTS-IN-AID/STATE): 900,000.00 0.00 0.00 869,524.60 900,000.00 0.00 *****TOTAL FOR RCPT 4120 (UNRES GRANT FED FROM STATE): 30,000.00 26,828.00 0.00 26,828.00 3,172.00 89.43 *****TOTAL FOR FUND 001 (GENERAL): 85,620,853.00 32,993,695.46 2,868,584.77 77,933,554.19 52,627,157.54 38.53 FUND: 002 (BOND RETIREMENT) *****TOTAL FOR RCPT 1111 (GEN. PROP. TAX - REAL UNRESERV): 2,941,644.00 1,373,017.64 0.00 2,971,710.69 1,568,626.36 46.68

Date: 11/07/07 Shaker Heights City Schools Page: 4 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1120 (TANG PERSONAL PROP TAX (GRS)): 25,000.00 22,064.04 19,537.07 42,385.88 2,935.96 88.26 *****TOTAL FOR RCPT 1911 (PREM ON SALE OF BONDS & NOTES): 0.00 0.00 0.00 310,116.85 0.00 0.00 *****TOTAL FOR RCPT 1921 (SALE OF BONDS): 0.00 0.00 0.00 11,701,622.00 0.00 0.00 *****TOTAL FOR RCPT 3131 (10% AND 2.5% ROLLBACK): 360,000.00 0.00 0.00 186,549.42 360,000.00 0.00 *****TOTAL FOR RCPT 3132 (HOMESTEAD EXEMPTION): 12,000.00 0.00 0.00 5,052.78 12,000.00 0.00 *****TOTAL FOR FUND 002 (BOND RETIREMENT): 3,338,644.00 1,395,081.68 19,537.07 15,217,437.62 1,943,562.32 41.79 FUND: 004 (BUILDING) *****TOTAL FOR RCPT 1410 (INTEREST IN INVESTMENTS): 270,000.00 144,193.32 28,181.06 446,191.65 125,806.68 53.40 *****TOTAL FOR RCPT 1810 (RENTALS): 100,000.00 50,000.00 50,000.00 100,000.00 50,000.00 50.00 *****TOTAL FOR RCPT 1820 (CONTRIB & DONATION - PRIVATE): 1,000,000.00 2,694.00 0.00 10,428.87 997,306.00 0.27

Date: 11/07/07 Shaker Heights City Schools Page: 5 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 30,000.00 11,000.00 1,000.00 40,020.00 19,000.00 36.67 *****TOTAL FOR RCPT 1911 (PREM ON SALE OF BONDS & NOTES): 0.00 10.10 10.10 10.10 10.10-0.00 *****TOTAL FOR RCPT 1921 (SALE OF BONDS): 0.00 0.00 0.00 2,498,959.80 0.00 0.00 *****TOTAL FOR RCPT 1941 (SALE CURR YR TAX ANTIC NOTES): 500,000.00 500,000.00 500,000.00 500,000.00 0.00 100.00 *****TOTAL FOR FUND 004 (BUILDING): 1,900,000.00 707,897.42 579,191.16 3,595,610.42 1,192,102.58 37.26 FUND: 006 (FOOD SERVICE) *****TOTAL FOR RCPT 1410 (INTEREST IN INVESTMENTS): 5,000.00 1,193.39 275.08 4,164.21 3,806.61 23.87 *****TOTAL FOR RCPT 1512 (SALE OF TYPE A LUNCH TO STUD): 400,000.00 86,459.60 43,697.95 273,076.75 313,540.40 21.61 *****TOTAL FOR RCPT 1513 (SALES OF ALA CARTE TO STUD): 330,000.00 69,915.50 39,267.11 222,417.41 260,084.50 21.19 *****TOTAL FOR RCPT 1514 (SALES OF MILK TO STUDENTS): 35,000.00 7,814.80 3,852.00 23,481.85 27,185.20 22.33

Date: 11/07/07 Shaker Heights City Schools Page: 6 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1523 (SALES OF ALA CARTE TO ADULTS): 60,000.00 18,167.52 8,510.23 56,758.34 41,832.48 30.28 *****TOTAL FOR RCPT 1559 (FOOD SERV- OTHER SPECIAL FUNC.): 15,000.00 24,766.07 1,097.25-6,897.04 9,766.07-165.11 *****TOTAL FOR RCPT 1590 (FOOD SERVICES-OTHER RECEIPTS): 0.00 8,025.83 0.00 8,025.83 8,025.83-0.00 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 25,000.00 2,834.70 2,834.70 10,575.28 22,165.30 11.34 *****TOTAL FOR RCPT 3213 (SCHOOL LUNCH): 30,000.00 0.00 0.00 11,856.16 30,000.00 0.00 *****TOTAL FOR RCPT 4120 (UNRES GRANT FED FROM STATE): 400,000.00 113,108.24 0.00 309,817.19 286,891.76 28.28 *****TOTAL FOR FUND 006 (FOOD SERVICE): 1,300,000.00 332,285.65 97,339.82 927,070.06 967,714.35 25.56 FUND: 007 (SPECIAL TRUST) *****TOTAL FOR RCPT 1820 (CONTRIB & DONATION - PRIVATE): 10,000.00 0.00 0.00 12,000.00 10,000.00 0.00 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 10,000.00 0.00 0.00 4,000.00 10,000.00 0.00

Date: 11/07/07 Shaker Heights City Schools Page: 7 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 2200 (RESTRICTED GRANTS-IN-AID): 166,950.00 108,000.00 57,950.00 177,000.00 58,950.00 64.69 *****TOTAL FOR FUND 007 (SPECIAL TRUST): 186,950.00 108,000.00 57,950.00 193,000.00 78,950.00 57.77 FUND: 009 (UNIFORM SCHOOL SUPPLIES) *****TOTAL FOR RCPT 1710 (CLASSROOM SUPPLIES): 3,000.00 718.00 30.00 866.00 2,282.00 23.93 *****TOTAL FOR RCPT 1720 (SALE OF WORKBOOKS): 5,000.00 2,875.50 395.00 3,562.65 2,124.50 57.51 *****TOTAL FOR RCPT 1730 (SALE OF TEXTBOOKS): 0.00 15.00 15.00 15.00 15.00-0.00 *****TOTAL FOR RCPT 1740 (CLASS FEES): 50,000.00 43,211.20 1,886.45 44,730.20 6,788.80 86.42 *****TOTAL FOR RCPT 1790 (OTHER CLASSRM MATERIALS & FEES): 12,000.00 2,535.00 848.00 3,601.45 9,465.00 21.13 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 10,000.00 0.00 0.00 0.00 10,000.00 0.00 *****TOTAL FOR FUND 009 (UNIFORM SCHOOL SUPPLIES): 80,000.00 49,354.70 3,174.45 52,775.30 30,645.30 61.69 FUND: 011 (ROTARY-SPECIAL SERVICES)

Date: 11/07/07 Shaker Heights City Schools Page: 8 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1626 (SALES-SCHOOL & PUBLIC SERVICE): 10,000.00 0.00 0.00 266.00 10,000.00 0.00 *****TOTAL FOR RCPT 1631 (DUES/FEES-ACADEMIC ORIENTED): 80,000.00 6,164.00 6,164.00 76,310.00 73,836.00 7.71 *****TOTAL FOR RCPT 1820 (CONTRIB & DONATION - PRIVATE): 5,000.00 0.00 0.00 0.00 5,000.00 0.00 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 25,000.00 16,004.18 0.00 38,457.28 8,995.82 64.02 *****TOTAL FOR FUND 011 (ROTARY-SPECIAL SERVICES): 120,000.00 22,168.18 6,164.00 115,033.28 97,831.82 18.47 FUND: 014 (ROTARY-INTERNAL SERVICES) *****TOTAL FOR RCPT 1390 (OTHER TRANSPORTATION FEES): 10,000.00 625.00 625.00 4,237.50 9,375.00 6.25 *****TOTAL FOR RCPT 1611 (ADMISSIONS-ACADEMIC ORIENTED): 5,000.00 0.00 0.00 0.00 5,000.00 0.00 *****TOTAL FOR RCPT 1626 (SALES-SCHOOL & PUBLIC SERVICE): 5,000.00 63.00 44.00 425.00 4,937.00 1.26 *****TOTAL FOR RCPT 1631 (DUES/FEES-ACADEMIC ORIENTED): 5,000.00 6,152.75 6,152.75 6,898.75 1,152.75-123.06

Date: 11/07/07 Shaker Heights City Schools Page: 9 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1632 (DUES/FEES-LANGUAGE ORIENTED): 40,000.00 0.00 0.00 31,127.00 40,000.00 0.00 *****TOTAL FOR RCPT 1634 (DUES/FEES-MUSIC ORIENTED): 5,000.00 0.00 0.00 2,565.00 5,000.00 0.00 *****TOTAL FOR RCPT 1635 (DUES/FEES-SPORT ORIENTED): 5,000.00 3,704.00 861.50 4,147.00 1,296.00 74.08 *****TOTAL FOR RCPT 1640 (BOOKSTORE SALES): 5,000.00 0.00 0.00 0.00 5,000.00 0.00 *****TOTAL FOR RCPT 1820 (CONTRIB & DONATION - PRIVATE): 5,000.00 0.00 0.00 594.00 5,000.00 0.00 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 15,000.00 0.00 0.00 0.00 15,000.00 0.00 *****TOTAL FOR FUND 014 (ROTARY-INTERNAL SERVICES): 100,000.00 10,544.75 7,683.25 49,994.25 89,455.25 10.54 FUND: 018 (PUBLIC SCHOOL SUPPORT) *****TOTAL FOR RCPT 1410 (INTEREST IN INVESTMENTS): 7,000.00 2,155.77 564.35 5,241.34 4,844.23 30.80 *****TOTAL FOR RCPT 1614 (ADMISSIONS-MUSIC ORIENTED): 1,000.00 0.00 0.00 0.00 1,000.00 0.00

Date: 11/07/07 Shaker Heights City Schools Page: 10 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1621 (SALES-ACADEMIC ORIENTED): 2,000.00 37.58 0.00 1,233.08 1,962.42 1.88 *****TOTAL FOR RCPT 1622 (SALES-LANGUAGE ORIENTED): 1,000.00 0.00 0.00 0.00 1,000.00 0.00 *****TOTAL FOR RCPT 1624 (SALES-MUSIC ORIENTED): 49,000.00 0.00 0.00 69.35-49,000.00 0.00 *****TOTAL FOR RCPT 1626 (SALES-SCHOOL & PUBLIC SERVICE): 20,000.00 2,083.46 1,950.17 16,332.41 17,916.54 10.42 *****TOTAL FOR RCPT 1630 (DUES AND FEES): 10,000.00 0.00 0.00 7,028.00 10,000.00 0.00 *****TOTAL FOR RCPT 1631 (DUES/FEES-ACADEMIC ORIENTED): 39,000.00 0.00 0.00 34,735.00 39,000.00 0.00 *****TOTAL FOR RCPT 1632 (DUES/FEES-LANGUAGE ORIENTED): 1,000.00 0.00 0.00 0.00 1,000.00 0.00 *****TOTAL FOR RCPT 1634 (DUES/FEES-MUSIC ORIENTED): 1,000.00 0.00 0.00 26.00 1,000.00 0.00 *****TOTAL FOR RCPT 1636 (DUES/FEES-SCHOOL/PUBLIC SERV.): 1,000.00 0.00 0.00 0.00 1,000.00 0.00 *****TOTAL FOR RCPT 1690 (OTHER EXTRACURRICULAR ACTIVITY): 1,000.00 0.00 0.00 192.00 1,000.00 0.00

Date: 11/07/07 Shaker Heights City Schools Page: 11 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1740 (CLASS FEES): 45,000.00 35,018.21 10,997.21 37,860.71 9,981.79 77.82 *****TOTAL FOR RCPT 1790 (OTHER CLASSRM MATERIALS & FEES): 1,000.00 0.00 0.00 961.00 1,000.00 0.00 *****TOTAL FOR RCPT 1820 (CONTRIB & DONATION - PRIVATE): 10,000.00 1,750.05 1,060.83 9,443.02 8,249.95 17.50 *****TOTAL FOR RCPT 1850 (COMMISSIONS): 10,000.00 0.00 0.00 66.00-10,000.00 0.00 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 1,000.00 0.00 0.00 180.00 1,000.00 0.00 *****TOTAL FOR FUND 018 (PUBLIC SCHOOL SUPPORT): 200,000.00 41,045.07 14,572.56 113,097.21 158,954.93 20.52 FUND: 020 (SPECIAL ENTERPRISE FUND) *****TOTAL FOR RCPT 1833 (CUSTOMER SERVICES): 1,000.00 32.93 74.49 30.83-967.07 3.29 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 12,000.00 2,436.88 1,106.39 4,703.25 9,563.12 20.31 *****TOTAL FOR RCPT 5100 (TRANSFERS-IN): 2,000.00 0.00 0.00 5,000.00 2,000.00 0.00

Date: 11/07/07 Shaker Heights City Schools Page: 12 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR FUND 020 (SPECIAL ENTERPRISE FUND): 15,000.00 2,469.81 1,180.88 9,672.42 12,530.19 16.47 FUND: 022 (DISTRICT AGENCY) *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 200,000.00 3,224.07 2,999.07 6,767.41 196,775.93 1.61 *****TOTAL FOR FUND 022 (DISTRICT AGENCY): 200,000.00 3,224.07 2,999.07 6,767.41 196,775.93 1.61 FUND: 024 (EMPLOYEE BENEFITS SELF INS.) *****TOTAL FOR RCPT 1839 (SERVICES PROVIDED-OTHER ENTITY): 10,900,000.00 3,063,212.15 753,658.77 7,831,615.65 7,836,787.85 28.10 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 0.00 0.00 0.00 17,000.00 0.00 0.00 *****TOTAL FOR FUND 024 (EMPLOYEE BENEFITS SELF INS.): 10,900,000.00 3,063,212.15 753,658.77 7,848,615.65 7,836,787.85 28.10 FUND: 027 (WORKMANS COMPENSATION-SELF INS) *****TOTAL FOR RCPT 1839 (SERVICES PROVIDED-OTHER ENTITY): 0.00 0.00 0.00 235,354.74 0.00 0.00 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 400,000.00 0.00 0.00 168,000.00 400,000.00 0.00

Date: 11/07/07 Shaker Heights City Schools Page: 13 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR FUND 027 (WORKMANS COMPENSATION-SELF INS): 400,000.00 0.00 0.00 403,354.74 400,000.00 0.00 FUND: 200 (STUDENT MANAGED ACTIVITY) *****TOTAL FOR RCPT 1611 (ADMISSIONS-ACADEMIC ORIENTED): 0.00 54.00 0.00 3,232.95 54.00-0.00 *****TOTAL FOR RCPT 1614 (ADMISSIONS-MUSIC ORIENTED): 10,000.00 0.00 0.00 0.00 10,000.00 0.00 *****TOTAL FOR RCPT 1620 (EXTRACURRICULAR SALES): 0.00 0.00 0.00 590.65 0.00 0.00 *****TOTAL FOR RCPT 1621 (SALES-ACADEMIC ORIENTED): 30,000.00 1,223.00 1,223.00 15,119.17 28,777.00 4.08 *****TOTAL FOR RCPT 1622 (SALES-LANGUAGE ORIENTED): 2,000.00 0.00 0.00 231.00 2,000.00 0.00 *****TOTAL FOR RCPT 1624 (SALES-MUSIC ORIENTED): 2,000.00 1,000.00 1,000.00 2,100.00 1,000.00 50.00 *****TOTAL FOR RCPT 1625 (SALES-SPORTS ORIENTED): 10,000.00 5,797.89 918.00 11,074.99 4,202.11 57.98 *****TOTAL FOR RCPT 1626 (SALES-SCHOOL & PUBLIC SERVICE): 80,000.00 19,514.12 11,358.45 52,312.38 60,485.88 24.39

Date: 11/07/07 Shaker Heights City Schools Page: 14 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1631 (DUES/FEES-ACADEMIC ORIENTED): 50,000.00 11,142.00 11,142.00 11,298.00 38,858.00 22.28 *****TOTAL FOR RCPT 1632 (DUES/FEES-LANGUAGE ORIENTED): 5,000.00 0.00 0.00 400.00 5,000.00 0.00 *****TOTAL FOR RCPT 1634 (DUES/FEES-MUSIC ORIENTED): 94,000.00 11,885.00 120.00 12,080.00 82,115.00 12.64 *****TOTAL FOR RCPT 1635 (DUES/FEES-SPORT ORIENTED): 40,000.00 0.00 0.00 5,708.00 40,000.00 0.00 *****TOTAL FOR RCPT 1636 (DUES/FEES-SCHOOL/PUBLIC SERV.): 1,000.00 0.00 0.00 688.00 1,000.00 0.00 *****TOTAL FOR RCPT 1640 (BOOKSTORE SALES): 40,000.00 19,291.70 2,802.95 20,604.35 20,708.30 48.23 *****TOTAL FOR RCPT 1690 (OTHER EXTRACURRICULAR ACTIVITY): 1,000.00 0.00 0.00 0.00 1,000.00 0.00 *****TOTAL FOR RCPT 1820 (CONTRIB & DONATION - PRIVATE): 25,000.00 1,991.00 275.00 16,427.06 23,009.00 7.96 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 360,000.00 0.00 0.00 0.00 360,000.00 0.00 *****TOTAL FOR FUND 200 (STUDENT MANAGED ACTIVITY): 750,000.00 71,898.71 28,839.40 151,866.55 678,101.29 9.59

Date: 11/07/07 Shaker Heights City Schools Page: 15 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FUND: 300 (DISTRICT MANAGED ACTIVITY) FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 1615 (ADMISSIONS-SPORTS ORIENTED): 58,000.00 20,282.00 7,089.00 42,704.30 37,718.00 34.97 *****TOTAL FOR RCPT 1625 (SALES-SPORTS ORIENTED): 30,000.00 12,358.08 2,250.00 20,860.62 17,641.92 41.19 *****TOTAL FOR RCPT 1635 (DUES/FEES-SPORT ORIENTED): 80,000.00 3,490.00 950.00 12,070.00 76,510.00 4.36 *****TOTAL FOR RCPT 1820 (CONTRIB & DONATION - PRIVATE): 30,000.00 970.00 0.00 2,291.00 29,030.00 3.23 *****TOTAL FOR RCPT 1890 (OTHER MISCELLANEOUS RECEIPTS): 7,000.00 0.00 0.00 628.40 7,000.00 0.00 *****TOTAL FOR RCPT 5100 (TRANSFERS-IN): 120,000.00 60,000.00 0.00 120,000.00 60,000.00 50.00 *****TOTAL FOR FUND 300 (DISTRICT MANAGED ACTIVITY): 325,000.00 97,100.08 10,289.00 198,554.32 227,899.92 29.88 FUND: 401 (AUXILIARY SERVICES) *****TOTAL FOR RCPT 1410 (INTEREST IN INVESTMENTS): 67,830.70 2,320.02 1,063.52 18,865.66 65,510.68 3.42 *****TOTAL FOR RCPT 3200 (RESTRICTED GRANTS-IN-AID): 1,232,169.30 308,042.34 0.00 905,603.32 924,126.96 25.00

Date: 11/07/07 Shaker Heights City Schools Page: 16 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR FUND 401 (AUXILIARY SERVICES): 1,300,000.00 310,362.36 1,063.52 924,468.98 989,637.64 23.87 FUND: 432 (MANAGEMENT INFORMATION SYSTEM) *****TOTAL FOR RCPT 3210 (REST GRANT DIRECT FROM STATE): 20,000.00 4,036.08 0.00 15,420.17 15,963.92 20.18 *****TOTAL FOR FUND 432 (MANAGEMENT INFORMATION SYSTEM): 20,000.00 4,036.08 0.00 15,420.17 15,963.92 20.18 FUND: 440 (ENTRY YEAR PROGRAMS) *****TOTAL FOR RCPT 3210 (REST GRANT DIRECT FROM STATE): 24,000.00 0.00 0.00 0.00 24,000.00 0.00 *****TOTAL FOR FUND 440 (ENTRY YEAR PROGRAMS): 24,000.00 0.00 0.00 0.00 24,000.00 0.00 FUND: 450 (SCHOOLNET EQUIP/INFRASTRUCTURE) *****TOTAL FOR RCPT 3210 (REST GRANT DIRECT FROM STATE): 50,000.00 0.00 0.00 0.00 50,000.00 0.00 *****TOTAL FOR FUND 450 (SCHOOLNET EQUIP/INFRASTRUCTURE): 50,000.00 0.00 0.00 0.00 50,000.00 0.00 FUND: 451 (DATA COMMUNICATION FUND) *****TOTAL FOR RCPT 3210 (REST GRANT DIRECT FROM STATE): 28,000.00 0.00 0.00 0.00 28,000.00 0.00

Date: 11/07/07 Shaker Heights City Schools Page: 17 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR FUND 451 (DATA COMMUNICATION FUND): 28,000.00 0.00 0.00 0.00 28,000.00 0.00 FUND: 452 (SCHOOLNET PROFESS. DEVELOPMENT) *****TOTAL FOR RCPT 3210 (REST GRANT DIRECT FROM STATE): 5,000.00 0.00 0.00 0.00 5,000.00 0.00 *****TOTAL FOR FUND 452 (SCHOOLNET PROFESS. DEVELOPMENT): 5,000.00 0.00 0.00 0.00 5,000.00 0.00 FUND: 459 (OHIO READS) *****TOTAL FOR RCPT 3200 (RESTRICTED GRANTS-IN-AID): 10,000.00 0.00 0.00 0.00 10,000.00 0.00 *****TOTAL FOR FUND 459 (OHIO READS): 10,000.00 0.00 0.00 0.00 10,000.00 0.00 FUND: 463 (ALTERNATIVE SCHOOLS) *****TOTAL FOR RCPT 1410 (INTEREST IN INVESTMENTS): 2,961.00 0.00 0.00 0.00 2,961.00 0.00 *****TOTAL FOR RCPT 3210 (REST GRANT DIRECT FROM STATE): 58,039.00 5,803.90 0.00 46,560.20 52,235.10 10.00 *****TOTAL FOR FUND 463 (ALTERNATIVE SCHOOLS): 61,000.00 5,803.90 0.00 46,560.20 55,196.10 9.51 FUND: 494 (POVERTY AID)

Date: 11/07/07 Shaker Heights City Schools Page: 18 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 3200 (RESTRICTED GRANTS-IN-AID): 165,000.00 37,944.08 9,486.02 115,276.10 127,055.92 23.00 *****TOTAL FOR FUND 494 (POVERTY AID): 165,000.00 37,944.08 9,486.02 115,276.10 127,055.92 23.00 FUND: 499 (MISCELLANEOUS STATE GRANT FUND) *****TOTAL FOR RCPT 3210 (REST GRANT DIRECT FROM STATE): 50,000.00 43,490.00 19,115.00 45,490.00 6,510.00 86.98 *****TOTAL FOR FUND 499 (MISCELLANEOUS STATE GRANT FUND): 50,000.00 43,490.00 19,115.00 45,490.00 6,510.00 86.98 FUND: 516 (IDEA PART B GRANTS) *****TOTAL FOR RCPT 4220 (REST GRANT FED FROM STATE): 1,410,629.69 248,945.56 0.00 946,406.98 1,161,684.13 17.65 *****TOTAL FOR FUND 516 (IDEA PART B GRANTS): 1,410,629.69 248,945.56 0.00 946,406.98 1,161,684.13 17.65 FUND: 551 (LIMITED ENGLISH PROFICIENCY) *****TOTAL FOR RCPT 4220 (REST GRANT FED FROM STATE): 24,070.00 2,516.96 0.00 25,682.40 21,553.04 10.46 *****TOTAL FOR FUND 551 (LIMITED ENGLISH PROFICIENCY): 24,070.00 2,516.96 0.00 25,682.40 21,553.04 10.46 FUND: 572 (TITLE I DISADVANTAGED CHILDREN)

Date: 11/07/07 Shaker Heights City Schools Page: 19 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 4220 (REST GRANT FED FROM STATE): 697,738.45 114,374.26 0.00 429,788.06 583,364.19 16.39 *****TOTAL FOR FUND 572 (TITLE I DISADVANTAGED CHILDREN): 697,738.45 114,374.26 0.00 429,788.06 583,364.19 16.39 FUND: 573 (TITLE V INNOVATIVE EDUC PGM) *****TOTAL FOR RCPT 4220 (REST GRANT FED FROM STATE): 10,529.75 0.00 0.00 7,781.63 10,529.75 0.00 *****TOTAL FOR FUND 573 (TITLE V INNOVATIVE EDUC PGM): 10,529.75 0.00 0.00 7,781.63 10,529.75 0.00 FUND: 584 (DRUG FREE SCHOOL GRANT FUND) *****TOTAL FOR RCPT 4220 (REST GRANT FED FROM STATE): 21,998.69 0.00 0.00 6,240.18 21,998.69 0.00 *****TOTAL FOR FUND 584 (DRUG FREE SCHOOL GRANT FUND): 21,998.69 0.00 0.00 6,240.18 21,998.69 0.00 FUND: 587 (IDEA PRESCHOOL-HANDICAPPED) *****TOTAL FOR RCPT 4220 (REST GRANT FED FROM STATE): 22,786.24 150.00 0.00 13,679.79 22,636.24 0.66 *****TOTAL FOR FUND 587 (IDEA PRESCHOOL-HANDICAPPED): 22,786.24 150.00 0.00 13,679.79 22,636.24 0.66 FUND: 588 (TELECOMM. ACT GRANT (E-RATE))

Date: 11/07/07 Shaker Heights City Schools Page: 20 Time: 5:40 pm Revenue Account Summary (REVSUM) SORTED BY FUND/RCPT FY 08 - OCT 2007 FYTD MTD YTD FYTD FYTD FYTD Actual Actual Actual Balance Percent Receivable Receipts Receipts Receipts Receivable Received *****TOTAL FOR RCPT 4230 (REST GRANT FED FROM INTERMD): 75,000.00 0.00 0.00 0.00 75,000.00 0.00 *****TOTAL FOR FUND 588 (TELECOMM. ACT GRANT (E-RATE)): 75,000.00 0.00 0.00 0.00 75,000.00 0.00 FUND: 590 (IMPROVING TEACHER QUALITY) *****TOTAL FOR RCPT 4220 (REST GRANT FED FROM STATE): 163,038.16 56,911.84 0.00 162,171.08 106,126.32 34.91 *****TOTAL FOR FUND 590 (IMPROVING TEACHER QUALITY): 163,038.16 56,911.84 0.00 162,171.08 106,126.32 34.91 FUND: 599 (MISCELLANEOUS FED. GRANT FUND) *****TOTAL FOR RCPT 4220 (REST GRANT FED FROM STATE): 27,203.71 15,000.00 0.00 20,599.38 12,203.71 55.14 *****TOTAL FOR FUND 599 (MISCELLANEOUS FED. GRANT FUND): 27,203.71 15,000.00 0.00 20,599.38 12,203.71 55.14 *****GRAND TOTALS: 109,602,441.69 39,737,512.77 4,480,828.74 109,575,968.37 69,864,928.92 36.26

8. BUDGET ACCOUNT SUMMARY

Date: 11/07/07 Shaker Heights City Schools Page: 1 Time: 5:43 pm Budget Account Summary (BUDSUM) SORTED BY FUND/OBJ LEVEL FY 08 - OCT 2007 Prior FY FYTD MTD FYTD FYTD FYTD Carryover FYTD Actual Actual Current Unencumbered Percent Appropriated Encumbrances Expendable Expenditures Expenditures Encumbrances Balance Exp/Enc FUND: 001 (GENERAL) *****TOTAL FOR OBJ LEVEL 100 (PERSONAL SERVICES - SALARIES): 47,211,667.00 0.00 47,211,667.00 15,876,926.88 3,958,445.65 0.00 31,334,740.12 33.63 *****TOTAL FOR OBJ LEVEL 200 (EMPLOYEES RETIRE. & INSUR. BEN): 17,244,997.00 23,790.46 17,268,787.46 5,408,317.64 1,364,041.44 73,536.91 11,786,932.91 31.74 *****TOTAL FOR OBJ LEVEL 400 (PURCHASED SERVICES): 13,749,416.00 2,512,925.00 16,262,341.00 3,962,707.47 918,280.35 6,030,045.33 6,269,588.20 61.45 *****TOTAL FOR OBJ LEVEL 500 (SUPPLIES AND MATERIALS): 2,587,837.00 360,421.27 2,948,258.27 1,195,197.37 272,714.17 895,364.73 857,696.17 70.91 *****TOTAL FOR OBJ LEVEL 600 (CAPITAL OUTLAY): 378,361.00 36,233.35 414,594.35 186,041.54 76,595.57 58,865.89 169,686.92 59.07 *****TOTAL FOR OBJ LEVEL 700 (CAPITAL OUTLAY - REPLACEMENT): 113,687.00 1,779.00 115,466.00 14,542.20 8,318.78 10,759.00 90,164.80 21.91 *****TOTAL FOR OBJ LEVEL 800 (MISCELLANEOUS OBJECTS): 1,037,835.00 41,083.70 1,078,918.70 160,841.02 16,166.95 125,222.10 792,855.58 26.51 *****TOTAL FOR OBJ LEVEL 900 (OTHER USES OF FUNDS): 134,000.00 0.00 134,000.00 60,000.00 0.00 0.00 74,000.00 44.78 *****TOTAL FOR FUND 001 (GENERAL): 82,457,800.00 2,976,232.78 85,434,032.78 26,864,574.12 6,614,562.91 7,193,793.96 51,375,664.70 39.87 FUND: 002 (BOND RETIREMENT)