New York State Education Department 12/19/05
Office of Management Services
Local Assistance/State Aid
District Name: OPPENHEIM-EPHRATAH CSD District Code: 171001
2005-06 Combined Fixed & Individualized General Aid Payment Schedule
with Spring Advance
1. 2005-06 S.3609-a General Aid Payable for Oct & Nov $3,481,098.00
2. 2005-06 S.3609-a General Aid Payable for Dec Payment $3,480,685.00
3. 2005-06 S.3609-a General Aid Due (frozen @ 12/01/05) $3,480,685.00
ADVANCES and FALL PAYMENTS:
4. Roosevelt Loan (Chapter 33 Laws 2002) $0.00
5. Lottery Advances $0.00
6. Lottery Ratio Aid Payment $448,825.70
7. Chap 57 Laws 2004 SA-1 Accruals based on salaries $0.00
8. Rochester Accrual (Chap 94 Laws 2002) $0.00
9. Public Pension Accrual (Chap 57 Laws 2005) $0.00
10. NYS Teachers Retirement Payments $152,641.41
11. October Gross Payment Amount $0.00
12. November Gross Payment Amount $175,259.91
13. December Gross Payment Amount $207,925.29
14. Balance 2005-06 S.3609-a General Aids due District $2,496,032.69
BASIC DATA FOR INDIVIDUALIZED MONTHLY PAYMENTS:
A. 2004-05 Total General Fund Expense 6,088,277.00
B. 2004-05 Non S.3609-a General Fund Aids 1,135,555.00
C. 2004-05 TRS Obligation 131,600.00
D. 2004-05 Building Debt Service 353,105.00
E. 2005-06 Building Debt Service 503,394.00
F. 2005-06 Lottery + Fixed Payments 832,010.90
G. Net TGFE for Indv Payments (A-B-C-D+E-F) 4,139,400.10
WINTER PAYMENTS:
15. January (01/03/06) $426,332.64
16. February (02/01/06) $413,940.01
17. March (03/01/06) $413,940.01
SPRING ADVANCE:
18. Total April-June Payments before Spring Advance: $1,241,820.03
19. Sust Spring Adv (Ln 18 x .338361685103) @ 03/31/06 $420,184.31
NET SPRING PAYMENTS after Spring Advance:
20. Net April Payment (04/01/06) $0.00
21. Net May Payments (05/01/06) $407,695.71
22. Net Estimated June Payment (06/01/06) $413,940.01
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