(Financials) - OSLF Financials

Animated publication

Prepared Monthly for OSLF

Balance

OSLI Beginning Balance

$

791,543.46

Less Center Creative Center Creative

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $

23,410.36 23,467.30 11,811.48 2,470.82 14,623.23 14,876.12 23,735.61 23,735.64 14,623.23 23,615.18 14,830.52 60,000.00 13,877.94 23,342.96 60,000.00

$ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $

768,133.10 744,665.80 732,854.32 730,383.50 715,760.27 700,884.15 677,148.54 653,412.90 638,789.67 615,174.49 600,343.97 540,343.97 526,466.03 503,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 443,123.07 383,123.07

12/30/14 01/20/15 01/20/15 01/20/15 2/20/2015 4/9/2015 4/9/2015 6/1/2015 3/18/2015 11/3/2015 11/25/2015 12/1/2015 12/28/2015 2/16/2016

Doubletree Doubletree Doubletree DoubleTree

Center Creative Center Creative

Doubletree

Center Creative

Doubletree

2015 Salary Reimburse

Doubletree

2015 Total

Center Creative

Salary Reimbursement

1/1/2016

Salary Reimbursement

$

60,000.00

1/1/2017

Ohio School Leadership Foundation

2:02 PM

Revenue Detail

01/02/16

January through December 2015

Cash Basis

Date

Class

Split

Paid Amount

Ordinary Income/Expense Income 40000 · Donations 3/17/2015

10110 · Chase - Operating 10110 · Chase - Operating

450.00

12/10/2015

1,000.00 1,450.00

Total 40000 · Donations 41000 · Workshops 41010 · Attendee

1/28/2015 1/30/2015 2/10/2015 2/16/2015 2/16/2015 2/17/2015 2/18/2015 2/24/2015 2/24/2015 2/26/2015 3/3/2015 3/5/2015 3/12/2015 3/16/2015 4/9/2015 4/21/2015 7/7/2015 7/22/2015 7/27/2015 7/28/2015 8/5/2015 8/18/2015 8/25/2015 8/25/2015 8/25/2015 8/28/2015 10/6/2015 10/6/2015

WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining

10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating

1,431.00 1,113.00

636.00

2,544.00

636.00 477.00 636.00 318.00 318.00 318.00 954.00 636.00 159.00 159.00 159.00 318.00 796.00 199.00 199.00 696.00 199.00 199.00 796.00 398.00 158.00 316.00 398.00 597.00 100.00 150.00 199.00 398.00 237.00 50.00

WK15:1507A-OPES WK15:1507A-OPES WK15:1507A-OPES WK15:1507A-OPES WK15:1507A-OPES WK15:1507A-OPES WK15:1507A-OPES WK15:1508A-OPES

1,692.00

1,194.00

WK14:1409A-Child. Lit. Book Review

Programs:NewSupt 2015

16,160.52

WK15:1507A-OPES WK15:1510A-OPES

10/27/2015 WK15:1507A-OPES 10/27/2015 WK15:1508A-OPES 10/27/2015 WK15:1510A-OPES 10/27/2015 WK15:1512A-OPES 10/28/2015 WK15:1507A-OPES 10/28/2015 WK15:1510A-OPES 11/12/2015 WK15:1507A-OPES 11/12/2015 WK15:1510A-OPES 11/19/2015 WK15:1508A-OPES 11/19/2015 WK15:1510A-OPES 11/19/2015 WK15:1512A-OPES 11/2/2015 11/9/2015

1,592.00

WK15:1509A-Child Book Review WK15:1509A-Child Book Review

79.00

597.00

79.00

11/19/2015 WK15:1509A-Child Book Review

500.00 200.00

12/9/2015

WK15:1509A-Child Book Review

12/16/2015 WK15:1509A-Child Book Review 12/16/2015 WK15:1510A-OPES 12/16/2015 WK15:1512A-OPES 12/28/2015 Programs:NewSupt 2015

50.00

796.00

79.00

3,327.50

Total 41010 · Attendee

43,243.02

Total 41000 · Workshops

43,243.02

41600 · Consulting

4/17/2015 5/4/2015 5/18/2015 5/18/2015 11/9/2015

10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating 10110 · Chase - Operating

5,000.00 1,500.00 5,000.00 1,000.00 4,000.00 900.00

Consultants:Stephens, Tom Consultants:Supt Evaluation

11/19/2015 Consultants:Supt Evaluation

Page 1

Ohio School Leadership Foundation

2:02 PM

Revenue Detail

01/02/16

January through December 2015

Cash Basis

Date

Class

Split

Paid Amount

Total 41600 · Consulting

17,400.00

41900 · Miscellaneous Revenue

10/6/2015 10/6/2015 12/16/2015 12/16/2015

10110 · Chase - Operating 20000 · Accounts Payable 10110 · Chase - Operating 20000 · Accounts Payable

199.00 -199.00 199.00 -199.00

Total 41900 · Miscellaneous Revenue

0.00

45010 · Interest Income

1/30/2015 2/27/2015 3/31/2015 4/30/2015 5/29/2015 6/30/2015 7/31/2015 8/31/2015 9/30/2015 10/30/2015 11/30/2015 12/31/2015

10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings 10220 · CF Savings

205.45 191.91 219.49 205.96 199.25 220.04 213.35 192.87 155.10 155.20 160.47 160.57

Total 45010 · Interest Income

2,279.66

Total Income

64,372.68

Gross Profit

64,372.68

Net Ordinary Income

64,372.68

Net Income

64,372.68

Page 2

Ohio School Leadership Foundation

9:47 AM

Balance Sheet As of January 31, 2015

02/26/15

Accrual Basis

Jan 31, 15

ASSETS

Current Assets

Checking/Savings

10100 · Checking

10110 · Chase - Operating 10120 · Chase - Credit Card

722,135.31 16,460.42

738,595.73

Total 10100 · Checking

10200 · Savings

10220 · CF Savings

250,168.80

250,168.80

Total 10200 · Savings

988,764.53

Total Checking/Savings

988,764.53

Total Current Assets

TOTAL ASSETS

988,764.53

LIABILITIES & EQUITY

0.00

Page 1

Ohio School Leadership Foundation Profit & Loss YTD Comparison

9:50 AM

02/26/15

January 2015

Cash Basis

Jan 15

Jan 14

Ordinary Income/Expense Income 41000 · Workshops 41010 · Attendee

2,544.00

0.00

2,544.00

0.00

Total 41000 · Workshops

45010 · Interest Income

205.45

0.00

2,749.45

0.00

Total Income

2,749.45

0.00

Gross Profit

Expense

62700 · Payroll Expenses 62710 · Gross Wages 62720 · Payroll Taxes 62730 · FUTA Expense 62740 · SUTA Expense

8,958.34

0.00 0.00 0.00 0.00 0.00

685.32

38.89

208.01

62745 · BWC Taxes

0.00

9,890.56

0.00

Total 62700 · Payroll Expenses

62800 · Employee Benefits 62810 · 401(K) Expense 62820 · Dental Insurance 62850 · LTD Insurance

0.00

0.00 0.00 0.00

453.45 201.24

654.69

0.00

Total 62800 · Employee Benefits

67000 · Workshop Expense 67010 · Room Rental 67020 · Catering Expense 67030 · Equipment Rental

5,860.70 7,737.95

0.00 0.00 0.00 0.00

683.65

67070 · Speakers Fees

24,347.69

38,629.99

0.00

Total 67000 · Workshop Expense

49,175.24

0.00

Total Expense

-46,425.79

0.00

Net Ordinary Income

Net Income

-46,425.79

0.00

Page 1

Ohio School Leadership Foundation

9:59 AM

Check Detail January 2015

02/26/15

Name

Account

Class

Paid Amount

University of Dayton

10110 · Chase - Operating

67070 · Speakers Fees

WK14:1409A-Child. Lit. Book Review

-880.39 -880.39

TOTAL

Center for Creative Leadership

10110 · Chase - Operating

67070 · Speakers Fees

Organizations:OSLI:WK15OSLI

-23,467.30 -23,467.30

TOTAL

Doubletree

10110 · Chase - Operating

67010 · Room Rental

Organizations:OSLI:WK15OSLI Organizations:OSLI:WK15OSLI Organizations:OSLI:WK15OSLI

-5,860.70 -5,497.03

67020 · Catering Expense 67030 · Equipment Rental

-453.75

TOTAL

-11,811.48

Doubletree

10110 · Chase - Operating

67020 · Catering Expense 67030 · Equipment Rental

Organizations:OSLI:WK15OSLI Organizations:OSLI:WK15OSLI

-2,240.92

-229.90

TOTAL

-2,470.82

Page 1

Ohio School Leadership Foundation

12:00 PM

Balance Sheet As of February 28, 2015

02/28/15

Accrual Basis

Feb 28, 15

ASSETS

Current Assets

Checking/Savings

10100 · Checking

10110 · Chase - Operating

723,921.27

723,921.27

Total 10100 · Checking

10200 · Savings

10220 · CF Savings

250,360.71

250,360.71

Total 10200 · Savings

974,281.98

Total Checking/Savings

974,281.98

Total Current Assets

TOTAL ASSETS

974,281.98

LIABILITIES & EQUITY

0.00

Page 1

Ohio School Leadership Foundation

12:04 PM

Profit & Loss Prev Year Comparison (NEW)

02/28/15

January through February 2015

Accrual Basis

Jan - Feb 15

Jan - Feb 14

$ Change

Ordinary Income/Expense Income 41000 · Workshops 41010 · Attendee

8,427.00

0.00

8,427.00

8,427.00

0.00

8,427.00

Total 41000 · Workshops

45010 · Interest Income

397.36

0.00

397.36

8,824.36

0.00

8,824.36

Total Income

8,824.36

0.00

8,824.36

Gross Profit

Expense

60800 · Business Expenses 60810 · Bus Registration Fees

75.00

0.00

75.00

75.00

0.00

75.00

Total 60800 · Business Expenses

62700 · Payroll Expenses 62710 · Gross Wages 62720 · Payroll Taxes 62730 · FUTA Expense 62740 · SUTA Expense

17,916.68 1,370.64

0.00 0.00 0.00 0.00 0.00

17,916.68 1,370.64

49.31

49.31

278.54 -38.88

278.54 -38.88

62745 · BWC Taxes

19,576.29

0.00

19,576.29

Total 62700 · Payroll Expenses

62800 · Employee Benefits 62810 · 401(K) Expense 62820 · Dental Insurance

0.00

0.00 0.00 0.00

0.00

755.75 268.32

755.75 268.32

62850 · LTD Insurance

1,024.07

0.00

1,024.07

Total 62800 · Employee Benefits

65000 · Operations 65040 · Printing and Copying

120.12 147.87

0.00 0.00

120.12 147.87

65050 · Supplies

267.99

0.00

267.99

Total 65000 · Operations

67000 · Workshop Expense 67010 · Room Rental 67020 · Catering Expense 67030 · Equipment Rental

7,690.70 15,164.11 1,427.85 24,347.69

0.00 0.00 0.00 0.00 0.00

7,690.70 15,164.11 1,427.85 24,347.69

67070 · Speakers Fees

67090 · Refunds

159.00

159.00

48,789.35

0.00

48,789.35

Total 67000 · Workshop Expense

69,732.70

0.00

69,732.70

Total Expense

-60,908.34

0.00

-60,908.34

Net Ordinary Income

Net Income

-60,908.34

0.00

-60,908.34

Page 1

Ohio School Leadership Foundation

12:05 PM

Check Detail February 2015

02/28/15

Name

Account

Class

Paid Amount

Batavia Local Schools

10110 · Chase - Operating

67090 · Refunds

Organizations:Mohican:WK15Mohican

-159.00 -159.00

TOTAL

National Registered Agents, Inc.

10110 · Chase - Operating

60810 · Bus Registration Fees

-75.00 -75.00

TOTAL

Quill

10110 · Chase - Operating

65050 · Supplies 65050 · Supplies

-118.23 -29.64 -147.87

TOTAL

Hilton Polaris

10110 · Chase - Operating

67020 · Catering Expense 67030 · Equipment Rental

WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining WK15:1502A-Collective Bargining

-7,426.16

-744.20

67010 · Room Rental

-1,830.00

TOTAL

-10,000.36

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10110 · Chase - Operating, Period Ending 01/31/2015

12:06 PM

02/28/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

722,335.31

Cleared Transactions Checks and Payments - 6 items

Bill Pmt -Check Bill Pmt -Check General Journal Bill Pmt -Check Bill Pmt -Check General Journal

11/17/2014 1

Karen Hildebrand

X X X X X X

-200.00 -159.00

-200.00 -359.00

2/4/2015 2/10/2015 2/11/2015 2/18/2015 2/26/2015

2009 Batavia Local Scho...

15

BASA Salary Transfer

-5,092.05

-5,451.05 -5,526.05 -15,526.41 -20,648.47 -20,648.47 1,272.00 3,816.00 3,854.88 4,331.88 20,792.30 21,428.30 21,746.30 22,064.30 22,382.30 22,382.30 636.00

2010 National Registered...

-75.00

9150...

Hilton Polaris

-10,000.36 -5,122.06 -20,648.47

15

BASA Salary Transfer

Total Checks and Payments

Deposits and Credits - 10 items

General Journal General Journal General Journal General Journal General Journal General Journal General Journal General Journal General Journal General Journal

2/10/2015 2/16/2015 2/16/2015 2/17/2015 2/17/2015 2/17/2015 2/18/2015 2/24/2015 2/24/2015 2/26/2015

17 18 16 20 21 19 22 23 16 16

X X X X X X X X X X

636.00 636.00

2,544.00

38.88

477.00

Transfer

16,460.42

636.00 318.00 318.00 318.00

Total Deposits and Credits

22,382.30

Total Cleared Transactions

1,733.83

1,733.83

Cleared Balance

1,733.83

724,069.14

Register Balance as of 01/31/2015

1,733.83

724,069.14

New Transactions Checks and Payments - 1 item

Bill Pmt -Check

2/23/2015

2011 Quill

-147.87 -147.87

-147.87 -147.87

Total Checks and Payments

Total New Transactions

-147.87

-147.87

Ending Balance

1,585.96

723,921.27

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10220 · CF Savings, Period Ending 01/31/2015

12:07 PM

02/28/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

250,168.80

Cleared Transactions Deposits and Credits - 1 item

General Journal

2/27/2015

17

X

191.91 191.91

191.91 191.91

Total Deposits and Credits

Total Cleared Transactions

191.91

191.91

Cleared Balance

191.91

250,360.71

Register Balance as of 01/31/2015

191.91

250,360.71

Ending Balance

191.91

250,360.71

Page 1

Ohio School Leadership Foundation

11:21 AM

Balance Sheet As of March 31, 2015

04/01/15

Accrual Basis

Mar 31, 15

ASSETS

Current Assets

Checking/Savings

10100 · Checking

10110 · Chase - Operating

688,713.84

688,713.84

Total 10100 · Checking

10200 · Savings

10220 · CF Savings

250,360.71

250,360.71

Total 10200 · Savings

939,074.55

Total Checking/Savings

939,074.55

Total Current Assets

TOTAL ASSETS

939,074.55

LIABILITIES & EQUITY

0.00

Page 1

Ohio School Leadership Foundation Profit & Loss Prev Year Comparison

11:22 AM

04/01/15

January through March 2015

Accrual Basis

Jan - Mar 15

Jan - Mar 14

$ Change

Ordinary Income/Expense Income 40000 · Donations

450.00

0.00

450.00

41000 · Workshops 41010 · Attendee

10,335.00

0.00

10,335.00

10,335.00

0.00

10,335.00

Total 41000 · Workshops

45010 · Interest Income

397.36

0.00

397.36

11,182.36

0.00

11,182.36

Total Income

11,182.36

0.00

11,182.36

Gross Profit

Expense

60800 · Business Expenses 60810 · Bus Registration Fees

75.00

0.00

75.00

75.00

0.00

75.00

Total 60800 · Business Expenses

62700 · Payroll Expenses 62710 · Gross Wages 62720 · Payroll Taxes 62730 · FUTA Expense 62740 · SUTA Expense

26,875.02 2,055.96

0.00 0.00 0.00 0.00 0.00

26,875.02 2,055.96

50.49

50.49

301.95 -38.88

301.95 -38.88

62745 · BWC Taxes

29,244.54

0.00

29,244.54

Total 62700 · Payroll Expenses

62800 · Employee Benefits 62810 · 401(K) Expense 62820 · Dental Insurance 62850 · LTD Insurance

5,133.12 1,058.05

0.00 0.00 0.00

5,133.12 1,058.05

402.48

402.48

6,593.65

0.00

6,593.65

Total 62800 · Employee Benefits

63600 · Professional Services 63625 · Outside Consultant

3,750.00

0.00

3,750.00

3,750.00

0.00

3,750.00

Total 63600 · Professional Services

65000 · Operations 65040 · Printing and Copying

120.12 147.87

0.00 0.00

120.12 147.87

65050 · Supplies

267.99

0.00

267.99

Total 65000 · Operations

66000 · Travel

66010 · Transportation

58.12

0.00 0.00 0.00 0.00

58.12

66020 · Lodging 66030 · Meals 66040 · Gratuities

842.04 262.36

842.04 262.36

16.00

16.00

1,178.52

0.00

1,178.52

Total 66000 · Travel

66300 · Meetings 66320 · Meals

19.47

0.00

19.47

19.47

0.00

19.47

Total 66300 · Meetings

67000 · Workshop Expense 67010 · Room Rental 67020 · Catering Expense 67030 · Equipment Rental

13,162.70 25,789.12 2,710.45 24,347.69

0.00 0.00 0.00 0.00 0.00

13,162.70 25,789.12 2,710.45 24,347.69

67070 · Speakers Fees

67090 · Refunds

159.00

159.00

66,168.96

0.00

66,168.96

Total 67000 · Workshop Expense

107,298.13

0.00

107,298.13

Total Expense

-96,115.77

0.00

-96,115.77

Net Ordinary Income

Net Income

-96,115.77

0.00

-96,115.77

Page 1

Ohio School Leadership Foundation

11:23 AM

Check Detail March 2015

04/01/15

Name

Account

Class

Paid Amount

Klenke, Jerry

10110 · Chase - Operating

66010 · Transportation

-40.00 -16.00 -19.47 -75.47

66040 · Gratuities

66320 · Meals

TOTAL

Patterson, Jeffrey

10110 · Chase - Operating

63625 · Outside Consultant

Executive Coaching

-3,250.00 -3,250.00

TOTAL

Chase Card Services

10110 · Chase - Operating

66020 · Lodging 66030 · Meals

-842.04 -262.36

TOTAL

-1,104.40

Parsons, Chuck

10110 · Chase - Operating

63625 · Outside Consultant

WK15:1502A-Collective Bargining

-500.00 -500.00

TOTAL

Klenke, Jerry

10110 · Chase - Operating

66010 · Transportation

-18.12 -18.12

TOTAL

Doubletree

10110 · Chase - Operating

67010 · Room Rental

Organizations:OSLI:WK15OSLI Organizations:OSLI:WK15OSLI Organizations:OSLI:WK15OSLI

-5,472.00 -8,467.58

67020 · Catering Expense 67030 · Equipment Rental

-683.65

TOTAL

-14,623.23

Doubletree

10110 · Chase - Operating

67020 · Catering Expense 67030 · Equipment Rental

Organizations:New Superintendents:N... Organizations:New Superintendents:N...

-2,157.43

-598.95

TOTAL

-2,756.38

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10110 · Chase - Operating, Period Ending 02/28/2015

11:24 AM

04/01/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

724,069.14

Cleared Transactions Checks and Payments - 7 items

Bill Pmt -Check General Journal Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal

2/23/2015 3/13/2015 3/18/2015 3/18/2015 3/18/2015 3/23/2015 3/31/2015

2011 Quill

X X X X X X X

-147.87

-147.87

23

BASA Salary Transfer

-5,059.12 -14,623.23 -3,250.00 -2,756.38 -10,178.71 -36,515.31 -500.00

-5,206.99 -19,830.22 -23,080.22 -25,836.60 -26,336.60 -36,515.31 -36,515.31

9150...

Doubletree

2013 Patterson, Jeffrey

9150...

Doubletree

2015 Parsons, Chuck

24

BASA Salary Transfer

Total Checks and Payments

Deposits and Credits - 5 items

General Journal General Journal General Journal General Journal General Journal

3/3/2015 3/5/2015 3/12/2015 3/16/2015 3/17/2015

18 20 21 22 19

X X X X X

954.00 636.00 159.00 159.00 450.00

954.00

1,590.00 1,749.00 1,908.00 2,358.00 2,358.00

Total Deposits and Credits

2,358.00

Total Cleared Transactions

-34,157.31

-34,157.31

Cleared Balance

-34,157.31

689,911.83

Register Balance as of 02/28/2015

-34,157.31

689,911.83

New Transactions Checks and Payments - 3 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check

3/18/2015 3/19/2015 3/25/2015

2012 Klenke, Jerry

-75.47

-75.47

2014 Chase Card Services

-1,104.40

-1,179.87 -1,197.99 -1,197.99

2016 Klenke, Jerry

-18.12

Total Checks and Payments

-1,197.99

Total New Transactions

-1,197.99

-1,197.99

Ending Balance

-35,355.30

688,713.84

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10220 · CF Savings, Period Ending 02/28/2015

11:27 AM

04/01/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

250,360.71

Cleared Transactions Deposits and Credits - 1 item

General Journal

3/31/2015

25

X

219.49 219.49

219.49 219.49

Total Deposits and Credits

Total Cleared Transactions

219.49

219.49

Cleared Balance

219.49

250,580.20

Register Balance as of 02/28/2015

219.49

250,580.20

Ending Balance

219.49

250,580.20

Page 1

Ohio School Leadership Foundation

11:13 AM

Balance Sheet As of April 30, 2015

05/01/15

Accrual Basis

Apr 30, 15

ASSETS

Current Assets

Checking/Savings

10100 · Checking

10110 · Chase - Operating

657,136.71

657,136.71

Total 10100 · Checking

10200 · Savings

10220 · CF Savings

250,786.16

250,786.16

Total 10200 · Savings

907,922.87

Total Checking/Savings

907,922.87

Total Current Assets

TOTAL ASSETS

907,922.87

LIABILITIES & EQUITY

0.00

Page 1

Ohio School Leadership Foundation Profit & Loss Prev Year Comparison

11:21 AM

05/01/15

January through April 2015

Accrual Basis

Jan - Apr 15

Jan - Apr 14

$ Change

Ordinary Income/Expense Income 40000 · Donations

450.00

0.00

450.00

41000 · Workshops 41010 · Attendee

10,812.00

0.00

10,812.00

10,812.00

0.00

10,812.00

Total 41000 · Workshops

41600 · Consulting

5,000.00

0.00 0.00

5,000.00

45010 · Interest Income

822.81

822.81

17,084.81

0.00

17,084.81

Total Income

17,084.81

0.00

17,084.81

Gross Profit

Expense

60800 · Business Expenses 60810 · Bus Registration Fees

75.00

0.00

75.00

75.00

0.00

75.00

Total 60800 · Business Expenses

62700 · Payroll Expenses 62710 · Gross Wages 62720 · Payroll Taxes 62730 · FUTA Expense 62740 · SUTA Expense

35,833.38 2,741.28

0.00 0.00 0.00 0.00 0.00

35,833.38 2,741.28

50.49

50.49

301.95 -38.88

301.95 -38.88

62745 · BWC Taxes

38,888.22

0.00

38,888.22

Total 62700 · Payroll Expenses

62800 · Employee Benefits 62810 · 401(K) Expense 62820 · Dental Insurance

5,133.12 1,058.05

0.00 0.00 0.00

5,133.12 1,058.05

62850 · LTD Insurance

402.48

402.48

6,593.65

0.00

6,593.65

Total 62800 · Employee Benefits

63600 · Professional Services 63625 · Outside Consultant

6,250.00

0.00

6,250.00

6,250.00

0.00

6,250.00

Total 63600 · Professional Services

65000 · Operations 65040 · Printing and Copying

240.24 147.87

0.00 0.00

240.24 147.87

65050 · Supplies

388.11

0.00

388.11

Total 65000 · Operations

65100 · Utilities

65120 · Telephone 65130 · Internet

93.50

0.00 0.00

93.50

6.00

6.00

99.50

0.00

99.50

Total 65100 · Utilities

66000 · Travel

66010 · Transportation

907.12 842.04 262.36

0.00 0.00 0.00 0.00

907.12 842.04 262.36

66020 · Lodging 66030 · Meals 66040 · Gratuities

16.00

16.00

2,027.52

0.00

2,027.52

Total 66000 · Travel

66300 · Meetings 66320 · Meals

19.47

0.00

19.47

19.47

0.00

19.47

Total 66300 · Meetings

67000 · Workshop Expense 67010 · Room Rental 67020 · Catering Expense 67030 · Equipment Rental

13,162.70 25,789.12 2,710.45 48,189.52

0.00 0.00 0.00 0.00 0.00

13,162.70 25,789.12 2,710.45 48,189.52

67070 · Speakers Fees

67090 · Refunds

159.00

159.00

90,010.79

0.00

90,010.79

Total 67000 · Workshop Expense

Page 1

Ohio School Leadership Foundation Profit & Loss Prev Year Comparison

11:21 AM

05/01/15

January through April 2015

Accrual Basis

Jan - Apr 15

Jan - Apr 14

$ Change

144,352.26

0.00

144,352.26

Total Expense

-127,267.45

0.00

-127,267.45

Net Ordinary Income

Net Income

-127,267.45

0.00

-127,267.45

Page 2

Ohio School Leadership Foundation

11:22 AM

Check Detail April 2015

05/01/15

Name

Account

Class

Paid Amount

Center for Creative Leadership

10110 · Chase - Operating

67070 · Speakers Fees

Organizations:OSLI:WK15OSLI

-23,841.83 -23,841.83

TOTAL

Parsons, Chuck

10110 · Chase - Operating

63625 · Outside Consultant

-2,500.00 -2,500.00

TOTAL

Chase Card Services

10110 · Chase - Operating

66010 · Transportation

-849.00 -849.00

TOTAL

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10110 · Chase - Operating, Period Ending 04/30/2015

11:23 AM

05/01/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

689,911.83

Cleared Transactions Checks and Payments - 4 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal

3/19/2015 4/6/2015 4/22/2015 4/30/2015

2014 Chase Card Services X 2017 Center for Creative ... X

-1,104.40 -23,841.83 -2,500.00 -9,863.30 -37,309.53

-1,104.40 -24,946.23 -27,446.23 -37,309.53 -37,309.53

2018 Parsons, Chuck

X X

29

BASA Salary Transfer

Total Checks and Payments

Deposits and Credits - 3 items

General Journal General Journal General Journal

4/9/2015 4/17/2015 4/21/2015

26 27 28

X X X

159.00

159.00

5,000.00

5,159.00 5,477.00 5,477.00

318.00

Total Deposits and Credits

5,477.00

Total Cleared Transactions

-31,832.53

-31,832.53

Cleared Balance

-31,832.53

658,079.30

Uncleared Transactions Checks and Payments - 3 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check

3/18/2015 3/25/2015 4/30/2015

2012 Klenke, Jerry 2016 Klenke, Jerry

-75.47 -18.12 -849.00 -942.59

-75.47 -93.59 -942.59 -942.59

2019 Chase Card Services

Total Checks and Payments

Total Uncleared Transactions

-942.59

-942.59

Register Balance as of 04/30/2015

-32,775.12

657,136.71

Ending Balance

-32,775.12

657,136.71

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10220 · CF Savings, Period Ending 03/31/2015

11:24 AM

05/01/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

250,580.20

Cleared Transactions Deposits and Credits - 1 item

General Journal

4/30/2015

30

X

205.96 205.96

205.96 205.96

Total Deposits and Credits

Total Cleared Transactions

205.96

205.96

Cleared Balance

205.96

250,786.16

Register Balance as of 03/31/2015

205.96

250,786.16

Ending Balance

205.96

250,786.16

Page 1

Ohio School Leadership Foundation

12:59 PM

Balance Sheet As of May 30, 2015

05/30/15

Accrual Basis

May 30, 15

ASSETS

Current Assets

Checking/Savings

10100 · Checking

10110 · Chase - Operating

631,925.71

631,925.71

Total 10100 · Checking

10200 · Savings

10220 · CF Savings

250,985.41

250,985.41

Total 10200 · Savings

882,911.12

Total Checking/Savings

882,911.12

Total Current Assets

TOTAL ASSETS

882,911.12

LIABILITIES & EQUITY

0.00

Page 1

Ohio School Leadership Foundation Profit & Loss Prev Year Comparison

1:00 PM

05/30/15

January 1 through May 30, 2015

Accrual Basis

Jan 1 - May 30, 15

Jan 1 - May 30, 14

$ Change

Ordinary Income/Expense Income 40000 · Donations

450.00

0.00

450.00

41000 · Workshops 41010 · Attendee

10,812.00

0.00

10,812.00

10,812.00

0.00

10,812.00

Total 41000 · Workshops

41600 · Consulting

12,400.00 1,022.06

0.00 0.00

12,400.00 1,022.06

45010 · Interest Income

24,684.06

0.00

24,684.06

Total Income

24,684.06

0.00

24,684.06

Gross Profit

Expense

60800 · Business Expenses 60810 · Bus Registration Fees

75.00

0.00

75.00

75.00

0.00

75.00

Total 60800 · Business Expenses

62700 · Payroll Expenses 62710 · Gross Wages 62720 · Payroll Taxes 62730 · FUTA Expense 62740 · SUTA Expense

44,791.74 3,426.60

0.00 0.00 0.00 0.00 0.00

44,791.74 3,426.60

50.49

50.49

301.95 -38.88

301.95 -38.88

62745 · BWC Taxes

48,531.90

0.00

48,531.90

Total 62700 · Payroll Expenses

62800 · Employee Benefits 62810 · 401(K) Expense 62820 · Dental Insurance

5,133.12 1,058.05

0.00 0.00 0.00

5,133.12 1,058.05

62850 · LTD Insurance

402.48

402.48

6,593.65

0.00

6,593.65

Total 62800 · Employee Benefits

63600 · Professional Services 63625 · Outside Consultant

11,450.00

0.00

11,450.00

11,450.00

0.00

11,450.00

Total 63600 · Professional Services

65000 · Operations 65040 · Printing and Copying

240.24 192.87

0.00 0.00

240.24 192.87

65050 · Supplies

433.11

0.00

433.11

Total 65000 · Operations

65100 · Utilities

65120 · Telephone 65130 · Internet

187.00

0.00 0.00

187.00

12.00

12.00

199.00

0.00

199.00

Total 65100 · Utilities

66000 · Travel

66010 · Transportation

907.12 842.04 262.36

0.00 0.00 0.00 0.00

907.12 842.04 262.36

66020 · Lodging 66030 · Meals 66040 · Gratuities

16.00

16.00

2,027.52

0.00

2,027.52

Total 66000 · Travel

66300 · Meetings 66320 · Meals

19.47

0.00

19.47

19.47

0.00

19.47

Total 66300 · Meetings

67000 · Workshop Expense 67010 · Room Rental 67020 · Catering Expense 67030 · Equipment Rental

19,370.38 35,909.56 4,005.15 48,189.52

0.00 0.00 0.00 0.00 0.00

19,370.38 35,909.56 4,005.15 48,189.52

67070 · Speakers Fees

67090 · Refunds

159.00

159.00

107,633.61

0.00

107,633.61

Total 67000 · Workshop Expense

Page 1

Ohio School Leadership Foundation Profit & Loss Prev Year Comparison

1:00 PM

05/30/15

January 1 through May 30, 2015

Accrual Basis

Jan 1 - May 30, 15

Jan 1 - May 30, 14

$ Change

176,963.26

0.00

176,963.26

Total Expense

-152,279.20

0.00

-152,279.20

Net Ordinary Income

Net Income

-152,279.20

0.00

-152,279.20

Page 2

Ohio School Leadership Foundation

1:01 PM

Check Detail May 1 - 30, 2015

05/30/15

Name

Account

Class

Paid Amount

Parsons, Chuck

10110 · Chase - Operating

63625 · Outside Consultant

-1,200.00 -1,200.00

TOTAL

Parsons, Chuck

10110 · Chase - Operating

63625 · Outside Consultant

-1,000.00 -1,000.00

TOTAL

Parsons, Chuck

10110 · Chase - Operating

63625 · Outside Consultant

-3,000.00 -3,000.00

TOTAL

Chase Card Services

10110 · Chase - Operating

65050 · Supplies

-45.00 -45.00

TOTAL

Doubletree

10110 · Chase - Operating

67010 · Room Rental

Organizations:OSLI:WK15OSLI Organizations:OSLI:WK15OSLI Organizations:OSLI:WK15OSLI

-5,472.00 -8,678.12

67020 · Catering Expense 67030 · Equipment Rental

-726.00

TOTAL

-14,876.12

Doubletree

10110 · Chase - Operating

67010 · Room Rental

Organizations:New Superintendents:N... Organizations:New Superintendents:N... Organizations:New Superintendents:N...

-735.68

67020 · Catering Expense 67030 · Equipment Rental

-1,442.32

-568.70

TOTAL

-2,746.70

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10110 · Chase - Operating, Period Ending 05/31/2015

12:56 PM

05/30/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

658,079.30

Cleared Transactions Checks and Payments - 5 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal

4/30/2015 5/5/2015 5/12/2015 5/12/2015 5/28/2015

2019 Chase Card Services X

-849.00

-849.00

2020 Parsons, Chuck

X X X X

-1,200.00 -14,876.12 -2,746.70 -9,743.18 -29,415.00

-2,049.00 -16,925.12 -19,671.82 -29,415.00 -29,415.00

9120... 9120...

Doubletree Doubletree

35

BASA Salary Transfer

Total Checks and Payments

Deposits and Credits - 3 items

General Journal General Journal General Journal

5/4/2015 5/18/2015 5/18/2015

31 34 33

X X X

1,500.00

1,500.00 2,400.00 7,400.00 7,400.00

900.00

5,000.00 7,400.00

Total Deposits and Credits

Total Cleared Transactions

-22,015.00

-22,015.00

Cleared Balance

-22,015.00

636,064.30

Uncleared Transactions Checks and Payments - 5 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check

3/18/2015 3/25/2015 5/18/2015 5/27/2015 5/28/2015

2012 Klenke, Jerry 2016 Klenke, Jerry 2021 Parsons, Chuck 2022 Parsons, Chuck 2023 Chase Card Services

-75.47 -18.12

-75.47 -93.59

-1,000.00 -3,000.00

-1,093.59 -4,093.59 -4,138.59 -4,138.59

-45.00

Total Checks and Payments

-4,138.59

Total Uncleared Transactions

-4,138.59

-4,138.59

Register Balance as of 05/31/2015

-26,153.59

631,925.71

Ending Balance

-26,153.59

631,925.71

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10220 · CF Savings, Period Ending 04/30/2015

12:57 PM

05/30/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

250,786.16

Cleared Transactions Deposits and Credits - 1 item

General Journal

5/29/2015

36

X

199.25 199.25

199.25 199.25

Total Deposits and Credits

Total Cleared Transactions

199.25

199.25

Cleared Balance

199.25

250,985.41

Register Balance as of 04/30/2015

199.25

250,985.41

Ending Balance

199.25

250,985.41

Page 1

Ohio School Leadership Foundation

11:35 AM

Balance Sheet As of June 30, 2015

07/01/15

Accrual Basis

Jun 30, 15

ASSETS

Current Assets

Checking/Savings

10100 · Checking

10110 · Chase - Operating

592,196.41

592,196.41

Total 10100 · Checking

10200 · Savings

10220 · CF Savings

251,205.45

251,205.45

Total 10200 · Savings

843,401.86

Total Checking/Savings

843,401.86

Total Current Assets

TOTAL ASSETS

843,401.86

LIABILITIES & EQUITY

0.00

Page 1

Ohio School Leadership Foundation Profit & Loss Prev Year Comparison

11:36 AM

07/01/15

January 1 through July 1, 2015

Accrual Basis

Jan 1 - Jul 1, 15

Jan 1 - Jul 1, 14

$ Change

Ordinary Income/Expense Income 40000 · Donations

450.00

0.00

450.00

41000 · Workshops 41010 · Attendee

10,812.00

0.00

10,812.00

10,812.00

0.00

10,812.00

Total 41000 · Workshops

41600 · Consulting

12,400.00 1,242.10

0.00 0.00

12,400.00 1,242.10

45010 · Interest Income

24,904.10

0.00

24,904.10

Total Income

24,904.10

0.00

24,904.10

Gross Profit

Expense

60100 · Automobile 60150 · Mileage

106.95

0.00

106.95

106.95

0.00

106.95

Total 60100 · Automobile

60800 · Business Expenses 60810 · Bus Registration Fees

275.00

0.00

275.00

275.00

0.00

275.00

Total 60800 · Business Expenses

62700 · Payroll Expenses 62710 · Gross Wages 62720 · Payroll Taxes 62730 · FUTA Expense 62740 · SUTA Expense

53,750.10 4,111.92

0.00 0.00 0.00 0.00 0.00 0.00

53,750.10 4,111.92

50.49

50.49

301.95 -38.88 140.90

301.95 -38.88 140.90

62745 · BWC Taxes

62750 · Payroll Processing

58,316.48

0.00

58,316.48

Total 62700 · Payroll Expenses

62800 · Employee Benefits 62810 · 401(K) Expense 62820 · Dental Insurance

10,266.24 1,058.05

0.00 0.00 0.00

10,266.24 1,058.05

62850 · LTD Insurance

402.48

402.48

11,726.77

0.00

11,726.77

Total 62800 · Employee Benefits

63600 · Professional Services 63625 · Outside Consultant

11,450.00

0.00

11,450.00

11,450.00

0.00

11,450.00

Total 63600 · Professional Services

65000 · Operations 65040 · Printing and Copying

240.24 404.38

0.00 0.00

240.24 404.38

65050 · Supplies

644.62

0.00

644.62

Total 65000 · Operations

65100 · Utilities

65120 · Telephone 65130 · Internet

280.50

0.00 0.00

280.50

18.00

18.00

298.50

0.00

298.50

Total 65100 · Utilities

66000 · Travel

66010 · Transportation

907.12 842.04 262.36

0.00 0.00 0.00 0.00

907.12 842.04 262.36

66020 · Lodging 66030 · Meals 66040 · Gratuities

16.00

16.00

2,027.52

0.00

2,027.52

Total 66000 · Travel

66300 · Meetings 66320 · Meals

19.47

0.00

19.47

19.47

0.00

19.47

Total 66300 · Meetings

67000 · Workshop Expense 67010 · Room Rental 67020 · Catering Expense 67030 · Equipment Rental

19,370.38 35,909.56 4,005.15

0.00 0.00 0.00

19,370.38 35,909.56 4,005.15

Page 1

Ohio School Leadership Foundation Profit & Loss Prev Year Comparison

11:36 AM

07/01/15

January 1 through July 1, 2015

Accrual Basis

Jan 1 - Jul 1, 15

Jan 1 - Jul 1, 14

$ Change

67060 · Supplies

458.00

0.00 0.00 0.00

458.00

67070 · Speakers Fees

71,925.16

71,925.16

67090 · Refunds

159.00

159.00

131,827.25

0.00

131,827.25

Total 67000 · Workshop Expense

216,692.56

0.00

216,692.56

Total Expense

-191,788.46

0.00

-191,788.46

Net Ordinary Income

Net Income

-191,788.46

0.00

-191,788.46

Page 2

Ohio School Leadership Foundation

11:36 AM

Check Detail June 2015

07/01/15

Name

Account

Class

Paid Amount

Center for Creative Leadership

10110 · Chase - Operating

67070 · Speakers Fees

Organizations:OSLI:WK15OSLI

-23,735.64 -23,735.64

TOTAL

HR Butler, LLC

10110 · Chase - Operating

62750 · Payroll Processing

-140.90 -140.90

TOTAL

Chase Card Services

10110 · Chase - Operating

65050 · Supplies

-50.32 -50.32

TOTAL

Klenke, Jerry

10110 · Chase - Operating

60150 · Mileage

-106.95 -106.95

TOTAL

Ohio Attorney General Mike Devine 10110 · Chase - Operating

60810 · Bus Registration Fees

-200.00 -200.00

TOTAL

Cuyahoga County ESC

10110 · Chase - Operating

67060 · Supplies 67060 · Supplies

WK15:1507A-OPES WK15:1508A-OPES

-274.80 -183.20 -458.00

TOTAL

Quill

10110 · Chase - Operating

65050 · Supplies

-161.19 -161.19

TOTAL

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10110 · Chase - Operating, Period Ending 06/30/2015

11:37 AM

07/01/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

636,064.30

Cleared Transactions Checks and Payments - 8 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check General Journal

3/25/2015 5/18/2015 5/27/2015 5/28/2015 6/1/2015 6/1/2015 6/9/2015 6/30/2015

2016 Klenke, Jerry 2021 Parsons, Chuck 2022 Parsons, Chuck

X X X

-18.12

-18.12

-1,000.00 -3,000.00

-1,018.12 -4,018.12 -4,063.12 -27,798.76 -27,939.66 -28,100.85 -42,977.15 -42,977.15

2023 Chase Card Services X 2025 Center for Creative ... X

-45.00

-23,735.64

2026 HR Butler, LLC

X X X

-140.90 -161.19

9150...

Quill

37

BASA Salary Transfer

-14,876.30 -42,977.15

Total Checks and Payments

Total Cleared Transactions

-42,977.15

-42,977.15

Cleared Balance

-42,977.15

593,087.15

Uncleared Transactions Checks and Payments - 5 items

Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check Bill Pmt -Check

3/18/2015 6/29/2015 6/29/2015 6/30/2015 6/30/2015

2012 Klenke, Jerry 2028 Klenke, Jerry

-75.47 -106.95 -50.32 -458.00 -200.00 -890.74

-75.47 -182.42 -232.74 -690.74 -890.74 -890.74

2027 Chase Card Services 2030 Cuyahoga County E... 2029 Ohio Attorney Gene...

Total Checks and Payments

Total Uncleared Transactions

-890.74

-890.74

Register Balance as of 06/30/2015

-43,867.89

592,196.41

Ending Balance

-43,867.89

592,196.41

Page 1

Ohio School Leadership Foundation Reconciliation Detail 10220 · CF Savings, Period Ending 05/31/2015

11:37 AM

07/01/15

Type

Date

Num

Name

Clr

Amount

Balance

Beginning Balance

250,985.41

Cleared Transactions Deposits and Credits - 1 item

General Journal

6/30/2015

38

X

220.04 220.04

220.04 220.04

Total Deposits and Credits

Total Cleared Transactions

220.04

220.04

Cleared Balance

220.04

251,205.45

Register Balance as of 05/31/2015

220.04

251,205.45

Ending Balance

220.04

251,205.45

Page 1

Ohio School Leadership Foundation

9:09 AM

Balance Sheet As of July 31, 2015

08/04/15

Accrual Basis

Jul 31, 15

ASSETS

Current Assets

Checking/Savings

10100 · Checking

10110 · Chase - Operating

570,679.72

570,679.72

Total 10100 · Checking

10200 · Savings

10220 · CF Savings

251,418.80

251,418.80

Total 10200 · Savings

822,098.52

Total Checking/Savings

822,098.52

Total Current Assets

TOTAL ASSETS

822,098.52

LIABILITIES & EQUITY

0.00

Page 1

Made with