March 2026 Revenue Status Report.pdf (87 KB)
report
4 pages
From the meeting:
Board of Education — 2026-06-04
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Agenda item: Treasurer's Reports -- March 2026
Report / study, 4 pages. Attached to agenda item: “Treasurer's Reports -- March 2026”
Retrieved 2026-09-08 from the village's meeting portal.
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Also attached to this agenda item:
March 2026 Appropriation Status Report (70 KB)
March 2026 Budget Transfer Report (82 KB)
March 2026 Treasurer's Report (725 KB)
March 2026 Trial Balance (78 KB)
Student Activties January - March 2026 (640 KB)
Treasurer's Reports -- March 2026
Extracted text
Croton-Harmon UFSD
Revenue Status Report By Function From 7/1/2025 To 3/31/2026
Account
Description
Budget
Adjustments
Revised Budget
Revenue Earned
Unearned Revenue
A 1001.000
Real Property Taxes
45,422,572.00
-1,682,161.08
43,740,410.92
43,740,410.92
0.00
A 1081.000
Other Pmts in Lieu of Taxes
44,702.00
0.00
44,702.00
44,702.00
0.00
A 1085.000
STAR Reimbursement
0.00
1,682,161.08
1,682,161.08
1,682,161.08
0.00
A 1120.000
County Sales Tax Revenue
975,000.00
0.00
975,000.00
814,289.00
160,711.00
A 1311.000
Other Day School Tuition (Indv
130,000.00
0.00
130,000.00
379,832.71
-249,832.71
A 2389.000
Charges for Services - Other miscealleous
Revenues
0.00
0.00
0.00
554.24
-554.24
A 2401.000
Chase MM INTEREST
300,000.00
0.00
300,000.00
69,426.48
230,573.52
A 2401.020
NYCLASS GF INTEREST
0.00
0.00
0.00
352,101.21
-352,101.21
A 2401.021
NYCLASS WORKERS' COMP INTEREST
0.00
0.00
0.00
11,904.48
-11,904.48
A 2401.022
NYCLASS UNEMPLOYMENT INSURANCE
NTEREST
0.00
0.00
0.00
6,581.98
-6,581.98
A 2401.023
NYCLASS ERS INTEREST
0.00
0.00
0.00
48,301.51
-48,301.51
A 2401.024
NYCLASS TRS INTEREST
0.00
0.00
0.00
56,787.75
-56,787.75
A 2401.025
NYCLASS LIABILITY INTEREST
0.00
0.00
0.00
29,973.89
-29,973.89
A 2401.026
NYCLASS TAX CERT INTEREST
0.00
0.00
0.00
79,938.23
-79,938.23
A 2401.027
NYCLASS CAPITAL INTEREST
0.00
0.00
0.00
140,981.52
-140,981.52
A 2401.028
NYCLASS EBLAR INTEREST
0.00
0.00
0.00
15,823.28
-15,823.28
A 2401.029
NYCLASS CAPITAL TRANSPORTATION
INTEREST
0.00
0.00
0.00
53,276.14
-53,276.14
A 2401.031
NYCLASS REPAIR RESERVE INTEREST
0.00
0.00
0.00
6,098.31
-6,098.31
A 2410.000
Rental of Real Property,Indiv.
5,000.00
0.00
5,000.00
13,512.50
-8,512.50
A 2410.004
Rental of Property - Croton Academy of Arts
25,000.00
0.00
25,000.00
22,400.00
2,600.00
A 2410.005
Rental of Property - LEAP FC LLC
12,000.00
0.00
12,000.00
21,800.00
-9,800.00
A 2650.000
Sale Scrap & Excess Material
2,000.00
0.00
2,000.00
520.00
1,480.00
A 2665.000
Sale of Equipment
0.00
0.00
0.00
5,141.50
-5,141.50
A 2680.000
Insurance Recoveries-Trans Rel
0.00
0.00
0.00
19,015.20
-19,015.20
A 2680.001
Insurance Recoveries- Other
7,500.00
0.00
7,500.00
3,187.00
4,313.00
A 2690.001
COMP/LOSS WORKERS COMP
5,000.00
0.00
5,000.00
2,405.00
2,595.00
A 2701.000
BOCES Svs Approved for Aid
45,000.00
0.00
45,000.00
0.00
45,000.00
A 2703.000
Refund PY Exp-Other-Not Trans
100,000.00
0.00
100,000.00
265,833.44
-165,833.44
A 2705.000
Gifts and Donations
0.00
1,000.00
1,000.00
1,000.00
0.00
A 2710.000
Premium on Obligations
0.00
0.00
0.00
178.00
-178.00
A 2770.000
Other Unclassified Rev.(Spec)
5,000.00
0.00
5,000.00
35,133.39
-30,133.39
05/27/2026 08:31 AM
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Page
Croton-Harmon UFSD
Revenue Status Report By Function From 7/1/2025 To 3/31/2026
Account
Description
Budget
Adjustments
Revised Budget
Revenue Earned
Unearned Revenue
A 3101.000
Basic Formula Aid-Gen Aids (Ex
6,846,131.00
0.00
6,846,131.00
5,300,475.59
1,545,655.41
A 3101.100
EXCESS COST AID
1,008,172.00
0.00
1,008,172.00
706,212.75
301,959.25
A 3102.000
Lottery Aid (Sect 3609a Ed Law
1,285,245.00
0.00
1,285,245.00
1,288,576.39
-3,331.39
A 3102.100
LOTTERY/VLT GRANT
275,964.00
0.00
275,964.00
276,283.44
-319.44
A 3102.200
COMMERCIAL GAMING
32,862.00
0.00
32,862.00
32,900.44
-38.44
A 3103.000
BOCES Aid (Sect 3609a Ed Law)
642,609.00
0.00
642,609.00
158,828.00
483,781.00
A 3260.000
Textbook Aid (Incl Txtbk/Lott)
94,365.00
0.00
94,365.00
95,239.00
-874.00
A 3262.000
Computer Software Aid
36,519.00
0.00
36,519.00
36,519.00
0.00
A 3263.000
Library A/V Loan Program Aid
9,794.00
0.00
9,794.00
9,793.00
1.00
A 3289.000
Other State Aid
0.00
8,219.00
8,219.00
8,219.00
0.00
A 4601.000
Medic.Ass't-Sch Age-Sch Yr Pro
20,000.00
0.00
20,000.00
18,889.80
1,110.20
A 5999.000
APP FUND BAL
2,465,615.00
0.00
2,465,615.00
0.00
2,465,615.00
A 5999.001
APP FUND BAL - RESERVES
1,200,000.00
0.00
1,200,000.00
0.00
1,200,000.00
9,219.00
60,996,050.00
61,005,269.00
5,150,061.83
55,855,207.17
A Totals:
C 1440.000
Sale Reimbursable Meals (Total
0.00
400,000.00
400,000.00
0.00
400,000.00
C 1445.000
Other Cafeteria Sales
0.00
245,000.00
245,000.00
124,894.86
120,105.14
C 1445.001
VENDING COMMISIONS
0.00
0.00
0.00
10,344.84
-10,344.84
C 2770.000
Misc Rev Local Sources (Specif
0.00
0.00
0.00
-10.76
10.76
C 3190.000
State Reimbursement
0.00
110,000.00
110,000.00
350,286.00
-240,286.00
C 4190.000
Fed Reimbursement (Ex Surp Fd)
0.00
200,000.00
200,000.00
114,150.00
85,850.00
C 4191.000
Federal Govt Commodities
0.00
30,000.00
30,000.00
0.00
30,000.00
C 5031.000
Transfer from General Fund
0.00
30,000.00
30,000.00
0.00
30,000.00
1,015,000.00
0.00
1,015,000.00
415,335.06
599,664.94
C Totals:
CM 2401.001
Interest and Earnings - SAF (Extraclassroom)
0.00
0.00
0.00
82.59
-82.59
CM 2401.024
Interest-Various/VCTC
0.00
0.00
0.00
153.21
-153.21
CM 2401.026
Interest-Bencivenga
0.00
0.00
0.00
4.72
-4.72
CM 2401.028
Interest-R&J Seldin
0.00
0.00
0.00
2.84
-2.84
CM 2401.029
Interest-MA Miller School
0.00
0.00
0.00
48.88
-48.88
CM 2401.030
Interest-M DeGroat Schol Fund
0.00
0.00
0.00
77.03
-77.03
CM 2401.031
F Perez Interest
0.00
0.00
0.00
61.32
-61.32
CM 2401.034
Interest Pezanowski Schol
0.00
0.00
0.00
6.19
-6.19
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Page
Croton-Harmon UFSD
Revenue Status Report By Function From 7/1/2025 To 3/31/2026
Account
Description
Budget
Adjustments
Revised Budget
Revenue Earned
Unearned Revenue
CM 2705.024
Various/VCTC
0.00
0.00
0.00
17,939.00
-17,939.00
CM 2770.202.5
SAF Receipts - CHHS Class of 2025
0.00
0.00
0.00
-89.00
89.00
CM 2770.202.6
SAF Receipts - CHHS Class of 2026
0.00
2,562.19
2,562.19
2,562.19
0.00
CM 2770.202.7
SAF Receipts - CHHS Class of 2027
0.00
3,950.00
3,950.00
3,955.00
-5.00
CM 2770.202.8
SAF Receipts - CHHS Class of 2028
0.00
876.00
876.00
876.00
0.00
CM 2770.202.9
SAF Receipts - CHHS Class of 2029
0.00
1,050.00
1,050.00
1,035.00
15.00
CM 2770.210.0
SAF Receipts - CHHS Fall Drama Club
0.00
3,461.00
3,461.00
3,461.00
0.00
CM 2770.217.0
SAF Receipts - CHHS La Rochelle
0.00
38,400.00
38,400.00
41,000.00
-2,600.00
CM 2770.218.0
SAF Receipts - CHHS National Honor Society
0.00
461.60
461.60
461.60
0.00
CM 2770.222.0
SAF Receipts - CHHS Spanish Exchange
0.00
2,600.00
2,600.00
2,600.00
0.00
CM 2770.232.0
SAF Receipts - CHHS Chinese Club
0.00
1,300.00
1,300.00
1,300.00
0.00
CM 2770.239.0
SAF Receipts - CHHS Band
0.00
18,737.35
18,737.35
18,737.35
0.00
CM 2770.243.0
SAF Receipts - CHHS Strings
0.00
1,302.65
1,302.65
1,302.65
0.00
CM 2770.401.0
SAF Receipts - PVC Drama Club
0.00
539.00
539.00
7,361.00
-6,822.00
CM 2770.408.0
SAF Receipts - PVC Quebec Club
0.00
921.17
921.17
921.17
0.00
CM 2770.409.0
SAF Receipts - PVC Ski Club
0.00
10,854.00
10,854.00
10,854.00
0.00
87,014.96
0.00
87,014.96
-27,698.78
114,713.74
CM Totals:
F 2770.CET.23
Misc. Revenue NY Life CET Donations 22/23
900.00
0.00
900.00
0.00
900.00
F 2770.CET.24
Misc. Revenue NY Life CET Donations 23/24
2,856.99
0.00
2,856.99
0.00
2,856.99
F 2770.CHF
Misc. Revenue CHEF
36.15
0.00
36.15
0.00
36.15
F 2770.CHF.21
Misc. Revenue CHEF 20/21
314.76
0.00
314.76
0.00
314.76
F 2770.CHF.23
Misc. Revenue CHEF 22/23
1,624.68
0.00
1,624.68
0.00
1,624.68
F 2770.CHF.24
Misc. Revenue CHEF 23/24
7,526.40
0.00
7,526.40
0.00
7,526.40
F 2770.CHF.25
Misc. Revenue CHEF 24/25
297.76
0.00
297.76
0.00
297.76
F 2770.CHF.26
Misc. Revenue CHEF 25/26
6,260.00
0.00
6,260.00
11,738.00
-5,478.00
F 3289.SHP.26
Summer Handicapped 25/26
86,071.63
0.00
86,071.63
32,093.02
53,978.61
F 3289.UPK.26
State UPK 25/26
300,132.00
0.00
300,132.00
150,066.00
150,066.00
F 4126.IAD.25
Title I 24/25
4,226.00
0.00
4,226.00
0.00
4,226.00
F 4126.IAD.26
Title I 25/26
51,888.00
0.00
51,888.00
0.00
51,888.00
F 4256.611.26
Sec 611 25/26
364,270.00
0.00
364,270.00
0.00
364,270.00
F 4256.619.26
619 25/26
9,071.00
0.00
9,071.00
0.00
9,071.00
F 4289.IIA.26
Title II A 25/26
22,009.00
0.00
22,009.00
0.00
22,009.00
05/27/2026 08:31 AM
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Page
Croton-Harmon UFSD
Revenue Status Report By Function From 7/1/2025 To 3/31/2026
Account
Description
Budget
Adjustments
Revised Budget
Revenue Earned
Unearned Revenue
F 4289.LEP.25
Title IIIA 24/25
16,709.00
0.00
16,709.00
14,477.00
2,232.00
F 4289.LEP.26
Title IIIA 25/26
32,670.00
0.00
32,670.00
0.00
32,670.00
F 4289.TIV.26
Title IV 25/26
10,000.00
0.00
10,000.00
0.00
10,000.00
0.00
916,863.37
916,863.37
708,489.35
208,374.02
F Totals:
H 2401.000
Cap. Res. Interest and Earning
0.00
0.00
0.00
40,355.77
-40,355.77
H 3297.000
STATE SOURCES
0.00
200,000.00
200,000.00
200,000.00
0.00
H 5031.000
Interfund Transfers
0.00
0.00
0.00
111,075.15
-111,075.15
H 5731.000
BOND ANTICIPATION NOTES
0.00
0.00
0.00
171,477.00
-171,477.00
200,000.00
0.00
200,000.00
-322,907.92
522,907.92
H Totals:
V 2401.000
Interest and Earnings
0.00
0.00
0.00
7,102.47
-7,102.47
0.00
0.00
0.00
-7,102.47
7,102.47
V Totals:
63,224,147.33
61,912,913.37
1,311,233.96
5,916,177.07
Grand Totals:
57,307,970.26
05/27/2026 08:31 AM
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Page
Machine-extracted for search and reference — the original PDF is the authoritative version.