BUDGET AND SALARY/COMPENSATION TRANSPARENCY REPORTING
INTRODUCTION
Section 18 (2) of the Public Act 94 of 1979, The State School Aid Act, has been amended, which requires each school district and intermediate school district to post certain information on its website within 30 days after a board adopts its annual operating budget or any subsequent revision to that budget. The Annual Budget & Transparency Reporting is an opportunity to communicate to our community on how we utilize the resources that are provided to us.
The following information is required to be posted on our website.
1. The annual operating budget and subsequent budget revisions.
2. Using data that has already been collected and submitted to the Michigan Department of Education (MDE), a summary of district or intermediate district expenditures for the most recent fiscal year for which they are available, expressed in the following two (2) pie charts which were provided for the general fund of the district or intermediate district by the Center for Educational Performance and Information (CEPI):
a. A chart of personnel expenditures broken down into the following subcategories:
1. Salaries and wages;
2. Employee benefit costs, including, but not limited to, medical, dental, vision, life, disability, and long term care benefits;
3. Retirement benefit costs;
4. All other personnel costs
b. A chart of all district expenditures, broken into the following subcategories:
1. Instruction;
2. Support services;
3. Business and administration;
4. Operations and maintenance
3. Links to all of the following:
a. The current collective bargaining agreement for each bargaining unit.
c. The audit report of the audit conducted for the most recent fiscal year for which it is available.
d. Bids required under the public employee health benefits act.
e. The district’s written policy governing the procurement of supplies, materials, and equipment.
f. The district’s written policy establishing specific categories of reimbursable expenses.
g. The district’s accounts payable check register.
5. The annual amount spent on dues paid to associations.
6. The annual amount spent on lobbying services.
7. Any deficit elimination plan the district was required to submit.
10. 5D Teacher Evaluation Postings and Assurances
11a. Administration Evaluation Tool
11c. School Advance Implementation Fidelity Document
12. Return to School Learning Plans
a. School Learning Goals and Progress Report For 2022-23
c. Pentwater COVID Return to School Plan
d. Weekly Student Interaction Rate
e. Pentwater Extended COVID-19 Learning Training Report
f. Pentwater Extended COVID-19 Learning Goal Reporting
g. Pentwater EOY Extended COVID-19 Learning Goal Reporting
h. American Rescue Plan - ESSER III
13. 23g MI Kids Back on Track Grant