District finance staff presented the October 2025 revenues and expenditures for the district's primary funds and told the board a work session would follow to address amendments and outstanding funding issues.
Keith Howard summarized financial statements for the month of October, noting the general purpose school fund (Fund 141), the federal projects fund (Fund 142), the cafeteria fund (Fund 143), and the capital projects fund (Fund 177). Howard told the board that staff are preparing for a more detailed work session to consider amendments and address state funding application changes, and that some timing has been affected by the federal government shutdown.
The presentation was given as an informational report; no action items or budget amendments were adopted at this meeting. Board members were advised that additional follow up and possible amendments may be forthcoming once state processes settle and staff complete their review.