Frederick Area School District – Notice of Hearing for FY 27 Budget


NOTICE OF HEARING FOR THE FISCAL YEAR 2027 BUDGET

Notice is hereby given that the School Board of the Frederick Area School District 6-2 will conduct a public hearing at the Frederick School Library in Frederick, South Dakota on Monday the 13th of July, 2026, at 6:45 P.M. for the purpose of considering the foregoing Proposed Budget for the fiscal year July 1, 2026 through June 30, 2027, and its supporting data. Shauna Severson, Business Manager, Frederick Area School District #6-2, Frederick, South Dakota

EXPENDITURES GENERAL CAPITAL OUTLAY SPECIAL EDUCATION FOOD SERVICE DRIVERS EDUCATION TOTAL
   Elementary Programs $465,499 $21,479 $486,978
   Middle/Junior High Programs $231,572 $6,230 $237,802
   High School Programs $302,409 $178,490 $480,899
   Preschool Programs $65,272 $65,272
   Special Education Programs $275,294 $275,294
   Title I Program $85,948 $85,948
   Guidance Services $71,341 $71,341
   Psychological Services $4,886 $4,886
   Speech Pathology Services $12,659 $12,659
   Student Therapy Services $44,000 $44,000
   Improvement of Instruction Services $3,500 $3,500
   Educational Media Services $121,349 $34,848 $156,197
   Board of Education Services $130,109 $130,109
   Office of the Superintendent Services $188,079 $188,079
   Office of the Principal Services $97,537 $97,537
   Title I Program Administration $100 $100
   Other Support Services $200 $200
   Fiscal Services $114,241 $6,500 $120,741
   Facilities Acquision and Construction Services $15,000 $15,000
   Operation & Maintenance of Plant Services $253,360 $30,200 $283,560
   Student Transportation Services $169,095 $103,000 $272,095
   Food Services $9,884 $137,701 $147,585
   Special Education Administrative Costs $19,816 $19,816
   Special Education Transportation Costs $200 $200
   Special Education Transportation Costs $0
   Other Community Services $4,125 $4,125
   Male Activities $39,942 $6,725 $46,667
   Female Activities $20,171 $20,171
   Activity Transportation $11,365 $11,365
   Combined Activities $88,084 $8,000 $96,084
   Contingencies $10,000 $10,000
   Transfers Out to General Fund $283,259 $283,259
   Transfers Out to Food Service $61,201 $61,201
   Transfers Out to Drivers Education $2,725 $2,725
TOTAL EXPENDITURES $2,542,983 $693,731 $356,855 $137,701 $4,125 $3,735,395
MEANS OF FINANCE GENERAL CAPITAL OUTLAY SPECIAL EDUCATION FOOD SERVICE DRIVERS EDUCTION TOTAL
   Local Sources $1,185,076 $635,963 $152,000 $51,500 $1,400 $2,025,939
   Intermediate Sources $7,900 $7,900
   State Sources $809,336 $50,487 $800 $860,623
   Federal Sources $104,398 $25,000 $129,398
TOTAL REVENUE $2,106,710 $686,450 $152,800 $76,500 $1,400 $3,023,860
   Transfers in from General Fund $61,201 $2,725 $63,926
   Transfers In from Capital Outlay $283,259 $283,259
TOTAL INTER-FUND TRANSFERS $283,259 $61,201 $2,725 $347,185
CASH RESERVES $153,014 $7,281 $204,055 $364,350
TOTAL MEANS OF FINANCE $2,542,983 $693,731 $356,855 $137,701 $4,125 $3,735,395

Published once on July 9, 2026, at the total approximate cost of $96.69 and may be viewed free of charge at www.sdpublicnotices.com and www.aberdeeninsider.com