This session is intended to cover new topics in school district accounting and auditing including the implementation of GASB Statements on fiduciary funds, student activities, and leases.
How do you know what your obligations are and how can you manage the unique needs during this time. Brenna, Megan and Annie talk through simplifying what steps you need to be taking and how you can support your employees and protect your organization.
This session will address CRF, ESSER and GEER funds, including general information, guidelines and timelines, as well as reviewing the application process.
In addition to her LTFM work, Sarah is now leading the COVID-19 Response Center. In this sessions she will share some of the general resources available, as well as specific information and insights regarding cleaning supplies, your facilities, and LTFM.
Large virtual meetings create a new set of challenges. Hear tips how to most effectively run large meetings, and learn the best tools to maximize engagement for the attendees.
This session provides updates and answers to frequent questions on general leave and accommodation issues resulting from COVID-19 impacts. This includes FMLA public health emergency leave and emergency paid sick leave under FFCRA, as well as addressing suspected COVID-19 illness in the workplace.
This session provides the process and benefits of creating and maintaining a Cashflow Spreadsheet. A Sample Cashflow Spreadsheet is provided for you to get started and from the Sample Cashflow Spreadsheet you will be able to create a Spreadsheet specific to your school district’s cash flow needs.
A group of southern Minnesota business managers were discussing the many impacts of the coronavirus on their districts, and the result was a list of “Gains and Losses.” Tom shares this framework and how he has applied it to his work in his own district, and will facilitate a group discussion of possible impacts for your district now and in the future.