Topics will include bus types and sizes, bus maintenance, owning vs. contracting, contract specification, purchasing laws, safety programs and fuel storage. Year-end allocation (mileage vs. routes, other funding sources), and calculating rates and chargebacks will also be covered.
This session will discuss in detail the different kinds of investments available to school districts, along with liquidity, investment policy and Minnesota legal requirements. Cash flow management strategies will also be reviewed, including short term borrowing and arbitrage.
The MASBO Legislative Conference provides an overview of outcomes from the legislative session, giving members a true “head’s up” on what to expect in the coming year. The Conference will also be recorded and available to members following the event.
This resource has been developed to provide assistance for understanding the statutes and navigating the programs from the 2023 legislative session. It includes resources on each of the following statutes/programs: READ Act, Paraprofessional Training Reimbursement Aid, School Support Personnel Aid, Literacy Incentive Aid, ALC Transportation Aid, Buildings & Cyber Grants and School Library Aid.
Price:
$0.00
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$50.00
Thu, Dec 21, 2023 - 08:00am to Tue, Dec 31, 2024 - 04:00pm CST
Changes in the COVID-19 requirements are continuing to impact public schools. As we navigate into a second year of COVID-19, there continues to be reactive response requirements for businesses and schools. This presentation will cover the current pandemic focuses impacting the operation of school districts and identify guidance on how to plan and navigate.
With all of the questions around draw deadlines and the new Maintenance of Equity requirements, a webinar will be held at 10:30am on December 8 to provide some clarification and answer your questions.
When new school board members are elected, it is an opportunity to build relationships that will be beneficial to all. Steve Anderson, Business Manager at Proctor Schools, will share his experiences and suggestions on how to create these important connections.
This webinar will provide the process and benefits of creating and maintaining a cash flow spreadsheet. Participants will learn the basics with regards to knowing their school district’s cash flows, understanding liquidity needs, and analyzing cash flows for a future borrowing need or investment opportunity. Presented by Danny Nelson, Director, PFM Asset Management.