Financial Documents
2023
Filename:
Petty-Cash-Report-March-2023.xlsx
Description:
March Petty Cash Report
Filename:
Petty-Cash-Report-February-2023.xlsx
Description:
February Petty Cash Reports
Filename:
Petty-Cash-Report-January-2023.xlsx
Description:
Petty Cash Report January 2023
Filename:
Service-Contracts-Winter-Spring-2022-to-20231.pdf
Description:
Service Contracts Winter Spring 2022 to 2023
Filename:
TFSD-Payroll-Expenditures-2022-2023.pdf
Description:
TFSD payroll expenditures 2022-2023
Filename:
TFSD-Expenditures-2022-2023.pdf
Description:
TFSD expenditures for the 2022-2023 school year
Filename:
Service-Contracts-Winter-Spring-2022-to-2023.pdf
Description:
Service Contracts Winter Spring 2022 to 2023
Filename:
Petty-Cash-Report-December-2022.xlsx
Description:
Petty Cash Report December 2022
Filename:
Petty-Cash-Report-November-2022.xlsx
Description:
Petty Cash Report November 2022
Filename:
Petty-Cash-Report-October-2022.xlsx
Description:
Petty Cash Report October 2022
Filename:
combined-22-23.pdf
Description:
2022
Filename:
Service-Contracts-Summer-Fall-2022.pdf
Description:
Service Contracts Summer and Fall 2022
Filename:
MERGED-ADMINISTRATOR-CONTRACTS-22.23.pdf
Description:
Filename:
5900-Collective-Bargaining-Agreement-2022-23-FINAL.pdf
Description:
Filename:
Petty-Cash-Report-September-2022.xlsx
Description:
Petty Cash Report September 2022
Filename:
Petty-Cash-Report-August-2022.xlsx
Description:
Petty Cash Report August 2022
Filename:
Petty-Cash-Report-July-2022.xlsx
Description:
Petty Cash Report July 2022
Filename:
Petty-Cash-Report-June-2022.xlsx
Description:
Petty Cash Report June 2022
Filename:
2023-Original-Budget-Doc.pdf
Description:
2022-2023 Original Budget
Filename:
2022-Amended-Budget-Doc.pdf
Description:
2021-2022 Amended Budget
Filename:
Twin-Falls-School-District-Financial-Statements-6-30-22.pdf
Description:
Filename:
2021-2022-Payroll.pdf
Description:
Payroll for the 2021-2022 school year.
Filename:
2021-2022-Expenditures.pdf
Description:
Expenditures for the 2021-2022 school year.
Filename:
Petty-Cash-Report-May-2022.xlsx
Description:
Petty Cash Report May 2022
Filename:
Service-Contracts-2022.pdf
Description:
Service Contracts for 2022
Filename:
Petty-Cash-Report-April-20221.xlsx
Description:
Petty Cash Report April 2022
Filename:
Petty-Cash-Report-March-2022.xlsx
Description:
Petty Cash Report March 2022
Filename:
Petty-Cash-Report-February-2022.xlsx
Description:
Petty Cash Report 2022
Filename:
Petty-Cash-Report-January-2022.xlsx
Description:
Petty Cash Report January 2022
Filename:
Pettty-Cash-Report-December-2021.xlsx
Description:
Petty Cash Report December 2021
2021
Filename:
MERGED-ADMINISTRATOR-CONTRACTS-21.22.pdf
Description:
Filename:
21.22-MERGED-certified-amendments.pdf
Description:
Filename:
5900-Collective-Bargaining-Agreement-2021-22-FINAL.pdf
Description:
Filename:
Administrators-amended-contracts-2021-2022.pdf
Description:
Filename:
Petty-Cash-Report-November-2021.xlsx
Description:
Petty Cash Report 2021
Filename:
Service-Contracts-2021.pdf
Description:
Service Contracts Summer/Fall 2021
Filename:
Twin-Falls-School-District-Financial-Statements-6-30-21.pdf
Description:
Board approved audit report for the year ended 30 June 2021.
Filename:
2021-2022-Original-Budget2.pdf
Description:
2021-2022 Board Approved Original Budget
Filename:
2020-2021-Amended-Budget2.pdf
Description:
Board approved amended budget for fiscal year 2020-2021
Filename:
2020-2021-Expenditures.pdf
Description:
Twin Falls School District #411 expenditures for the 2020-2021 school year.
Filename:
2020-2021-Payroll.pdf
Description:
Twin Falls School District #411 payroll for the 2020-2021 school year.
Filename:
Petty-Cash-Report-April-2021.pdf
Description:
Petty Cash Report 2021
Filename:
Petty-Cash-Report-March-20211.pdf
Description:
Petty Cash Report March 2021
Filename:
Service-Contracts-Spring-20211.pdf
Description:
Service Contracts Spring 2021
Filename:
Petty-Cash-Report-January-2021.xlsx
Description:
Building Level Petty Cash Reports
Filename:
Service-Contracts-Winter-2020.pdf
Description:
Service Contracts Winter 20-21
2020
Filename:
5900-2020-2021-Collective-Bargaining-Agreement-2020-21-FINAL.pdf
Description:
Filename:
Petty-Cash-December-2020.xlsx
Description:
Building Level Petty Cash Report
Filename:
Petty-Cash-Report-November-2020.xlsx
Description:
Petty Cash Report November 2020
Filename:
Twin_Falls_School_Dist_June.30.2020_Audit_Report1.pdf
Description:
Audited financial statements for the Twin Falls School District 411 for the 2019-2020 school year.
Filename:
Petty-Cash-Report-October-2020.xlsx
Description:
Petty Cash Report 2020
Filename:
Petty-Cash-Report-September-2020.xlsx
Description:
Petty Cash for September 2020
Filename:
Petty-Cash-Report-August-2020.xlsx
Description:
Petty Cash for August 2020
Filename:
Petty-Cash-Report-July-2020.xlsx
Description:
Petty Cash for July 2020
Filename:
Service-Contracts-Fall-20201.pdf
Description:
Service Contracts
Filename:
1combined-all-contracts.pdf
Description:
Filename:
Petty-Cash-Report-June-2020.xlsx
Description:
Petty Cash Receipts by location for June 2020
Filename:
Petty-Cash-report-May-2020.xlsx
Description:
Petty Cash Receipts by location for May 2020
Filename:
Petty-Cash-Report-April-2020.xlsx
Description:
Petty Cash Receipts by location for April 2020
Filename:
2020-Summer.docx
Description:
2020 Contracts
Filename:
2020-2021-Budget.pdf
Description:
Approved original budget for the 2020-2021 school year.
Filename:
Amended-Budget-Document-2019-2020.pdf
Description:
Board approved amended budget for the 2019-2020 school year.
Filename:
June-Expenditures-20201.pdf
Description:
Expenditures for June 2020
Filename:
2019-2020-Payroll.pdf
Description:
Payroll for the 2019-2020 school year
Filename:
2019-2020-Expenditures.pdf
Description:
Detail of expenditures for Twin Falls School District 411 for the 2019-2020 school year.
Filename:
May-Expenditure-Report.pdf
Description:
Expenditures for May 2020
Filename:
2020-Spring.pdf
Description:
Filename:
April-Expenditure-Report.pdf
Description:
Expenditure report for April 2020, copies of payable vouchers.
Filename:
Petty-Cash-Reports-March-2020.pdf
Description:
Filename:
Petty-Cash-Reports-February-2020.pdf
Description:
Filename:
Petty-Cash-Reports-January-2020.pdf
Description:
Filename:
March-Expenditure-Reports.pdf
Description:
Expenditures for March 2020
Filename:
2020-Spring.pdf
Description:
Filename:
February-Payable-Vouchers-2020.pdf
Description:
Expenditures for the month of February 2020
Filename:
January-Expenditure-Report-2020.pdf
Description:
Expenditures for the month of January 2020
Filename:
December-Expenditure-Report.pdf
Description:
December 2019 Expenditure Report
2019
Filename:
5900-Collective-Bargaining-Agreement-2019-20.pdf
Description:
Filename:
Petty-Cash-Reports-December-2019.pdf
Description:
Filename:
ALL-CONTRACTS.pdf
Description:
Filename:
November-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for November 2019
Filename:
November-Expenditures-2019.pdf
Description:
Expenditures for November 2019
Filename:
October-Payables.pdf
Description:
Expenditures for the month of October 2019
Filename:
October-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for October 2019
Filename:
September-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for September 2019
Filename:
August-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for August 2019
Filename:
June-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for June 2019
Filename:
May-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for May 2019
Filename:
Twin_Falls_School_Audit_20191.pdf
Description:
2018-2019 board approved audit report
Filename:
Fall-2019.pdf
Description:
Filename:
September-Payables.pdf
Description:
September 2019 Expenditure Report
Filename:
August-2019-Expenditure-Report.pdf
Description:
Expenditures for the month of August 2019
Filename:
Summer-2019-3.pdf
Description:
Filename:
July-2019-Expenditure-Report.pdf
Description:
Expenditures July 2019
Filename:
Summer-2019-2.pdf
Description:
Filename:
Summer-2019.pdf
Description:
Filename:
June-2019-Expenditure-Report.pdf
Description:
Expenditures for June 2019
Filename:
2018-2019-Payroll.pdf
Description:
Payroll activity for the 2018-2019 school year
Filename:
Original-Budget-Document-2019-2020.pdf
Description:
Approved original budget for the 2019-2020 school year.
Filename:
budget.pdf
Description:
Approved amended budget for the 2018-2019 school year.
Filename:
May-2019-Expenditure-Report.pdf
Description:
School District 411 Expenditures for May 2019
Filename:
April-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for April 2019
Filename:
March-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for March 2019
Filename:
February-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for February 2019
Filename:
January-2019.pdf
Description:
Petty Cash Reports for all TFSD Buildings for January 2019
Filename:
April-2019-Purchasing-Vouchers.pdf
Description:
April 2019 Expenditure Report
Filename:
Purchasing-Vouchers-March-2019.pdf
Description:
Expenditures for March 2019
Filename:
Expenditure-Report-February-2019.pdf
Description:
Expenditure details for the month of February 2019
Filename:
January-2019-Expenditure-Report.pdf
Description:
Expenditures for the month of January 2019
Filename:
2018-2019-Service-Contracts-compressed.pdf
Description:
2018-19 Service Contracts
2018
Filename:
5900-Collective-Bargaining-Agreement-2018-19.pdf
Description:
Filename:
December-2018-Expenditure-Report.pdf
Description:
Expenditures for the month of December 2018
Filename:
Description:
Original Budget for the 2018-2019 fiscal year
Filename:
2017-2018-Amended-Twin-Falls-School-District-411-Budget.pdf
Description:
Amended Budget for the 2017-2018 fiscal year
Filename:
2017-2018-Annual-Report-Document.pdf
Description:
Annual Report for the 2017-2018 fiscal year
Filename:
December-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for December 2018
Filename:
November-2018-Expenditure-Report.pdf
Description:
Expenditures for the month of November 2018
Filename:
2017-2018-Audit.pdf
Description:
The complete annual audit for the fiscal year ended 30 June 2018
Filename:
November-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for November 2018
Filename:
October-2018-Purchasing-Voucher.pdf
Description:
Expenditures for October 2018
Filename:
October-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for October 2018
Filename:
Purchasing-Vouchers-09-2018.pdf
Description:
Expenditures for September 2018
Filename:
September-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for September 2018
Filename:
Purchasing-Vouchers-08-2018.pdf
Description:
Purchasing vouchers in August 2018
Filename:
Purchasing-Vouchers-07-2018.pdf
Description:
Purchasing vouchers in July 2018
Filename:
August-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for August 2018
Filename:
2017-2018-Payroll.pdf
Description:
Payroll for the 2017-2018 school year
Filename:
July-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for July 2018
Filename:
Purchasing-Vouchers-06-2018.pdf
Description:
Filename:
Description:
2018-19 Service Contracts
Filename:
June-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for June 2018
Filename:
May-2018.pdf
Description:
Filename:
MAY-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for May 2018
Filename:
April-2018.pdf
Description:
Filename:
April-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for April 2018
Filename:
March-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for March 2018
Filename:
Feburary-2018.pdf
Description:
Filename:
February-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for February 2018
Filename:
January-2018.pdf
Description:
Filename:
January-2018.pdf
Description:
Petty Cash Reports for all TFSD Buildings for January 2018
2017
Filename:
5900-MASTER-CBA-2017-18-5-17-17.pdf
Description:
Filename:
December-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for December 2017
Filename:
December-2017.pdf
Description:
Filename:
November-2017.pdf
Description:
Filename:
November-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for November 2017
Filename:
Employee-Contracts-17-18.pdf
Description:
Filename:
October-2017-Payables.pdf
Description:
October 2017 Payables
Filename:
October-2017-Payroll.pdf
Description:
October 2017 Payroll
Filename:
16-17-Annual-Report-for-SDE.pdf
Description:
2016 - 2017 Annual Report
Filename:
Twin-Falls-School-District-No.-411-2017-Audit.pdf
Description:
June 30 2017 Audit
Filename:
October-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for October 2017
Filename:
September-2017-Payables.pdf
Description:
September 2017 Payables
Filename:
Sept-17-Payroll.pdf
Description:
September 2017 Payroll
Filename:
September-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for September 2017
Filename:
July-2017-Payroll-for-16-17-year.pdf
Description:
July 2017 Payroll for 16-17 school year
Filename:
August-2017-payroll-for-16-17-year.pdf
Description:
August 2017 Payroll for 16-17 school year
Filename:
August-2017-Payroll.pdf
Description:
August 2017 Payroll
Filename:
August-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for August 2017
Filename:
2017-2018-Budget.pdf
Description:
2017-2018 Annual Budget
Filename:
2016-2017-Amended-Budget.xlsx
Description:
2016-2017 Amended Budget
Filename:
July-2017-Payables.pdf
Description:
July 2017 Payables
Filename:
July-2017-Payroll.pdf
Description:
July 2017 Payroll
Filename:
July-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for July 2017
Filename:
23-June-2017-Payroll.pdf
Description:
June 2017 Payroll
Filename:
June-2017-Payables.pdf
Description:
June 2017 Payables
Filename:
June-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for June 2017
Filename:
May-2017-Payables.pdf
Description:
May 2017 Payables
Filename:
25-May-2017-Payroll.pdf
Description:
May 25, 2017 Payroll
Filename:
May-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for May 2017
Filename:
25-April-2017.pdf
Description:
April 2017 Payroll
Filename:
April-2017-Payables.pdf
Description:
April 2017 Payables
Filename:
April-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for April 2017
Filename:
March-2017-Payables.pdf
Description:
March 2017 Payables
Filename:
16-March-2017-Payroll.pdf
Description:
March 2017 Payroll
Filename:
March-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for March 2017
Filename:
February-2017-Payables.pdf
Description:
February 2017 Payables
Filename:
24-February-2017-Payroll.pdf
Description:
February 2017 Payroll
Filename:
2017-18-contracts.compressed.pdf
Description:
2017-18 Service Contracts
Filename:
February-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for February 2017
Filename:
Janaury-2017-Payables.pdf
Description:
January 2017 Payables
Filename:
25-January-2017-Payroll.pdf
Description:
January 2017 Payroll
Filename:
January-2017.pdf
Description:
Petty Cash Reports for all TFSD Buildings for January 2017
2016
Filename:
upload1.pdf
Description:
2016 - 2017 Service Contracts
Filename:
2017-Original-Budget-filed-with-the-SDE.xlsx
Description:
2016-2017 Original Budget
Filename:
2016-Amended-Budget-filed-with-the-SDE.xlsx
Description:
2015-2016 Amended Budget
Filename:
December-2016-Payables.pdf
Description:
December 2016 Payables
Filename:
16-December-2016-Payroll.pdf
Description:
December 2016 Payroll
Filename:
Annual-Report-Filed-with-State-Department-of-Education-2015-2016.pdf
Description:
Annual Report for the fiscal year 2015-16.
Filename:
2016-Audit.pdf.pdf
Description:
2016 TFSD Audit
Filename:
December-2016.pdf
Description:
Petty Cash Reports for all TFSD Buildings for December 2016
Filename:
November-2016-Payables.pdf
Description:
November 2016 Payables
Filename:
18-November-2016-Payroll.pdf
Description:
November 2016 Payroll
Filename:
Employee-Contracts-2016-17.pdf
Description:
Filename:
November-2016.pdf
Description:
Petty Cash Reports for all TFSD Buildings for November 2016
Filename:
October-16.pdf
Description:
Petty Cash Reports for all TFSD Buildings for October 2016
Filename:
September-2016-Payables.pdf
Description:
September 2016 Payables
Filename:
August-2016-Payables.pdf
Description:
August 2016 Payables
Filename:
July-2016-Payables.pdf
Description:
July 2016 Payables
Filename:
23-September-2016-Payroll.pdf
Description:
Employee payroll for September of 2016
Filename:
25-August-2016-Payroll.pdf
Description:
August 25, 2016 Payroll
Filename:
25-July-2016-2nd-Payroll.pdf
Description:
July 25, 2016 Payroll
Filename:
June-2016-Payables.pdf
Description:
An expenditure report of all payables for June 2016
Filename:
May-2016-Payables.pdf
Description:
An expenditure report of all payables for May 2016
Filename:
April-2016-Payables.pdf
Description:
An expenditure report of all payables for April 2016
Filename:
March-2016-Payables.pdf
Description:
An expenditure report of all payables for March 2016
Filename:
February-2016-Payables.pdf
Description:
An expenditure report of all payables for February 2016
Filename:
January-2016-Payables.pdf
Description:
An expenditure report of all payables for January 2016
Filename:
06-24-16-Payroll.pdf
Description:
Employee payroll for June 2016
Filename:
05-25-16-Payroll.pdf
Description:
Employee payroll for May 2016
Filename:
04-25-16-Payroll.pdf
Description:
Employee payroll for April 2016
Filename:
03-17-16-Payroll.pdf
Description:
Employee payroll for March 2016
Filename:
02-25-16-Payroll.pdf
Description:
Employee payroll for February 2016
Filename:
01-25-16-Payroll.pdf
Description:
Employee payroll for January 2016
Filename:
Collective-Bargaining-Agreement-2016-2017.pdf
Description:
Collective Bargaining Agreement between School District No. 411, Twin Falls County, State of Idaho and the Twin Falls Education Association for the period from July 1, 2016, to June 30, 2017, inclusive.
Filename:
September-16.pdf
Description:
Petty Cash Reports for all TFSD Buildings for September 2016
Filename:
August-16.pdf
Description:
Petty Cash Reports for all TFSD Buildings for August 2016
Filename:
July-16.pdf
Description:
Petty Cash Reports for all TFSD Buildings for July 2016
Filename:
June-16.pdf
Description:
Petty Cash Reports for all TFSD Buildings for June 2016
Filename:
May-16.pdf
Description:
Petty Cash Reports for all TFSD Buildings for May 2016
Filename:
April-16.pdf
Description:
Petty Cash Reports for all TFSD Buildings for April 2016
Filename:
March-16.pdf
Description:
Petty Cash Reports for all TFSD Buildings for March 2016
Filename:
February-2016-Petty-Cash.pdf
Description:
A building-level petty cash report for February 2016
Filename:
January-2016-Petty-Cash.pdf
Description:
A building-level petty cash report for January 2016
2015
Filename:
Business-Calendar-2015-2016.pdf
Description:
The District Business Calendar 2015-2016
Filename:
Supporting-Contracts-2015-2016.pdf
Description:
A collection of all supporting contracts during the 2015-2016 year.
Filename:
Employee-Contracts-2015-2016.pdf
Description:
A collection of all contracts made between TFSD and employees during the 2015-2016 year.
Filename:
December-2015-Payables.pdf
Description:
An expenditure report of all payables for December 2015
Filename:
November-2015-Payables.pdf
Description:
An expenditure report of all payables for November 2015
Filename:
October-2015-Payables.pdf
Description:
An expenditure report of all payables for October 2015
Filename:
September-2015-Payables.pdf
Description:
An expenditure report of all payables for September 2015
Filename:
August-2015-Payables.pdf
Description:
An expenditure report of all payables for August 2015
Filename:
July-2015-Payables.pdf
Description:
An expenditure report of all payables for July 2015
Filename:
June-2015-Payables.pdf
Description:
An expenditure report of all payables for June 2015
Filename:
May-2015-Payables.pdf
Description:
An expenditure report of all payables for May 2015
Filename:
April-2015-Payables.pdf
Description:
An expenditure report of all payables for April 2015
Filename:
March-2015-Payables.pdf
Description:
An expenditure report of all payables for March 2015
Filename:
February-2015-Payables.pdf
Description:
An expenditure report of all payables for February 2015
Filename:
January-2015-Payables.pdf
Description:
An expenditure report of all payables for January 2015
Filename:
12-18-15-Payroll.pdf
Description:
Employee payroll for December 2015
Filename:
11-24-15-Payroll.pdf
Description:
Employee payroll for November 2015
Filename:
10-23-15-Payroll.pdf
Description:
Employee payroll for October 2015
Filename:
09-25-15-Payroll.pdf
Description:
Employee payroll for September 2015
Filename:
08-25-15-Payroll.pdf
Description:
Employee payroll for August 2015
Filename:
07-24-15-Payroll.pdf
Description:
Employee payroll for July 2015
Filename:
06-25-15-Payroll.pdf
Description:
Employee payroll for June 2015
Filename:
05-22-15-Payroll.pdf
Description:
Employee payroll for May 2015
Filename:
04-24-15-Payroll.pdf
Description:
Employee payroll for April 2015
Filename:
03-19-15-Payroll.pdf
Description:
Employee payroll for March 2015
Filename:
02-25-15-Payroll.pdf
Description:
Employee payroll for February 2015
Filename:
01-23-15-Payroll.pdf
Description:
Employee payroll for January 2015
Filename:
Collective-Bargaining-Agreement-2015-2016.pdf
Description:
Collective Bargaining Agreement between School District No. 411, Twin Falls County, State of Idaho and the Twin Falls Education Association for the period from July 1, 2015, to June 30, 2016, inclusive.
Filename:
Audit-2015.pdf
Description:
General purpose financial statement and report of independent certified public accountants.
Filename:
Original-Budget-2015-2016.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2015 - 2016 fiscal year.
Filename:
Amended-Budget-2014-2015.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2014 - 2015 fiscal year.
Filename:
December-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for December 2015
Filename:
November-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for November 2015
Filename:
October-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for October 2015
Filename:
September-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for September 2015
Filename:
August-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for August 2015
Filename:
July-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for July 2015
Filename:
June-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for June 2015
Filename:
May-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for May 2015
Filename:
April-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for April 2015
Filename:
March-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for March 2015
Filename:
February-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for February 2015
Filename:
January-2015-Petty-Cash.pdf
Description:
A building-level petty cash report for January 2015
2014
Filename:
Supporting-Contracts-2014-2015.pdf
Description:
A collection of all supporting contracts during the 2014-2015 year.
Filename:
Employee-Contracts-2014-2015.pdf
Description:
A collection of all contracts made between TFSD and employees during the 2014-2015 year.
Filename:
December-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for December 2014
Filename:
November-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for November 2014
Filename:
October-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for October 2014
Filename:
September-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for September 2014
Filename:
August-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for August 2014
Filename:
Description:
A building-level petty cash report for July 2014
Filename:
June-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for June 2014
Filename:
May-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for May 2014
Filename:
April-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for April 2014
Filename:
March-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for March 2014
Filename:
February-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for February 2014
Filename:
January-2014-Petty-Cash.pdf
Description:
A building-level petty cash report for January 2014
Filename:
December-2014-Payables.pdf
Description:
An expenditure report of all payables for December 2014
Filename:
November-2014-Payables.pdf
Description:
An expenditure report of all payables for November 2014
Filename:
October-2014-Payables.pdf
Description:
An expenditure report of all payables for October 2014
Filename:
September-2014-Payables.pdf
Description:
An expenditure report of all payables for September 2014
Filename:
August-2014-Payables.pdf
Description:
An expenditure report of all payables for August 2014
Filename:
July-2014-Payables.pdf
Description:
An expenditure report of all payables for July 2014
Filename:
June-2014-Payables.pdf
Description:
An expenditure report of all payables for June 2014
Filename:
May-2014-Payables.pdf
Description:
An expenditure report of all payables for May 2014
Filename:
April-2014-Payables.pdf
Description:
An expenditure report of all payables for April 2014
Filename:
March-2014-Payables.pdf
Description:
An expenditure report of all payables for March 2014
Filename:
February-2014-Payables.pdf
Description:
An expenditure report of all payables for February 2014
Filename:
January-2014-Payables.pdf
Description:
An expenditure report of all payables for January 2014
Filename:
12-19-14-Payroll.pdf
Description:
Employee payroll for December 2014
Filename:
11-25-14-Payroll.pdf
Description:
Employee payroll for November 2014
Filename:
10-24-14-Payroll.pdf
Description:
Employee payroll for October 2014
Filename:
09-25-14-Payroll.pdf
Description:
Employee payroll for September 2014
Filename:
08-25-14-Payroll.pdf
Description:
Employee payroll for August 2014
Filename:
07-25-14-Payroll.pdf
Description:
Employee payroll for July 2014
Filename:
06-25-14-Payroll.pdf
Description:
Employee payroll for June 2014
Filename:
05-23-14-Payroll.pdf
Description:
Employee payroll for May 2014
Filename:
04-25-14-Payroll.pdf
Description:
Employee payroll for April 2014
Filename:
03-21-14-Payroll.pdf
Description:
Employee payroll for March 2014
Filename:
02-25-14-Payroll.pdf
Description:
Employee payroll for February 2014
Filename:
01-24-14-Payroll.pdf
Description:
Employee payroll for January 2014
Filename:
Collective-Bargaining-Agreement-2014-2015.pdf
Description:
Collective Bargaining Agreement between School District No. 411, Twin Falls County, State of Idaho and the Twin Falls Education Association for the period from July 1, 2014, to June 30, 2015, inclusive.
Filename:
Annual-Report-13-14.pdf
Description:
Annual Report for the fiscal year 2013-2014.
Filename:
Audit-2014.pdf
Description:
General purpose financial statement and report of independent certified public accountants.
Filename:
Original-Budget-2014-2015.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2014 - 2015 fiscal year.
Filename:
Amended-Budget-2013-2014.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2013 - 2014 fiscal year.
2013
Filename:
Supporting-Contracts-2013-2014.pdf
Description:
A collection of all supporting contracts during the 2013-2014 year.
Filename:
Employee-Contracts-2013-2014.pdf
Description:
A collection of all contracts made between TFSD and employees during the 2013-2014 year.
Filename:
December-2013-Petty-Cash.pdf
Description:
A building-level petty cash report for December 2013
Filename:
November-2013-Petty-Cash.pdf
Description:
A building-level petty cash report for November 2013
Filename:
October-2013-Petty-Cash.pdf
Description:
A building-level petty cash report for October 2013
Filename:
September-2013-Petty-Cash.pdf
Description:
A building-level petty cash report for September 2013
Filename:
August-2013-Petty-Cash.pdf
Description:
A building-level petty cash report for August 2013
Filename:
July-2013-Petty-Cash.pdf
Description:
A building-level petty cash report for July 2013
Filename:
December-2013-Payables.pdf
Description:
An expenditure report of all payables for December 2013
Filename:
November-2013-Payables.pdf
Description:
An expenditure report of all payables for November 2013
Filename:
October-2013-Payables.pdf
Description:
An expenditure report of all payables for October 2013
Filename:
September-2013-Payables.pdf
Description:
An expenditure report of all payables for September 2013
Filename:
August-2013-Payables.pdf
Description:
An expenditure report of all payables for August 2013
Filename:
July-2013-Payables.pdf
Description:
An expenditure report of all payables for July 2013
Filename:
12-20-13-Payroll.pdf
Description:
Employee payroll for December 2013
Filename:
11-25-13-Payroll.pdf
Description:
Employee payroll for November 2013
Filename:
10-25-13-Payroll.pdf
Description:
Employee payroll for October 2013
Filename:
09-25-13-Payroll.pdf
Description:
Employee payroll for September 2013
Filename:
08-23-13-Payroll.pdf
Description:
Employee payroll for August 2013
Filename:
07-25-13-Payroll.pdf
Description:
Employee payroll for July 2013
Filename:
Annual-Report-12-13.pdf
Description:
Annual Report for the fiscal year 2012-2013.
Filename:
Audit-2013.pdf
Description:
General purpose financial statement and report of independent certified public accountants.
Filename:
Original-Budget-2013-2014.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2013 - 2014 fiscal year.
Filename:
Amended-Budget-2012-2013.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2012 - 2013 fiscal year.
2012
Filename:
Supporting-Contracts-2012-2013.pdf
Description:
A collection of all supporting contracts during the 2012-2013 year.
Filename:
Employee-Contracts-2012-2013.pdf
Description:
A collection of all contracts made between TFSD and employees during the 2012-2013 year.
Filename:
July-2012-June-2013-Petty-Cash.pdf
Description:
A building-level petty cash report for the fiscal year 2012-2013
Filename:
July-2012-June-2013-Payables.pdf
Description:
An expenditure report of all payables for the fiscal year 2012-2013
Filename:
July-2012-June-2013-Payroll.pdf
Description:
Employee payroll for the fiscal year 2012-2013
Filename:
Annual-Report-11-12.pdf
Description:
Annual Report for the fiscal year 2011-2012.
Filename:
Audit-2012.pdf
Description:
General purpose financial statement and report of independent certified public accountants.
Filename:
Original-Budget-2012-2013.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2012 - 2013 fiscal year.
Filename:
Amended-Budget-2011-2012.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2011 - 2012 fiscal year.
2011
Filename:
Supporting-Contracts-2011-2012.pdf
Description:
A collection of all supporting contracts during the 2011-2012 year.
Filename:
Employee-Contracts-2011-2012.pdf
Description:
A collection of all contracts made between TFSD and employees during the 2011-2012 year.
Filename:
July-2011-June-2012-Petty-Cash.pdf
Description:
A building-level petty cash report for the fiscal year 2011-2012
Filename:
July-2011-June-2012-payables.pdf
Description:
An expenditure report of all payables for the fiscal year 2011-2012
Filename:
July-2011-June-2012-Payroll.pdf
Description:
Employee payroll for the fiscal year 2011-2012
Filename:
Annual-Report-10-11.pdf
Description:
Annual Report for the fiscal year 2010-2011.
Filename:
Audit-2011.pdf
Description:
General purpose financial statement and report of independent certified public accountants.
Filename:
Original-Budget-2011-2012.pdf
Description:
This document represents the Board of Trustees' estimate of revenues, proposed expenditures and the fund balances of available school funds for the 2011 - 2012 fiscal year.
No Year
Filename:
Petty-Cash-February-2021.xlsx
Description:
Petty Cash from each location for February 2021