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Financial Statements For the Period September 1, 2012 June 30, 2013 For the Meeting of the Board of Trustees July 11, 2013 for Houston Community College System & Houston Community College Public Facility Corporation

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Page 1: Fs2013 june

Financial StatementsFor the Period

September 1, 2012 ‐ June 30, 2013

For the Meeting of the Board of Trustees ‐ July 11, 2013

for

Houston Community College System&

Houston Community College Public Facility Corporation

Page 2: Fs2013 june

Memorandum Management Discussion & Analysis

Summary HCCS Unrestricted Revenue & Expenditures 1

Exemptions & Waivers Detail 3

Fund Balances Balance Sheet By Fund   4

Adjusted Budgets by Division 5

Actual YTD by College  5

Cash Flow Analysis 6

Contact Hours Reimbursement 11

Enrollment Data 12

Charts Revenue & Expenditure YTD thru June 30, 2013 13

Revenue and Expenditures with Trendlines 14

Revenue Source Comparison By Year 15

Expenditure Source Comparison By Year 16

Designated Funds Budget Summary / Cash Position 17

Capital Projects & Unexpended Plant Fund Projects 18

    Unexpended 2004 CIP Projects 19

2013 CIP Projects 25

CIP Footnotes 31

CIP Residual Funds 32

    Plant Fund Maintenance Tax Notes 2006 (Central Utility Plant Project) 33

Maintenance Tax Notes/Sr. Lien Bonds 2008 34

Maintenance Tax Notes 2010  36

Maintenance Tax Notes 2011 37

Bonds/Notes Schedule of Bonds & Maintenance Tax Notes 39

Auxiliary Sources and Uses of Auxiliary Funds 40

Restricted Funds Grants, Contracts and Student Aid 42

Position Control 2013 Positions 48

Pos. Control Charts FTE (Full‐Time Equivalent) Monthly Comparison 54

Duplicated Headcount Monthly Comparison 63

Unduplicated Headcount Monthly Comparison 64

Table of ContentsFor the Period September 1, 2012 ‐ June 30, 2013

For the Meeting of the Board of Trustees

Houston Community College System

Page 3: Fs2013 june

Statement of Net Assets PFC 1

Statement of Cash Flows  (Cash Basis‐ Interim Period) PFC 2

Public Safety Institute PFC 3

Westgate PFC 4

Hayes Road ‐ Alief Project PFC 5

Northline Mall Project PFC 6

Houston Community College ‐ Public Facility Corporation

Table of Contents For the Period September 1, 2012 ‐ June 30, 2013

For the Meeting of the Board of Trustees

Page 4: Fs2013 june

MEMORANDUM  

To:    Houston Community College System          Board of Trustees 

 

    Via:    Renee Byas, Acting Chancellor  

From:    Dr. Art Tyler, Deputy Chancellor     Chief Operating Officer  

Date:    July 3, 2013  

Re:  Financial Report for Month Ended June 30, 2013     

 

Enclosed please find the preliminary financial reports for the month ending June 30, 2013 for your review.  The financial report is an internal management report submitted to the Board of Trustees to compare actual financial activities to the approved budgets, strategic priorities, and financial policies for the reported fiscal year.   

 

Operating Fund net revenue through June 30, 2013 is $273,457,234 which is 1.4% below last year.  Expenditures year‐to‐date total $222,237,000 which is 0.2% less than the same time last year, for a net of $51,220,234. 

 

The reserves for the month of June 2013 are $60,567,245 or 20.9% of revenues (see page III).  Thus, we continue to project a healthy fiscal strength for the college. 

Page 5: Fs2013 june

Managements Discussion and Analysis

Thru June 30, 2013

Revenues

Expenditures 

Total revenues and expenditures by expense type for the Operating Fund for 2012‐2013 are reported on page one, 

behind the tab Detailed Financial Statements. Highlights of financial activities year‐to‐date are as follows:

State Appropriations received year to date totaled $56,977,395, 0.4% below last year. Total appropriations 

received are expected to be $70,014,007.  This amount was reduced by $218,031 due to a formula reallocation 

to align with the Legislative Budget Board data and methodology.

Ad Valorem Tax collections totaled $104,009,336 year‐to‐date.  The year‐to‐date total is 0.1% above last year.  

The proportion of tax revenue applied to operations decreased this year due to the increase in tax revenue 

applied to debt service.  However, this decrease in tax revenue to operations is offset by the increase in tax 

revenue due to increases in property valuations. We project total tax revenue for the fiscal year will be 

$105,811,761.

Tuition and Fees net revenue year to date totaled $104,221,952 which is 3.8% lower than the same time last 

year.  Enrollment numbers for Fall 2012 declined 6.5% compared to last year.  There is a 10% decline in 

international students compared to last year.  We are projecting tuition and fees revenue to be $104,495,888.  

Insurance/Risk Management payments totaled $6,519,389 year‐to‐date, 7.1% above last year.  The increase is 

due to an increase in insurance premiums.  Total expenses for the year are expected to be within budget at 

$6,871,709.

Tuition & Fee‐Extended Learning receipts totaled $6,066,910 year to date, 0.05% below last year.  Total tuition 

and fees‐Extended Learning at fiscal year end are expected to be $6,188,581.

Rental and Leases expenses totaled $1,979,500 year‐to‐date, which is 51.8% below the previous year.  The 

decrease is due to the completion of IT projects. Total expenses at  year end are projected to be $2,832,447.

Total revenue collections, net of exemptions and waivers, totaled $273,457,234 year‐to‐date.  This is a 1.4% decrease below last year. 

Total Salaries are $133,918,453 year‐to‐date, 1.1% above the previous year.  Total salaries at year end are 

expected to be $162,498,680.

Benefits costs totaled $13,608,436 year‐to‐date, 20.9% above last year.  This increase is due namely to  the 

reduction in the state's contribution to TRS and ORP and an increase in health insurance premiums. Total 

benefits at fiscal year end are expected to be $18,152,880.

Contract Services expense totaled $16,212,068 year‐to‐date, 3.9% above last year.  The increase is mainly due to 

IT hiring temporary personnel for projects, additional security staff at the District and using contract interpreters 

to fill the personnel shortages.  Fiscal year end expenses are projected to be $24,150,540.

Utilities costs totaled $6,560,053 year‐to‐date.   We will continue to monitor these costs.  Total utilities cost at 

fiscal year end is projected to $8,490,022.

Instructional and Other Materials expenses totaled $4,913,886 year‐to‐date, which is 34% above last year.  

COMPASS Internet Units, TCCTA Adobe Master Collection and additional support for Moodlerooms, Inc 

contributed to the increase.  Expenses in this area are projected to be $9,537,689.

i

Page 6: Fs2013 june

Managements Discussion and Analysis

Thru June 30, 2013

Budget Priorities funding allocated for the year are detailed below through June 30, 2013. 

Contingency/Budget Priorities

Capital Outlay & Equipment

Position Management

Other

Total Contingency/Budget Priorities

Grants

Unexpended Plant Fund  

The 2013 CIP budgets are $425,022,066 and are 2.5% committed to‐date. Please see page 25 for the summary 

and pages 26 through 30 for details.

Budget expenditures for grant‐funded projects so far this year total $13,017,304.

11,372,376$      9,911,814$        1,460,562$       

Budgeted

1,445,240           3,484,125           (2,038,885)        

Expensed Remaining

6,127,136$        305,625$           

6,122,064           (2,322,064)        

ii

Capital Outlay expenses totaled $2,549,736 year‐to‐date.  Expenditures are projected to $6,211,580.

Transfers/Debt activities totaled $27,792,371 year‐to‐date, a 21.8% decrease compared to last year. The 

decrease is due to a transfer in FY2012 to purchase the Westheimer/Eldridge land.  Items in this expense 

category include all student revenue bond payments, transfers for scholarship matching funds, and transfers to 

the Unexpended Plant Fund.  Total expenses are expected to be $35,304,211.

Total operating fund expenditures year‐to‐date total $222,237,000, a 0.2% decrease below last year.  

The college has received $1,243,264 in new grant awards since the beginning of the current fiscal year. 

5,821,511$       

3,800,000          

Total grant awards (federal, state & private) year‐to‐date total, $45,927,717.

Cash Position ‐ The use of the Unexpended Plant Fund Excluding 2004 CIP for deferred maintenance projects was 

discontinued in FY 2009.  All deferred maintenance expense is captured in the operating account.  See page 17 

for prior year encumbrances. 

Unexpended Plant Fund Projects include current construction, deferred maintenance, and property acquisition 

projects for a budget of $47,469,321.  Funds for these projects are 100% committed.  See page 18 for more 

details.

The 2004 CIP budgets are $263,779,995 and are 100% committed. The spending categories in the schedule have 

now been revised for more ease of reference to the Board approved budget.  Please see page 19 for the 

summary and pages 20 through 24 for details.

The Maintenance Tax Note 2006 tracks the financial progress of the Central Utility Plant.  Commitments year‐to‐

date total $12.5 million, 99.87% of budget.  See page 33 for the details. 

Page 7: Fs2013 june

Managements Discussion and Analysis

Thru June 30, 2013

Public Facility Corporation

Balance Sheet – Operating Fund   

Cash and Investments

Cash

Investments

    Total

Fund Balance

Audited Fund Balance, August 31, 2012

Projected Revenue @ 08/31/2013

Total Projected Revenue

Projected Expenses @ 08/31/2013

FY 2012 Purchase Order Roll 

Total Projected Expenses @ 08/31/2013

Ending Fund Balance (Beg. Fund Balance + Revenue ‐ Expenses)

Required Reserve for FY 2013 (11% Projected Revenues)

Added Reserves

Additional Expenditures Funded From Reserves:

Reimbursement to State for Insurance

Total Expenses Paid From Reserves

Added Reserves

Required Reserve for FY 2013 (11% Projected Revenues)

Current Reserves

% of Total Operating Revenue

The Public Facility Corporation tracks the progress of the PFC ‐ Public Safety Institute, Katy Campus (Westgate), 

Alief and Northline Mall deferred maintenance, new construction and renovation projects.  Expenditures year‐to‐

date total $100.8 million, 98.7% of budget. See pages PFC 1‐6 for details. 

June 2013 June 2012

105,456,887$         80,604,198$          

356,127,192$            

285,063,953$            

2,395,994                   

13,778,086              6,998,984               

119,234,973$         87,603,182$          

66,664,585$              

The projected reserves at June 30, 2013 of $60,567,245 is an estimate at this time and represents 20.9% of expected 

general fund revenue for this fiscal year, which is within our financial stability policy requiring us to maintain a fund 

balance of 9% ‐11% of general fund revenues as of August 31.  

iii

Note: Salary increases are included in the total expense projection for fiscal year end.  The $1.8M set aside from reserves has been released to the fund balance and is reflected in the current reserve calculations.

31,840,887$              

60,567,245$              

20.9%

287,459,947$            

68,667,245$              

31,840,887$              

36,826,358$              

289,462,607              

(8,100,000)$       ‐$                         (8,100,000)                 

28,726,358$              

Expense to Date  Balance Budget

(8,100,000)         ‐                           (8,100,000)                 

Page 8: Fs2013 june

YTD Adjusted Budget

YTD Actuals Thru 

June 30, 2013

YTD Actuals Thru 

June 30, 2012

2012‐2013 Inc/(Dec) 

vs. 2011‐2012

Actuals % 

Inc/(Dec)YTD vs. 

PriorYTD

Projected Actuals 

2012‐2013

Projected 2012‐2013 

Inc/(Dec) vs. Adj 

Budget

Projected 2012‐

2013 Inc/(Dec) vs. 

Adj Budget %

REVENUES

State Appropriations 70,232,038$           56,977,395$      57,231,708$      (254,313)$          ‐0.44% 70,014,007$      (218,031)$           ‐0.31%Ad Valorem Taxes 102,195,871           104,009,336     103,893,944     115,391            0.11% 105,811,761     3,615,890           3.54%Tuition, Net 43,067,676             40,115,093        41,888,000       (1,772,907)        ‐4.23% 40,216,106       (2,851,570)         ‐6.62%Fees 71,520,739             64,106,859        66,454,958       (2,348,099)        ‐3.53% 64,279,782       (7,240,958)         ‐10.12%Other Local Income* 2,517,960                1,768,703          1,276,953         491,750            38.51% 2,517,960         ‐                       0.00%Tuition & Fee, Net

 ‐‐ Extended Learning6,188,581                6,066,910            6,070,090           (3,180)                  ‐0.05% 6,188,581           ‐                         0.00%

Grant Revenue 434,410                   412,938               407,080               5,858                   1.44% 434,410               ‐                         0.00%

Total Revenues 296,157,275           273,457,234       277,222,734       (3,765,500)          ‐1.36% 289,462,607$     (6,694,669)$         ‐2.26%

EXPENSES

Faculty‐FT  53,202,204             45,987,776        45,537,999       449,777            0.99% 53,202,204       ‐                       0.00%

Faculty‐PT 31,260,792             24,632,277        24,598,246       34,031               0.14% 31,212,804       (47,988)               ‐0.15%

Librarian/Counselor‐FT  4,731,891                3,977,148          4,964,641         (987,493)           ‐19.89% 4,731,891         ‐                       0.00%

Librarian/Counselor‐PT 858,739                  496,809             451,917             44,891               9.93% 852,907             (5,832)                 ‐0.68%

Staff‐FT 65,163,755             52,979,664        51,018,201       1,961,463         3.84% 64,928,910       (234,845)             ‐0.36%Staff‐PT 10,192,327             5,844,779          5,859,339         (14,560)             ‐0.25% 7,569,964         (2,622,363)           ‐25.73%

     Sub‐total Salaries 165,409,708           133,918,453       132,430,343       1,488,109           1.12% 162,498,680       (2,911,028)           ‐1.76%

Employee Benefits 18,152,880             13,608,436        11,254,617       2,353,819         20.91% 18,152,880       ‐                       0.00%

Supplies Gen Exp 6,055,811                4,175,860          3,925,349         250,512            6.38% 5,387,680         (668,131)             ‐11.03%

Travel 1,064,822                741,686             639,737             101,949            15.94% 1,030,126         (34,696)               ‐3.26%

Marketing Costs 1,770,340                1,072,923          812,070             260,854            32.12% 1,466,130         (304,210)             ‐17.18%

Rental & Leases 2,832,447                1,979,500          4,102,308         (2,122,808)        ‐51.75% 2,832,447         ‐                       0.00%

Insurance/Risk Mgmt 6,871,898                6,519,389          6,086,439         432,950            7.11% 6,871,709         (189)                    0.00%

Contract Services 24,150,540             16,212,068        15,598,805       613,263            3.93% 24,150,540       ‐                       0.00%

Utilities 12,895,476             6,560,053          5,909,502         650,551            11.01% 8,490,022         (4,405,454)         ‐34.16%

Other Departmental Expenses 2,175,725                1,599,002          1,167,800         431,202            36.92% 1,811,938         (363,787)             ‐16.72%

Instructional & Other Materials 9,537,689                4,913,886          3,668,400         1,245,486         33.95% 9,537,689         ‐                       0.00%

Maintenance & Repair 1,589,598                593,636             595,891             (2,255)                ‐0.38% 1,318,321         (271,277)             ‐17.07%

Transfers/Debt 35,304,211             27,792,371        35,547,802       (7,755,432)        ‐21.82% 35,304,211       ‐                       0.00%

Contingency (2,683,721)              ‐                          ‐                          ‐                           0.00% ‐                          2,683,721           ‐100.00%Capital Outlay 11,029,851             2,549,736          972,611             1,577,125         162.15% 6,211,580         (4,818,271)           ‐43.68%

     Total Expenses  296,157,275           222,237,000     222,711,675     (474,675)           ‐0.21% 285,063,953     (11,093,322)       ‐3.75%

REVENUES H/(L) Vs EXPENSES 0                              51,220,234        54,511,059       (3,290,825)        4,398,654         4,398,654          

* Includes interest & dividends income, fines & penalties and parking fines

1

HOUSTON COMMUNITY COLLEGE2012‐2013 Revenues & Expenditures  HCCS CURRENT UNRESTRICTED

Page 9: Fs2013 june

Approved Budget Adjusted Budget

YTD Actuals Thru 

June 30, 2013

Encumbrances Thru 

June 30, 2013

Total Actuals & 

Encumbrances Thru 

June 30, 2013

Balance as of June 

30, 2013

YTD Actuals Thru 

June 30, 2012

Encumbrances Thru 

June 30, 2012

Total Actuals & 

Encumbrances Thru 

June 30, 2012

2012‐2013 Inc/(Dec) 

vs. 2011‐2012

Actuals & 

Encumbrances % 

Inc/(Dec)YTD vs. 

PriorYTD

EXPENSES

Faculty‐FT  53,202,204              53,202,204          45,987,776        5,919,421            51,907,197        1,295,007           45,537,999        6,290,468          51,828,467        78,729               0.15%

Faculty‐PT 31,260,792              31,212,804          24,632,277        1,378,213            26,010,490        5,202,314           24,598,246        2,468,985          27,067,231        (1,056,741)        ‐3.90%

Librarian/Counselor‐FT  4,731,891                4,731,891            3,977,148          536,293                4,513,441          218,450               4,964,641          739,406             5,704,047          (1,190,606)        ‐20.87%

Librarian/Counselor‐PT 858,739                   852,907               496,809              136,488                633,297              219,610               451,917             134,762             586,679             46,618               7.95%

Staff‐FT 65,163,755              64,928,910          52,979,664        8,962,098            61,941,762        2,987,148           51,018,201        9,791,288          60,809,489        1,132,272         1.86%

Staff‐PT 10,192,327              7,569,964            5,844,779          1,830,707            7,675,486          (105,522)             5,859,339          1,671,388          7,530,727          144,759             1.92%

     Sub‐total Salaries 165,409,708           162,498,680       133,918,453        18,763,219            152,681,672        9,817,008            132,430,343       21,096,297          153,526,640       (844,969)             ‐0.55%

Employee Benefits 18,152,880              18,152,880          13,608,436        2,116                    13,610,552        4,542,328           11,254,617        6,263                  11,260,880        2,349,672         20.87%

Supplies Gen Exp 6,055,811                5,387,680            4,175,860          950,004                5,125,864          261,816               3,925,349          781,776             4,707,124          418,740             8.90%

Travel 1,064,822                1,030,126            741,686              1,618                    743,304              286,822               639,737             2,622                  642,359             100,945             15.71%

Marketing Costs 1,770,340                1,466,130            1,072,923          379,166                1,452,089          14,041                 812,070             296,087             1,108,156          343,933             31.04%

Rental & Leases 2,832,447                2,832,447            1,979,500          263,434                2,242,934          589,513               4,102,308          296,883             4,399,191          (2,156,256)        ‐49.01%

Insurance/Risk Mgmt 6,871,898                6,871,709            6,519,389          ‐                             6,519,389          352,320               6,086,439          ‐                           6,086,439          432,950             7.11%

Contract Services 24,150,540              24,150,540          16,212,068        5,631,805            21,843,873        2,306,667           15,598,805        3,249,419          18,848,224        2,995,649         15.89%

Utilities 12,895,476              8,490,022            6,560,053          53,583                  6,613,636          1,876,386           5,909,502          53,410                5,962,912          650,723             10.91%

Other Departmental Expenses 2,175,725                1,811,938            1,599,002          212,936                1,811,938          (0)                          1,167,800          90,793                1,258,593          553,345             43.97%

Instructional & Other Materials 9,537,689                9,537,689            4,913,886          3,358,408            8,272,294          1,265,395           3,668,400          955,932             4,624,332          3,647,963         78.89%

Maintenance & Repair 1,589,598                1,318,321            593,636              724,685                1,318,321          0                           595,891             698,982             1,294,873          23,448               1.81%

Transfers/Debt 35,304,211              35,304,211          27,792,371        ‐                             27,792,371        7,511,840           35,547,802        ‐                           35,547,802        (7,755,432)        ‐21.82%

Contingency (2,683,721)               ‐                            ‐                           ‐                           ‐                            ‐                           ‐                           ‐                          0.00%

Capital Outlay 11,029,851              6,211,580            2,549,736          3,661,844            6,211,580          (0)                          972,611             1,892,898          2,865,509          3,346,071         116.77%

     Total Expenses  296,157,275           285,063,953       222,237,000      34,002,818          256,239,819      28,824,134         222,711,675     29,421,361        252,133,036     4,106,782         1.63%

2

HOUSTON COMMUNITY COLLEGE2012‐2013 Revenues and Expenditures & Encumbrances  HCCS CURRENT UNRESTRICTED

Page 10: Fs2013 june

FY 2011‐12 FY 2012‐13

Tuition

Budget:Adjusted Budget FY 2012‐13 43,067,676$           

Exemptions & Waivers (6,784,576)              

Adjusted Budget FY 2012‐13, Net 36,283,101$           

Revenues Received:Tuition 48,824,432              48,759,858              46,899,669             

Waivers & Exemptions:Dual Credit (5,170,736)               (5,188,954)               (4,816,909)              

Other (1,693,502)               (1,682,904)               (1,967,667)              

Total Waivers & Exemptions (6,864,238)               (6,871,858)               (6,784,576)              

Total Tuition Revenue, Net 41,960,194$          41,888,000$          40,115,093$           

Tuition ‐ Extended Learning

Budget:Budget FY 2012‐13 6,188,581$             

Exemptions & Waivers (2,011,227)              

Budget FY 2012‐13, Net 4,177,354$             

Revenues Received:

Tuition 8,853,381                8,205,620                8,078,137                

Waivers & Exemptions:

Corrections (2,612,080)             (2,135,530)             (2,011,227)             

Total EL Tuition Revenue, Net 6,241,301$             6,070,090$             6,066,910$             

Exemptions & Waivers

Dept of Corrections 2,612,080$              2,135,530$              2,011,227$             

Dual Credit Waiver 5,170,736                5,188,954                4,816,909                

Other:

Employee Fee Exemptions 84,810                      83,976                      69,434                     

Firemen 42,521                      42,521                      25,475                     

Hazelwood 906,036                   900,681                   1,261,808                

Deaf & Blind 309,603                   310,692                   256,434                   

High Ranking Hi SCH Grad 868                           868                           2,418                        

Child of Disabled Vet ETC 431                           572                           1,686                        

Nonres Military Per & Dep 2,390                        2,390                        ‐                            

Emp of State Coll & Univ ‐                            ‐                            319                           

Nonres Teach/Research Asst 13,905                      13,374                      10,443                     

Nonres Competitive Scholar ‐                            ‐                            2,301                        

Senior Citizens 18,730                      18,075                      15,044                     

Scholarship Distribution 1,450                        1,450                        ‐                            

Apprenticeship Waivers (28)                            (28)                            (38)                            

Special Fees Waiver HFD 117                           117                           ‐                            

A VISA Waiver (Non‐Alien Waiver) 1,110                        1,110                  ‐                            

Refugee Waiver (1,554)                       (1,110)                       (162)                          

Foster Children‐Resident 294,543                   290,535                   307,380                   

Fire Academy Waiver 157                           157                           ‐                            

Undocumented Students 2,171                        1,281                        ‐                            

TX Tomorrow Waiver 2,874                        2,875                        ‐                            

Peace Officer Exemption 13,368                      13,368                      14,275                     

Stipends ‐                            ‐                            850                           

Total Other Exemptions 1,693,502                1,682,904                1,967,667                

Grand Total Exemptions & Waivers 9,476,318$             9,007,388$             8,795,803$             

Note:   As of December 31, 2008, the financial statements reflect all expenses incurred for Exemptions and Waivers as net of tuition and fee revenue.  Prior to this date Exemptions & Waivers were shown as an expenditure and revenue was shown as gross revenue.

3

Exemptions & Waivers

Thur June 30, 2013

Account

 End of Year 

Activity 

Year‐to‐Date 

Activity thru 

6/30/2012

 Year‐to‐Date 

Activity thru 

6/30/2013 

Page 11: Fs2013 june

     Unrestricted  Auxiliary  Restricted  Total 

Unexpended 

Plant Renewal 

 Retirement of 

Debt 

Investment in 

Plant  Total 

Consolidation & 

Elimination  Total All Funds 

ASSETSCurrent Assets:

Cash &  cash equivalents 105,456,887$      9,147,702$        ‐$                         114,604,589$     4,725,999$         15,274,168         ‐$                          20,000,167$            ‐$                              134,604,756$         

Restricted cash & cash equivalents ‐                             ‐                           14,301,952       14,301,952        481,568,705      27,240,673         ‐                           508,809,378           ‐                                523,111,330          

Short term Investments ‐                             ‐                           ‐                          ‐                           ‐                           ‐                           ‐                           ‐                                ‐                                ‐                                

Accounts/Other receivable (net) 19,406,984          1,167,053           2,757,325          23,331,362        ‐                           604,405               ‐                           604,405                   ‐                                23,935,767            

Deferred charges 755,871                393,022              ‐                          1,148,893           ‐                           ‐                           ‐                           ‐                                ‐                                1,148,893               

Prepaids 26,001                  9,779                  ‐                          35,780                881,382              ‐                           ‐                           881,382                   ‐                                917,162                  

Total Current Assets 125,645,743        10,717,556        17,059,277       153,422,576      487,176,086      43,119,246         ‐                           530,295,332           ‐                                683,717,908          

Non‐current Assets:

Deferred charges, net ‐                             ‐                           ‐                          ‐                           3,548,100           ‐                           2,601,880           6,149,980                ‐                                6,149,980               

Restricted long‐term investments ‐                             ‐                           ‐                          ‐                           27,085,894        2,478,513            ‐                           29,564,407             ‐                                29,564,407            

Long‐term investments 13,778,086          ‐                           ‐                          13,778,086        ‐                           ‐                           ‐                           ‐                                ‐                                13,778,086            

Capital Assets, net ‐                             ‐                           ‐                          ‐                           96,821,926        ‐                           667,571,797      764,393,723           ‐                                764,393,723          

Total Non‐current Assets 13,778,086          ‐                           ‐                          13,778,086        127,455,920      2,478,513            670,173,677      800,108,110           ‐                                813,886,196          

Total Assets 139,423,829$      10,717,556$      17,059,277$      167,200,662$     614,632,006$     45,597,759$       670,173,677$     1,330,403,442$       ‐$                              1,497,604,103$      

LIABILITIESCurrent Liabilities:

Accounts payable 7,517,963             256,719              2,367,531          10,142,213        1,060,832           ‐                           ‐                           1,060,832                ‐                                11,203,045            

Accrued liabilities 228,681                ‐                            27,199                 255,880                142,635                ‐                            ‐                             142,635                     ‐                                  398,515                    

Compensated absences 2,351,464             ‐                           ‐                          2,351,464           ‐                           ‐                           ‐                           ‐                                ‐                                2,351,464               

Funds held for others ‐                             107,889              523,415             631,304              189,209              ‐                           ‐                           189,209                   ‐                                820,513                  

Deferred revenue 8,256,287             367,232              1,118,592          9,742,111           1,599,275           ‐                           (1,600,060)         (785)                         ‐                                9,741,326               

Notes payable‐current portion ‐                             ‐                           ‐                          ‐                           ‐                           ‐                           ‐                           ‐                                ‐                                ‐                                

Bonds payable‐current portion ‐                             ‐                           ‐                          ‐                           ‐                           ‐                           ‐                           ‐                                ‐                                ‐                                

Capital lease obligations‐current ‐                             ‐                           ‐                          ‐                           ‐                           ‐                           ‐                           ‐                                ‐                                ‐                                

Total Current Liabilities 18,354,395          731,840$            4,036,737          23,122,972        2,991,951           ‐                           (1,600,060)         1,391,891                ‐                                24,514,863            

Non‐current Liabilities:

Deposits ‐                             ‐                           ‐                          ‐                           ‐                           ‐                           ‐                           ‐                                ‐                                ‐                                

Notes payable ‐                             ‐                           ‐                          ‐                           139,850,892      ‐                           37,761,145        177,612,037           ‐                                177,612,037          

Bonds payable ‐                             ‐                           ‐                          ‐                           465,221,463      27,838,473         294,379,496      787,439,431           ‐                                787,439,431          

Capital lease obligations ‐                             ‐                           ‐                          ‐                           ‐                           ‐                           104,429,832      104,429,832           ‐                                104,429,832          

Total Non‐current Liabilities ‐                             ‐                           ‐                          ‐                           605,072,355      27,838,473         436,570,472      1,069,481,300        ‐                                1,069,481,300       

Total Liabilities 18,354,395$        731,840$            4,036,737$        23,122,972$       608,064,306$     27,838,473$       434,970,412$     1,070,873,191$       ‐$                              1,093,996,161$      

 Fund Balance‐ 

August 31, 2012 Audited  66,664,585          11,747,296         9,080,325            87,492,206          3,738,684             10,061,216         235,429,798        249,229,698             ‐                                  336,721,904            

Revenues Over Expenditures

     Unrestricted 54,404,849          (1,761,581)         52,643,268        52,643,268            

     Restricted 3,942,215          3,942,215           3,942,215               

     Net Investment in Plant     2,829,018           7,698,069            (226,533)             10,300,554             10,300,554            

Total Fund Balances 121,069,434$      9,985,715$        13,022,540$      144,077,689$     6,567,702$         17,759,285$       235,203,265$     259,530,252$          ‐$                              403,607,942$         

 Total Liabilities &  Fund Balances  139,423,829$      10,717,555$      17,059,277$      167,200,661$     614,632,006$     45,597,758$       670,173,677$     1,330,403,443$       ‐$                              1,497,604,103$      

      4 

PLANT & BOND FUNDS

Houston Community CollegeBalance Sheet By Fund

For Month Ended June 30, 2013

CURRENT & LOAN FUNDS

Page 12: Fs2013 june

 CENTRAL 

 NORTH

WEST 

 NORTH

EAST 

 SOUTH

WEST   SOUTH EAST   COLEMAN 

 EXTENDED 

LEARNING 

 CHAN‐

CELLOR 

DEPUTY CHAN‐

CELLOR 

INSTITU‐

TIONAL 

EFFECTIVE‐

NESS* 

 INSTRUC‐

TION 

 INFO

TECH 

 STUDENT 

SUCCESS   SYSTEM   HCCS 

 % of 

Adjusted 

Budget 

EXPENSES

Faculty‐FT  10,205,179      10,175,890      7,400,874         12,026,069     4,889,024       5,884,114       2,323,976       ‐                  3,000               ‐                   294,078          ‐                  ‐                  ‐                  53,202,204      17.96%

Faculty‐PT 4,799,369         6,308,299         4,111,901         5,764,404        3,843,554       2,033,783       3,655,949       ‐                  450                   ‐                   743,083          ‐                  ‐                  ‐                  31,260,792      10.56%

Librarian/Counselor‐FT  926,123            1,117,866         921,929            731,058           522,092          84,180            2,887              ‐                  ‐                    ‐                   340,010          ‐                  85,746            ‐                  4,731,891        1.60%

Librarian/Counselor‐PT 95,927              194,185            119,380            214,206           83,152            34,980            ‐                  ‐                  ‐                    ‐                   24,373            ‐                  92,536            ‐                  858,739           0.29%

Staff‐FT 5,639,695         4,635,042         4,788,951         5,707,399        3,828,875       2,405,261       3,738,913       4,530,506       14,560,321    ‐                   4,383,805       6,648,442       4,296,545       ‐                  65,163,755      22.00%

Staff‐PT 1,942,689         1,669,471         783,481            1,599,871        1,202,344       389,771          800,320          279,749          547,935           ‐                   351,556          207,010          418,130          ‐                  10,192,327      3.44%

     Sub‐total Salaries 23,608,982      24,100,753      18,126,516      26,043,007     14,369,041    10,832,089    10,522,045    4,810,255       15,111,706    ‐                   6,136,905       6,855,452       4,892,957       ‐                  165,409,708    55.85%

Employee Benefits ‐                     ‐                     ‐                     4                       ‐                  ‐                  ‐                  ‐                  ‐                    ‐                   ‐                  ‐                  ‐                  18,152,876    18,152,880      6.13%

Supplies Gen Exp 343,724            403,685            226,842            323,368           265,676          347,331          236,750          378,751          1,198,712        ‐                   234,079          345,949          (29,601)           1,780,545       6,055,811        2.04%

Travel 92,592              112,669            30,120              55,470             32,227            123,658          93,899            158,159          143,150           ‐                   115,717          69,905            37,256            ‐                  1,064,822        0.36%

Marketing Costs 43,979              46,970              60,960              39,443             79,482            32,472            405,734          171,085          888,215           ‐                   ‐                  2,000              ‐                  ‐                  1,770,340        0.60%

Rental & Leases 31,920              126,424            1,309,787         539,921           41,484            483,719          29,190            59,022            177,846           ‐                   3,888              26,760            2,486              ‐                  2,832,447        0.96%

Insurance/Risk Mgmt 794                    245                    ‐                     98                     ‐                  ‐                  ‐                  ‐                  ‐                    ‐                   ‐                  676                 ‐                  6,870,085       6,871,898        2.32%

Contract Services 269,564            288,507            42,160              25,839             154,928          343,372          363,063          540,127          13,048,652    ‐                   157,998          2,901,844       56,383            5,958,103       24,150,540      8.15%

Utilities 3,331                ‐                     4,600                ‐                   ‐                  ‐                  ‐                  ‐                  1,583,338        ‐                   ‐                  1,400,000       ‐                  9,904,207       12,895,476      4.35%

Other Departmental Expenses 57,265              46,993              41,936              32,177             114,950          130,596          54,661            388,393          184,947           ‐                   206,061          230,771          275,759          411,216          2,175,725        0.73%

Instructional & Other Materials 492,095            352,195            168,896            285,602           95,544            358,368          1,011,565       113,714          23,649             ‐                   1,050,568       5,325,220       260,273          ‐                  9,537,689        3.22%

Maintenance & Repair 143,433            41,859              56,993              24,578             22,572            83,949            159,700          1,265              1,030,422        ‐                   6,460              13,234            2,614              2,519              1,589,598        0.54%

Transfers/Debt ‐                     845,619            5,636,142         1,155,001        ‐                  ‐                  ‐                  ‐                  3,264               ‐                   ‐                  ‐                  494,389          27,169,796    35,304,211      11.92%

Contingency 50                       3,854                13,000              2,621               25,000            5,860              ‐                  38,000            20,446             ‐                   ‐                  ‐                  7,197              (2,799,749)     (2,683,721)       ‐0.91%

Capital Outlay 580,136            325,063            297,973            118,059           231,681          592,573          46,866            62,350            3,124,190        ‐                   12,970            1,467,738       56,016            4,114,236       11,029,851      3.72%

Total Budget 25,667,865      26,694,836      26,015,925      28,645,188     15,432,585    13,333,987    12,923,473    6,721,121       36,538,537    ‐                   7,924,646       18,639,549    6,055,729       71,563,834    296,157,275    100.00%

  5 

 CENTRAL 

 NORTH

WEST 

 NORTH

EAST 

 SOUTH

WEST   SOUTH EAST   COLEMAN 

 EXTENDED 

LEARNING 

 CHAN‐

CELLOR 

DEPUTY CHAN‐

CELLOR 

INSTITU‐

TIONAL 

EFFECTIVE‐

NESS* 

 INSTRUC‐

TION 

 INFO

TECH 

 STUDENT 

SUCCESS   SYSTEM   HCCS 

 % of 

Actuals 

EXPENSES

Faculty‐FT  8,903,517         8,836,953         6,288,382         10,502,467     4,243,241       5,025,617       2,048,002       ‐                  2,925               ‐                   136,672          ‐                  ‐                  ‐                  45,987,776      20.69%

Faculty‐PT 3,830,472         5,084,747         3,225,158         4,693,623        3,263,086       1,439,825       2,760,094       ‐                  450                   ‐                   334,823          ‐                  ‐                  ‐                  24,632,277      11.08%

Librarian/Counselor‐FT  799,299            881,997            767,740            633,576           457,718          66,462            2,886              ‐                  ‐                    ‐                   300,758          ‐                  66,712            ‐                  3,977,148        1.79%

Librarian/Counselor‐PT 49,797              125,122            100,749            136,598           34,122            19,300            ‐                  ‐                  ‐                    ‐                   1,828              ‐                  29,293            ‐                  496,809           0.22%

Staff‐FT 4,586,392         3,716,333         3,821,974         4,637,585        3,145,261       1,980,928       3,085,715       3,595,963       11,951,591    ‐                   3,593,534       5,324,300       3,540,087       ‐                  52,979,664      23.84%

Staff‐PT 1,013,012         1,044,055         566,147            959,167           741,524          218,217          519,129          109,524          254,009           ‐                   151,270          105,932          162,793          ‐                  5,844,779        2.63%

     Sub‐total Salaries 19,182,489      19,689,208      14,770,151      21,563,015     11,884,952    8,750,349       8,415,826       3,705,487       12,208,975    ‐                   4,518,884       5,430,231       3,798,886       ‐                  133,918,453    60.26%

Employee Benefits ‐                     ‐                     ‐                     3                       ‐                  ‐                  ‐                  ‐                  ‐                    ‐                   ‐                  ‐                  ‐                  13,608,433    13,608,436      6.12%

Supplies Gen Exp 198,752            240,693            171,005            220,404           170,629          183,003          178,986          259,577          751,915           ‐                   180,154          132,926          115,482          1,372,335       4,175,860        1.88%

Travel 51,199              94,703              20,403              40,399             21,307            84,333            60,051            137,719          73,656             ‐                   90,118            40,685            27,113            ‐                  741,686           0.33%

Marketing Costs 23,286              37,084              36,973              32,134             34,345            28,290            135,204          118,810          626,796           ‐                   ‐                  ‐                  ‐                  ‐                  1,072,923        0.48%

Rental & Leases 31,898              61,320              834,557            473,014           29,468            326,785          12,059            34,868            155,139           ‐                   2,018              15,959            2,415              ‐                  1,979,500        0.89%

Insurance/Risk Mgmt ‐                     245                    ‐                     ‐                   ‐                  ‐                  ‐                  ‐                  ‐                    ‐                   ‐                  ‐                  ‐                  6,519,144       6,519,389        2.93%

Contract Services 164,911            142,239            35,566              21,865             87,795            291,490          87,741            146,726          8,988,604        ‐                   110,859          1,401,525       49,548            4,683,199       16,212,068      7.29%

Utilities 3,330                ‐                     3,200                ‐                   ‐                  ‐                  ‐                  ‐                  568,829           ‐                   ‐                  1,034,124       ‐                  4,950,570       6,560,053        2.95%

Other Departmental Expenses 31,563              36,819              33,598              19,362             24,537            83,242            40,855            306,835          153,055           ‐                   151,962          138,299          177,393          401,481          1,599,002        0.72%

Instructional & Other Materials 355,347            230,712            93,125              239,349           50,894            169,774          460,303          ‐                  11,827             ‐                   576,504          2,489,702       236,350          ‐                  4,913,886        2.21%

Maintenance & Repair 46,483              16,569              25,561              13,648             6,225              33,348            96,594            724                 339,028           ‐                   6,459              6,799              2,198              ‐                  593,636           0.27%

Transfers/Debt ‐                     845,382            5,634,237         1,155,000        ‐                  ‐                  ‐                  ‐                  ‐                    ‐                   ‐                  ‐                  ‐                  20,157,751    27,792,371      12.51%

Contingency ‐                     ‐                     ‐                     ‐                   ‐                  ‐                  ‐                  ‐                  ‐                    ‐                   ‐                  ‐                  ‐                  ‐                  ‐                    0.00%

Capital Outlay 512,530            144,829            124,096            90,624             78,727            83,344            30,569            30,053            933,325           ‐                   ‐                  521,639          ‐                  ‐                  2,549,736        1.15%

Total Expense 20,601,789      21,539,804      21,782,472      23,868,818     12,388,879    10,033,958    9,518,187       4,740,798       24,811,149    ‐                   5,636,958       11,211,890    4,409,385       51,692,912    222,237,000    100.00%% of Adjusted 

Budget by Division 80.26% 80.69% 83.73% 83.33% 80.28% 75.25% 73.65% 70.54% 67.90% 0.00% 71.13% 60.15% 72.81% 72.23% 75.04% 100.00%

Remaining Balance 5,066,076         5,155,032         4,233,453         4,776,370        3,043,706       3,300,029       3,405,286       1,980,323       11,727,388    ‐                   2,287,688       7,427,659       1,646,344       19,870,922    73,920,275     

*As of June 2013 Institutional Effectiveness is combine with Instruction

HOUSTON COMMUNITY COLLEGE2012‐2013 Expenditures

YTD Adjusted Budget by Division

YTD Actuals by Division

Page 13: Fs2013 june

Sept. Oct. Nov. Dec. Jan. Feb. Mar. Apr. May June July  Aug.

Central                                 FY2013 8.77% 17.29% 26.04% 33.04% 39.26% 47.17% 57.14% 65.82% 73.39% 80.26%

                                              FY2012 8.89% 17.89% 27.03% 35.01% 41.49% 49.28% 58.01% 66.97% 74.34% 81.43% 88.98% 94.59%

Northwest                          FY2013 8.26% 17.69% 26.42% 33.44% 38.94% 47.07% 55.52% 66.24% 73.83% 80.69%

                                              FY2012 8.55% 18.72% 27.39% 33.69% 38.31% 46.70% 55.31% 66.77% 74.43% 81.57% 89.43% 95.09%

Northeast                           FY2013 6.80% 19.95% 27.15% 32.73% 37.67% 43.91% 50.45% 72.27% 78.06% 83.73%

                                              FY2012 6.70% 20.76% 27.75% 33.82% 40.16% 46.70% 53.35% 76.04% 82.19% 88.46% 94.27% 98.45%

Southwest                          FY2013 8.59% 19.46% 28.35% 35.52% 42.81% 50.66% 58.75% 69.07% 76.64% 83.33%

                                              FY2012 8.58% 19.19% 28.11% 36.68% 43.63% 50.96% 58.38% 71.97% 79.03% 85.23% 92.21% 96.87%

Southeast                            FY2013 7.94% 16.74% 25.87% 33.20% 39.17% 47.32% 56.36% 65.24% 73.23% 80.28%

                                              FY2012 8.68% 17.97% 27.56% 35.39% 41.33% 49.39% 57.90% 67.21% 74.92% 81.69% 89.81% 95.46%

Coleman                              FY2013 8.06% 17.28% 24.93% 31.55% 37.77% 46.07% 53.62% 60.80% 67.75% 75.25%

                                              FY2012 8.26% 17.29% 25.18% 32.46% 39.63% 47.52% 55.02% 63.80% 71.21% 79.83% 87.22% 93.29%

Extended Learning            FY2013 7.79% 15.60% 23.76% 31.35% 35.83% 43.18% 50.20% 58.35% 65.86% 73.65%

6                                               FY2012 7.97% 15.68% 23.55% 30.39% 37.09% 45.43% 53.07% 60.96% 69.35% 76.72% 84.68% 91.63%

Chancellor                           FY2013 7.14% 13.81% 24.51% 30.61% 37.97% 44.47% 51.04% 57.47% 63.05% 70.54%

                                              FY2012 8.66% 16.11% 23.27% 30.27% 39.34% 45.84% 53.37% 61.08% 68.18% 74.82% 81.30% 89.24%

Deputy Chancellor             FY2013 4.52% 10.80% 17.79% 31.74% 38.89% 45.25% 43.00% 54.57% 62.02% 67.90%

                                              FY2012 4.52% 10.28% 16.85% 22.58% 31.70% 38.52% 45.34% 51.71% 59.06% 69.23% 76.82% 80.46%

Institute Effectiveness*     FY2013 8.33% 16.67% 25.00% 33.33% 41.67% 50.00% 58.33% 66.67% 75.00% 0.00%

                                              FY2012 5.76% 15.21% 22.37% 29.85% 38.13% 45.15% 52.82% 59.23% 67.73% 76.94% 85.77% 94.82%

Instruction                          FY2013 6.55% 15.59% 22.53% 28.70% 33.58% 42.38% 49.16% 55.69% 63.65% 71.13%

                                              FY2012 6.73% 16.23% 22.67% 28.96% 35.81% 42.78% 52.10% 59.22% 65.59% 72.63% 82.25% 89.27%

Info Tech                              FY2013 5.56% 12.11% 16.63% 20.99% 29.10% 35.17% 39.77% 47.07% 54.83% 60.15%

                                              FY2012 20.14% 33.96% 40.28% 45.47% 52.99% 59.23% 64.92% 71.03% 76.35% 82.70% 88.44% 99.49%

Student Success                 FY2013 7.33% 14.68% 23.02% 30.31% 40.96% 44.53% 49.81% 58.28% 65.57% 72.81%

                                              FY2012 8.33% 15.89% 23.44% 30.58% 40.76% 48.76% 56.63% 65.19% 72.58% 80.37% 90.28% 98.41%

System                                 FY2013 12.41% 18.87% 22.34% 27.24% 33.14% 37.21% 42.87% 66.35% 70.66% 72.23%

                                              FY2012 22.23% 25.94% 29.46% 32.09% 36.45% 39.69% 43.39% 63.98% 68.16% 71.84% 79.45% 88.27%

Total HCCS                           FY2013 8.55% 16.77% 23.49% 30.55% 36.88% 43.38% 49.23% 63.07% 69.69% 75.04%

                                              FY2012 12.05% 20.09% 26.81% 32.55% 38.82% 45.08% 51.63% 65.11% 71.48% 77.90% 85.35% 91.73%

*As of June 2013 Institutional Effectiveness is combine with Instruction

Houston Community College

Cash Flow Analysis ‐ Monthly Percentage of Budget UsedFY2013 vs. FY2012

Page 14: Fs2013 june

Adjusted Budget 

FY2012

YTD Actuals Thru 

6/30/2012 % of Budget Used

Adjusted Budget 

FY2013

YTD Actuals Thru 

6/30/2013 % of Budget Used

EXPENSES

Faculty‐FT  10,359,276          9,044,614        87.31% 10,205,179        8,903,517          87.25%

Faculty‐PT 4,898,295             3,982,409        81.30% 4,799,369           3,830,472          79.81%

Librarian/Counselor‐FT  1,079,656             889,549           82.39% 926,123              799,299             86.31%

Librarian/Counselor‐PT 88,599                  38,316              43.25% 95,927                49,797                51.91%

Staff‐FT 5,324,355             4,398,625        82.61% 5,639,695           4,586,392          81.32%

Staff‐PT 1,848,596             1,111,863        60.15% 1,942,689           1,013,012          52.14%

     Sub‐total Salaries 23,598,777          19,465,375      82.48% 23,608,982        19,182,489        81.25%

Employee Benefits ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Supplies Gen Exp 282,022                152,673           54.14% 343,724              198,752             57.82%

Travel 103,128                66,588              64.57% 92,592                51,199                55.30%

Marketing Costs 59,243                  35,296              59.58% 43,979                23,286                52.95%

Rental & Leases 80,498                  71,500              88.82% 31,920                31,898                99.93%

Insurance/Risk Mgmt 794                        444                   55.97% 794                       ‐                     0.00%

Contract Services 268,280                214,240           79.86% 269,564              164,911             61.18%

Utilities ‐                         ‐                    ‐                 3,331                  3,330                 0.00%

Other Departmental Expenses 59,311                  20,463              34.50% 57,265                31,563                55.12%

Instructional & Other Materials 474,242                354,116           74.67% 492,095              355,347             72.21%

Maintenance & Repair 155,115                52,630              33.93% 143,433              46,483                32.41%

Transfers/Debt ‐                         ‐                    ‐                 ‐                        ‐                     ‐                      

Contingency ‐                         ‐                    0.00% 50                         ‐                     ‐                      

Capital Outlay 97,409                  70,941              72.83% 580,136              512,530             88.35%

     Total Expenses  25,178,819          20,504,267      81.43% 25,667,865        20,601,789        80.26%

Adjusted Budget 

FY2012

YTD Actuals Thru 

6/30/2012 % of Budget Used

Adjusted Budget 

FY2013

YTD Actuals Thru 

6/30/2013 % of Budget Used

EXPENSES

Faculty‐FT  9,631,126             8,335,435        86.55% 10,175,890        8,836,953          86.84%

Faculty‐PT 5,866,757             4,704,071        80.18% 6,308,299           5,084,747          80.60%

Librarian/Counselor‐FT  1,039,104             866,126           83.35% 1,117,866           881,997             78.90%

Librarian/Counselor‐PT 145,675                106,222           72.92% 194,185              125,122             64.43%

Staff‐FT 3,955,731             3,244,123        82.01% 4,635,042           3,716,333          80.18%

Staff‐PT 1,440,007             952,067           66.12% 1,669,471           1,044,055          62.54%

     Sub‐total Salaries 22,078,400          18,208,044      82.47% 24,100,753        19,689,208        81.70%

Employee Benefits ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Supplies Gen Exp 276,697                123,616           44.68% 403,685              240,693             59.62%

Travel 91,700                  68,204              74.38% 112,669              94,703                84.05%

Marketing Costs 43,145                  29,592              68.59% 46,970                37,084                78.95%

Rental & Leases 118,687                45,277              38.15% 126,424              61,320                48.50%

Insurance/Risk Mgmt 15                          ‐                    0.00% 245                       245                    0.00%

Contract Services 284,020                176,356           62.09% 288,507              142,239             49.30%

Utilities ‐                         ‐                    ‐                 ‐                        ‐                     0.00%

Other Departmental Expenses 48,542                  28,410              58.53% 46,993                36,819                78.35%

Instructional & Other Materials 226,364                131,872           58.26% 352,195              230,712             65.51%

Maintenance & Repair 25,260                  10,673              42.25% 41,859                16,569                39.58%

Transfers/Debt 883,899                878,970           99.44% 845,619              845,382             ‐                      

Contingency 5,667                    ‐                    0.00% 3,854                  ‐                     ‐                      

Capital Outlay 145,126                62,041              42.75% 325,063              144,829             44.55%

     Total Expenses  24,227,522          19,763,056      81.57% 26,694,836        21,539,804        80.69%

Central College

Detail Cash Flow Analysis ‐ Monthly Percentage of Budget Used

Northwest College

Detail Cash Flow Analysis ‐ Monthly Percentage of Budget Used

7

Page 15: Fs2013 june

Adjusted Budget 

FY2012

YTD Actuals Thru 

6/30/2012 % of Budget Used

Adjusted Budget 

FY2013

YTD Actuals Thru 

6/30/2013 % of Budget Used

EXPENSES

Faculty‐FT  6,990,903             6,007,295        85.93% 7,400,874           6,288,382          84.97%

Faculty‐PT 3,950,866             3,471,116        87.86% 4,111,901           3,225,158          78.43%

Librarian/Counselor‐FT  1,078,629             907,365           84.12% 921,929              767,740             83.28%

Librarian/Counselor‐PT 113,216                88,989              78.60% 119,380              100,749             84.39%

Staff‐FT 4,550,052             3,772,220        82.90% 4,788,951           3,821,974          79.81%

Staff‐PT 717,490                523,797           73.00% 783,481              566,147             72.26%

     Sub‐total Salaries 17,401,156          14,770,781      84.88% 18,126,516        14,770,151        81.48%

Employee Benefits ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Supplies Gen Exp 287,022                233,116           81.22% 226,842              171,005             75.39%

Travel 33,318                  21,432              64.33% 30,120                20,403                67.74%

Marketing Costs 56,959                  36,825              64.65% 60,960                36,973                60.65%

Rental & Leases 1,298,218             1,233,866        95.04% 1,309,787           834,557             63.72%

Insurance/Risk Mgmt ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Contract Services 29,443                  26,053              88.49% 42,160                35,566                84.36%

Utilities 3,800                    2,850                75.00% 4,600                  3,200                 0.00%

Other Departmental Expenses 41,274                  21,747              52.69% 41,936                33,598                80.12%

Instructional & Other Materials 139,566                100,646           72.11% 168,896              93,125                55.14%

Maintenance & Repair 55,107                  44,082              79.99% 56,993                25,561                44.85%

Transfers/Debt 5,640,942             5,639,337        99.97% 5,636,142           5,634,237          ‐                      

Contingency 12,607                  ‐                    0.00% 13,000                ‐                     ‐                      

Capital Outlay 46,000                  23,861              51.87% 297,973              124,096             41.65%

     Total Expenses  25,045,412          22,154,596      88.46% 26,015,925        21,782,472        83.73%

Adjusted Budget 

FY2012

YTD Actuals Thru 

6/30/2012 % of Budget Used

Adjusted Budget 

FY2013

YTD Actuals Thru 

6/30/2013 % of Budget Used

EXPENSES

Faculty‐FT  12,218,531          10,604,334      86.79% 12,026,069        10,502,467        87.33%

Faculty‐PT 6,225,468             5,244,565        84.24% 5,764,404           4,693,623          81.42%

Librarian/Counselor‐FT  1,283,769             1,098,421        85.56% 731,058              633,576             86.67%

Librarian/Counselor‐PT 185,494                133,068           71.74% 214,206              136,598             63.77%

Staff‐FT 5,167,834             4,306,782        83.34% 5,707,399           4,637,585          81.26%

Staff‐PT 1,569,010             1,132,926        72.21% 1,599,871           959,167             59.95%

     Sub‐total Salaries 26,650,105          22,520,096      84.50% 26,043,007        21,563,015        82.80%

Employee Benefits ‐                         ‐                    ‐                 4                           3                         ‐                 

Supplies Gen Exp 288,299                165,569           57.43% 323,368              220,404             68.16%

Travel 51,626                  32,436              62.83% 55,470                40,399                72.83%

Marketing Costs 45,952                  33,365              72.61% 39,443                32,134                81.47%

Rental & Leases 754,077                636,541           84.41% 539,921              473,014             87.61%

Insurance/Risk Mgmt 56                          56                     ‐                 98                         ‐                     0.00%

Contract Services 46,184                  31,007              67.14% 25,839                21,865                84.62%

Utilities ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Other Departmental Expenses 29,741                  20,434              68.71% 32,177                19,362                60.17%

Instructional & Other Materials 217,576                147,551           67.82% 285,602              239,349             83.81%

Maintenance & Repair 28,087                  18,930              67.40% 24,578                13,648                55.53%

Transfers/Debt 2,484,173             2,484,044        99.99% 1,155,001           1,155,000          100.00%

Contingency 7,024                    ‐                    0.00% 2,621                  ‐                     0.00%

Capital Outlay 96,837                  74,415              76.85% 118,059              90,624                76.76%

     Total Expenses  30,699,737          26,164,443      85.23% 28,645,188        23,868,818        83.33%

8

Northeast College

Detail Cash Flow Analysis ‐ Monthly Percentage of Budget Used

Southwest College

Detail Cash Flow Analysis ‐ Monthly Percentage of Budget Used

Page 16: Fs2013 june

Adjusted Budget 

FY2012

YTD Actuals Thru 

6/30/2012 % of Budget Used

Adjusted Budget 

FY2013

YTD Actuals Thru 

6/30/2013 % of Budget Used

EXPENSES

Faculty‐FT  4,855,539             4,209,900        86.70% 4,889,024           4,243,241          86.79%

Faculty‐PT 3,537,003             3,021,966        85.44% 3,843,554           3,263,086          84.90%

Librarian/Counselor‐FT  714,338                597,457           83.64% 522,092              457,718             87.67%

Librarian/Counselor‐PT 79,814                  41,159              51.57% 83,152                34,122                41.04%

Staff‐FT 3,374,492             2,727,535        80.83% 3,828,875           3,145,261          82.15%

Staff‐PT 1,053,058             693,509           65.86% 1,202,344           741,524             61.67%

     Sub‐total Salaries 13,614,245          11,291,527      82.94% 14,369,041        11,884,952        82.71%

Employee Benefits ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Supplies Gen Exp 222,351                158,872           71.45% 265,676              170,629             64.22%

Travel 48,912                  18,805              38.45% 32,227                21,307                66.12%

Marketing Costs 66,782                  55,564              83.20% 79,482                34,345                43.21%

Rental & Leases 172,373                157,728           91.50% 41,484                29,468                71.03%

Insurance/Risk Mgmt 105                        105                   ‐                 ‐                        ‐                     ‐                 

Contract Services 139,024                100,908           72.58% 154,928              87,795                56.67%

Utilities ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Other Departmental Expenses 139,918                25,082              17.93% 114,950              24,537                21.35%

Instructional & Other Materials 60,754                  43,671              71.88% 95,544                50,894                53.27%

Maintenance & Repair 14,162                  6,285                44.38% 22,572                6,225                 27.58%

Transfers/Debt ‐                         ‐                    ‐                 ‐                        ‐                     ‐                      

Contingency 20,436                  ‐                    0.00% 25,000                ‐                     0.00%

Capital Outlay 86,453                  55,815              64.56% 231,681              78,727                33.98%

     Total Expenses  14,585,515          11,914,361      81.69% 15,432,585        12,388,879        80.28%

Adjusted Budget 

FY2012

YTD Actuals Thru 

6/30/2012 % of Budget Used

Adjusted Budget 

FY2013

YTD Actuals Thru 

6/30/2013 % of Budget Used

EXPENSES

Faculty‐FT  6,102,806             5,229,264        85.69% 5,884,114           5,025,617          85.41%

Faculty‐PT 1,849,491             1,373,648        74.27% 2,033,783           1,439,825          70.80%

Librarian/Counselor‐FT  165,915                144,232           86.93% 84,180                66,462                78.95%

Librarian/Counselor‐PT 30,635                  23,675              77.28% 34,980                19,300                55.17%

Staff‐FT 2,322,366             1,923,542        82.83% 2,405,261           1,980,928          82.36%

Staff‐PT 338,279                217,741           64.37% 389,771              218,217             55.99%

     Sub‐total Salaries 10,809,492          8,912,102        82.45% 10,832,089        8,750,349          80.78%

Employee Benefits ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Supplies Gen Exp 354,675                186,487           52.58% 347,331              183,003             52.69%

Travel 82,861                  50,260              60.66% 123,658              84,333                68.20%

Marketing Costs 6,523                    2,020                30.97% 32,472                28,290                87.12%

Rental & Leases 488,309                385,247           78.89% 483,719              326,785             67.56%

Insurance/Risk Mgmt ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Contract Services 329,121                225,431           68.49% 343,372              291,490             84.89%

Utilities ‐                         ‐                    ‐                 ‐                        ‐                     0.00%

Other Departmental Expenses 75,670                  52,498              69.38% 130,596              83,242                63.74%

Instructional & Other Materials 354,542                211,608           59.68% 358,368              169,774             47.37%

Maintenance & Repair 54,423                  27,049              49.70% 83,949                33,348                39.72%

Transfers/Debt ‐                         ‐                    ‐                 ‐                        ‐                     ‐                      

Contingency 36,819                  ‐                    0.00% 5,860                  ‐                     0.00%

Capital Outlay 30,205                  23,352              0.00% 592,573              83,344                0.00%

     Total Expenses  12,622,640          10,076,053      79.83% 13,333,987        10,033,958        75.25%

Southeast College

Detail Cash Flow Analysis ‐ Monthly Percentage of Budget Used

Coleman College

Detail Cash Flow Analysis ‐ Monthly Percentage of Budget Used

9

Page 17: Fs2013 june

Adjusted Budget 

FY2012

YTD Actuals Thru 

6/30/2012 % of Budget Used

Adjusted Budget 

FY2013

YTD Actuals Thru 

6/30/2013 % of Budget Used

EXPENSES

Faculty‐FT  2,315,429             2,017,141        87.12% 2,323,976           2,048,002          88.12%

Faculty‐PT 3,473,046             2,589,041        74.55% 3,655,949           2,760,094          75.50%

Librarian/Counselor‐FT  67,910                  56,592              83.33% 2,887                  2,886                 99.97%

Librarian/Counselor‐PT ‐                         ‐                    0.00% ‐                        ‐                     0.00%

Staff‐FT 3,584,462             3,000,432        83.71% 3,738,913           3,085,715          82.53%

Staff‐PT 659,203                395,571           60.01% 800,320              519,129             64.87%

     Sub‐total Salaries 10,100,050          8,058,777        79.79% 10,522,045        8,415,826          79.98%

Employee Benefits ‐                         ‐                    ‐                 ‐                        ‐                     0.00%

Supplies Gen Exp 193,850                127,662           65.86% 236,750              178,986             75.60%

Travel 72,092                  39,967              55.44% 93,899                60,051                63.95%

Marketing Costs 199,930                144,675           72.36% 405,734              135,204             33.32%

Rental & Leases 40,509                  18,188              44.90% 29,190                12,059                41.31%

Insurance/Risk Mgmt ‐                         ‐                    ‐                 ‐                        ‐                     0.00%

Contract Services 52,760                  27,876              52.84% 363,063              87,741                24.17%

Utilities ‐                         ‐                    ‐                 ‐                        ‐                     ‐                 

Other Departmental Expenses 53,349                  34,172              64.05% 54,661                40,855                74.74%

Instructional & Other Materials 982,620                521,990           53.12% 1,011,565           460,303             45.50%

Maintenance & Repair 118,803                88,559              74.54% 159,700              96,594                60.48%

Transfers/Debt ‐                         ‐                    ‐                 ‐                        ‐                     ‐                      

Contingency ‐                         ‐                    ‐                 ‐                        ‐                     ‐                      

Capital Outlay 14,381                  13,160              0.00% 46,866                30,569                65.23%

     Total Expenses  11,828,344          9,075,026        76.72% 12,923,473        9,518,187          73.65%

Detail Cash Flow Analysis ‐ Monthly Percentage of Budget Used

10

Division of Extended Learning

Page 18: Fs2013 june

2006-07 2007-08 2008-09 2009-10 2010-11 2011-12Academic 12,077,904 12,739,232 14,345,992 16,652,752 17,802,080 17,354,256

Technical 4,378,250 4,422,336 4,883,890 5,680,164 5,924,078 5,822,072

Continuing Education 2,091,365 1,847,195 1,810,761 1,880,857 1,914,445 1,798,940

Total Fundable Contact Hrs 18,547,519 19,008,763 21,040,643 24,213,773 25,640,603 24,975,268

Source: Certified CBM004 & CBM00C.

11

HOUSTON COMMUNITY COLLEGEAnnual Fundable Contact Hours 

FY 2006-07 thru FY 2011-12

0

5,000,000

10,000,000

15,000,000

20,000,000

25,000,000

30,000,000

2006‐07 2007‐08 2008‐09 2009‐10 2010‐11 2011‐12

Continuing Education Technical Academic

+5.9%+15.1%

+10.7%+2.5%

‐2.6%

Page 19: Fs2013 june

HOUSTON COMMUNITY COLLEGEUnduplicated Headcount Comparison Semester‐To‐Semester (FY 2010‐11 thru FY 2012‐13)

Fall Semester (Unduplicated Enrollment ‐ All Students)

Spring Semester (Unduplicated Enrollment ‐ All Students)

Summer Semester (Unduplicated Enrollment ‐ All Students)*

* As of July 08, 2013.

12

0

10,000

20,000

30,000

40,000

50,000

60,000

70,000

80,000-1

10

-100 -90

-80

-70

-60

-50

-40

-30

-20

-10 0 10 20 30 40 50 60 70 80 90 100

110

120

130

Fall 12

Fall 11

Fall 10

Fall 12 Enrollment:‐6.5%  (Fall12 to 11)‐3.9% (Fall12 to 10)

First Class Day

Census Day

0

10,000

20,000

30,000

40,000

50,000

60,000

70,000

80,000

-69

-59

-49

-39

-29

-19 -9 1 11 21 31 41 51 61 71 81 91

101

111

121

131

Spr 13

Spr 12

Spr 11

Census Day

First Class Day

Spr 13 Enrollment:+0.1% (Spr13 to 12)‐5.8% (Spr13 to 11)

0

5000

10000

15000

20000

25000

30000

35000

40000

45000

-62

-52

-42

-32

-22

-12 -2 8 18 28 38 48

Sum 13

Sum 12

Sum 11

Census Day

First Class Day

Sum 13 Enrollment:‐5.3%  (Sum13 to 12)‐5.6% (Sum13 to 11)

Page 20: Fs2013 june

HOUSTON COMMUNITY COLLEGERevenues & Expenditures Comparison Year to Date Thru June 30, 2013

2009 Positions

Revenues Expenditures Rev H/(L) Exp

YTD Actuals Thru June 30, 2013 273,457,234         222,237,000        51,220,234       

YTD Actuals Thru June 30, 2012 277,222,734         222,711,675        54,511,059       

(3,765,500)            (474,675)              

13

 ‐

 50,000,000

 100,000,000

 150,000,000

 200,000,000

 250,000,000

 300,000,000

Revenues Expenditures

Page 21: Fs2013 june

` HOUSTON COMMUNITY COLLEGEMonthly Revenues & Expenditures Comparison Year to Date By Month

Revenues SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 58,227,650  9,431,856  25,352,097  36,128,428 60,245,426 41,908,473 9,764,951 17,027,931  14,879,839 9,286,385

2011‐2012 61,685,752  9,480,515  24,214,599  37,832,575 66,013,487 35,495,964 10,116,378 16,794,724  15,263,177 9,332,949 7,924,181 9,726,145

2009 Positions

Expenditures SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 28,324,834  24,699,442  20,905,041  21,510,456 20,451,195 19,565,831 17,598,083 41,691,992  20,176,089 16,109,839

2011‐2012 37,698,782  23,302,047  20,581,833  17,164,427 19,407,583 18,185,253 18,965,252 39,130,360  18,696,899 18,586,628 21,489,075 18,505,226

14

 ‐ 5,000,000

 10,000,000 15,000,000 20,000,000 25,000,000 30,000,000 35,000,000 40,000,000 45,000,000 50,000,000 55,000,000 60,000,000 65,000,000 70,000,000

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐ 5,000,000

 10,000,000 15,000,000 20,000,000 25,000,000 30,000,000 35,000,000 40,000,000 45,000,000 50,000,000 55,000,000 60,000,000 65,000,000 70,000,000

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 22: Fs2013 june

HOUSTON COMMUNITY COLLEGERevenues Comparison Year to Date Thru June 30, 2013 by Source

2009 Positions

State 

Appropriations Ad Valorem Taxes Tuition, Net Fees

Other Local 

Income* Extended Learning Grant Revenue Total Revenues

YTD Actuals Thru June 30, 2013 56,977,395  104,009,336 40,115,093 64,106,859 1,768,703 6,066,910 412,938 273,457,234

YTD Actuals Thru June 30, 2012 57,231,708  103,893,944 41,888,000 66,454,958 1,276,953 6,070,090 407,080 277,222,734

(254,313)  115,391 (1,772,907) (2,348,099) 491,750 (3,180) 5,858 (3,765,500)

15

 ‐

 20,000,000

 40,000,000

 60,000,000

 80,000,000

 100,000,000

 120,000,000

StateAppropriations

Ad Valorem Taxes Tuition, Net Fees Other LocalIncome*

Extended Learning Grant Revenue

Page 23: Fs2013 june

HOUSTON COMMUNITY COLLEGEExpense Comparison Year to Date Thru June 30, 2013 by Source

2009 Positions

YTD Actuals Thru Faculty‐FT  Faculty‐PT

Librarian/

Counselor‐FT 

Librarian/

Counselor‐PT Staff‐FT Staff‐PT

Employee 

Benefits

Supplies Gen 

Exp Travel

Marketing 

Costs

Rental & 

Leases

Insurance/

Risk Mgmt

Contract 

Services Utilities

Other 

Departmental 

Expenses

Instructional & 

Other 

Materials

Maintenance & 

Repair

Transfers/

Debt Capital Outlay      Total Expenses 

 June 30, 2013  45,987,776  24,632,277  3,977,148  496,809  52,979,664  5,844,779  13,608,436  4,175,860  741,686  1,072,923  1,979,500  6,519,389  16,212,068  6,560,053  1,599,002  4,913,886  593,636  27,792,371  2,549,736  222,237,000 

 June 30, 2012  45,537,999  24,598,246  4,964,641  451,917  51,018,201  5,859,339  11,254,617  3,925,349  639,737  812,070  4,102,308  6,086,439  15,598,805  5,909,502  1,167,800  3,668,400  595,891  35,547,802  972,611  222,711,675 

449,777  34,031  (987,493)  44,891  1,961,463  (14,560)  2,353,819  250,512  101,949  260,854  (2,122,808)  432,950  613,263  650,551  431,202  1,245,486  (2,255)  (7,755,432)  1,577,125  (474,675) 

16

 ‐

 1,000,000

 2,000,000

 3,000,000

 4,000,000

 5,000,000

 6,000,000

 7,000,000

 8,000,000

 9,000,000

 10,000,000

 11,000,000

 12,000,000

 13,000,000

 14,000,000

 15,000,000

 16,000,000

 17,000,000

 18,000,000

 19,000,000

 20,000,000

 21,000,000

 22,000,000

 23,000,000

 24,000,000

 25,000,000

 26,000,000

 27,000,000

 28,000,000

 29,000,000

 30,000,000

Page 24: Fs2013 june

TOTAL 

Unexpended Plant Funds

Total Unexpended Plant Fund Balances per Books (1,719,378)$        

  Spending/Encumbrances/Reserve for Future Use

‐ Encumbrances/PO Issued General Unexpended FY13 1,719,378            

Total  Plant Fund PO 1,719,378$         

     Anticipated Unexpended Plant Shortfall ‐$                         

HOUSTON COMMUNITY COLLEGEUnexpended Plant Fund Excluding 2004 CIP

Cash Position to June 30, 2013

17

Page 25: Fs2013 june

Description of Use

Total Budget to 

Date

Total 

Expenditures      

To Date

Encumbrances To 

Date Unexpended

DEFERRED MAINTENANCE FY05

System Administration 604,863$                604,863$                ‐$                              ‐$                             

Subtotal 604,863$               604,863$               ‐$                              ‐$                           

DEFERRED MAINTENANCE  FY06

System Administration 649,625$                649,624$                ‐$                              ‐$                             

Northwest College 412,743                412,743                ‐                               ‐                            

Coleman College 190,738                190,736                ‐                               ‐                            

Subtotal 1,253,106$            1,253,103$            ‐$                              ‐$                           

DEFERRED MAINTENANCE  FY07

System Administration 775,610$                775,610$                ‐$                              ‐$                             

Central College 373,917                373,917                ‐                               ‐                            

Northwest College 599,383                599,383                ‐                               ‐                            

Northeast College 1,059,733             1,059,733             ‐                               ‐                            

Southwest College 74,607                  74,607                  ‐                               ‐                            

Southeast College 38,742                  38,742                  ‐                               ‐                            

Coleman College 9,900                    9,900                    ‐                               ‐                            

Subtotal 2,931,893$            2,931,892$            ‐$                              ‐$                           

DEFERRED MAINTENANCE  FY08

System Administration 10,195$                  10,195$                  ‐$                              ‐$                             

Central College 478,637                478,637                ‐                               ‐                            

Northwest College 1,217,755             1,217,755             ‐                               ‐                            

Northeast College 494,886                494,886                ‐                               ‐                            

Southwest College 42,063                  42,063                  ‐                               ‐                            

Coleman College 73,813                  73,813                  ‐                               ‐                            

Subtotal 2,317,348$            2,317,349$            ‐$                              ‐$                           

OTHER GENERAL PROJECTS

Minor Construction 657,807$               657,807$               ‐$                              ‐$                           

System 11,770,991           11,130,862           640,129                 ‐                            

Central College 3,218,637             3,129,754             88,883                   ‐                            

Northwest College 4,060,039             4,051,428             8,611                     ‐                            

Northeast College 1,106,793             622,548                484,245                 ‐                            

Southwest College 1,587,304             1,098,820             488,484                 ‐                            

Southeast College 1,995,204             1,989,030             6,174 ‐                            

Coleman College 1,341,161             1,341,159             2 ‐                            

Subtotal 25,737,936$         24,021,408$         1,716,528$             ‐$                           

SURPLUS PROPERTY

Palmetto Property ‐ Purchase 495,154$               495,154$               ‐$                              ‐$                           

Dixie Property‐ Refund 20,000                  20,000                  ‐                            

 288 Property‐ Purchase 1,142,402             1,139,552             2,850                     ‐                            

Warehouse Property 12,966,619           12,966,619           ‐                               ‐                            

Subtotal 14,624,175$         14,621,325$         2,850$                    ‐$                           

Total Anticipated Uses 47,469,321$          45,749,940$          1,719,378$             ‐$                             

UNEXPENDED PLANT FUND PROJECTSas of June 30, 2013

18

HOUSTON COMMUNITY COLLEGE

Page 26: Fs2013 june

 

Total Budget 

to Date

Total 

Expenditures   

To Date

Encumbrances 

To Date

% of 

Expen‐ 

ditures Unexpended

% of 

Total 

BudgetSources:

Central College 2001A Bond 25,318,535$      

2003 Limited Tax Bond and Premium 150,748,497      

Actural Interest Earned 2003 Limited Tax Bonds 20,868,074         

2005 Limited Tax and Building Bond 1,875,000           

2003/2005 LTD Bond Issuance Cost (2,068,522)          

2006 Jr Lien Bond Std Revenue Bond 30,000,000         

Bond Issuance Cost (913,149)             

Actual Interest Earned 2006 Jr Lien Bonds 2,608,533           

Transferred to Fund 7305/Hayes Road (3,169,049)          

2008 Maintenance Tax Notes 56,912,320         

2008 MTN Bond Issuance Cost (1,056,912)          

Actual Interest Earned 2008 MTN 1,654,029           

2008 Sr. Lien Bond             1,714,953 

Transferred to Residual CIP Funds         (20,712,314)

Total Available with Reclassification 263,779,995$    

Uses:

Construction 119,641,496$     119,628,602$     12,893$                100% ‐$                          0%

CPMS PGAL  11,121,809          11,121,809          ‐                             100% ‐                             0%

Facility Planning 1,677,989            1,677,989            ‐                             100% ‐                             0%

Architect Fees and Engineering 7,536,519            7,505,762            30,757                  100% ‐                             0%

Other Costs including Bldg/Land Purchase 2,273,077            2,258,218            14,859                  100% ‐                             0%

Inspectors 890,000               890,000               ‐                             100% ‐                             0%

Design Standard 103,370               103,370               ‐                             100% ‐                             0%

Site Improvement and Infrastructure Development 52,585,331          52,039,375          542,993                100% 2,964                    0%

IT Infrastructure Master Plan 29,596,689          29,173,797          417,936                100% 4,956                    0%

Furniture and Fixtures 14,213,151          13,908,378          304,774                100% (0)                           0%

Small Business 567,383               567,383               ‐                             100% ‐                             0%

Administrative Services 3,413,568            3,370,910            42,658                  100% ‐                             0%

Material Testing 574,120               537,606               36,513                  100% 0                            0%

Contingency for Construction 307,186               0% 307,186               100%

Surveying 471,813               460,552               11,260                  100% 0                            0%

Design and Geotech 110,911               110,111               800                        100% ‐                             0%

Signage 70,000                  70,000                  100% ‐                             0%

Blue Light Security 126,000               120,600               5,400                    100% ‐                             0%

PGAL Website Development 181,208               181,208               ‐                             100% ‐                             0%

System Architect Furniture Consultant 11,367                  11,367                  100% ‐                             0%

Northline Demolition‐Pizza Hut 226,246               226,246               100% ‐                             0%

Police Cars 342,223               341,613               610                        100% ‐                             0%

Bering St. Property 50,687                  50,687                  100% ‐                             0%

General Repairs & Maintenance 2,079,239            2,079,239            100% ‐                             0%

Land Purchase 1,919,729            1,919,729            100% ‐                             0%

Amateur Sports Complex ‐ Willie Gay Hall 2,240,764            2,233,764            7,000                    100% ‐                             0%

Total Construction Cost 252,331,872$     250,588,317$     1,428,453$          100% 315,106$             0%

Note: Expenditures Not In Construction Schedule

Deferred Maintenance 5,000,000$          5,000,000$          ‐$                           100% ‐$                          0%

IT Development 6,448,123            6,448,122            ‐                             100% ‐                             0%

263,779,995$     262,036,439$     1,428,454$          100% 315,106$             0%

Anticipated Budget Shortfall/Surplus (0)                          

*Footnote on next page

HOUSTON COMMUNITY COLLEGE2004 CIP Projectsas of June 30, 2013

19

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Date

Total 

Expenditures   

To Date

Encumbrances 

To Date Unexpended

Central ‐ San Jacinto:*

Construction Cost 1,241,868$         1,241,868$         ‐$                         

CPMS PGAL 111,440              111,440              ‐                         ‐                          

Facilities Space Programming 393,715              393,715              ‐                         ‐                          

Material Testing  ‐                           ‐                           ‐                         ‐                          

IT Infrastructure Capital Projects 10,000                5,687                  4,314                 ‐                          

Design Standards 3,904                  3,904                  ‐                          

  Total Central ‐ San Jacinto 1,785,007$          1,780,694$          4,314$               ‐$                          

Central ‐ Learning Hub/Science Bldg:*

Construction Cost 21,504,724$       21,499,805$       4,919$               -$ CPMS PGAL 1,967,801           1,967,801           ‐                          

Facilities Space Programming 148,096              148,096              ‐                         ‐                          

Architect and Engineering 1,242,506           1,242,506           ‐                          

Furniture, Fixtures & Equipment 2,049,869           2,019,706           30,163              ‐                          

Inspectors 187,000              187,000              ‐                          

Project Software 7,614                  7,614                  ‐                          

Design Standards 15,086                15,086                ‐                          

Site Infrastructure Improvements 5,688,425           5,396,337           292,088            ‐                          

IT Infrastructure Master Plan 2,751,121           2,726,528           24,593              ‐                          

Design Geotech 10,150                10,150                ‐                          

Material Testing  32,994                32,356                638                    ‐                          

Surveying  69,453                64,118                5,335                 ‐                          

Blue Light Security 18,000                17,100                900                    ‐                          

  Total Central ‐ Learning Hub/Science 

Bldg:*

35,692,839$        35,334,203$        358,636$           ‐$                          

NEC ‐ Learning Hub:*

Construction Cost 14,001,119$       14,001,119$       ‐                          

CPMS PGAL 1,187,440           1,187,440           ‐                          

Facilities Space Programming 145,889              145,889              ‐                          

Architect and Engineering 723,556              723,556              ‐                          

Furniture, Fixtures & Equipment 1,660,682           1,651,908           8,774                 ‐                          

Other Costs including Bldg/Land Purchase ‐                           ‐                          

Inspectors 205,000              205,000              ‐                         ‐                          

Project Software ‐                           ‐                          

Design Standards 9,015                  9,015                  ‐                          

Site Infrastructure Improvements 92,682                92,682                ‐                         ‐                          

IT Infrastructure Master Plan 1,250,254           1,249,836           418                    ‐                          

Design Geotech ‐                           ‐                          

Material Testing  131,870              123,607              8,263                 ‐                          

Surveying  71,081                71,081                ‐                          

  Total NEC ‐ Learning Hub 19,478,588$        19,461,133$        17,455$             ‐$                          

HOUSTON COMMUNITY COLLEGE2004 CIP Projectsas of June 30, 2013

20

 *Note 1  Budgets are adjusted as cost estimate changes; otherwise, budget is preliminary from inception. 

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HOUSTON COMMUNITY COLLEGE2004 CIP Projectsas of June 30, 2013

NEC ‐ Science Engineering & Technology:*

Construction Cost 11,627,061$       11,626,428$       633$                   ‐$                         

CPMS PGAL 857,203              857,203              ‐                         ‐                          

Facilities Space Programming 52,058                52,058                ‐                          

Architect and Engineering 635,906              635,906              ‐                          

Furniture, Fixtures & Equipment 644,019              607,016              37,003              ‐                          

Other Costs including Bldg/Land Purchase 84,400                73,800                10,600              ‐                          

Inspectors ‐                           ‐                          

Project Software ‐                           ‐                          

Design Standards 6,818                  6,818                  ‐                          

Site Infrastructure Improvements 15,423,461        15,357,930        65,531              ‐                          

IT Infrastructure Master Plan 1,160,897           1,160,824           73                      ‐                          

Design Geotech 28,500                28,500                ‐                          

Material Testing  95,465                95,465                ‐                         ‐                          

Surveying  15,960                10,035                5,925                 ‐                          

Blue Light Security 18,000                17,100                900                    ‐                          

  Total NEC ‐ Science Eng & Technology 30,649,748$        30,529,083$        120,665$           ‐$                          

NEC ‐ Pinemont:

CPMS PGAL 6,269$                 6,269$                 ‐$                        ‐$                         

Facilities Space Programming 71,292                71,292                ‐                         ‐                          

Other Costs including Bldg/Land Purchase 102,156              102,156              ‐                          ‐                            

Surveying  22,483                22,483                ‐                         ‐                          

  Total NEC ‐ Pinemont 202,200$              202,200$              ‐$                        ‐$                          

SEC ‐ Felix Fraga (Drennan):*

Construction Cost 12,419,858$       12,417,829$       2,029$               ‐$                         

CPMS PGAL 1,216,969           1,216,969           ‐                          

Facilities Space Programming 227,023              227,023              ‐                          

Architect and Engineering 850,383              835,511              14,872              ‐                          

Furniture, Fixtures & Equipment 1,007,615           977,469              30,146              ‐                          

Other Costs including Bldg/Land Purchase 62,466 62,466                ‐                          

Inspectors - ‐                          

Project Software - ‐                          

Design Standards 6,873                  6,873                  ‐                          

Site Infrastructure Improvements 5,993,954           5,959,861           34,093              ‐                          

IT Infrastructure Master Plan 1,279,923           1,268,405           11,518              ‐                          

Design Geotech 19,000                18,200                800                    ‐                          

Material Testing  150,272              137,662              12,610              ‐                          

Surveying  27,674                27,674                ‐                          

HUB/Small Business Program ‐                           ‐                           ‐                         ‐                          

HUB/Small Business Program ‐                           ‐                          

Bering St Property 50,687                50,687                ‐                          

Signage ‐                           ‐                          

Blue Light Security 18,000                17,100                900                    ‐                            Total SEC ‐ Felix Fraga (Drennan):* 23,330,697$        23,223,729$        106,968$           ‐$                          

21

 *Note 1  Budgets are adjusted as cost estimate changes; otherwise, budget is preliminary from inception. 

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Expenditures   

To Date

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HOUSTON COMMUNITY COLLEGE2004 CIP Projectsas of June 30, 2013

SEC ‐ Felix Morales:*

Construction Cost 3,653,330$         3,653,330$         ‐$                         

CPMS PGAL 667,905              667,905              ‐                          

Facilities Space Programming 62,181                62,181                ‐                          

Architect and Engineering 367,853              351,968              15,885              ‐                          

Furniture, Fixtures & Equipment 929,072              898,276              30,796              ‐                          

Inspectors ‐                           ‐                          

Project Software ‐                           ‐                          

Design Standards 3,117                  3,117                  ‐                          

Site Infrastructure Improvements 98,015                96,070                1,945                 ‐                          

IT Infrastructure Master Plan 1,164,463           1,008,321           154,669            1,473                 

Design Geotech ‐                           ‐                          

Material Testing  10,009                5,808                  4,201                 ‐                          

Surveying  1,225                  1,225                  ‐                          

  Total SEC ‐ Felix Morales 6,957,169$          6,748,200$          207,496$           1,473$                 

SEC ‐ Learning Hub:*

Construction Cost 16,555,351$       16,550,039$       5,312$               ‐$                         

CPMS PGAL 1,744,048           1,744,048           ‐                          

Facilities Space Programming 126,588              126,588              ‐                          

Architect and Engineering 875,415              875,415              ‐                          

Furniture, Fixtures & Equipment 2,006,195           1,838,307           167,888            ‐                          

 Other Costs including Bldg/Land Purchase  32,480                  28,221                  4,259                  ‐                            

Inspectors 258,000              258,000              ‐                         ‐                          

Project Software ‐                           ‐                          

Design Standards 9,367                  9,367                  ‐                          

Site Infrastructure Improvements 12,152,267        12,036,575        112,728            2,964                 

IT Infrastructure Master Plan 2,177,705           2,157,010           20,695              ‐                          

Administrative Services ‐                           ‐                          

Design Geotech 9,525                  9,525                  ‐                         ‐                          

Material Testing  122,370              115,883              6,487                 ‐                          

Surveying  144,094              144,094              ‐                          

Blue Light Security 18,000                18,000                - ‐                          

  Total SEC ‐ Learning Hub 36,231,403$        35,911,072$        317,369$           2,964$                 

22

 *Note 1  Budgets are adjusted as cost estimate changes; otherwise, budget is preliminary from inception. 

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Expenditures   

To Date

Encumbrances 

To Date Unexpended

HOUSTON COMMUNITY COLLEGE2004 CIP Projectsas of June 30, 2013

SW ‐ Missouri City:*

Construction Cost 8,891,630$         8,891,630$         ‐$                         

CPMS PGAL 601,635              601,635              ‐                         ‐                          

Facilities Space Programming 194,111              194,111              ‐                          

Architect and Engineering 958,905              958,905              ‐                         ‐                          

Furniture, Fixtures & Equipment 1,011,146           1,011,146           ‐                         ‐                          

 Library & Bookstore  1,991,575           1,991,575           ‐                          

Inspectors ‐                           ‐                          

Project Software ‐                           ‐                          

Design Standards 4,999                  4,999                  ‐                          

Site Infrastructure Improvements 5,061,234           5,061,234           ‐                         ‐                          

IT Infrastructure Capital Projects 2,246,083           2,246,083           ‐                         ‐                          

Design Geotech ‐                           ‐                          

Material Testing  ‐                           ‐                          

Surveying  48,311                48,311                ‐                          

Blue Light Security 18,000                17,100                900                    ‐                          

  Total SW ‐ Missouri City 21,027,628$        21,026,728$        900$                   ‐$                          

SW ‐ West Loop Phase I:*

Construction Cost 9,031,922$         9,031,922$         ‐$                        ‐$                         

CPMS PGAL 1,033,865           1,033,865           ‐                          

Facilities Space Programming 76,260                76,260                ‐                          

Architect and Engineering 718,694              718,694              ‐                          

Furniture, Fixtures & Equipment 2,154,214           2,154,214           ‐                         ‐                          

Design Standards 8,170                  8,170                  ‐                          

IT Infrastructure Capital Projects 2,864,190           2,864,190           ‐                         ‐                          

Design Geotech 22,116                22,116                ‐                          

Material Testing  21,141                21,140                ‐                         ‐                          

Surveying  14,995                14,995                ‐                         ‐                          

Exterior Signage 70,000                70,000                ‐                         ‐                          

Blue Light Security 18,000                17,100                900                    ‐                          

  Total SW ‐ West Loop Phase I 16,033,566$        16,032,665$        900$                   ‐$                          

23

 *Note 1  Budgets are adjusted as cost estimate changes; otherwise, budget is preliminary from inception. 

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Expenditures   

To Date

Encumbrances 

To Date Unexpended

HOUSTON COMMUNITY COLLEGE2004 CIP Projectsas of June 30, 2013

SW ‐ Learning Hub ‐ Stafford:*

Construction Cost 20,714,629$       20,714,629$       ‐$                        ‐$                         

CPMS PGAL 1,727,234           1,727,234           ‐                          

Facilities Space Programming 180,778              180,778              ‐                          

Architect and Engineering 1,155,688           1,155,688           ‐                         ‐                          

Furniture, Fixtures & Equipment 2,750,339           2,750,339           ‐                         ‐                          

Inspectors 240,000              240,000              ‐                          

Project Software ‐                           ‐                          

Design Standards 15,845                15,845                ‐                          

Site Infrastructure Improvements 8,075,292           8,038,685           36,607              ‐                          

IT Infrastructure Capital Projects 2,535,820           2,535,820           ‐                         ‐                          

Design Geotech 21,620                21,620                ‐                          

Material Testing  ‐                           ‐                          

Surveying  56,536                56,536                ‐                          

Blue Light Security 18,000                17,100                900                    ‐                          

  Total SW ‐ Learning Hub ‐ Stafford 37,491,782$        37,454,275$        37,507$             ‐$                          

System ‐ Network:

IT Infrastructure Capital Projects 12,162,330$       11,952,876$       205,971$           3,483                 

Administrative Services 3,413,568           3,370,910           42,658              ‐                          

PGAL Website Development 181,209              181,208              1                        ‐                          

HUB/Small Business Program 567,383              567,383              ‐                         ‐                          

 System Architect Furniture Consultant  11,367                11,367                ‐                           Ft. Bend Library Inflation Cost Increase  ‐                           ‐                          Northline Demolition‐Pizza Hut 226,246              226,246              ‐                          

Police Cars 342,223              341,613              610                    ‐                          

General Repairs & Maintenance 2,079,239           2,079,239           ‐                          

Land Purchase 1,919,729           1,919,729           ‐                          

Amateur Sports Complex ‐ Willie Gay Hall 2,240,764           2,233,764           7,000                 ‐                          

  Total ‐ System ‐ Network 23,144,058$        22,884,335$        256,238$           3,483$                 

Construction Contingency 307,186$             ‐$                           ‐$                        307,186               

Subtotal Above 252,331,871$      250,588,316$      1,428,448$        315,106$             

100.00% 99.31% 0.57% 0.12%

EXPENDITURES NOT IN CONSTRUCTION SCHEDULE

Deferred Maintenance 5,000,000$         5,000,000$         ‐$                        ‐$                         

IT Development 6,448,123           6,448,122           ‐                         ‐                          

GRAND TOTAL 263,779,994$      262,036,438$      1,428,448$        315,106$             

100.00% 99.34% 0.54% 0.12%

24

 *Note 1  Budgets are adjusted as cost estimate changes; otherwise, budget is preliminary from inception. 

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Total Budget to 

Date

Total 

Expenditures To 

Date

 Encumbrances 

June 30, 2013  Unexpended

Sources:

Bond Proceeds 454,167,571$      

Capitalized Interest (26,559,053)         

Issuance Cost & Underwriters' Discount (2,608,518)           

Interest Earned 103,160               

Total Available with Reclassification 425,103,160$      

Uses:

Land 8,119,373$            8,119,373$       ‐$                          ‐$                        

Construction Cost 1,754,655             364,006            1,390,649          ‐                     

Architect and Engineering 133,880                78,684              55,196                ‐                     

Site Infrastructure Improvements 89,660                   864                    88,796                ‐                     

Inspection 135,960                ‐                     135,960              ‐                     

Material Testing 248,327                111,522            136,805              ‐                     

IT Infrastructure Capital Projects 47,282                   ‐                     47,282                ‐                     

Furniture, Fixtures & Equipment 267,174                ‐                     267,174              ‐                     

Contingency for Construction(Int. Earned) 103,160                ‐                     ‐                      103,160            

Small Business 3,500,000             ‐                     ‐                      3,500,000         

Administrative Services 2,000,000             ‐                     ‐                      2,000,000         

Construction Auditor 660,000                ‐                     ‐                      660,000            

Total Construction Cost 17,059,470$          8,674,448$       2,121,862$         6,263,160$        

Anticipated Budget Shortfall/Surplus 408,043,690        

25

HOUSTON COMMUNITY COLLEGE SYSTEM2013 CIP ProjectsAs of June 30, 2013

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Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances 

June 30, 2013 Unexpended

Central Campus: 23,071,888               23,071,888          

Land ‐                        ‐                            ‐                            

Construction Cost ‐$                       ‐$                          ‐                            

Architect and Engineering ‐                        ‐                            ‐                            

Site Infrastructure Improvements 87,500                       ‐                        87,500                ‐                            

Inspection ‐                        ‐                            ‐                            

Material Testing  ‐                            

IT Infrastructure Capital Projects ‐                        ‐                            ‐                            

Furniture, Fixtures & Equipment ‐                        ‐                            ‐                            

Small Business 110,588                     ‐                        ‐                            110,588                

Administrative Services 36,494                       ‐                        ‐                            36,494                  

Construction Auditor 193,529                     ‐                        ‐                            193,529                

Contingency ‐                        ‐                            ‐                              Total Central Campus 23,500,000$             ‐$                       87,500$               23,412,500$        

South Campus Workforce Building 24,142,734$             24,142,734$        

Land ‐                    ‐                      ‐                        

Construction Cost ‐                    ‐                      ‐                        

Architect and Engineering ‐                    ‐                      ‐                        

Site Infrastructure Improvements 2,160                         864                   1,296                  ‐                        

Inspection ‐                    ‐                      ‐                        

Material Testing ‐                        

IT Infrastructure Capital Projects ‐                    ‐                      ‐                        

Furniture, Fixtures & Equipment ‐                    ‐                      ‐                        

Small Business 115,294                     ‐                      115,294                

Administrative Services 38,047                       ‐                      38,047                  

Construction Auditor 201,765                     ‐                      201,765                

Contingency ‐                    ‐                      ‐                          Total South Campus 24,500,000$             864$                  1,296$                 24,497,840$        

Northline 19,710,118$             19,710,118$        

Land ‐                    ‐                      ‐                            

Construction Cost ‐                    ‐                      ‐                            

Architect and Engineering ‐                    ‐                      ‐                            

Site Infrastructure Improvements ‐                    ‐                      ‐                            

Inspection ‐                    ‐                      ‐                            

Material Testing ‐                            

IT Infrastructure Capital Projects ‐                    ‐                      ‐                            

Furniture, Fixtures & Equipment ‐                    ‐                      ‐                            

Small Business 94,118                       ‐                      94,118                  

Administrative Services 31,059                       ‐                      31,059                  

Construction Auditor 164,706                     ‐                      164,706                

Contingency ‐                    ‐                      ‐                              Total Northline 20,000,000$             ‐$                       ‐$                          20,000,000$        

HOUSTON COMMUNITY COLLEGE SYSTEM2013 CIP ProjectsAs of June 30, 2013

26

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To Date

Encumbrances 

June 30, 2013 Unexpended

HOUSTON COMMUNITY COLLEGE SYSTEM2013 CIP ProjectsAs of June 30, 2013

Northforest Workforce & Early College 29,169,687$             29,169,687$        

Land 8,102,273                  8,102,273        ‐                            ‐                            

Construction Cost 1,633,824                  364,006           1,269,818          ‐                            

Architect and Engineering ‐                        ‐                            ‐                            

Site Infrastructure Improvements ‐                        ‐                            ‐                            

Inspection ‐                        ‐                            ‐                            

Material Testing 199,996                     107,998           91,998                ‐                            

IT Infrastructure Capital Projects 47,282                       ‐                        47,282                ‐                            

Furniture, Fixtures & Equipment 267,174                     ‐                        267,174              ‐                            

Small Business 188,235                     ‐                            188,235                

Administrative Services 62,118                       ‐                            62,118                  

Construction Auditor 329,412                     ‐                            329,412                

Contingency ‐                        ‐                            ‐                              Total Northforest & Early College 40,000,000$             8,574,277$      1,676,272$         29,749,452$        

Acres Homes 12,797,976$             ‐$                          12,797,976$        

Land 13600 13600 ‐                            ‐                            

Construction Cost ‐                        ‐                            ‐                            

Architect and Engineering ‐                        ‐                            ‐                            

Site Infrastructure Improvements ‐                        ‐                            ‐                            

Inspection ‐                        ‐                            ‐                            

Material Testing ‐                            

IT Infrastructure Capital Projects ‐                        ‐                            ‐                            

Furniture, Fixtures & Equipment ‐                        ‐                            ‐                            

Small Business 61,176                       ‐                            61,176                  

Administrative Services 20,188                       ‐                            20,188                  

Construction Auditor 107,059                     ‐                            107,059                

Contingency ‐                        ‐                            ‐                              Total ‐ Pinemont  13,000,000$             13,600$            ‐$                          12,986,400$        

Alief Campus 9,851,535$               9,851,535$          

Land ‐                    ‐                      ‐                        

Construction Cost ‐                    ‐                      ‐                        

Architect and Engineering ‐                    ‐                      ‐                        

Site Infrastructure Improvements ‐                    ‐                      ‐                        

Inspection ‐                    ‐                      ‐                        

Material Testing 3,524                         3,524               ‐                      ‐                        

IT Infrastructure Capital Projects ‐                    ‐                      ‐                        

Furniture, Fixtures & Equipment ‐                    ‐                      ‐                        

Small Business 47,059                       ‐                      47,059                  

Administrative Services 15,529                       ‐                      15,529                  

Construction Auditor 82,353                       ‐                      82,353                  

Contingency ‐                    ‐                      ‐                          Total ‐ Alief  10,000,000$             3,524$              ‐$                          9,996,476$          

27

Page 35: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances 

June 30, 2013 Unexpended

HOUSTON COMMUNITY COLLEGE SYSTEM2013 CIP ProjectsAs of June 30, 2013

Westside Campus 52,226,812$             52,226,812$        

Land 0 0 ‐                        

Construction Cost ‐                        ‐                            ‐                        

Architect and Engineering 5,000                         ‐                        5,000                  ‐                        

Site Infrastructure Improvements ‐                        ‐                            ‐                        

Inspection ‐                        ‐                            ‐                        

Material Testing ‐                        

IT Infrastructure Capital Projects ‐                        ‐                            ‐                        

Furniture, Fixtures & Equipment ‐                        ‐                            ‐                        

Small Business 249,412                     ‐                            249,412                

Administrative Services 82,306                       ‐                            82,306                  

Construction Auditor 436,471                     ‐                            436,471                

Contingency ‐                        ‐                            ‐                          Total ‐ Westside  53,000,000$             ‐$                       5,000$                 52,995,000$        

Southeast Campus 26,071,099$             26,071,099$        

Land 0 0 ‐                        

Construction Cost ‐                        ‐                            ‐                        

Architect and Engineering ‐                        ‐                            ‐                        

Site Infrastructure Improvements ‐                        ‐                            ‐                        

Inspection ‐                        ‐                            ‐                        

Material Testing 44,807                       ‐                        44,807                ‐                        

IT Infrastructure Capital Projects ‐                        ‐                            ‐                        

Furniture, Fixtures & Equipment ‐                        ‐                            ‐                        

Small Business 124,706                     ‐                        ‐                            124,706                

Administrative Services 41,153                       ‐                        ‐                            41,153                  

Construction Auditor 218,235                     ‐                        ‐                            218,235                

Contingency ‐                        ‐                            ‐                          Total ‐ Southeast 26,500,000$             ‐$                       44,807$               26,455,193$        

Felix Fraga Campus 15,382,424$             15,382,424$        

Land ‐                    ‐                      ‐                        

Construction Cost 120,831                     ‐                    120,831              ‐                        

Architect and Engineering 128,880                     78,684             50,196                ‐                        

Site Infrastructure Improvements ‐                    ‐                      ‐                        

Inspection 135,960                     ‐                    135,960              ‐                        

Material Testing ‐                    ‐                      ‐                        

IT Infrastructure Capital Projects ‐                    ‐                      ‐                        

Furniture, Fixtures & Equipment ‐                    ‐                      ‐                        

Small Business 75,294                       ‐                    ‐                      75,294                  

Administrative Services 24,847                       ‐                    ‐                      24,847                  

Construction Auditor 131,765                     ‐                    ‐                      131,765                

Contingency ‐                    ‐                      ‐                          Total ‐ Felix Fraga  16,000,000$             78,684$            306,987$            15,614,330$        

28

Page 36: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances 

June 30, 2013 Unexpended

HOUSTON COMMUNITY COLLEGE SYSTEM2013 CIP ProjectsAs of June 30, 2013

Westloop Campus 17,739,106$             ‐$                          17,739,106$        

Land ‐                        

Construction Cost ‐                        

Architect and Engineering ‐                        

Site Infrastructure Improvements ‐                        

Inspection ‐                        

Material Testing ‐                        

IT Infrastructure Capital Projects ‐                        

Furniture, Fixtures & Equipment ‐                        

Small Business 84,706                       84,706                  

Administrative Services 27,953                       27,953                  

Construction Auditor 148,235                     148,235                

Contingency ‐                          Total ‐ Westloop  18,000,000$             ‐$                       ‐$                          18,000,000$        

Braes Oak Campus 11,826,071$             11,826,071$        

Land ‐                        

Construction Cost ‐                        

Architect and Engineering ‐                        

Site Infrastructure Improvements ‐                        

Inspection ‐                        

Material Testing ‐                        

IT Infrastructure Capital Projects ‐                        

Furniture, Fixtures & Equipment ‐                        

Small Business 56,471                       56,471                  

Administrative Services 18,635                       18,635                  

Construction Auditor 98,824                       98,824                  

Contingency ‐                          Total ‐ Braes Oak 12,000,000$             ‐$                       ‐$                          12,000,000$        

Stafford Campus 26,608,659$             26,608,659$        

Land ‐                    ‐                      ‐                        

Construction Cost ‐                        ‐                            ‐                        

Architect and Engineering ‐                        

Site Infrastructure Improvements ‐                        

Inspection ‐                        ‐                            ‐                        

Material Testing ‐                        ‐                            ‐                        

IT Infrastructure Capital Projects ‐                        ‐                            ‐                        

Furniture, Fixtures & Equipment ‐                        ‐                            ‐                        

Small Business 127,059                     127,059                

Administrative Services 41,929                       41,929                  

Construction Auditor 222,353                     222,353                

Contingency ‐                        ‐                            ‐                          Total ‐ Stafford Campus 27,000,000$             ‐$                       ‐$                          27,000,000$        

29

Page 37: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances 

June 30, 2013 Unexpended

HOUSTON COMMUNITY COLLEGE SYSTEM2013 CIP ProjectsAs of June 30, 2013

Missouri City  21,188,376$             ‐$                       ‐$                          21,188,376$        

Land ‐                        ‐                            ‐                            

Construction Cost ‐                        ‐                            ‐                            

Architect and Engineering ‐                            

Site Infrastructure Improvements ‐                            

Inspection ‐                        ‐                            ‐                            

Material Testing ‐                        ‐                            ‐                            

IT Infrastructure Capital Projects ‐                        ‐                            ‐                            

Furniture, Fixtures & Equipment ‐                        ‐                            ‐                            

Small Business 101,176                     101,176                

Administrative Services 33,388                       33,388                  

Construction Auditor 177,059                     177,059                

Contingency ‐                            21,500,000$             ‐$                       ‐$                          21,500,000$        

  Total ‐ Missouri City

Coleman 118,257,206$           ‐$                       ‐$                          118,257,206$      

Land 3500 3500 ‐                            ‐                            

Construction Cost ‐                        ‐                            ‐                            

Architect and Engineering ‐                        ‐                            ‐                            

Site Infrastructure Improvements ‐                        ‐                            ‐                            

Inspection ‐                        ‐                            ‐                            

Material Testing ‐                            

IT Infrastructure Capital Projects ‐                        ‐                            ‐                            

Furniture, Fixtures & Equipment ‐                        ‐                            ‐                            

Small Business 564,706                     ‐                            564,706                

Administrative Services 186,353                     ‐                            186,353                

Construction Auditor 988,235                     ‐                            988,235                

Contingency ‐                            ‐                              Total ‐ Coleman 120,000,000$           3,500$              ‐$                          119,996,500$      

Construction Contingency 103,160$                   ‐$                       ‐$                          103,160$              

GRAND TOTAL 425,103,160$           8,674,448$      2,121,862$         414,306,851$      

30

Page 38: Fs2013 june

2003/2005 Limited Tax Bonds 2003 2005 TotalBond counsel fees 150,000 57,000 207,000Underwriters' discount 814,813 57,000 871,813Insurance premium 558,764 558,764Financial advisory fee 205,391 68,081 273,472Rating agencies fees 114,350 16,000 130,350Printing costs 10,386 4,506 14,892CPA consent letter fee 1,500 1,500 3,000Verification fees 3,500 3,500Paying agent fee 300 5,432 5,732

1,855,504 213,018 2,068,522

2006 Jr Lien Revenue BondsBond counsel fees 79,500Underwriters' discount 509,509Insurance premium 117,904Financial advisory fee 137,910Rating agencies fees 54,850Printing costs 3,502CPA consent letter fee 1,500Verification fees 3,500Paying agent fee 4,974

913,149

2008 Maintenance Tax NotesBond counsel fees 63,500Underwriters' discount 342,526Insurance premium 498,600Financial advisory fee 95,105Rating agencies fees 47,100Printing costs 9,617Paying agent fee 463

1,056,912

Limited Tax General Obligation Bonds, Series 2013Bond counsel fees 698,040Underwriters' discount 1,213,220Financial advisory fee 462,628Rating agencies fees 190,000Printing costs 2,273CPA consent letter fee 4,000Paying agent fee 500

2,570,661

31

HOUSTON COMMUNITY COLLEGE2004 & 2013 CIP Projects Footnotes

as of June 30, 2013

Page 39: Fs2013 june

 

Total Budget to 

Date

Total 

Expenditures to 

Date  Encumbrances  Unexpended

Sources:Transferred CIP Funds 20,712,314

Uses:

Central Learning Hub/Science Bldg:

Site Infrastructure Improvements 6,599,554$         240,575$               9,533$                  6,349,446$        

South Campus:

Site Infrastructure Improvements 11,000 7,700                    3,300                     ‐                         

NEC ‐ Science Engineering & Technology:

Site Infrastructure Improvements 367,959 213,069 154,890                ‐                         

SEC ‐ Learning Hub:

Site Infrastructure Improvements 2,002,604 1,443,999            558,605                ‐                         

Material Testing 23,368 20,852                  2,516                     ‐                         

Katy Campus:

Architecture 155,200 155,200                ‐                         

System ‐ Network:

IT Infrastructure Capital Projects 7,569,405 7,431,911            102,018                35,476              

Site Infrastructure Improvements 96,600 57,960                  38,640                  ‐                         

 

 Construction Contingency 851,755 ‐                             851,755            

Contingency* 3,034,869           ‐                             3,034,869         

Total Construction Cost 20,712,314$       9,416,067$           1,024,701$           10,271,546$     

Anticipated Budget Shortfall/Surplus (0)                        

*All of these funds, except for the Coningency of $3,034,869, arose from Maintenance Tax Notes which are intended

 for infrastructure and maintenance and repairs (capital‐related). The unexpended balance of $10,271,546 can be used

 throughout the district.

32

HOUSTON COMMUNITY COLLEGE SYSTEMResidual CIP Funds

as of  6/30/13

Page 40: Fs2013 june

Total Budget 

to Date

Total 

Revenues /  

Expenditures 

To Date

Encumbrances To 

Date Unexpended

Sources of funds:

Proceeds from 

2006 Tax Maintenance Notes 12,000,000$   

Discount (88,756)            

Bond Issuance Cost (256,244)          

Interest Income 835,390           

Funds Available 12,490,390$  

Uses of funds:

Site Infrastructure 341,092$          327,728$          13,364$                 ‐$                     

Project Management 450,479            450,479            ‐                              ‐                       

Construction 8,805,292         8,805,292         ‐                              ‐                       

Design Phase 1,117,820         1,117,820         ‐                              ‐                       

Architecture 17,822              17,822              ‐                       

Material Testing & Inspection 6,399                6,399                ‐                              ‐                       

Land/Demolition 420,541            420,541            ‐                              ‐                       

Survey 9,473                9,473                ‐                              ‐                       

Construction‐Maintenance 1,259,003         1,247,114         11,889                   ‐                       

Contingency 62,468              46,700              15,768            

Grand Total Uses 12,490,390$    12,449,368$    25,253$                 15,768$          

Net Available 0$                    

33

HOUSTON COMMUNITY COLLEGEMaintenance Tax Notes 2006 (Central Utility Plant Project)

as of June 30, 2013

 Note: Budgets are adjusted as contracts are awarded; otherwise, budget is preliminary from inception. 

Page 41: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances To 

Date Unexpended

Sources:

2008 Maintenance Tax Notes 39,780,489$     

2008 Maintenance Tax Notes‐Phase 1 Infrastructure 15,078,286      

Transferred to CIP Residual Fund (7170) (17,522,242)     

Interest Earned To date 1,679,296        

Funds Available for Projects 39,015,829$     

Uses:

Site Infrastructure Improvements 5,679,383$        5,377,916$       301,467$              ‐$                       

Architectural/Engineering Fees 165,537            151,654           13,883                  ‐                         

IT Infrastructure Master Plan 19,553,388       19,243,543      309,845                ‐                         

Furniture, Fixtures & Equipment 5,043,248         4,572,572        470,676                ‐                         

Material Testing 33,351               29,035              4,316                    ‐                         

Construction 5,437,915         5,425,796        12,119                  ‐                         

Construction Management  132,478            132,478           ‐                         

Campus Security 243,116            242,415           600                       101                   

Truck Driving School 99,200               99,200              ‐                         

Land 517,306            517,306           ‐                         

Energy  Services 8,860                 8,860                ‐                         

Design GEOTECH 5,189                 5,189                ‐                             ‐                         

Surveying 16,310               16,310              ‐                             ‐                         

Contracted Services 2,079,239         2,079,239        ‐                        ‐                         

Residual Funds for Completion of CIP Projects 1,309                 1,309                

Total  39,015,829$      37,901,513$    1,112,906$           1,410$               

Bond Issuance Cost:

Bond counsel fees 63,500$            

Underwriters' discount 342,526           

Insurance premium 498,600           

Financial advisory fee 95,105              

Rating agencies fees 47,100              

Printing costs 9,617                

CPA consent letter fee 463                   

Total 1,056,912$       

HOUSTON COMMUNITY COLLEGE SYSTEM 2008 Maintenance Tax Notes & Senior Lien Bonds

as of June 30, 2013

Fund 7203 

Fund 7203 ‐ Maintenance Tax Notes

34

Page 42: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances To 

Date Unexpended

Source:

2008 Senior Lien Bonds:

Southeast Workforce Project 14,300,000$     

  Emergency Preparedness 1,000,000        

Interest Earned To date 470,905           

Funds Available for Projects 15,770,905$     

Uses:

Operation and Maintenance ` 77,034              ‐                    

Major Repairs and Renovation 821,560            820,726           834                       ‐                    

South East Work Force Project 3,838,668         3,731,868        106,800                ‐                    

Land  Purchase (Rosalie Property) 2,314,967         2,314,967        ‐                    

Material Engineering and Testing 8,380                 4802 3,578                    ‐                    

Construction of Workforce Building 7,267,592         7,222,409        45,183                  ‐                    

Residual Funds for All Projects 1,442,704         1,442,704        

15,693,871$      14,171,806$    156,395$              1,442,704$       

Bond Issuance Cost:

Bond counsel fees 123,267$          

Underwriters' discount 336,128           

Insurance premium 620,827           

Financial advisory fee 100,981           

Rating agencies fees 51,750              

Printing costs 5,880                

Paying agent fee 460                   

Verification fee 5,000                

Escrow agent fee 4,600                

1,248,893$       

35

Fund 7308 ‐ Senior Lien Bonds

HOUSTON COMMUNITY COLLEGE SYSTEM 2008 Maintenance Tax Notes & Senior Lien Bonds

Fund 7308as of June 30, 2013

Page 43: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances To 

Date Unexpended

Central 

San Jacinto Memorial 21,391,231$      10,008,189      4,530,941            6,852,100$       

J.B. Whitely Bldg.  4,540,000         1,572,308        648,610                2,319,083        

Theater One 1,699,500         216,728           20,979                  1,461,793        

Staff Instructional Services 846,921            203,839           ‐                             643,082           

Curriculum Innovation Center 249,549            41,456              208,094                ‐                         

Fine Arts Parking Structure 190,000            171,082           5,100                    13,818              

Crawford Annex 68,200               18,138              ‐                             50,062              

Learning Hub/Science Bldg. 132,214            121,553           10,661                  ‐                         

Planned Parenthood Renovation 1,697,585         1,605,024        92,562                  ‐                         

  Total Central  30,815,200$      13,958,316$     5,516,947$           11,339,938$     

Northeast 

Automotive Tech. Training Ctr. 4,000,000$        666,144$          166,363$              3,167,493$       

Pinemont  66,558               39,237              ‐                             27,321              

Codwell Hall  438,000            353,429           77,746                  6,826                

Codwell Hall Shower (Temp) 150,000            ‐                        150,000           

Roland Smith Truck Driving Ctr.  140,000            54,406              ‐                             85,594              

Northline 120,000            14,425              22,412                  83,163              

Public Safety Institute 115,000            86,245              14,906                  13,849              

NE Science and Tech. Bldg 49,500               ‐                        49,500              

NE Learning Hub 47,500               6,309                ‐                             41,191              

  Total Northeast 5,126,558$        1,220,194$       281,426$              3,624,937$       

Southeast 

Angela Morales 599,000$           562,862$          616$                      35,521$            

Office City 38,500               ‐                        ‐                             38,500              

  Total Southeast 637,500$           562,862$          616$                      74,021$            

Southwest

Stafford Campus (7 Bldgs) 4,279,423$        4,212,447$       66,451$                 525$                  

Scarcella Center 890,339            448,740           101,921                339,679           

Alief 138,680            132,664           ‐                             6,016                

Academic Ctr Sienna Plantation 93,500               93,396              ‐                             104                   

Stafford Learning Hub 54,000               ‐                        11,406                  42,594              

Applied Technology Center 50,000               1,715                ‐                             48,285              

Greenbriar Annex 30,000               22,033              ‐                             7,967                

  Total Southwest 5,535,942$        4,910,996$       179,777$              445,170$          

System

System Building  2,385,798$        2,179,517$       206,281$              ‐$                       

Teaching Enhancement Renovations 2,719,072         1,215,953        297,292                1,205,827        

Surface Parking & Civil Infrastructure 2,400,000         1,600,867        16,146                  782,987           

Parking Structure 2,395,130         2,294,506        100,624$              ‐                         

  Total System 9,900,000$        7,290,843$       620,343$              1,988,814$       

Grand Total 52,015,200$      27,943,211$    6,599,110$           17,472,880$     

HOUSTON COMMUNITY COLLEGE SYSTEM2010 Maintenance Tax Notes

as of June 30, 2013

36

Page 44: Fs2013 june

 

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

 Encumbrances 

To Date  Unexpended

Sources:

2011 Maintenance Tax Notes 40,000,000

Uses:

San Jacinto College Renovation

Construction 35,000,000$       16,405,444$      18,594,556$      ‐$                       

Architect & Engineering ‐                         ‐                         

Site Infrastructure Improvements ‐                         ‐                         

Inspection ‐                         

IT Infrastructure ‐                         ‐                         

Furniture ‐                         ‐                         

Contingency 5,000,000           5,000,000         

40,000,000$       16,405,444       18,594,556       5,000,000         

37

HOUSTON COMMUNITY COLLEGE SYSTEM2011 Maintenance Tax Notes: Fund 7207

As of  June 30, 2013

Page 45: Fs2013 june

  Total Budget to Date

Total Revenues /  

Expenditures To 

Date

 Encumbrances To 

Date  Unexpended

Sources:

2011A Maintenance Tax Notes 21,000,000

Uses:Alief ‐ Hayes Road 3,491,708$                 3,491,708$               

Architect & Engineering 1,208,820                   1,123,452                 85,368                        ‐                                  Construction 7,988,362                   4,463,857                 3,524,505                  ‐                                  Site Infrastructure Improvements 6,402                           6,402                         ‐                                   ‐                                  Material Testing 21,647                         14,999                      6,648                          IT Infrastructure 190,870                       ‐                                  190,870                      ‐                                  Inspection 163,318                       78,918                      84,400                        ‐                                  Furniture 928,874                       1,945                         926,929                      ‐                                  

14,000,000$               5,689,571                 4,818,720                  3,491,708                 

NE ‐ North ForestArchitect & Engineering 136,695                       104,536                    32,159                        ‐                                  Construction ‐                                  ‐                                   ‐                                  Site Infrastructure Improvements ‐                                  ‐                                   ‐                                  IT Infrastructure ‐                                  ‐                                   ‐                                  Furniture ‐                                  ‐                                   ‐                                  

136,695 104,536                    32,159                        ‐                                 

SW ‐ West Loop 2,574,374 2,574,374                 Architect & Engineering 13,000                         10,000                      3,000                           ‐                                  Construction 952,984                       380,251                    572,733                      ‐                                  Site Infrastructure Improvements ‐                                  ‐                                   ‐                                  IT Infrastructure ‐                                  ‐                                   ‐                                  Furniture ‐                                  ‐                                   ‐                                  Painting 262,257                       70,428                      191,829                      ‐                                  

3,802,616 460,679                    767,562                      2,574,374                 

SW ‐ Alief BissonnetArchitect & Engineering 186,225                       51,809                      134,416                      ‐                                  Construction 6,083                           ‐                                  6,083                           ‐                                  Site Infrastructure Improvements 5,076                           ‐                                  5,076                           ‐                                  IT Infrastructure ‐                                  ‐                                   ‐                                  Furniture ‐                                  ‐                                   ‐                                  

197,384 51,809                      145,575                      ‐                                 

SE ‐ Workforce BldgArchitect & Engineering 154,594                       122,554                    32,040                        ‐                                  Construction ‐                                  ‐                                   ‐                                  Site Infrastructure Improvements ‐                                  ‐                                   ‐                                  IT Infrastructure ‐                                  ‐                                   ‐                                  Furniture ‐                                  ‐                                   ‐                                  

154,594 122,554                    32,040                        ‐                                 

3100 Main System BldgArchitect & Engineering 10,000 6,000                         4,000                           ‐                                  Construction 361,491 229,171                    132,320                      ‐                                  Site Infrastructure Improvements ‐                                  ‐                                   ‐                                  IT Infrastructure ‐                                  ‐                                   ‐                                  Furniture 79,483 71,535                      7,948                           ‐                                  Painting 11,597 10,437                      1,160                           ‐                                  

462,571 317,143                    145,428                      ‐                                 

Contingency 2,246,140 2,246,140                 

Total Construction Cost 21,000,000$                6,746,293$                5,941,484$                 8,312,223$               

38

HOUSTON COMMUNITY COLLEGE SYSTEM2011A Maintenance Tax Notes: Fund 7208

As of  June 30, 2013

Page 46: Fs2013 june

Description Date Issued

Original Bond 

Amount

Principal 

Payments Principal Balance

Principal & 

Interest FY12

Final Due 

Date Call Dates

Foot‐

note

2005 Senior Lien Revenue/Refunding Bonds 04/15/05 51,285,000 (18,240,000) 33,045,000 6,676,363 04/15/20 04/15/15 (A)

2006 Junior Lien Revenue/Refunding Bonds 11/01/06 72,815,000 (18,885,000) 53,930,000 6,274,230 04/15/30 04/15/16 (A)  (B)

2008 Senior Lien Revenue Bonds 05/14/08 54,540,000 (7,810,000) 46,730,000 4,075,100 04/15/30 04/15/18 (A)

2010 Senior Lien Revenue Bonds 07/29/10 27,250,000 (1,775,000)        25,475,000 2,124,275 04/15/31 04/15/20 (A) 

2011 Junior Lien Revenue Refunding Bonds 03/10/11 33,940,000 (4,965,000)        28,975,000 4,150,431 04/15/25 04/15/21 (A)

2011T Senior Lien Revenue Bond 11/15/11 16,000,000 16,000,000 388,800           04/15/21 11/15/13 (A)

2003 Limited Tax Bonds 12/01/03 144,155,000 (143,700,000) 455,000 782,175 02/15/14 (C)

2011 Limited Tax Refunding Bonds 10/20/11 109,490,000 109,490,000 5,308,300 02/15/28 02/15/21 (C)

2013 Limited Tax General Obligation Bonds 03/19/13 398,775,000 398,775,000 7,663,284 02/15/43 02/15/15 (E)

2006 Maintenance Tax Notes 02/01/06 12,000,000 (3,165,000) 8,835,000 890,550 02/15/26 02/15/16 (C)

2008 Maintenance Tax Notes 03/01/08 54,975,000 (9,825,000) 45,150,000 4,171,426 02/15/28 02/15/18 (C)

2009 Maintenance Tax Notes 09/01/09 13,830,000 (2,200,000) 11,630,000 1,242,569 02/15/25 02/15/19 (C)

2010 Maintenance Tax Notes 07/29/10 47,645,000 (3,720,000)        43,925,000 3,998,400        02/15/29 02/15/20 (C)

2011 Maintenance Tax Notes 03/10/11 41,560,000 (2,645,000)        38,915,000 3,293,775 02/15/31 02/15/21 (C) 

2011A Maintenance Tax Notes 10/12/11 19,590,000 (670,000)           18,920,000 1,583,875 02/15/31 02/15/21 (C) 

PFC Series 2005A Lease Revenue Bonds 06/01/05 11,605,000 (2,880,000) 8,725,000 837,663 04/15/28 04/15/15 (A)

PFC Series 2005C Lease Revenue Bonds 12/01/05 19,155,000 (3,755,000) 15,400,000 1,313,456 04/15/30 04/15/15 (A)

PFC Series 2006 Lease Revenue Bonds 10/01/06 36,950,000 (6,290,000) 30,660,000 2,484,773 04/15/31 04/15/16 (A)  (D)

PFC Series 2007 Lease Revenue Bonds 02/01/07 58,885,000 (8,015,000) 50,870,000 4,321,500 04/15/31 04/15/17 (A) 1,224,445,000 (238,540,000) 985,905,000 61,580,944

Note: This schedule represents all bonds and maintenance tax notes with outstanding principal balances as of 6/30/13; 

             previously retired debt issues are not shown (i.e. 1997, 1998, 1999, 2001, 2001A, 2003 LTD, 2005 LTD)

Footnotes:

(A)  Funded from current operations, Fund 1110

(B)  Approximately $3.4 MM annually through 8/31/17 to be funded from student technology fees, Fund 8110; remainder from 

       current operations

(C)  Funded from real estate taxes, Fund 8300

(D) $1,329,772 of interest expense to be funded from real estate taxes

(E) Funded from capitalized interest

Schedule of Bonds and Maintenance Tax Notes

For the Month Ended June 30, 2013

Houston Community College

39

Page 47: Fs2013 june

3101‐3100 Main 

Leasing

**3102‐

Conference 

Training Center3103‐HCC‐TV 

Auxiliary

3105‐HCCS ‐ PFC 

Leasing **3110‐Auxiliary

3111‐ Auxiliary 

Student Services

3201‐Cafe Club 

NEO 3100 Main

3202‐Fitness 

Center‐Central

3204‐Heinen 

Theater

3207‐

International 

Initiatives

3208‐Saudi 

Consulting 

Services 3209‐Qatar Subtotal

Fund Balance 8/31/12 16,575,935$       (744,125)$         36,165$          898,968$           (6,225,160)$       (724,173)$           (1,362,924)$       (76,298)$           33,917               (82,495)               203,712             807,349        9,340,870        

FY2013 Revenue  4,431,875               80,666                   ‐                           18,341                   2,568,734               365                          403,262                   12,144                   19,578                   46,666                     ‐                              5,960,326        13,541,955         

 Salaries  189,784                   3,133                     422,173                   221,190                   218,024                   597                         1,600                     4,000                       4,642,501        5,703,002            

 Benefits  48,907                     1,161                     92,844                     48,831                     50,677                     3                             834,275           1,076,698            

 Supplies Gen Exp  18,340                     22,061                   279,065                   10,061                     6,346                     5,146                     6,485                       19,951             367,456               

 Travel  64,260                     72,685                     9,122                       31,150             177,216               

 Marketing Costs  412,441                   412,441               

 Rental & Leases  4,454                     36,615                     1,258                       42,327                 

 Contract Services  1,320,602               727,839                   985                         139,210           2,188,636            

 Utilities  351,492                   913                          352,404               

 Departmental Expenses  2,750                       3,527,310               270                         7,050                       481                   3,537,861            

 Instructional & Other Materials  600                          778                          186,483                   2,817                       190,678               

 Maintenance & Repair  4,088                       5,999                       1,245                     1,952                     13,284                 

 Insurance/Risk Mgmt  ‐                            

 Exemptions and Waivers  1,738                       150                          1,888                    

 Transfer  ‐                            

 Capital Outlay  792,309                   9,666                  87,920                     889,895               

 Total Expense  2,724,784               30,809                  9,666                  ‐                              5,657,071               342,706                  473,415                  8,191                     9,953                     29,624                     ‐                              5,667,567       14,953,787         

Contribution to Fund Balance 1,707,091           49,856              (9,666)             18,341               (3,088,337)          (342,341)             (70,154)               3,953                 9,624                 17,042                ‐                         292,759        (1,411,832)      

18,283,026         (694,269)           26,499            917,309             (9,313,497)          (1,066,514)          (1,433,078)          (72,345)             43,541               (65,454)               203,712             1,100,107    7,929,039        

*Restricted by limitations; must comply with laws, statues and regulations.

**Common Area Expense

40

HOUSTON COMMUNITY COLLEGE SYSTEMAuxiliary Budget By Fund

as of June 30, 2013

Auxiliary Funds*

Net Fund Balance 

Page 48: Fs2013 june

HOUSTON COMMUNITY COLLEGE SYSTEMAuxiliary Budget By Fund

as of June 30, 2013

3110‐ Student 

Vending 

Commission

3111‐Auxiliary 

Student 

Activities

3112‐Auxiliary 

Student Athletic 

Fee Subtotal Grand Total

Fund Balance 8/31/12 227,335            594,123          1,584,968         2,406,426           11,747,296        

FY2013 Revenue  103,084                1,104,102           884,492                 2,091,678               15,633,633        

 Salaries  5,830                     22,271                172,255                 200,356                   5,903,358          

 Benefits  32                        29,497                   29,530                     1,106,228          

 Supplies Gen Exp  36,905                   564,031              234,536                 835,472                   1,202,927          

 Travel  5,074                     57,134                66,281                   128,488                   305,705             

 Marketing Costs  ‐                                412,441             

 Rental & Leases  ‐                                42,327               

 Contract Services  1,800                     59,392                169,250                 230,442                   2,419,078          

 Utilities  ‐                                352,404             

 Departmental 

Expenses 

12,434                   18,472                9,820                     40,726                     3,578,587          

 Instructional & 

Other Materials 

‐                                190,678             

 Maintenance & 

Repair 

140                        140                          13,424               

 Insurance ‐ Risk 

Mgmt 

70                           627                      6,944                     7,641                       7,641                  

 Exemptions and 

Waivers 

9,379                     22,765                32,144                     34,032               

 Transfer  935,555                 935,555                   935,555             

 Capital Outlay  932                         932                          890,827             

 Total Expense  71,631                  744,724              1,625,070             2,441,425               17,395,212            

Contribution to Fund Balance 31,452              359,378          (740,578)           (349,748)             (1,761,579)         

258,787            953,502          844,390             2,056,678           9,985,717          

*Funds can only be used for services related to students

41

Net Fund Balance 

Student Auxiliary Funds ‐ Restricted*

Page 49: Fs2013 june

Federal Grantor Perform‐ Federal

Pass‐through Grantor ance CFDA Total Budget Total AwardProgram Title Period Number Expenditures Amount Amount** Ends Starts

U. S. Department of Education

Direct Programs:

Higher Education ‐ Institutional Aid 5 yrs. 84.031A 100,460            450,183            1,542,133         9/30/2014 10/1/2009

TRIO ‐ Student Support Services 5 yrs. 84.042 330,354            436,682            2,065,270         8/31/2015 9/1/2010

TRIO ‐ Upward Bound ‐ Southeast 4 yrs. 84.047 1,399                 16,669               1,172,562         ^^ 8/31/2012 9/1/2007

TRIO ‐ Upward Bound ‐ Southeast 5 yrs. 84.047 222,350            291,335            1,465,615          8/31/2017 9/1/2012

TRIO ‐ Upward Bound ‐ Central 5 yrs. 84.047A 407,646            949,456            2,845,845         5/31/2017 6/1/2012

Astra Stem Grant 3 yrs. 84.120A 95,819               293,375            881,873            9/30/2014 10/1/2011

Vast Academy TPSID 5 yrs. 84.407A 370,101            862,617            2,498,250         9/30/2015 10/1/2010

Pass‐Through From:

Texas Educational Agency

Adult Education ‐ State Grant Program 1 yr. 84.002 4,388,952         5,508,680         5,542,104         *   9/15/2013 7/1/2012

Adult Education ‐ State Grant Program 1 yr. 84.002 107,711            128,780            128,780            *   9/15/2013 7/1/2012

University of St. Thomas

Higher Education ‐ Institutional Aid 5 yrs. 84.031C 543,624            870,174            3,243,025         9/30/2016 10/1/2011

 Texas Higher Education Coordinating Board 

Vocational Education ‐ Basic Grants to States 1 yr. 84.048 507,848            1,171,019         1,171,019         8/31/2013 9/1/2012

College Access Challenge Grant Program 1 yr. 4 mos. 84.378A 15,000               26,707               208,548            ^^ 8/31/2012 4/6/2011

College Access Challenge Grant Program 1 yr.  84.378A 134,246            169,803            171,798            8/13/2013 8/14/2012

Total Department of Education 7,225,510$        11,175,480$      22,936,822$     

U.S. Department of Agriculture

Direct Programs:

Hispanic Serving Institutions Education Grants 2 yrs. 10.223 14,091               36,414               298,538            ^   8/31/2013 8/1/2009

Hispanic Serving Institutions Education Grants 2 yrs. 10.223 13,240               26,428               244,000            ^   8/14/2013 8/15/2010

    Hispanic Serving Institutions Education Grants 2 yrs. 10.223 84,270               135,610            445,000            ^   8/31/2013 9/1/2010

Hispanic Serving Institutions Education Grants 2 yrs. 10.223 76,648               202,726            245,000            8/31/2013 9/1/2011

Pass‐Through From:

Texas A & M University‐Corpus Christi 2 yrs 10.223 15,912               30,435               48,700               ^   8/31/2013 40,422         

Sam Houston State University 425                     39,264               39,264               8/15/2015 9/1/2012

Total Department of Agriculture 204,587$           470,877$           1,320,502$       

* Scholarship grants are not included in this schedule.

** Award amount for the total grant period.  For example, if grant is for three years, the award amount will cover the three years.

^ No Cost Extension

^^ Grant is Over

42

HOUSTON COMMUNITY COLLEGE

as of June 30, 2013

Date Grant

Schedule of Federal Awards *

FY12 ‐ 13

Page 50: Fs2013 june

Federal Grantor Perform‐ Federal

Pass‐through Grantor ance CFDA Total Budget Total Award

Program Title Period Number Expenditures Amount Amount** Ends Starts

U.S. Department of Housing and Urban Development

Direct Programs:

Pass‐Through From:

Child Care Council of Greater Hous. Inc

Community Development Block Grant‐Entitlement Grant 1 yr 14.218 10,787               17,309               32,000               ^^12/31/12 8/1/2011

Total Department of Housing And Urban Development 10,787$             17,309$             32,000$            

Department of Justice

Direct Program: Bulletproof Vest Partnership Program 1 yr‐cont. 16.607 ‐                           ‐                         11,078               until expended 9/1/2004

Total Department of Justice ‐$                         ‐$                        11,078$            

Department of Labor

DOL‐Logistics Technician Training 3yrs. 90,859$             159,097            327,404            6/30/2013 7/1/2010

Pass‐Through From:

Harris County Department of Education

Integrated Career Awareness 10 mos. 17 13,631 53,800 53,800 6/30/2013 8/1/2012

Texas Workforce Commission

Recovery ‐ WIA Dislocated Worker Formula Grant 1 yr. 17 10,261 61,804 243,163 ^^9/30/2012 7/1/2011

Total Department of Labor 114,752$           274,701$           624,367$          

Department of State

Pass‐Through From:

Northern Virginia Community College 1 yr 19 74,580               73,538               109,830            5/31/2013 3/8/2012

Total Department of State 74,580$             73,538$             109,830$          

Institute of Museum & Library Services

Libraries for ALL 1 yr 45 19,527               75,000               75,000               8/31/2013 9/1/2012

Total Department of State 19,527$             75,000$             75,000$            

National Science Foundation

Direct Programs:

 Education and Human Resources 4 yrs. 47.076 55,702               64,204               423,300            ^5/31/2013 2/15/2009

Pass‐Through From:

University of Houston System

Education and Human Resources 5 yrs. 47.076 29,367               47,212               190,000            8/31/2013 9/1/2011

Total National Science Foundation 85,068$             111,415$           613,300$          

* Scholarship grants are not included in this schedule.

** Award amount for the total grant period.  For example, if grant is for three years, the award amount will cover the three years.

^ No Cost Extension

^^ Grant is Over

Date Grant

FY12 ‐ 13

43

as of June 30, 2013

HOUSTON COMMUNITY COLLEGE

Schedule of Federal Awards *

Page 51: Fs2013 june

Federal Grantor Perform‐ Federal

Pass‐through Grantor ance CFDA Total Budget Total Award

Program Title Period Number Expenditures Amount Amount** Ends Starts

U. S. Department of Energy

Energy Sector Grant (SECO) 8 mos 81.041 37,180               63,836 460,480 ^^9/30/2012 5/10/2010

Solar Energy Technical Program 13 mos 81.087 172,262 591,069            750,000            12/30/14 11/1/2012

Pass Through From:

City of San Antonio 4.5 mos. 81.117

Energy Efficiency & Rene Energy Info Dissen Outrea,Train,&Tech Analy/Assist 14,465 15,000               15,000               02/14/13 9/1/2012

Total U. S. Department of Energy 223,907$           669,905$           1,225,480$       

U. S. Department of Health and Human Services

Direct Programs:

Head Start 5 yrs. 93.600 14,472 16,045               936,660            9/29/2013 9/30/2008

Head Start 5 yrs. 93.600 133,379 207,477            936,660            9/29/2013 9/30/2008

Pass‐Through From:

Texas Education Agency

Temporary Assistance for Needy Families 1 yr. 93.558 10,178               10,200               208,614            ^^8/31/2012 9/1/2011

Temporary Assistance for Needy Families 1 yr. 93.558 197,769            253,850            244,749            *  9/15/2013 9/1/2012

YMCA of Greater Houston

Refugee and Entrant Assistance ‐ Targeted Assistance Grants 1 yr. 93.584 19,869               82,578               374,938            ^^9/30/2012 10/1/2011

Refugee and Entrant Assistance ‐ Targeted Assistance Grants 1 yr. 93.584 225,447            342,105            342,105            9/30/2013 10/1/2012

Pitt Community College

Health Information Tech Professionals 2 yrs. 93.721 318,034            498,372            1,287,568         9/30/2013 4/2/2010

University of Texas at Austin

Block Grant‐Prevent & Treatment of Substance Abuse 1 yr. 93.959 1,789                 22,000               22,000               9/30/2013 9/29/2012

Total Department of Health and Human Services 920,937$           1,432,627$        4,353,294$       

U. S. Department of Homeland Security

Direct Programs:

 Homeland Security 2 yrs. 97.062 16,497               58,856               250,000            ^^12/31/12 9/1/2010

Total Department of Homeland Security 16,497$             58,856$             250,000$          

Total  Federal Financial Assistance 8,896,152$        14,359,708$      31,551,672$     

* Scholarship grants are not included in this schedule.

**Award amount for the total grant period.  For example, if grant is for three years, the award amount will cover the three years.

^ No Cost Extension

^^ Grant is Over

HOUSTON COMMUNITY COLLEGE

Schedule of Federal Awards *

as of June 30, 2013

FY12 ‐ 13

44

Date Grant

Page 52: Fs2013 june

Perform‐

ance Total Budget Total Award

Program Title ‐ State Grantor Period Expenditures Amount Amount** Ends Starts

Texas Education Agency

Adult Education 1 yr. 24,618$             24,615$             1,165,635$        ^^  8/31/2012 9/1/2011

Adult Education 1 yr. 1,144,015         1,292,271         1,165,635         *  9/15/2013 9/1/2012

Drop‐Out Recovery Program 18mos 960                     43,998               194,000            2/28/2013 8/1/2011

Drop‐Out Recovery Performance Pay 1 yr. 55,020               94,334               181,784            until expended 6/1/2011

Temporary Assistance for Needy Families 1 yr. 16,311               16,869               111,445            ^^  8/31/2012 9/1/2011

    Temporary Assistance for Needy Families 1 yr. 95,526               122,182            131,283            8/31/2013 9/1/2012

       Total Texas Education Agency 1,336,449$        1,594,270$        2,949,782$       

Texas Higher Education Coordinating Board

Adult Basic Education Innovation Grant 1 yr. 146,456$           158,314            500,000            8/31/2013 9/1/2012

Collegiate G‐Force Mentorship 1 yr. 7,656                 27,148               50,000               8/31/2013 9/1/2009

First Year Experience 13 mos. 5,577                 8,709                 50,000               until expended 7/18/2011

HPI 1 yr. 1,550                 10,000               10,000               8/31/2013 9/1/2012

Nursing Shortage Reduction Program 4 yrs. 37,147               112,280            157,314            8/31/2014 9/1/2010

Nursing Shortage Under 70 Program 1 yr. 68,823               383,891            383,891            8/31/2013 9/1/2012

Rider 58 ATCP School Grant 8 1/2 mos. 750                     13,960               46,360               until expended 12/18/2009

Pass‐Through From:

University of Tex Health Science Center

Navigator Grant 1 yr. 30,466               51,452               129,195            ^^11/30/2012 6/1/2011

       Total Texas Higher Education Coordinating Board 298,426$           765,754$           1,326,760$       

Texas Workforce Commission

Skills Development ‐ Skills for Small Business Initiatives 1 yr. 410                     18,791               20,000               5/31/2013 6/1/2012

Ben E Keith Co. 1 yr. 54,034               69,380               103,469            2/28/2014 2/11/2013

The Methodist 14 mos. 426,437            902,965            902,965            10/31/2013 8/20/2012

TSTC TYCO 12 1/2 mos. 1,092                 236,633            236,633            2/28/2014 2/11/2013

VITAS 13 mos. 43,330               389,051            389,051            4/30/2014 3/1/2013

Pass‐Through From:

       Total Texas Workforce Commission 525,302$           1,616,820$        1,652,118$       

Total State Financial Assistance 2,160,176$        3,976,843$        5,928,660$       

* Scholarship grants are not included in this schedule.** Award amount for the total grant period.  For example, if grant is for three years, the award amount will cover the three years.

^ No Cost Extension^^ Grant is Over

Date Grant

as of June 30, 2013

Schedule of State Awards *

FY12 ‐ 13

45

HOUSTON COMMUNITY COLLEGE

Page 53: Fs2013 june

Program Title ‐ Private Grantor Period Expenditures Budget Award Amount** Ends Starts

Achieving the Dream ‐ Initiative 1 yr.‐cont. ‐                           9,433                 20,000               until expended 12/1/2009

Achieving the Dream ‐ Gates Foundation 3 yrs. 195,658            262,135            743,000            ^^12/31/2012 7/1/2009

Adult Education/We Can Work 1 yr. ‐                           ‐                         11,500               until expended 1/1/2010

American Chemical Society 8 mos 177                     248                    500                    until expended 9/1/2011

AT&T High School Success Grant 1 yr. 7 mos. ‐                           25,216               35,000               until expended 1/31/2010

Bank of America  2 yrs. ‐                           316                    50,000               until expended 5/1/2008

Baylor Summer Interns 1 yr. ‐                      1,638                 60,000               until expended 5/1/2010

Brown Foundation 1 yr.‐cont. ‐                      ‐                         100,000            until expended 2/1/2008

Capital Idea project 1 yr. 104,180            73,794               341,000            until expended 8/1/2010

Carnegie FDTN 1 yr 14,599               30,901               67,500               until expended 1/1/2012

Citibank ‐ College Connection Program 1 yr. 3,103                 20,475               41,718               until expended 8/15/2007

Civic Ventures 1 yr. 1 mo. 1,233                 1,246                 25,000               until expended 7/1/2010

Dow Male Minority Initiative Summer Prog. 1 yr. ‐                      12,588               23,986               until expended 1/2/2012

Early College High School (Southeast) ‐ Gates/Dell 5 yrs. ‐                           6,779                 400,000            until expended 6/10/2005

Financial Empowerment Strat. Student Success 2 yrs. 16,388               60,808               63,050               12/31/2013 1/1/2012

Goldman Sachs Grant ‐ Phase I 5 yrs. 1,011,816         1,955,011         1,955,011         5/31/2016 1/3/2011

Gulf Coast Pass 3 yrs. 252,863            602,625            1,175,000         12/31/2014 1/1/2012

Hammill FDTN ‐ Veterans Grants 2 yrs. ‐                           11                      18,191               until expended 9/1/2010

Houston Endowment Grant 3 yrs. ‐                           814                    267,000            until expended 11/16/2005

Houston Pathways Initiative 2 yrs. 104,283            345,471            1,580,000         8/31/2013 3/26/2009

Interlocal Metro (PSI) 10 yrs. ‐                           45,000               200,000            8/23/2017 8/23/2008

Interlocal Stafford ‐ City of Stafford 1 yr. 57,600               161,986            161,986            until expended 10/1/2010

KBR Veterans Orientation 1 yr.‐cont. ‐                           5,540                 19,685               until expended 9/1/2008

Kresge Fdtn‐Coordinator/Evaluation 1 yr. 49,918               72,187               82,450               until expended 9/1/2011

Kresge Fdtn‐Parent Academy 1 yr. 46,551               89,881               89,881               until expended 9/1/2011

Kresge Fdtn‐Veterans Grant 1 yr. 80,539               136,698            136,698            until expended 9/1/2011

MDRC ‐ Learning Community Demonstration Grant ‐ Northeast 4 yrs. ‐                           26,495               60,233               until expended 11/1/2007

MDRC ‐ Learning Community Demonstration Grant ‐ Southeast 4 yrs. ‐                           738                    75,000               until expended 11/1/2007

MDRC ‐ Learning Community Demonstration Grant ‐ Central 4 yrs. ‐                           385                    33,000               until expended 11/1/2007

Metlife Caregiving for Older Americans 1 yr.‐cont. ‐                           18,012               23,855               until expended 7/1/2007

Microsoft Elevate America 1 yr. 3,261                 31,985               34,969               until expended 3/20/2012

* Scholarship grants are not included in this schedule.

**Award amount for the total grant period.  For example, if grant is for three years, the award amount will cover the three years.

^ No Cost Extension

^^ Grant is Over

FY12 ‐ 13

46

HOUSTON COMMUNITY COLLEGE

Schedule of Local Government and Private Awards *

as of June 30, 2013

Page 54: Fs2013 june

Program Title ‐ Private Grantor Period Expenditures Budget Award Amount** Ends Starts

Mobile Go Center ‐ Valero 1 yr.‐cont. ‐                           494                    7,293                 until expended 9/1/2007

National Articulation & Transfer Network Council(NATN) 1 yr.‐cont. ‐                           29,273               29,273               until expended 4/1/2005

North Forest GED Preparation 3 mos 330                     6,799                 25,000               until expended 10/1/2011

St. Luke's Episcopal Health Charities Immunization Fellowship 2 yrs. ‐                           4,178                 142,650            until expended 9/10/2008

Susan B Komen Breast Cancer Initiative 1 yr. ‐                           6,610                 123,230            until expended 4/1/2010

Texas Pioneer Foundation Grant 1 yr. 770                     22,851               23,117               8/31/2013 1/26/2012

TG‐ATD Texas Peer Coaching 5,498                 10,000               10,000               8/31/2013 9/1/2012

Vast Job Developer 1 yr. 8,265                 20,299               94,898               until expended 11/1/2009

Verizon Foundation Grant 1 yr. ‐                           510                    12,510               until expended 1/1/2010

Verizon‐Simmons CAST 14 mos. 2,245                 12,500               12,500               12/18/2013 10/12/2012

Walmart ‐ Minority Male Initiative 1 yr. ‐                           25,215               40,000               until expended 9/1/2009

Washington Mutual 1 yr.‐cont. 1,700                 16,717               31,700               until expended 9/1/2006Total Private Financial Assistance 1,960,976$        4,153,863$        8,447,385$       

* Scholarship grants are not included in this schedule.

**Award amount for the total grant period.  For example, if grant is for three years, the award amount will cover the three years.

^ No Cost Extension

^^ Grant is Over

47

         HOUSTON COMMUNITY COLLEGE ‐ Schedule of Local Government and Private Awards *

Schedule of Local Government and Private Awards * continued

as of June 30, 2013

FY12 ‐ 13

Page 55: Fs2013 june

Salary

CHANCELLOR97,613$

51,923$

70,469$

70,469$

46,448$

46,000$

46,000$

45,000$

46,000$

55,000$

55,000$

50,000$

45,555$

71,761$

58,000$

39,900$

96,000$

75,000$

60,000$

19     1,126,138$       

DEPUTY CHANCELLOR45,857$

45,857$

45,857$

48,150$

24,473$

25,000$

24,473$

24,473$

27,000$

61,074$

45,746$

39,504$

66,578$

34,908$

34,908$

37,943$

65,540$

49,500$

169,195$

142,503$

48,806$

New Postions

Karen Edwards Human Resources Interim Chief HR Officer Repl Willie Williams‐Hired Internal Jan

William Thomson Student Financial Svs Accountant II New Position‐Budget 12‐13‐Hired Internal Feb

Brittany Kaighen HR‐Payroll Payroll Support Specialist Repl Juanita Mei‐Hired External Jan

Willie Williams Deputy Chancellor VC, Administrative Special Projects New Position‐Hired Internal Jan

Bapakaye Tamuno Police Department Police Trainee New Position‐Budget 12‐13‐Hired External Nov

Shirley Parish Human Resources Interim HRIS Manager Repl Tasharra Pickens‐Hired Internal Nov

Jeremy Hardeway Police Department Police Trainee New Position‐Budget 12‐13‐Hired External Nov

Keith Harris Police Department Police Trainee New Position‐Budget 12‐13‐Hired External Nov

Maria Alarcon Accounts Payable Accounting Specialist Repl Norma Jackson‐Hired Internal Oct

Manhal Chbat QEP Instructor New Position‐Hired Internal Jan

Patricia Thompson HR‐Compensation Manager Repl John Chen‐Hired External‐Temp Oct

Aracelia Saucedo Business Affairs Executive Secretary Repl Alice Binkley‐Hired Internal Oct

James Lindsey Police Department Security Officer Repl Grayland Jones‐Hired External Oct

Antonio Hill Police Department Security Officer Repl Kenneth Bridges‐Hired External Oct

Ules Harris Police Department Security Officer Repl Majid Iqbal‐Hired External Oct

Katherine McCabe Police Department Security Officer Repl Willie Rostan‐Hired External Oct

Shirley Voisin Police Department Corporal New Position‐Budget 11‐12‐Hired Internal Sep

My'Keshia Robinson Police Department Security Officer Repl Victor Fisher‐Hired External Oct

Tobin Anderson Police Department Corporal Repl Timothy Ramirez‐Hired Internal Sep

Navidad Martinez Police Department Corporal New Position‐Budget 11‐12‐Hired Internal Sep

1        New Position‐External 14     Interim 1        

Edwin Johnson Police Department Corporal Repl Anthony Maxie‐Hired Internal Sep

Chancellor Replacement‐Internal ‐         Replacement‐External 3        New Position‐Internal

Legal Assistant New Position‐Budget 12‐13‐Hired External Feb

Sandra Garica General Counsel Assistant General Counsel I Repl Jessica Saldivar‐Hired External Mar

Susana Rodriquez Internal Audit Sr., Internal Auditor New Position‐Budget 12‐13‐Hired External May

Frank Khan Internal Audit Internal Auditor New Position‐Budget 12‐13‐Hired External May

Armand Villacorte Procurement Sr. Buyer New Position‐Budget 12‐13‐Hired External Jan

Reginald Harmon Procurement Sr. Buyer Repl Sheila Perla‐Hired External Nov

Victor Camargo Business Services Inventory Control Supervisor New Position‐Budget 12‐13‐Hired External Nov

Christopher Burton Procurement Dir., Procurement Operations Repl Jeffery Bonnardel‐Hired External Apr

Ching Hua Procurement Sr. Buyer New Position‐Budget 12‐13‐Hired External Mar

Olivia Harris Records Retention Records Retention Technician New Position‐Budget 12‐13‐Hired External Apr

Sharon Flowers General Counsel

Barlett Sheinberg Resource & Economic Dev Interim Dir., Resource & Economic Dev New Position‐Budget 12‐13‐Hired Internal Sep

Thomas Richardson Procurement Buyer New Position‐Budget 12‐13‐Hired External Nov

Mimi Lemmons Procurement Sr. Buyer New Position‐Budget 12‐13‐Hired External Nov

Andrea Stroller Foundation Alumni Specialist New Position‐Budget 12‐13‐Hired External Nov

Freddy Conde Procurement Buyer New Position‐Budget 12‐13‐Hired External Nov

Houston College Community Systems

2012‐2013 Positions

Employee Name Department Job Title Comments Month

Wanda Pleasant Procurement Sr. Buyer

Alfred Kessellie, II Procurement Supervisor New Position‐Budget 12‐13‐Hired External Nov

Kerry Doucette Procurement Supervisor New Position‐Budget 12‐13‐Hired External Nov

New Position‐Budget 12‐13‐Hired External Nov

48

Michael Schurwon Procurement Sr. Buyer New Position‐Budget 12‐13‐Hired External Jan

Page 56: Fs2013 june

Salary

Houston College Community Systems

2012‐2013 Positions

Employee Name Department Job Title Comments Month

DEPUTY CHANCELLOR continued47,492$

37,943$

142,000$

32,500$

66,130$

101,000$

38,000$

85,680$

37,943$

66,130$

51,132$

55,000$

61,074$

31,579$

37,740$

43,174$

86,621$

38     2,128,483$       

VICE CHANCELLOR INSTRUCTION52,423$

41,427$

53,320$

43,557$

36,220$

52,000$

35,000$

43,174$

48,010$

35,982$

34,500$

64,500$

32,538$

101,000$

35,000$

35,000$

45,967$

47,743$

18     

837 361$VICE CHANCELLOR STUDENT SUCCESS

65,000$

38,000$

39,960$

37,000$

35,500$

37,000$

New Postions

Mona Terrell Registrar Transcript Evaluator New Position‐Hired External Oct

Randi Sprouse Registrar Transcript Evaluator New Position‐Hired External Oct

Leslie Dye Registrar Transcript Evaluator New Position‐Hired External Oct

Larke Clishe Student Information Svcs Advisor Repl Laura Collins‐Hired External Sep     

Henry Thomas Registrar Transcript Evaluator New Position‐Hired External Oct

‐         New Position‐External 10     Interim ‐         

Paul Donaldson Outreach & Student Dev Dir., Outreach & Student Development Repl Shantay Grays‐Hired External Sep     

VC Instr Replacement‐Internal 4        Replacement‐External 4        New Position‐Internal

Veronica Medina Research & Inn Research Analyst I, Data Warehouse Repl Hazel Milan‐Hired Internal Apr

Linh Tran Instructional Executive Secretary Repl Gail Beach‐Hired Internal Apr

Patricia Hernandez Academic Resource Dev Secretary II New Position‐Budget 12‐13‐Hired Internal Feb

Shirley Santibanez SCE CE Records Specialist Repl Rosa Huerta‐Hired External Mar

Marion Davis Business Dvlp&Outreach Student Recruiter Repl Scott Godley‐Hired External Feb

Thomas Tynan Continuing Education Director Program Construction Repl Fred Woolridge‐Hired External Feb

Mekussa Martinez  Operations CTCE Operations Compliance Specialist Repl Karmesha Sargent‐Hired External Feb

James Heironimus Police In‐Service Instructor New Position‐Budget 12‐13‐Hired External Jan

Anamaria Lopez Opeerations of CTCE Financial Aid Associate Repl Shanetta Burke‐Hired Internal Feb

Israel Salazar Distance Education Advisor New Position‐Budget 12‐13‐Hired External Nov

Touhid Chowdhury Distance Education Advisor New Position‐Budget 12‐13‐Hired Internal Dec

Latrish Tarhini DOEL English Language Skills Instructor New Position‐Budget 12‐13‐Hired External Nov

Jesse Shelton TLR Instructional Designer New Position‐Budget 12‐13‐Hired External Nov

Somaye Najafi‐Shostari ESL English Language Skills Instructor New Position‐Budget 12‐13‐Hired External Oct

Manuel Ramos DOEL English Language Skills Instructor New Position‐Budget 12‐13‐Hired External Nov

Kimberly Davis Instructional Instructional Designer New Position‐Hired External Oct

Scott Godley Workforce Initiatives Program Manager Repl Deshaunta Stewart‐Hired Internal Oct

New Position‐Internal 8        New Position‐External 6        Interim 2        Deputy Chancell Replacement‐Internal 9        Replacement‐External 13    

Christopher Bourne Communications Interim Dir., HCCTV Repl Debra Mcgaughery‐Hired External Jun

Gisselia Torre Business Affairs Accounting Specialist Repl Delphine Campbell‐Hired Internal May

Mary Hinojosa Grant Accounting Specialist Repl Kathy Chapnick‐Hired Internal Jun

Diana Sanders Communications Interim, Dir., Public & Media Relations Repl Lesa Spivey‐Hired Internal Apr

Roy Castleberry Business Services Distribution Rep II Repl Elbert Newsome‐Hired External Apr

Alden Tiggs Audio Visual AutoCAD Specialist Repl Alden Tiggs‐Hired External Apr

James Leftwich  Office Fiscal Planning & Budgeting Sr., Financial Analyst Repl Dawn Wilton‐Hired External Apr

Samoan Scott Police Department Peace Officer Repl Edwin Johnson‐Hired External Mar

Alfred Postel Police Department Lieutenant Repl James Young‐Hired Internal Mar

Shante Kelley Business Affairs Accounting Specialist Repl Polly Cooper‐Hired Internal Feb

Lesa Spivey Community Relations Dir, Community Relations & Small Bus. Dev New Position‐Budget 12‐13‐Hired Internal Feb

Jonathan Brook Police Department Lieutenant New Position‐Budget 10‐11‐Hired External Feb

Ricardo Solis Economic Development Exec. Dir of Economic Development New Position‐Budget 12‐13‐Hired External‐Temp Feb

Maya Durnovo Economic Dev & Entrep AVC, Economic Dev & Entrep. Initiatives New Position‐Budget 12‐13‐Hired Internal Feb

Alobidey Mohammed Broadcasting  Media Videographer Repl Joseph Smith‐Hired External Feb

Delphine Campbell Student Financial Svcs Accountant II New Position‐Budget 12‐13‐Hired Internal Feb

Hector Silva Police Department Peace Officer Repl Tobin Anderson‐Hired External Feb

Exec. Dir of International Initiatives FebRicardo Solis International Initiatives See Original hire on Deputy Chancellor (Title Change)

49

Page 57: Fs2013 june

Salary

Houston College Community Systems

2012‐2013 Positions

Employee Name Department Job Title Comments Month

VICE CHANCELLOR STUDENT SUCCESS continued34,374$

27,165$

34,374$

45,546$

40,000$

40,000$

34,006$

34,374$

14     

542,299$          

VICE CHANCELLOR INFORMATION TECHNOLOGY61,074$

60,000$

63,240$

114,000$

48,000$

67,002$

59,382$

52,200$

53,013$

61,074$

10     

638,985$          

CENTRAL82,681$

45,555$

56,000$

34,996$

48,954$

25,513$

28,000$

58,077$

41,839$

34,374$

55,000$

45,000$

36,000$

77,794$

14     

669,783$          

NORTHWEST41,447$

44,339$

53,244$

31,312$

New Postions

Anika Chowdhury COO Cashier II Repl Stella Villarreal‐Hired External‐Temp Sep 

Steven Cohan Biology Instructor Repl Manhal Chbat‐Hired External‐Temp Sep 

Nellie Bradley Public Relations Director of Public Relations Repl Kimberly Crocker Montgomery‐Hire External‐Temp Sep 

‐         New Position‐External 1        Interim 1        

Eva Foster English Instructor Repl Joaquin Torres‐Hired External‐Temp Sep 

Central Replacement‐Internal 2        Replacement‐External 10     New Position‐Internal

Meishon Bell Student Services Advisor Repl Touhid Chowdury‐Hired External Mar

Debra McGaughey Public Relations Director of Public Relations Repl Lamont Humphrey‐Hired Internal Apr

Senta Eastern Counseling Counselor Repl Dora Whiteside‐Hired External Feb

Karl Mayes Student Services Advisor Repl Mirna Romero‐Hired External Mar

Kevin Hamby Interior Design Instructor Repl Benjamin Johnston‐Hired External Jan

Isabel Zamora Student Services Financial Aid Associate Repl Maria Dabrowski‐Hired Enternal Feb

Saqueena Sutton Child Care Child Care Specialist II Repl Kinaya Palmer‐Hired Internal Jan

Erica Hubbard Library Librarian Repl Marcia Braun‐Hired Internal Jan

Brigid Wilson VAST Instructor Repl Frank Colmenero‐Hired External Nov

Rodney Sam Library Library Assistant I Repl Marion Kennedy‐Hired External Jan

Dora Whiteside Student Services ADA Counselor New Position‐Hired External Oct

James Connery Construction Instructor Repl Johnny Watson‐Hired External‐Temp Oct

Jason Wilson Student Services Interim Dean of Student Dev Repl Cheryl Johnson‐Hired Internal Sep

Sonya Sneed Student Services Student Life Coordinator Repl Danny Smith‐Hired External Oct

New Position‐Internal 2        New Position‐External 1        Interim ‐         VCIT Replacement‐Internal 5        Replacement‐External 2       

Karmesha Sargent Application Dev Business Analyst II Repl Juan Medrano‐Hired Internal May

Melissa Anderson Application Dev Sr., Business Analyst PS Student Repl Maria Garica‐Hired Internal Jun

LaMont Humphrey Communications Multi‐Media Coordinator New Position‐Hired Internal Apr

Ijeoma Ezebuilo Application Dev Business Analyst II Repl Wanda Taft‐Hired External Apr

Demeita Johnson Administrative Services Contract Analyst Repl Amando Jasso‐Hired External  Apr

Kimberly Monroe Application Dev Sr. Programmer Analyst/PS Student Repl Zulma Alvarado‐Hired Internal Apr

Katie Herod System Support Sr. Network Analyst New Position‐Hired Internal‐Temp Jan

Bieu Nguyen Administrative Services Director, Administrative Services Repl Celia Gee‐Hired External Feb

Wanda Taft Application Dev System Analyst Repl David Lin‐Hired Internal Sep

Hazel Milan Inst Research & Innovation Research Analyst II‐Special Projects Repl Emily Leffler‐Hired Internal Oct

New Position‐Internal 4        New Position‐External 6        Interim ‐         VCSS Replacement‐Internal ‐         Replacement‐External 4       

Tamara Jones Advisor Online Student Services Repl Helen McMillan‐Hired External‐Temp Jan

Leila Abdullahi International Student DSO/Advisor New Position‐Budget 12‐13‐Hired External Jan

Clairta Duron Student Information Svcs Student Information Representative New Position‐Budget 12‐13‐Hired Internal Jan

Liliana Silva Admissions Student Records Specialist New Position‐Budget 12‐13‐Hired Internal Dec

Gabrielle Kay International Student DSO/Advisor New Position‐Budget 12‐13‐Hired External Jan

Kevin Lacey International Student Recording Imaging New Position‐Budget 12‐13‐Hired Internal‐Temp Nov

Cassandra Millhouse Financial Aid Financial Aid Associate Repl Victoria Thomas‐Hired Internal‐Temp Nov

Ashley Martin VA/Student Support Svcs Advisor New Position‐Budget 12‐13‐Hired Internal Nov

50

Page 58: Fs2013 june

Salary

Houston College Community Systems

2012‐2013 Positions

Employee Name Department Job Title Comments Month

NORTHWEST continued27,709$

44,615$

41,004$

43,469$

39,270$

41,004$

43,469$

34,374$

27,165$

38,678$

35,053$

38,300$

43,452$

39,960$

35,000$

35,000$

38,000$

39,000$

35,780$

45,008$

58,255$

42,631$

38,000$

101,501$

33,000$

30,500$

43,469$

34,374$

27,708$

79,112$

89,364$

43,469$

34,374$

44,615$

39,171$

30,153$

35,000$

27,165$

44,615$

42,613$

35,276$

34,374$

46     

$       1,924,391 

New Postions

7        New Position‐External 7        Interim 2        Northwest Replacement‐Internal 6        Replacement‐External 23     New Position‐Internal

John Harrell II Student Services Enrollment Service Associate Repl Makeba Brown‐Hired External‐Temp May

Gerald Faler, Jr. Student Services Enrollment Service Associate Repl Corey Aeck‐Hired Internal May

Latasha Henderson Student Services Enrollment Service Associate Repl Liza Chau‐Hired Internal May

Lisa Padilla Student Services Enrollment Service Assistant Repl Carlana Brooks‐Hired External May

Antonio Nutall COO Evening Campus Manager II New Position‐Hired External    May

Jonathan Smith Technician Services Hardware/Software Technician New Position‐Hired External‐Temp Apr

Giang Pham COO Procurement Liaison Repl Jackie Nguyen‐Hired External Apr

Susan Thompson Student Services Program Director Repl Bartlett Sheinberg‐Hired External‐Temp Apr

Samuel Thomas Biology Lab Assistant Senior Repl Kristy Mueck‐Hired Internal Apr

Richard Mottram English Instructor Repl Betty Shine‐Hired External‐Temp Mar

Brandon Davidson Student Services Advisor New Position‐Budget 12‐13‐Hired External Mar

Evelyn Velasquez Workforce Development Interim Dean, Workforce Repl Maya Durnovo‐Hired Internal Feb

Robert Harris Student Development Interim Associate Dean, Student Dev Repl Maria Cisneros‐Hired External Feb

Deborah Adesokan Counseling Advisor Repl Christine Battle Moore‐Hired External‐Temp Jan

Sandra Brooks Student Services Enrollment Service Assistant Repl Augie Sanchez‐Hired Internal Jan

Shahrooz Torkian Far Technician Services Hardware/Software Technician Repl Pradip Patel‐Hired External Jan

Gina Calderone Philosophy Instructor Repl Thomas Urban Hired External‐Temp Jan

Mark Tiller Student Services Associate Dean, Instruction New Position‐Budget 12‐13‐Hired Internal Jan

Walter Oduk Technician Services Hardware/Software Technician Repl Joseph Ogbechie‐Hired External Jan

Eva Foster English Instructor Repl James Bishop‐Hired External‐Temp Jan

Fidel Simmons Student Services Advisor New Position‐Budget 12‐13‐Hired External Jan

Corey Aeck Student Services Advisor New Position‐Budget 12‐13‐Hired Internal Nov

Manhal Chbat Biology Instructor Repl Steven Cohan‐Hired Internal Dec

Contrice Kendall Student Services Advisor New Position‐Budget 12‐13‐Hired Internal Nov

Olivia Blake COO  Secretary II Repl Adriana Jimenez‐Hired External Nov

Pamela Walls Student Services Advisor New Position‐Budget 12‐13‐Hired Internal Nov

Jaime Flores Student Services Advisor New Position‐Budget 12‐13‐Hired Internal Nov

Sherhonda Le Financial Aid Financial Aid Associate Repl Diane Wilborn‐Hired External Nov

Courtney Martinez Public Relations Student Recruiter New Position‐Budget 12‐13‐Hired Internal Nov

Sherin Isaac Student Services Advisor Repl Laura Wilborn‐Hired External Nov

Goddrick Austin Student Services Senior Advisor New Position‐Budget 12‐13‐Hired Internal Nov

Bharat Sutaria Engineering Instructor New Position‐Budget 12‐13‐Hired External‐Temp Oct

Thomas Tankersley Technician Services Hardware/Software Technician Repl Samuel Sannl‐Hired External Oct

Laleh Golestani Instruction‐Testing Testing Associate Repl Rima Adil‐Hired External‐Temp Oct

Lusinda Eshelman Student Services Enrollment Service Assistant Repl Carlana Brooks‐Hired External‐Temp Oct

Paul Brady Accounting Instructor Repl Mallikarjun Shintri‐Hired External‐Temp Oct

Vimlarani Chopra Biology Instructor Repl Ida Huard‐Hire External Dec

Natalia Noland English Instructor New Position‐Budget 12‐13‐Hired External Oct

Christine Moore Student Services Senior Advisor New Position‐Budget 12‐13‐Hired Internal Oct

Rima Adil COO Community Outreach Coordinator Repl Nellie Bradley‐Hired Internal‐Temp Sep 

Anthony Hilliard Fine Arts Instructor Repl Bonnie Gallup‐Hired External‐Temp Oct

Sandra Brooks Admissions Enrollment Service Assistant Repl Makeba Brown‐Hired External‐Temp Sep 

51

Page 59: Fs2013 june

Salary

Houston College Community Systems

2012‐2013 Positions

Employee Name Department Job Title Comments Month

NORTHEAST99,000$

38,344$

40,124$

48,010$

37,981$

47,085$

37,061$

45,762$

38,415$

31,312$

38,000$

35,982$

38,678$

41,810$

52,200$

43,544$

36,791$

40,214$

41,004$

60,000$

27,165$

21     

918,482$          

SOUTHWEST13,810$

47,647$

38,678$

24,800$

48,954$

49,511$

57,000$

42,631$

45,555$

60,500$

35,000$

41,810$

41,141$

40,695$

40,000$

47,085$

39,824$

84,866$

31,906$

36,791$

43,557$

27,165$

New Postions

Ansonia Jones Student Services Enrollment Service Assistant Repl Ngoc Tien Nguyen‐Hired External Feb

Johanne Huber Digital Communication Instructor Repl Ian Mayer‐Hired External‐Temp Jan

Juanna Shin Library Librarian Repl Bill Hord‐Hired External Jan

Gholam Pahlavan Physical Science Instructor Repl Abdallah Cherif‐Hired Internal Jan

Lanny Kwan Computer Science Secretary II Repl Dipal Parekh‐Hired External‐Temp Jan

Wendy Robbins Digital Communication Instructor Repl Margo Reece‐Hired External Jan

Nicol Alexander Digital Communication Instructor Repl Lloyd Schuh‐Hired External Jan

Emilio Mendoza Student Development Advisor Repl Kelli Caraway‐Hired Internal Dec

Lucille Gore Student Dev/Advising Senior Advisor New Position‐Budget 12‐13‐Hired External Jan

Wendy Robbins Digital Communication Instructor Repl Margo Reece‐Hired External‐Temp Nov

Sabiha Mir Student Development Advisor New Position‐Budget 12‐13‐Hired External Nov

Todd Duplantis Public Relations Director, Public Relations Repl Martha Barrera‐Hired External Nov

Aketa Guillory Student Dev/Advising Advisor New Position‐Budget 12‐13‐Hired External Nov

Wendy Allen Digital Communication Instructor Repl Paul Roberts‐Hired External‐Temp Nov

David Stacy Student Dev/Advising Senior Advisor New Position‐Budget 12‐13‐Hired External Nov

Christine Moore Student Dev/Advising Senior Advisor New Position‐Budget 12‐13‐Hired Internal Oct

Dashiel Geyen Counseling Counselor New Position‐Budget 12‐13‐Hired Internal Nov

Jose Cruz COO Campus Service Technician Repl Belinda Defalco‐Hired Internal Oct

Jennifer Williams English Instructor Repl Panqing Wu‐Hired External Oct

Kelli Caraway Student Dev/Advising Senior Advisor New Position‐Budget 12‐13‐Hired Internal Oct

Brandi Gaza English Instructor Repl Margie Ricks‐Hired External‐Temp Oct

1        New Position‐External 3        Interim ‐         

Lorraine Donovan Academic Instructor Repl Adballah Cherif‐Hired External‐Temp Sep

Northeast Replacement‐Internal 4        Replacement‐External 13     New Position‐Internal

Ayesha Farr Counselor Counseling New Position‐Budget 12‐13‐Hired External Feb

Francis Pollo Testing Testing Assistant/Proctor Repl Lesley Savoy Green‐Hired External Feb

Shawket Alnakkash Petroleum Engineering Instructor New Position‐Budget 12‐13‐Hired External Feb

Farrish Betton Petroleum Engineering Instructor New Position‐Budget 12‐13‐Hired External Feb

Randall Murphy Psychology Instructor Repl Tamara LeDuc‐Hired External Feb

Gregory Dock Automotive Instructor Repl Martin See‐Hired External Feb

Kristin Wallace Business Administration Instructor Repl Philip Palese‐Hired External Jan

Leroy Chevalier COO Manager Weekend/Evening Repl Keffus Falls‐Hired External‐Temp Feb

Hoang Nguyen Student Services Advisor Repl Ana Canek‐Hired Internal Dec

Sazar Ali Process Technology Instructor Repl Homer Stewart‐Hired External Jan

Cybele Ayaquica COO Secretary II Repl Bridgette Bauman‐Hired External Nov

Jose Cordero Student Services Advisor Repl David Jones‐Hired External Nov

David Jones Student Services Advising Manager New Position‐Budget 12‐13‐Hired Internal Oct

Lesley Savoy‐Green Student Services Enrollment Services Associate Repl Alonia Whitmore‐Hired Internal Oct

William Nicholson Technology Instructor Repl John Jagdish‐Hired External‐Temp Sep

Betty Keller Student Services Retention Specialist Repl Joseph Willis‐Hired Internal Sep

Hosein Tahvilian Electronic Engineering Instructor Repl Pratap Talusani‐Hired External Sep

Nicki Norman Student Services Office Manager Repl Barbara Smith‐Hired Internal Sep

Ifeanyi Oramulu Technology Instructor Repl Homer Stewart‐Hired External‐Temp Sep

Khansaa Almansor Electronic Engineering Instructor Repl Nicky Haddock‐Hired External Sep

Ronald Dewlen Instructional Dean Instruction Repl Lois Avery‐Hired External Sep

52

Page 60: Fs2013 june

Salary

Houston College Community Systems

2012‐2013 Positions

Employee Name Department Job Title Comments Month

SOUTHWEST continued35,406$

26,000$

27,000$

45,225$

35,044$

43,173$

39,187$

44,615$

45,780$

31,312$

22,300$

33     

1,333,968$       

SOUTHEAST39,960$

32,538$

35,000$

42,000$

40,769$

53,706$

6        

243,973$          

COLEMAN35,754$

56,900$

62,781$

30,000$

65,272$

65,272$

44,615$

38,000$

35,000$

35,500$

53,618$

52,200$

63,993$

13     New Postions 638,905$          

Adm. Totals Replacement‐Internal Replacement‐External New Position‐Internal New Position‐External Interim 99      

College Totals Replacement‐Internal Replacement‐External New Position‐Internal New Position‐External Interim 133   

Grand Total Replacement‐Internal Replacement‐External New Position‐Internal New Position‐External Interim 232   

Over all Total 11,002,768$    232  

43     99     26     57     6        

25     73     11     20     3        

1        New Position‐External 2        Interim ‐         

18     26     15     37     3        

Coleman Replacement‐Internal 2        Replacement‐External 8        New Position‐Internal

Turquessa Francis Occupational Therapy Instructor Repl Naydean Blair‐Hired External Apr

Virginia Otieno Health Science Instructor Repl Linda Williams‐Hired External‐Temp Jan

Hope Pamplin Student Services Counselor, Disability Services New Position‐Budget 12‐13‐Hired External‐Temp Feb

David Pereida Student Services Advisor Repl Lorenzo Walker‐Hired Internal Jan

John Smith  Student Services Enrollment Service Associate Repl Rory Gupta‐Hired External Jan

Veronica Mckissic Student Services Learning Success Coordinator Repl Roxine Simms‐Hired External‐Temp Nov

Carmela Blackshear Student Services Advisor Repl Carmen Gentry‐Hired Internal Jan

Rita Callahan Vocational Nursing Instructor Repl Maria Reyes‐Hired External Nov

Jason Smith Vocational Nursing Instructor Repl Independencia Delacruz‐Hired External Nov

Charmaine Lewinson‐Evans Vocational Nursing Instructor Repl Pearlie Watts‐Hired External Sep

Caroline Couto‐Ortiz Health Science Dental Hygiene Operations Assistant New Position‐Budget 12‐13‐Hired External Sep

Daniel Guzman Simulation Center Clinical Simulation Lab Technician New Position‐Budget 12‐13‐Hired Internal Sep

Ashley Nichols Vocational Nursing Instructor Repl Sharon McCowan‐Hired External Sep

New Position‐Internal ‐         New Position‐External 1        Interim ‐         Southeast Replacement‐Internal 2        Replacement‐External 3       

Antonio Quintero Educational Technology Svc Sr., Web Developer  Repl Johnny Pea‐Hired Internal Jun

LaTrista Funchez Student Services Student Life Coordinator Repl Tara Webb‐Hired External Nov

Araceli Alvarez Workforce Office Manager Repl Mercedes Gonzales‐Hired Internal Jun

Nancy Garcia Natural Sciences Secretary II New Position‐Hired External Oct

Christy Muniz Student Services Advisor Repl Vivian Flores‐Hired External Oct

2        New Position‐External 6        Interim ‐         

Micalyn Flagg Financial Aid Financial Aid Associate Repl Verlicia Pope‐Hired External Oct

Southwest Replacement‐Internal 9        Replacement‐External 16     New Position‐Internal

Mayra Herrera Student Dev Secretary II Repl Sabiha Mir‐Hired Internal Jun

Troy Tabner COO Campus Service Technician Repl Jose Cruz‐Hired External Jun

Melaine Knight Public Relations Community Outreach Cordinator Repl Susie Molina‐Hired External May

Piper Butler Student Services Testing Associate Repl Gretchen Johnson‐Hired Internal Jun

Rhonda Tripeaux Student Services Advisor Repl Johnny Martinez‐Hired Internal Apr

Rita Majidi COO Budget Analyst Repl Patrick Muhammad‐Hired External‐Temp Apr

Zhiqin Jiang Drafting & Design  Instructor Repl Seymour Tatar‐Hired External Feb

Sherry Hill Student Services Financial Aid Associate Repl Thomas Sneed‐Hired Internal Apr

Lliya Lliev COO A/V Technician New Position‐Budget 12‐13‐Hired External Feb

Ramiro Monsivais Castorena COO A/V Technician New Position‐Budget 12‐13‐Hired External Feb

Ashley Martin Student Development Advisor Repl Hoang Minh Thi Nguyen‐Hired Internal Feb

53

Grand Total Salaries

Page 61: Fs2013 june

HOUSTON COMMUNITY COLLEGEFTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 1,361    1,514    1,534    1,487    828       1,480    1,533    1,575    1,548    1,009   

2011‐2012 1,451    1,582    1,598    1,564    823       1,530    1,573    1,598    1,576    1,003    1,098    955      

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 1,401    1,426    1,449    1,351    1,438    1,456    1,383    1,476    1,447    1,441   

2011‐2012 1,429    1,415    1,425    1,327    1,407    1,429    1,396    1,404    1,410    1,397    1,391    1,429   

F

T

E

F

T

E

54

 ‐

 200

 400

 600

 800

 1,000

 1,200

 1,400

 1,600

 1,800

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 200

 400

 600

 800

 1,000

 1,200

 1,400

 1,600

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 62: Fs2013 june

CENTRAL COLLEGEFTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 238       270       272       270       153       256       274       281       278       166      

2011‐2012 254       293       296       293       159       279       298       300       291       184       204       178      

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 155       159       164       145       161       164       153       169       159       161      

2011‐2012 161       158       165       145       155       163       157       157       158       156       154       161      

55

F

T

E

F

T

E

 ‐

 50

 100

 150

 200

 250

 300

 350

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

 140

 160

 180

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 63: Fs2013 june

COLEMAN COLLEGEFTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 108       107       113       110       78          106       107       109       104       95         

2011‐2012 115       112       113       109       82          109       107       110       110       99          98          84         

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 56          55          55          52          58          58          55          58          55          53         

2011‐2012 58          58          59          55          56          58          55          55          57          54          54          55         

F

T

E

F

T

E

56

 ‐

 20

 40

 60

 80

 100

 120

 140

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 10

 20

 30

 40

 50

 60

 70

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 64: Fs2013 june

NORTHWEST COLLEGEFTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 281       310       310       306       156       306       316       319       317       200      

2011‐2012 267       292       293       307       155       323       330       334       335       198       224       190      

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 131       135       143       125       142       145       129       151       147       147      

2011‐2012 104       106       108       108       129       138       122       129       130       132       131       138      

F

T

E

F

T

E

57

 ‐

 50

 100

 150

 200

 250

 300

 350

 400

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

 140

 160

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 65: Fs2013 june

NORTHEAST COLLEGEFTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 187       208       212       205       119       199       211       218       215       146      

2011‐2012 200       211       216       207       112       204       212       212       211       129       137       124      

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 126       125       128       118       124       128       119       128       128       124      

2011‐2012 127       126       128       118       121       128       124       127       126       126       126       128      

F

T

E

F

T

E

58

 ‐

 50

 100

 150

 200

 250

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

 140

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 66: Fs2013 june

SOUTHWEST COLLEGEFTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 318       385       375       370       187       364       376       381       377       224      

2011‐2012 380       433       435       422       183       377       382       386       382       229       252       217      

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 152       154       161       142       154       163       150       168       160       161      

2011‐2012 185       184       182       145       146       155       144       150       152       151       147       153      

59

F

T

E

F

T

E

 ‐

 50

 100

 150

 200

 250

 300

 350

 400

 450

 500

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

 140

 160

 180

 200

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 67: Fs2013 june

SOUTHEAST COLLEGEFTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 130       160       164       163       74          158       174       180       179       105      

2011‐2012 143       168       173       169       77          161       178       183       179       101       120       95         

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 96          103       104       95          102       105       95          106       105       101      

2011‐2012 99          96          97          86          94          98          91          95          96          99          96          101      

F

T

E

F

T

E

60

 ‐

 20

 40

 60

 80

 100

 120

 140

 160

 180

 200

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

 140

 160

 180

 200

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

 140

 160

 180

 200

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 20

 40

 60

 80

 100

 120

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 68: Fs2013 june

Division of Extended Learning (DOEL)FTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 90          67          79          57          58          73          67          77          70          67         

2011‐2012 85          69          68          56          55          72          63          67          64          59          57          64         

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 79          81          81          76          80          86          82          88          87          86         

2011‐2012 78          79          79          75          79          80          77          79          79          79          78          81         

F

T

E

F

T

E

61

 ‐

 10

 20

 30

 40

 50

 60

 70

 80

 90

 100

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 10

 20

 30

 40

 50

 60

 70

 80

 90

 100

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 69: Fs2013 june

DISTRICTFTE Comparison Year‐To‐Date Thru June 30, 2013 by Type(Full‐Time Employee Equivalent) 

FACULTY FTE

Faculty SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 8            7            8            5            3            9            9            10          8            5           

2011‐2012 7            4            4            1            ‐             5            4            5            3            4            4            3           

STAFF FTE

Staff/Lib/Cou SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

2012‐2013 606       612       614       598       617       609       600       609       605       607      

2011‐2012 616       609       608       595       627       609       625       612       614       601       605       612      

F

T

E

F

T

E

62

 ‐

 2

 4

 6

 8

 10

 12

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 100

 200

 300

 400

 500

 600

 700

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 70: Fs2013 june

HOUSTON COMMUNITY COLLEGEDuplicated Headcount Comparison Year‐To‐Date Thru June 30, 2013 by Type

FACULTY HEADCOUNT

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

12‐13 FT 787       795       795       797       794       796       797       796       796       768      

12‐13 PT 1,992    2,361    2,491    2,224    409       2,207    2,291    2,383    2,311    932      

12‐13 Total Fac 2,779    3,156    3,286    3,021    1,203    3,003    3,088    3,179    3,107    1,700    ‐             ‐            

11‐12 FT 792       797       793       788       793       785       784       782       783       768       757       794      

11‐12 PT 1,911    2,334    2,390    2,331    275       2,387    2,391    2,351    2,367    1,075    1,372    679      

11‐12 Total Fac 2,703    3,131    3,183    3,119    1,068    3,172    3,175    3,133    3,150    1,843    2,129    1,473   

STAFF HEADCOUNT

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

12‐13 FT 1,238    1,250    1,264    1,260    1,263    1,279    1,277    1,289    1,276    1,273   

12‐13 PT 840       833       851       842       703       801       820       851       858       769      

12‐13 Total Staff 2,078    2,083    2,115    2,102    1,966    2,080    2,097    2,140    2,134    2,042    ‐             ‐            

11‐12 FT 1,256    1,256    1,238    1,235    1,253    1,242    1,249    1,235    1,240    1,201    1,240    1,250   

11‐12 PT 877       879       883       839       629       822       834       828       846       767       790       790      

11‐12 Total Staff 2,133    2,135    2,121    2,074    1,882    2,064    2,083    2,063    2,086    1,968    2,030    2,040   

63

 

S

t

a

f

f

 

Headcount

 

F

a

c

u

l

t

y

Headcount

 ‐

 500

 1,000

 1,500

 2,000

 2,500

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

 ‐

 200

 400

 600

 800

 1,000

 1,200

 1,400

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 71: Fs2013 june

HOUSTON COMMUNITY COLLEGEUnduplicated* Headcount Comparison Year‐To‐Date Thru June 30, 2013 by Type

UNDUPLICATED HEADCOUNT

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

12‐13 Total  4,475    4,446    4,551    4,726    3,085    4,629    4,717    4,550    4,775    3,467   

11‐12 Total  4,543    4,902    4,917    4,833    2,891    4,728    4,814    4,805    4,806    3,373    3,575    3,303   

* Includes Full‐time and Part‐time Faculties, Librarians, Counselors, and Staffs 

64

Unduplicated* Headcount

 ‐

 500

 1,000

 1,500

 2,000

 2,500

 3,000

 3,500

 4,000

 4,500

 5,000

SEP OCT NOV DEC JAN FEB MAR APR MAY JUN JUL AUG

Page 72: Fs2013 june

Non‐current assets:

Restricted cash 6,810$                  

Restricted investment in trust accounts 2,055,380

Lease receivable from HCCS 165,775,579        

Deferred charges ‐ bond issuance costs 2,046,534            

Capital Assets:

Land ‐                         

Other Structures ‐                         

Furniture & equipment ‐                         

Leasehold improvements ‐                         

Construction in process 1,100,115        

1,100,115            

TOTAL ASSETS 170,984,418$      

Current liabilities:

Accounts payable ‐ HCC 144,304$             

Accounts payable ‐                             

Accrued liabilities ‐ interest ‐                             

Current bond payable ‐                             

Total current liabilities 144,304$             

Non‐current liabilities:

Deposits 440                       

Arbitrage payable ‐                             

Unearned interest income (23 years) ‐ HCC 67,759,804          

Premium on bonds 2,209,548            

Bonds payable 105,655,000        

Total non‐current liabilities 175,624,792$      

TOTAL LIABILITIES 175,769,096        

TOTAL NET ASSETS ‐ restricted (4,784,678)$         

PFC 1

Houston Community College ‐ Public Facility CorporationStatement of Net Assets

Cash Basis ‐ Interim Period

as of June 30, 2013

ASSETS

LIABILITIES

Page 73: Fs2013 june

Cash Flows from Capital Financing Activities

Receipt from HCCS for lease payment 8,956,434$     

Purchases of capital assets (1,059,883)      

Payment on capital debt ‐ principal and interest (8,957,391)      

Net cash provided (used by) in financing activities (1,060,841)      

Cash Flows from Investing Activities

  Interest income 2,319

Increase (decrease) in restricted cash and 

restricted investment in trust accounts (1,058,522)      

Restricted cash and restricted investment in 

trust accounts ‐ beginning of year 3,120,712        

Restricted cash and restricted investment in 

trust accounts ‐ end of period 2,062,190$     

Houston Community College System Public Facility CorporationStatement of Cash Flows

Cash Basis ‐ Interim Period

Ten Month Ended as of June 30, 2013

PFC 2

Page 74: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances 

To Date Unexpended

Sources of funds:

Proceeds from 

2005C Lease Revenue Bond 19,155,000$   

Discount (170,064)        Land Purchase (4,212,644)    Bond Issuance Cost (606,201)        Interest Expense (524,785)        

13,641,306$  Interest Income 1,003,830      Vendor Contract Refund 102,706         Transfer to Payment Account (1,354,990)    

Funds Available 13,392,852$  

Uses of funds:4,092$             4,092$             ‐$ ‐$                   

11,550,643    11,550,643    ‐                      ‐                    Maintenance 408,920          359,644          49,276           ‐                    

6,443              6,443              ‐                    563,928          563,928          ‐                    

7,200              7,200              ‐                      ‐                    27,403            26,326            1,077              ‐                    24,940            24,940            ‐                    44,695            44,695            ‐                      ‐                    

596,787          596,787          ‐                      ‐                    

157,801            8,100                149,701         

Grand Total Uses 13,392,852$   13,192,798$   50,353$          149,701$     

Net Available ‐$                     

  PFC requires GMP before inception.

Total Proceeds from Bond

Houston Community College ‐ Public Facility CorporationPublic Safety Institute

as of June 30, 2013

PFC 3

Bank Service ChargesConstruction

Waste Water Management *Geo Technical Services*

Survey*Architect

Engineering ServicesFFE

Contingency

 * Included in GMP 

Site Infrasturcture

Page 75: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

to Date

Encumbrances    

to Date Unexpended

Sources of funds:

Proceeds from 

 2005 A Bonds  11,605,000$   

 Premium Received             492,931 

 Accrued Interest Received               53,425 

 Interest Income                    998 

 Bond Issuance Costs           (391,474)

 Repayment of Loans     (11,392,147)

Funds Available 368,733$        

Uses of funds:

Debt Service 53,425$            53,425$          ‐$                        ‐$                       

Renovation & Construction  169,759            169,759          ‐                          ‐                         

Demolish & Renovate Office 56,244              56,244            ‐                          ‐                         

Furniture & Fixtures 46,857              46,857            ‐                          ‐                         

Legal Fees 42,448              42,448            ‐                         

Grand Total Uses 368,733$         368,733$       ‐$                        ‐$                      

Net Available ‐$                     

Note 1: PFC requires GMP before inception.

Houston Community College ‐ Public Facility CorporationWestgate (Katy)as of June 30, 2013

PFC 4

Page 76: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances 

To Date Unexpended

Sources of funds:

Principal Amount on Bonds 36,950,000$   

Discount on Bonds (546,238)          

Underwriter's Discount (209,273)

Accrued Interest on Bonds 98,080             

Amount Available 36,292,569$   

Issuance Costs (490,131)          

 Accrued and Capitalized Interest (1,449,023)      

Repair and Replacement (1,000,000)      

Title Fees Capitalized (81,379)            

Amount Available for Project 33,272,036$   

Repayment to HCC (188,006)          

Project Account Balance 33,084,030$   

Administrative & Legal Fees (29,486)            

Interest Income 836,845           

Transfer Cost Issuance 85,509             

Interest Expense on Notes (135,299)          

Funds Available 33,841,599$  

Uses of funds:

Land & Building 17,807,972$    17,807,972$    ‐$                     ‐$                

Maintenance Rehabilitation & 

Deferred Maintenance

12,856,469      12,856,469      ‐                  

CPMS PGAL 211,959            211,959            ‐                  

Facilities Space Programming 214,620            214,620            ‐                  

Furniture, Fixtures & Equipment 1,006,277         1,006,277         ‐                       ‐                  

Site Infrastructure 859,844            854,984            4,859               ‐                  

Architect and Engineering 428,355            428,355            ‐                       ‐                  

Repair & Maintenance Contingency   ‐ 

per bond requirement

456,103            83,089              ‐                       373,014     

Grand Total Uses 33,841,599$   33,463,726$   4,859$            373,014$  

Net Available ‐$                     

  PFC requires GMP before inception.

Houston Community College ‐ Public Facility CorporationHayes Road ‐ Alief Project

as of June 30, 2013

PFC 5

Page 77: Fs2013 june

Total Budget to 

Date

Total Revenues 

/  Expenditures 

To Date

Encumbrances 

To Date Unexpended

Sources of funds:

Principal Amount of 2007 Series Bonds 58,885,000$   

Premium on Bonds 3,094,498        

Underwriter's Discount (346,244)          

Accrued Interest Income‐ Bonds 173,733           

Total Amount Available 61,806,987$   

Issuance Cost (839,837)          

Accrued  and Capitalized Interest (4,632,122)      

Repair and Maintenance Account ‐                        

Amount Available for Project 56,335,028$   

Interest Income on Trust Account 2,498,977        

Interest Expense on Notes (414,601)          

Transfer to Trustee Payment Account (4,715,080)      

Vendor Contract Refunds 230,035           

Sale of Land 569,890           

Funds Available 54,504,249$  

Uses of funds:

Land & Building 10,671,234$    10,671,234$    ‐$                     ‐$                    

Construction Cost‐ Building 18,200,000      18,200,000      ‐                       ‐                      

Construction‐Demolition 494,972            ‐                         ‐                       494,972         

Constuction‐ Site 640,988            636,957            4,030              ‐                      

Site Improvement 14,221,544      13,888,633      332,911          ‐                      

Site Demolition & Abatement 791,298            791,298            ‐                      

CPMS PGAL 1,391,958         1,391,958         ‐                       ‐                      

Site and Infrastructure Design 2,334,840         2,334,840         ‐                       ‐                      

Facilities Space Programming 29,274              29,274              ‐                       ‐                      

Architect and Engineering 1,256,727         1,256,727         ‐                      

Furniture, Fixtures & Equipment 1,828,332         1,818,281         10,051            ‐                      

Library 66,564              66,182              382                 ‐                      

Inspections 214,981            214,981            ‐                       ‐                      

Design Geotech 17,500              17,500              ‐                       ‐                      

Material Testing  24,503              24,503              ‐                       ‐                      

Communications IT‐ PGAL 253,614            253,614            ‐                      

IT Telephone & Communications 790,467            790,467            ‐                      

Surveying  62,398              59,124              3,274              ‐                      

Administrative Expenses 34,505              34,505              ‐                      

Preconstruction Costs 886,377            886,377            ‐                      

Contingency 291,833            186                    ‐                       291,649         

Grand Total Uses 54,503,907$   53,366,640$   350,647$       786,621$     

  PFC requires GMP before inception.

as of June 30, 2013

PFC 6

Houston Community College ‐ Public Facility CorporationNorthline Mall Project