Audit 290688

FY End
2023-06-30
Total Expended
$12.59M
Findings
0
Programs
4
Organization: Sjb Child Developement Centers (CA)
Year: 2023 Accepted: 2024-02-15
Auditor: Allan Liu CPA

Organization Exclusion Status:

Checking exclusion status...

Findings

No findings recorded

Programs

ALN Program Spent Major Findings
93.575 Child Care and Development Block Grant $9.18M Yes 0
93.600 Head Start $2.33M Yes 0
10.558 Child and Adult Care Food Program $545,285 Yes 0
84.425 Education Stabilization Fund $539,143 Yes 0

Contacts

Name Title Type
QMSJWFWAVNJ8 Mary Pham Auditee
4085167178 Allan Liu Auditor
No contacts on file

Notes to SEFA

Accounting Policies: NOTE A: BASIS OF PRESENTATION The accompanying schedule of expenditures of Federal awards includes the Federal award activity of SJB Child Development Centers, under programs of the federal government for the year ended June 30, 2023 in accordance with the requirements of Title 2 U.S. code of Federal Regulations Part 200, Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal awards (Uniform Guidance). Because the schedule presents only selected portion of the operations of SJB Child Development Centers, it is not intended to and does not present the financial position, changes in net assets, or cash flows of SJB Child Development Centers NOTE B: SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Expenditures reported on the schedule are on the accrual basis of accounting. Such expenditures are recognized following the cost principles contained in the Uniform Guidance, wherein certain types of expenditures are not allowed or are limited to reimbursements. SJB Child Development Centers has elected not to use the 10 percent de minimis indirect cost rate allowed under Uniform Guidance. SJB Child Development does not use an indirect cost rate. NOTE A: BASIS OF PRESENTATION The accompanying schedule of expenditures of Federal awards includes the Federal award activity of 703 Cedar Street, Inc., under programs of the federal government for the year ended June 30, 2023 in accordance with the requirements of Title 2 U.S. code of Federal Regulations Part 200, Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal awards (Uniform Guidance). Because the schedule presents only selected portion of the operations of 703 Cedar Street, Inc., it is not intended to and does not present the financial position, changes in net assets, or cash flows of 703 Cedar Street, Inc. NOTE B: SUMMARY OF SIGNIFICANT ACCOUNTING POLICIES Expenditures reported on the schedule are on the accrual basis of accounting. Such expenditures are recognized following the cost principles contained in the Uniform Guidance, wherein certain types of expenditures are not allowed or are limited to reimbursements. 703 Cedar Street, Inc. has elected not to use the 10 percent de minimis indirect cost rate allowed under Uniform Guidance. NOTE C: FEDERAL LOAN PROGRAMS The federal loan programs listed subsequently are administered directly by 703 Cedar Street, Inc. and balances and transactions relating to the programs are included in 703 Cedar Street, Inc.’s basic financial statements. Loans outstanding at the beginning of the year and loans made during the year are included in the federal expenditures presented in the Schedule. The balance of loans outstanding as of June 30, 2023 consists of: CFDA Number Program Name Outstanding balance at June 30, 2023 14.157 Supportive Housing for the Elderly(202) $1,121,500 De Minimis Rate Used: N Rate Explanation: N/A