UNITED STATES
               SECURITIES AND EXCHANGE COMMISSION
                    WASHINGTON, D. C.  20549
               -----------------------------------

                           FORM 10-K/A
                                
    [X]  ANNUAL REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE
                 SECURITIES EXCHANGE ACT OF 1934
            For the fiscal year ended February 28, 2005
                                      -------------------
                               OR
 [  ]  TRANSITION REPORT PURSUANT TO SECTION 13 OR 15(d) OF THE
                 SECURITIES EXCHANGE ACT OF 1934

   For the transition period from              to
                                 -------------    -------------
                 Commission file number    1-5807
                                          ---------------------
                           ENNIS, INC.
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   (Exact name of registrant as specified in its charter)

        Texas                                     75-0256410
-------------------------------           -----------------------
(State or other jurisdiction of               (IRS Employer
 incorporation or organization)              Identification No.)

 2441 Presidential Parkway,
     Midlothian, Texas                                76065
----------------------------------------            ----------
(Address of principal executive offices)             Zip Code

Registrant's telephone number,
 including area code                              (972) 775-9801
                                                 ----------------
Securities registered pursuant to Section 12(b) of the Act:


                                       Name of each exchange
  Title of each class                   on which registered
  -------------------                  ----------------------

Common Stock, par value
    $2.50 per share                   New York Stock Exchange
------------------------           ------------------------------
Securities registered pursuant to Section 12(g) of the Act:  None

Indicate  by check mark whether the registrant (1) has filed  all
reports  required  to be filed by Section  13  or  15(d)  of  the
Securities  Exchange Act of 1934 during the preceding  12  months
(or  for such shorter period that the registrant was required  to
file  such  reports),  and (2) has been subject  to  such  filing
requirements for the past 90 days.    Yes  X   No
                                         -----   -----

Indicate  by  check  mark  if  disclosure  of  delinquent  filers
pursuant  to Item 405 of Regulation S-K is not contained  herein,
and will not be contained, to the best of registrant's knowledge,
in  definitive  proxy or information statements  incorporated  by
reference in Part III of this Form 10-K or any amendment to  this
Form 10-K.                                                    [X]

Indicate  by  check mark whether the registrant is an accelerated
filer (as defined in Rule 12b-2 of the Act).
                                                Yes  X   No
                                                   -----   -----

The  number of shares of the registrant's Common Stock, par value
$2.50, outstanding at April 15, 2005 was 25,417,995.

The aggregate market value of voting stock held by non-affiliates
of  the  registrant as of August 31, 2004 (16,166,888) and  April
15,  2005 (25,182,674 shares) were $301,997,468 and $407,455,665,
respectively.

DOCUMENTS INCORPORATED BY REFERENCE:
Portions of 2005 Annual Report to Shareholders - Incorporated  in
Parts I & II
Portions of Proxy Statement filed within 120 days of the February
28, 2005 fiscal year end - Incorporated in Part III



Item 9a.  Controls and Procedures.

    The Company's management carried out an evaluation, under the
supervision  and  with the participation of the  Chief  Executive
Officer and the Chief Financial Officer, of the effectiveness  of
the design and operation of the Company's disclosure controls and
procedures  under  Rule 13a-15(e) under the Exchange  Act  as  of
February  28,  2005.   Based  upon  that  evaluation,  the  Chief
Executive   Officer  along  with  the  Chief  Financial   Officer
concluded  that the Company's disclosure controls and  procedures
as  of  February 28, 2005, were not effective in timely  alerting
them  to  material information relating to the Company (including
its  consolidated subsidiaries) required to be  included  in  the
Company's periodic filings under the Exchange Act as a result  of
material weaknesses in internal control over financial reporting,
as  described  in detail in our Management's Report  on  Internal
Control  over  Financial Reporting, incorporated by reference  to
page   58  and  59  of  the  Company's  2005  Annual  Report   to
Shareholders, attached as Exhibit 13 to our Annual Report or Form
10-K for the year ended February 28, 2005.

      Management  is responsible for establishing and maintaining
adequate internal control over financial reporting, as defined in
the  Exchange  Act  Rule  13a-15(f).   Management  conducted   an
evaluation of the effectiveness of the Company's internal control
over  financial  reporting  as of February  28,  2005  using  the
criteria  set  forth by the Committee of Sponsoring Organizations
of   the   Treadway  Commission  in  Internal  Control-Integrated
Framework and identified material weaknesses in internal  control
over financial reporting as of February 28, 2005 as described  in
our   Management's   Report   referenced   above.    Accordingly,
Management concluded that the Company did not maintain  effective
internal  control  over financial reporting as  of  February  28,
2005.

                                
                                









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                             PART IV
                                
Item 15.         Exhibits and Financial Statement Schedules

(a)3 - Exhibits  The  exhibits  listed on the accompanying  Index
                 to  Exhibits are filed as part of this Form  10-
                 K/A.
                 






































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                           SIGNATURES
                                

     Pursuant to the requirements of Section 13 or 15(d)  of  the
Securities  Exchange Act of 1934, the registrant has duly  caused
this  report  to  be  signed on its behalf  by  the  undersigned,
thereunto duly authorized.

                                (Registrant) ENNIS, INC.

Date:  June 17, 2005               BY: /s/ Keith S. Walters
      ---------------                 ---------------------------
                                   Keith S. Walters, Chairman of
                                   the Board, Chief Executive
                                   Officer and President


Date:  June 17, 2005               BY: /s/ Harve Cathey
      ---------------                 ---------------------------
                                   Harve Cathey
                                   Vice President - Finance and
                                   CFO, Secretary and Principal
                                   Financial and Accounting
                                   Officer

                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
                                
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                        INDEX TO EXHIBITS
                                
   Exhibit 2.1    Agreement  and  Plan of Merger  dated  as  of
                  June  25,  2004  by  and among  Ennis,  Inc.,
                  Midlothian   Holdings   LLC,   and    Centrum
                  Acquisition,  Inc.,  incorporated  herein  by
                  reference  to Exhibit 2.1 to the Registrant's
                  Form S-4 filed on September 3, 2004.
   Exhibit 2.2    First  Amendment  to  Agreement  and  Plan  of
                  Merger  dated  as of August 23,  2004  by  and
                  among  Ennis,  Inc., Midlothian Holdings  LLC,
                  and  Centrum  Acquisition, Inc.,  incorporated
                  herein  by  reference to Exhibit  2.2  to  the
                  Registrant's  Form S-4 filed on  September  3,
                  2004.
   Exhibit 3.1    Restated Articles of Incorporation as  amended
                  through June 23, 1983 with attached amendments
                  dated  June 20, 1985, July 31, 1985  and  June
                  16,  1988 incorporated herein by reference  to
                  Exhibit 5 to the Registrant's Form 10-K Annual
                  Report for the fiscal year ended February  28,
                  1993.
   Exhibit 3.2    Bylaws  of  the Registrant as amended  through
                  October   15,  1997  incorporated  herein   by
                  reference to Exhibit 3(ii) to the registrant's
                  Form  10-Q  Quarterly Report for  the  quarter
                  ended November 30, 1997.
   Exhibit 3.3    Articles  of  Amendment  to  the  Articles  of
                  Incorporation  of Ennis Business  Forms,  Inc.
                  filed on June 17, 2004 incorporated herein  by
                  reference  to  Exhibit 3.3 to the registrant's
                  Form  10-Q  Quarterly Report for  the  quarter
                  ended November 30, 2004.
   Exhibit 10.1   Employee  Agreement between  Ennis,  Inc.  and
                  Keith   S.   Walters   dated   May   1,   2003
                  incorporated  herein by reference  to  Exhibit
                  10.1  to  the  Registrant's Form  10-K  Annual
                  Report for the fiscal year ended February  29,
                  2004.
   Exhibit 10.2   Employee  Agreement between  Ennis,  Inc.  and
                  Ronald   M.   Graham   dated   May   1,   2003
                  incorporated  herein by reference  to  Exhibit
                  10.2  to  the  Registrant's Form  10-K  Annual
                  Report for the fiscal year ended February  29,
                  2004.
   Exhibit 10.3   Employee  Agreement between  Ennis,  Inc.  and
                  Michael  D.  Magill  dated  October  7,   2003
                  incorporated  herein by reference  to  Exhibit
                  10.3  to  the  Registrant's Form  10-K  Annual
                  Report for the fiscal year ended February  29,
                  2004.
   Exhibit 10.4   2004  Long-Term  Incentive  Plan  incorporated
                  herein  by  reference to Exhibit  4.1  of  the
                  Registrant's  Form  S-8 filed  on  January  5,
                  2005.
   Exhibit 10.5   Stock Purchase Agreement dated as of June  25,
                  2004,  among Crabar/GBF, Inc. the shareholders
                  of    Crabar/GBF,   Inc.   and   Ennis,   Inc.
                  incorporated herein by reference to Exhibit  2
                  to the Registrant's Current Report on Form 8-K
                  filed on July 15, 2004.
   Exhibit 10.6   First Amendment Agreement dated as of June 25,
                  2004,  by and among Amin Amdani, Rauf Gajiani,
                  Centrum  Acquisition, Inc.,  Ennis,  Inc.  and
                  Midlothian Holdings LLC incorporated herein by
                  reference  to Exhibit 10.6 to the Registrant's
                  Form S-4 filed on September 3, 2004.
   Exhibit 10.7   Indemnity Agreement dated as of June 25, 2004,
                  by  and  among  Laurence Ashkin, Roger  Brown,
                  John McLinden, Arthur Slaven, Ennis, Inc.  and
                  Midlothian Holdings LLC incorporated herein by
                  reference  to Exhibit 10.7 to the Registrant's
                  Form S-4 filed on September 3, 2004.



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   Exhibit 10.8   Indemnity Agreement dated as of June 25, 2004,
                  by  and  among  Laurence Ashkin, Roger  Brown,
                  John McLinden, Arthur Slaven, Ennis, Inc.  and
                  Midlothian Holdings LLC incorporated herein by
                  reference  to Exhibit 10.8 to the Registrant's
                  Form S-4 filed on September 3, 2004.
   Exhibit 10.9   UPS  Ground,  Air Hundredweight  and  Sonicair
                  Incentive     Program    Carrier     Agreement
                  incorporated herein by reference to Exhibit 10
                  to  the  Registrant's Form 10-K Annual  Report
                  for the fiscal year ended February 29, 2003.
   Exhibit 10.10  Addendum  to  UPS  Ground,  Air  and  Sonicair
                  Incentive Program Carrier Agreement  dated  as
                  of  August  9, 2004, between Ennis,  Inc.  and
                  United   Parcel  Service,  Inc.   incorporated
                  herein  by reference to Exhibit 10.10  to  the
                  Registrant's  Form S-4 filed on  September  3,
                  2004.*
   Exhibit 10.11  Carbonless  Paper Agreement dated as  of  July
                  13,  2004  between Ennis, Inc  &  MeadWestvaco
                  Corporation  incorporated herein by  reference
                  to  Exhibit 10.11 to the Registrant's Form S-4
                  filed on September 3, 2004.*
   Exhibit 10.12  Fourth Amendment to Credit Agreement dated  as
                  of June 25, 2004, between Ennis, Inc. and Bank
                  One,  NA  incorporated herein by reference  to
                  Exhibit  10.12  to the Registrant's  Form  S-4
                  filed on September 3, 2004.
   Exhibit 10.13  Assignment  Agreement dated  as  of  June  30,
                  2004,  between U.S. Bank National  Association
                  and   Compass  Bank  incorporated  herein   by
                  reference to Exhibit 10.13 to the Registrant's
                  Form S-4 filed on September 3, 2004.
*  Exhibit 10.14  Mutual  Agreement,  dated  January  10,  2005,
                  between Parkdale and Alstyle Apparel, Inc.
** Exhibit 11     Computation of Earnings Per Share
** Exhibit 13     Portions of 2005 Annual Report to Shareholders
** Exhibit 21     Subsidiaries of Registrant
   Exhibit 31.1   Certification  Pursuant to Rule 13a-14(a)/15d-
                  14(a) (Chief Executive Officer)
   Exhibit 31.2   Certification  Pursuant to Rule 13a-14(a)/15d-
                  14(a) (Chief Financial Officer)

*    Portions of Exhibit have been omitted pursuant to a  request
     for  confidential treatment filed with   the Securities  and
     Exchange Commission.
     
**   Previously filed with the Registrant's Annual Report on Form
     10-K for the year ended February   28, 2005.
     

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