Kansas State Department of Education

Annual State Funding Report

State Fiscal Year 1999 Combined

X0992 ST PATRICKS SCHOOL (CHANUTE)

Fund Account Account/Program Name
Document Doc Date Warrant # Acct Code Payment Amt. Refund Amt. 1000-0320 0320 Food Service Aid V9902203 10/27/1998 007710044 703 5160 X 43.05 V9902540 11/12/1998 007782501 703 5160 X 40.89 V9903155 12/10/1998 007865727 703 5160 X 41.30 V9903640 01/08/1999 007968362 703 5160 X 28.12 V9904114 02/09/1999 008069424 703 5160 X 40.89 V9904681 03/08/1999 008180552 703 5160 X 43.68 V9905612 04/23/1999 008339466 703 5160 X 32.80 V9905878 05/10/1999 008406844 703 5160 X 45.93 V9906486 06/10/1999 008522537 703 5160 X 55.02 V9906779 06/24/1999 008590220 703 5160 X 43.83 Total Account 415.51 0.00 Total State Aid 415.51 0.00 3230-3020 3020 9901 Special Milk CFDA 10.556 V9902203 10/27/1998 007710044 703 5060 X 64.34 V9902203 10/27/1998 007710044 703 5060 X 2.56 V9902540 11/12/1998 007782501 703 5060 X 66.59 V9903155 12/10/1998 007865727 703 5060 X 67.36 V9903640 01/08/1999 007968362 703 5060 X 43.25 V9904114 02/09/1999 008069424 703 5060 X 57.07 V9904681 03/08/1999 008180552 703 5060 X 56.65 S0000344 03/30/1999 1998 Refund 5060 X -2.12 S0000344 03/30/1999 1996 Refund 5060 X -6.19 V9905612 04/23/1999 008339466 703 5060 X 47.66 V9905878 05/10/1999 008406844 703 5060 X 22.00 V9905878 05/10/1999 008406844 703 5060 X 0.98 V9905878 05/10/1999 008406844 703 5060 X 2.37 V9905878 05/10/1999 008406844 703 5060 X 45.29 V9906486 06/10/1999 008522537 703 5060 X 44.04 V9906486 06/10/1999 008522537 703 5060 X 20.02 Total Account 540.18 -8.31 3530-3500 3500 9902 Section 4 CFDA 10.555 V9902203 10/27/1998 007710044 703 5060 X 172.26 V9902540 11/12/1998 007782501 703 5060 X 163.62 V9903155 12/10/1998 007865727 703 5060 X 165.24 V9903640 01/08/1999 007968362 703 5060 X 85.32 V9903640 01/08/1999 007968362 703 5060 X 27.18 V9904114 02/09/1999 008069424 703 5060 X 163.62 V9904681 03/08/1999 008180552 703 5060 X 174.78 V9905612 04/23/1999 008339466 703 5060 X 131.22 V9905878 05/10/1999 008406844 703 5060 X 3.91 V9905878 05/10/1999 008406844 703 5060 X 61.68 V9905878 05/10/1999 008406844 703 5060 X 118.19

V9906486 06/10/1999 008522537 703 5060 X 110.76 V9906486 06/10/1999 008522537 703 5060 X 0.17 V9906486 06/10/1999 008522537 703 5060 X 22.27 V9906486 06/10/1999 008522537 703 5060 X 86.94 Total Account 1,487.16 0.00 3530-3500 3500 9903 Section 11 CFDA 10.555 V9902203 10/27/1998 007710044 703 5060 X 381.62 V9902540 11/12/1998 007782501 703 5060 X 349.57 V9903155 12/10/1998 007865727 703 5060 X 364.63 V9903640 01/08/1999 007968362 703 5060 X 233.00 V9904114 02/09/1999 008069424 703 5060 X 373.44 V9904681 03/08/1999 008180552 703 5060 X 462.69 S0000344 03/30/1999 1996 Refund 5060 X -338.00 S0000344 03/30/1999 1995 Refund 5060 X -71.60 V9905612 04/23/1999 008339466 703 5060 X 355.33 V9905878 05/10/1999 008406844 703 5060 X 186.93 V9905878 05/10/1999 008406844 703 5060 X 188.90 V9905878 05/10/1999 008406844 703 5060 X 102.56 V9906486 06/10/1999 008522537 703 5060 X 137.64 V9906486 06/10/1999 008522537 703 5060 X 12.78 V9906486 06/10/1999 008522537 703 5060 X 206.91 V9906486 06/10/1999 008522537 703 5060 X 183.16 Total Account 3,539.16 -409.60 3530-3500 3500 9912 Cash for Commodities CFDA 10.555 V9902203 10/27/1998 007710044 703 5060 X 141.14 V9902540 11/12/1998 007782501 703 5060 X 134.06 V9903155 12/10/1998 007865727 703 5060 X 135.40 V9903640 01/08/1999 007968362 703 5060 X 69.93 V9903640 01/08/1999 007968362 703 5060 X 22.25 V9904114 02/09/1999 008069424 703 5060 X 134.06 V9904681 03/08/1999 008180552 703 5060 X 143.21 V9905612 04/23/1999 008339466 703 5060 X 107.52 V9905878 05/10/1999 008406844 703 5060 X 3.34 V9905878 05/10/1999 008406844 703 5060 X 46.02 V9905878 05/10/1999 008406844 703 5060 X 101.22 V9906486 06/10/1999 008522537 703 5060 X 0.14 V9906486 06/10/1999 008522537 703 5060 X 18.99 V9906486 06/10/1999 008522537 703 5060 X 71.23 V9906486 06/10/1999 008522537 703 5060 X 90.00 Total Account 1,218.51 0.00 Total Federal Aid 6,785.01 -417.91 Total Aid 7,200.52 -417.91

Notes to the Annual State Funding Report: 1. All payments received with an 'Acct Code' in the 5000s or 7000s (i.e. 5110 or 7310) are pass-through payments and received by the entity as a subrecipient. All other payments are for services performed by the entity. entries to correct errors and omissions. 'V' documents are voucher 2. All dcuments with a prefix of 'F' and 'J' are internal adjusting payments and 'S' documents are receipt vouchers. 3. The Catalog of Federal Domestic Assistance CFDA number should be provided on all payments from federal sources 4. This report provides accounting activity only from the Kansas State Department of Education and no other state agency.


Last Updated 06/27/2000

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