Kansas State Department of Education
Annual Federal and State Aid Funding Report - SFY 2009

D0237 SMITH CENTER

Fund Account Account/Program Name Document Doc Date Warrant # Acct Code Payment Amt. Refund Amt.

State Aid

1000-0100 0100 KPERS Employer Contributions

V0900006 07/08/2008 022139370 703 5140 D 59,065.24 V0901721 10/06/2008 022233119 703 5140 D 40,058.73 V0903407 01/08/2009 022296132 703 5140 D 53,938.85 V0904986 04/08/2009 022396660 703 5140 D 46,509.30 Total Account 199,572.12 0.00

1000-0320 0320 Food Service Aid

V0901088 09/08/2008 022211049 703 5110 D 143.68 V0901740 10/07/2008 022233408 703 5110 D 353.92 V0902431 11/12/2008 022258513 703 5110 D 353.02 V0902859 12/02/2008 022272021 703 5110 D 278.06 V0903444 01/13/2009 022299038 703 5110 D 283.05 V0903833 02/04/2009 022314973 703 5110 D 331.70 V0904486 03/10/2009 022359576 703 5110 D 291.60 V0904953 04/06/2009 022393065 703 5110 D 274.82 V0905577 05/06/2009 022420372 703 5110 D 229.11 V0906036 06/02/2009 022439261 703 5110 D 147.75 V0906408 06/23/2009 022454569 703 5110 D 138.38 Total Account 2,825.09 0.00

1000-0700 0700 Special Education Services Aid

V0901767 10/09/2008 022238607 703 5110 D 121,250.00 V0902945 12/08/2008 022282075 703 5110 D 130,029.00 V0904440 03/10/2009 022360240 703 5110 D 103,163.00 V0905012 04/08/2009 022396007 703 5110 D 91,501.00 V0905868 05/20/2009 022457707 703 5110 D 18,852.00 V0905868 05/20/2009 022457707 703 5110 D 121,240.00 Total Account 586,035.00 0.00

1000-0820 0820 General State Aid

V0900004 07/01/2008 022138666 703 5110 D 430,000.00 V0900243 07/25/2008 022182432 703 5110 D 300,000.00 V0900851 08/25/2008 022206028 703 5110 D 376,080.00 V0901364 09/24/2008 022225165 703 5110 D 276,045.00 V0901695 10/03/2008 022229895 703 5110 D 73,955.00 V0902129 10/28/2008 022250458 703 5110 D 350,000.00 V0902589 12/03/2008 022271690 703 5110 D 262,500.00 V0902887 12/04/2008 022281780 703 5110 D 87,500.00 V0903214 12/22/2008 022290495 703 5110 D 276,045.00 V0903615 01/27/2009 022309730 703 5110 D 102,893.00 V0904171 02/24/2009 022340444 703 5110 D 127,276.00 V0904729 03/24/2009 022379519 703 5110 D 100,177.00 V0905349 04/27/2009 022414781 703 5110 D 97,888.00 V1000001 06/30/2009 022464148 703 5110 D 142,036.00 Total Account 3,002,395.00 0.00

1000-0840 0840 Supplemental General State Aid

V0901365 09/24/2008 022225444 703 5110 D 219,310.00 V0903648 01/27/2009 022310103 703 5110 D 218,089.00 V1000002 06/30/2009 022464409 703 5110 D 97,436.00 Total Account 534,835.00 0.00

1000-0860 0860 Professional Development Aid

V0903755 02/02/2009 022314297 703 5110 D 690.00 V0906314 06/17/2009 022458022 703 5110 D 2,002.00 Total Account 2,692.00 0.00

1000-0880 0880 Capital Outlay State Aid

V0904170 02/25/2009 022341150 703 5110 D 28,488.00 Total Account 28,488.00 0.00 Total State Aid 4,356,842.21 0.00

Special Revenue State Aid

2538-2030 2030 State Safety

V0902002 10/23/2008 022249083 703 5110 D 874.00 Total Account 874.00 0.00 Total Special Revenue State Aid 874.00 0.00

Federal Aid

3233-3040 3040 9962 TII-Tech Lit -Formul CFDA 84.318

V0900821 08/28/2008 022205389 703 5010 D 767.00 Total Account 767.00 0.00

3526-3860 3860 Title II- Improving Teacher Quality CFDA 84.367

V0900821 08/28/2008 022205389 703 5010 D 2,668.00 V0901369 09/28/2008 022222744 703 5010 D 3,001.00 V0902061 10/28/2008 022248262 703 5010 D 3,001.00 V0902625 11/28/2008 022263926 703 5010 D 3,001.00 V0903614 01/28/2009 022308893 703 5010 D 3,001.00 V0904173 02/28/2009 022339611 703 5010 D 12,004.00 Total Account 26,676.00 0.00

3529-3490 3490 9904 School Breakfast CFDA 10.553

V0901088 09/08/2008 022211049 703 5010 D 1,032.50 V0901740 10/07/2008 022233408 703 5010 D 2,507.75 V0902431 11/12/2008 022258513 703 5010 D 2,405.00 V0902859 12/02/2008 022272021 703 5010 D 2,018.85 V0903444 01/13/2009 022299038 703 5010 D 1,955.15 V0903833 02/04/2009 022314973 703 5010 D 2,356.05 V0904486 03/10/2009 022359576 703 5010 D 2,151.30 V0904953 04/06/2009 022393065 703 5010 D 1,985.10 V0905577 05/06/2009 022420372 703 5010 D 2,437.90 V0906036 06/02/2009 022439261 703 5010 D 1,728.10 Total Account 20,577.70 0.00

3530-3500 3500 9902 Section 4 CFDA 10.555

V0901088 09/08/2008 022211049 703 5010 D 3,615.16 V0901200 09/15/2008 022216004 703 5010 D 15.44 V0901740 10/07/2008 022233408 703 5010 D 9,079.75 V0902431 11/12/2008 022258513 703 5010 D 8,610.77 V0902859 12/02/2008 022272021 703 5010 D 6,809.54 V0903444 01/13/2009 022299038 703 5010 D 7,039.74 V0903833 02/04/2009 022314973 703 5010 D 8,453.65 V0904486 03/10/2009 022359576 703 5010 D 7,484.67 V0904953 04/06/2009 022393065 703 5010 D 7,106.91 V0905577 05/06/2009 022420372 703 5010 D 8,829.86 V0906036 06/02/2009 022439261 703 5010 D 5,678.92 Total Account 72,724.41 0.00

3530-3500 3500 9903 Section 11 CFDA 10.555

V0901740 10/07/2008 022233408 703 5010 D 12.78 V0902431 11/12/2008 022258513 703 5010 D 39.05 V0902859 12/02/2008 022272021 703 5010 D 52.54 V0903444 01/13/2009 022299038 703 5010 D 61.06 V0903833 02/04/2009 022314973 703 5010 D 82.36 V0904486 03/10/2009 022359576 703 5010 D 85.20 V0904953 04/06/2009 022393065 703 5010 D 71.00 V0905577 05/06/2009 022420372 703 5010 D 92.30 V0906036 06/02/2009 022439261 703 5010 D 51.83 Total Account 548.12 0.00

3530-3500 3500 9912 Cash for Commodities CFDA 10.555

V0901088 09/08/2008 022211049 703 5010 D 662.55 V0901740 10/07/2008 022233408 703 5010 D 1,631.99 V0902431 11/12/2008 022258513 703 5010 D 1,627.84 V0902859 12/02/2008 022272021 703 5010 D 1,282.14 V0903444 01/13/2009 022299038 703 5010 D 1,305.18 V0903833 02/04/2009 022314973 703 5010 D 1,529.48 V0904486 03/10/2009 022359576 703 5010 D 1,344.60 V0904953 04/06/2009 022393065 703 5010 D 1,267.20 V0905577 05/06/2009 022420372 703 5010 D 1,584.68 V0906036 06/02/2009 022439261 703 5010 D 1,021.94 Total Account 13,257.60 0.00

3532-3520 3520 Title I Low Income CFDA 84.010

V0900821 08/28/2008 022205389 703 5010 D 8,024.00 V0901369 09/28/2008 022222744 703 5010 D 9,027.00 V0902061 10/28/2008 022248262 703 5010 D 9,027.00 V0902625 11/28/2008 022263926 703 5010 D 9,027.00 V0903614 01/28/2009 022308893 703 5010 D 9,027.00 V0904173 02/28/2009 022339611 703 5010 D 12,036.00 V0905918 05/28/2009 022434540 703 5010 D 24,072.00 Total Account 80,240.00 0.00

3795-3100 3100 1000 Drug Free CFDA 84.186

V0900821 08/28/2008 022205389 703 5010 D 1,648.00 Total Account 1,648.00 0.00 Total Federal Aid 216,438.83 0.00

Other State Aid from 7000

7393-7000 7000 State School District Finance

V0906212 06/29/2009 022456876 703 5110 D 18,457.00 Total Account 18,457.00 0.00 Total Other St Aid from 7000 18,457.00 0.00 Total Aid 4,592,612.04 0.00 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. 2. All documents with a prefix of 'F' and 'J' are internal adjusting entries to correct errors and omissions. 'V' documents are voucher 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 or federal agency. For example, it does not include School-To-Work grants issued by the Department of Commerce and Housing or postsecondary aid payments distributed by the Kansas Board of Regents. 5. As a result of the state's financial condition, a portion of the general state aid and supplemental general state aid payments due to local school districts in June 2009 were delayed until July 1, 2009. Even though school districts did not receive these payments until July, according to K.S.A. 72-6417, they are to be recorded and accounted for by school districts in June. 6. Payments shown under Fund 7393-7000 are for general state aid.

Last Updated 08/21/2009
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