Kansas State Department of Education
Annual Federal and State Aid Funding Report - SFY 2011

X0913 UNITED METHODIST YOUTHVILLE

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

State Aid

1000-0320 0320 Food Service Aid

V11N0622 09/09/2010 2000137481 7035160 X 95.86 V11N0982 09/14/2010 2000148520 7035160 X 77.74 V11N1568 10/13/2010 2000207075 7035160 X 56.98 V11N2430 11/16/2010 2000272223 7035160 X 67.41 V11N3249 12/27/2010 2000354748 7035160 X 61.22 V11N3951 01/18/2011 2000387319 7035160 X 70.24 V11N4548 02/15/2011 2000445588 7035160 X 66.12 V11N5358 03/15/2011 2000513371 7035160 X 53.13 V11N6340 05/06/2011 2000624382 7035160 X 56.88 V11N6655 05/10/2011 2000636796 7035160 X 49.42 V11N7552 06/14/2011 2000701498 7035160 X 49.98 V11N7886 06/24/2011 2000728475 7035160 X 170.01 Total Account 874.99 0.00 Total State Aid 874.99 0.00

Federal Aid

3529-3490 3490 9904 School Breakfast CFDA 10.553

V11N0546 08/18/2010 2000072508 7035060 X 5,475.78 V11N0622 09/09/2010 2000137481 7035060 X 4,857.60 V11N0982 09/14/2010 2000148520 7035060 X 4,637.60 V11N1568 10/13/2010 2000207075 7035060 X 4,817.12 V11N1568 10/13/2010 2000207075 7035060 X 13.32 V11N2430 11/16/2010 2000272223 7035060 X 11.84 V11N2430 11/16/2010 2000272223 7035060 X 5,104.00 V11N3249 12/27/2010 2000354748 7035060 X 5,026.56 S1100313 01/13/2011 2010 Refund 5060 X -8.70 V11N3951 01/18/2011 2000387319 7035060 X 5.92 V11N3951 01/18/2011 2000387319 7035060 X 5,033.60 V11N4548 02/15/2011 2000445588 7035060 X 4.44
V11N4548 02/15/2011 2000445588 7035060 X 4,852.32 V11N5358 03/15/2011 2000513371 7035060 X 4.44 V11N5358 03/15/2011 2000513371 7035060 X 4,190.56 V11N6340 05/06/2011 2000624382 7035060 X 4,407.04 V11N6340 05/06/2011 2000624382 7035060 X 5.92 V11N6655 05/10/2011 2000636796 7035060 X 4,181.76 V11N7552 06/14/2011 2000701498 7035060 X 3,893.12 Total Account 56,522.94 -8.70

3530-3500 3500 9902 Section 4 CFDA 10.555

V11N0546 08/18/2010 2000072508 7035060 X 8,442.90 V11N0622 09/09/2010 2000137481 7035060 X 7,504.86 V11N0982 09/14/2010 2000148520 7035060 X 6,085.54 V11N1568 10/13/2010 2000207075 7035060 X 4,460.72 V11N2430 11/16/2010 2000272223 7035060 X 5,277.24 V11N3249 12/27/2010 2000354748 7035060 X 4,792.26 S1100313 01/13/2011 2010 Refund 5060 X -229.50 V11N3951 01/18/2011 2000387319 7035060 X 5,499.18 V11N4548 02/15/2011 2000445588 7035060 X 5,175.86 V11N5358 03/15/2011 2000513371 7035060 X 4,159.32 V11N6340 05/06/2011 2000624382 7035060 X 4,452.50 V11N6655 05/10/2011 2000636796 7035060 X 3,868.88 V11N7552 06/14/2011 2000701498 7035060 X 3,912.72 Total Account 63,631.98 -229.50

3530-3500 3500 9903 Section 11 CFDA 10.555

V11N0546 08/18/2010 2000072508 7035060 X 692.64 V11N0622 09/09/2010 2000137481 7035060 X 62.90 V11N0982 09/14/2010 2000148520 7035060 X 449.18 V11N0982 09/14/2010 2000148520 7035060 X 113.96 V11N1568 10/13/2010 2000207075 7035060 X 1,221.74 V11N1568 10/13/2010 2000207075 7035060 X 239.76 V11N2430 11/16/2010 2000272223 7035060 X 1,125.54 V11N2430 11/16/2010 2000272223 7035060 X 237.54 V11N3249 12/27/2010 2000354748 7035060 X 1,139.60 V11N3249 12/27/2010 2000354748 7035060 X 247.16 V11N3951 01/18/2011 2000387319 7035060 X 999.74 V11N3951 01/18/2011 2000387319 7035060 X 196.84 V11N4548 02/15/2011 2000445588 7035060 X 1,106.30 V11N4548 02/15/2011 2000445588 7035060 X 246.42 V11N5358 03/15/2011 2000513371 7035060 X 947.94 V11N5358 03/15/2011 2000513371 7035060 X 255.30
V11N6340 05/06/2011 2000624382 7035060 X 225.70 V11N6340 05/06/2011 2000624382 7035060 X 890.96 V11N6655 05/10/2011 2000636796 7035060 X 882.08 V11N6655 05/10/2011 2000636796 7035060 X 271.58 V11N7552 06/14/2011 2000701498 7035060 X 858.40 V11N7552 06/14/2011 2000701498 7035060 X 178.34 Total Account 12,589.62 0.00

3530-3500 3500 9912 Cash for Commodities CFDA 10.555

V11N0546 08/18/2010 2000072508 7035060 X 609.76 V11N0622 09/09/2010 2000137481 7035060 X 609.43 V11N0982 09/14/2010 2000148520 7035060 X 505.28 V11N1568 10/13/2010 2000207075 7035060 X 370.37 V11N2430 11/16/2010 2000272223 7035060 X 438.16 V11N3249 12/27/2010 2000354748 7035060 X 397.90 S1100313 01/13/2011 2010 Refund 5060 X -16.57 V11N3951 01/18/2011 2000387319 7035060 X 456.59 V11N4548 02/15/2011 2000445588 7035060 X 429.75 V11N5358 03/15/2011 2000513371 7035060 X 345.34 V11N6340 05/06/2011 2000624382 7035060 X 369.69 V11N6655 05/10/2011 2000636796 7035060 X 321.23 V11N7552 06/14/2011 2000701498 7035060 X 324.87 Total Account 5,178.37 -16.57 Total Federal Aid 137,922.91 -254.77 Total Aid 138,797.90 -254.77
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 general state aid and supplemental general state aid payments due to local school districts in June 2011 were delayed until July 1, 2011. 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 09/02/2011
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