Kansas State Department of Education
Annual Federal and State Aid Funding Report - SFY 2020

D0253 USD 253 EMPORIA 0000047567

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

State Aid

1000‑0053 S300 2020 Career, Standards and Assessment Services ‑ SGF

V2002483 11/08/2019 0008239457 526900 100.00 Total Fund Budget Unit 100.00 0.00

1000‑0070 0070 2020 GSA‑ Kansas Reading Success

V20A0573 06/02/2020 0008420551 551100 11,554.00 Total Fund Budget Unit 11,554.00 0.00

1000‑0110 0110 2020 SGF‑KPERS Employer Contributions‑USDs

V20K0058 07/10/2019 0008126391 551100 1,397,587.23 V20K0344 10/09/2019 0008208649 551100 1,415,643.58 V20K0630 01/10/2020 0008294411 551100 1,445,095.12 V20K0916 04/10/2020 0008378510 551100 1,466,551.97 Total Fund Budget Unit 5,724,877.90 0.00

1000‑0130 0130 2020 Incentive for Technical Educ

V20I0035 06/18/2020 0008434554 551100 494.00 Total Fund Budget Unit 494.00 0.00

1000‑0235 0235 2020 School safety and security grants

V20A0206 07/15/2019 0008129103 551100 86,055.00 Total Fund Budget Unit 86,055.00 0.00

1000‑0320 0320 2020 Food Service Aid

V20N0896 09/10/2019 0008179881 551100 1,167.52 V20N1787 10/15/2019 0008213693 551100 2,055.88 V20N2377 11/12/2019 0008240907 551100 2,313.68 V20N2992 12/10/2019 0008267743 551100 1,649.20 V20N3963 01/14/2020 0008297184 551100 1,499.64 V20N4523 02/11/2020 0008324261 551100 1,595.76 V20N5252 03/10/2020 0008352601 551100 2,013.80 V20N5753 04/07/2020 0008375620 551100 528.68 V20N7704 06/16/2020 0008432207 551100 7,649.78 Total Fund Budget Unit 20,473.94 0.00

1000‑0400 0400 2020 Discretionary Grants

V2003708 01/07/2020 0008291396 526900 120.00 Total Fund Budget Unit 120.00 0.00

1000‑0700 0700 2020 Special Education Services Aid

V20S0058 10/09/2019 0008208935 551100 976,523.00 V20S0349 12/11/2019 0008269002 551100 937,830.00 V20S0640 03/11/2020 0008354030 551100 643,023.00 V20S0931 04/10/2020 0008378795 551100 640,329.00 V20S1222 05/27/2020 0008416208 551100 1,009,629.00 Total Fund Budget Unit 4,207,334.00 0.00

1000‑0770 0770 2020 Governor's Teaching Excellence Awards

V20B0007 05/12/2020 0008403158 551100 4,400.00 Total Fund Budget Unit 4,400.00 0.00

1000‑0820 0820 2020 State Foundation Aid (General State Aid)

V2050343 07/03/2019 0008121383 551100 2,153,866.00 V2050629 07/29/2019 0008144193 551100 1,416,096.00 V2050915 08/28/2019 0008171150 551100 2,004,015.00 V2051201 09/26/2019 0008197552 551100 2,387,504.00 V2051487 10/29/2019 0008230117 551100 2,474,852.00 V2051773 11/26/2019 0008257244 551100 2,474,852.00 V2052059 12/27/2019 0008284925 551100 2,387,504.00 V2052630 02/27/2020 0008342160 551100 2,021,679.00 V2052915 03/27/2020 0008370454 551100 2,044,747.00 V2053200 04/28/2020 0008394762 551100 1,511,085.00 V2053770 06/23/2020 0008438351 551100 1,012,720.00 Total Account by Grant Year 21,888,920.00 0.00

1000‑0820 0820 2021 State Foundation Aid (General State Aid)

V2150058 07/02/2020 0008446288 551100 1,196,456.00 Total Account by Grant Year 1,196,456.00 0.00 Total Fund Budget Unit 23,085,376.00 0.00

1000‑0840 0840 2020 Supplemental State Aid (LOB)

V20L0285 09/26/2019 0008197837 551100 2,772,250.00 V20L0517 01/29/2020 0008313221 551100 2,704,314.00 V20L0749 06/19/2020 0008436243 551100 716,234.00 Total Account by Grant Year 6,192,798.00 0.00

1000‑0840 0840 2021 Supplemental State Aid (LOB)

V21L0053 07/02/2020 0008446567 551100 438,559.00 Total Account by Grant Year 438,559.00 0.00 Total Fund Budget Unit 6,631,357.00 0.00

1000‑0860 0860 2020 Professional Development Aid

V20D0053 06/15/2020 0008430136 551100 22,251.00 Total Fund Budget Unit 22,251.00 0.00

1000‑0880 0880 2020 School District Capital Outlay

V20O0041 02/11/2020 0008324497 551100 1,032,924.00 Total Fund Budget Unit 1,032,924.00 0.00 Total State Aid 40,827,316.84 0.00

Special Revenue State Aid

2230‑2010 R298 2020 School Food Service Conference Fee Fund

V2005063 03/10/2020 0008352542 523200 100.00 Total Fund Budget Unit 100.00 0.00

2538‑2030 2030 2020 State Safety

V20T0046 02/11/2020 0008324785 551100 10,660.00 Total Fund Budget Unit 10,660.00 0.00

2880‑2880 2880 2020 School District Capital Improvement

V20C0040 07/29/2019 0008144445 551100 1,937,004.00 V20C0174 01/29/2020 0008313102 551100 41,716.00 Total Fund Budget Unit 1,978,720.00 0.00 Total Special Revenue State Aid 1,989,480.00 0.00

Federal Aid

3113‑3113 3113 2019 ESSA‑StudSpprt Academic Enrich FloThru S424A180017 18E CFDA 84.424A

V20F0497 11/04/2019 0008234230 550100 7,700.00 V20F0755 12/09/2019 0008265478 550100 3,013.00 Total Account by Grant Year 10,713.00 0.00

3113‑3113 3113 2020 ESSA‑StudSpprt Academic Enrich FloThru S424A190017 19E CFDA 84.424A

V20F1017 01/06/2020 0008289954 550100 2,010.00 V20F1262 02/03/2020 0008316389 550100 4,183.00 V20F1484 03/02/2020 0008344797 550100 6,012.00 V20F1745 04/06/2020 0008374185 550100 3,498.00 V20F2039 05/04/2020 0008397671 550100 4,085.00 V20F2306 06/01/2020 0008419002 550100 11,263.00 Total Account by Grant Year 31,051.00 0.00 Total Fund Budget Unit 41,764.00 0.00

3230‑3020 3020 9923 2019 SFS ‑ Food 10.559 CFDA 10.559

S2000262 11/20/2019 N/A 550100 -417.70 V20N0015 07/09/2019 0008125255 550100 38,930.70 V20N0420 08/06/2019 0008151030 550100 28,846.97 V20N0773 09/03/2019 0008174703 550100 4,036.44 Total Account by Grant Year 71,814.11 -417.70

3230‑3020 3020 9923 2020 SFS ‑ Food 10.559 CFDA 10.559

V20N6172 04/14/2020 0008381249 550100 35,492.56 V20N6760 05/12/2020 0008403269 550100 103,355.12 V20N7380 06/09/2020 0008425588 550100 87,225.28 Total Account by Grant Year 226,072.96 0.00 Total Account 297,887.07 -417.70

3230‑3020 3020 9925 2019 SFS ‑ Sponsor Admin 10.559 CFDA 10.559

S2000262 11/20/2019 N/A 550100 -42.28 V20N0015 07/09/2019 0008125255 550100 4,032.61 V20N0420 08/06/2019 0008151030 550100 2,990.83 V20N0773 09/03/2019 0008174703 550100 417.23 Total Account by Grant Year 7,440.67 -42.28

3230‑3020 3020 9925 2020 SFS ‑ Sponsor Admin 10.559 CFDA 10.559

V20N6172 04/14/2020 0008381249 550100 3,642.18 V20N6760 05/12/2020 0008403269 550100 10,606.13 V20N7380 06/09/2020 0008425588 550100 8,950.91 Total Account by Grant Year 23,199.22 0.00 Total Account 30,639.89 -42.28

3230‑3020 3020 9926 2019 Fresh Fruits & Vegetables 10.582 CFDA 10.582

V20N1486 10/08/2019 0008207368 550100 2,665.22 V20N2859 12/03/2019 0008260815 550100 5,112.77 Total Account by Grant Year 7,777.99 0.00

3230‑3020 3020 9926 2020 Fresh Fruits & Vegetables 10.582 CFDA 10.582

V20N3307 12/17/2019 0008273865 550100 14,583.08 V20N4076 01/14/2020 0008297287 550100 2,910.33 V20N4834 02/18/2020 0008330841 550100 6,584.55 V20N5551 03/17/2020 0008359278 550100 7,556.70 V20N7510 06/15/2020 0008430353 550100 4,047.97 Total Account by Grant Year 35,682.63 0.00 Total Account 43,460.62 0.00

3230‑3020 3020 9988 2019 SFS ‑ CFC 10.559 CFDA 10.559

S2000262 11/20/2019 N/A 550100 -2.55 V20N0015 07/09/2019 0008125255 550100 186.21 V20N0420 08/06/2019 0008151030 550100 136.46 V20N0773 09/03/2019 0008174703 550100 19.80 Total Account by Grant Year 342.47 -2.55

3230‑3020 3020 9988 2020 SFS ‑ CFC 10.559 CFDA 10.559

V20N6172 04/14/2020 0008381249 550100 179.87 V20N6760 05/12/2020 0008403269 550100 523.76 V20N7380 06/09/2020 0008425588 550100 442.02 Total Account by Grant Year 1,145.65 0.00 Total Account 1,488.12 -2.55 Total Fund Budget Unit 373,475.70 -462.53

3233‑3040 3040 4100 2020 COVID‑19 Coronavirus S425D200002 20E CFDA 84.425D

V20F2306 06/01/2020 0008419002 550100 47,333.00 Total Fund Budget Unit 47,333.00 0.00

3234‑3050 3050 1000 2019 EHC Flo‑Thru H027A180031 18E CFDA 84.027A

V20F0270 10/07/2019 0008205818 550100 120,364.00 V20F0497 11/04/2019 0008234230 550100 500.00 V20F0497 11/04/2019 0008234230 550100 38,407.00 V20F0497 11/04/2019 0008234230 550100 80,448.00 V20F0755 12/09/2019 0008265478 550100 500.00 V20F0755 12/09/2019 0008265478 550100 118,751.00 Total Account by Grant Year 358,970.00 0.00

3234‑3050 3050 1000 2020 EHC Flo‑Thru H027A190031 19E CFDA 84.027A

V20F1017 01/06/2020 0008289954 550100 600.00 V20F1017 01/06/2020 0008289954 550100 118,307.00 V20F1262 02/03/2020 0008316389 550100 740.00 V20F1262 02/03/2020 0008316389 550100 118,313.00 V20F1484 03/02/2020 0008344797 550100 740.00 V20F1484 03/02/2020 0008344797 550100 118,311.00 V20F1745 04/06/2020 0008374185 550100 740.00 V20F1745 04/06/2020 0008374185 550100 118,116.00 V20F2039 05/04/2020 0008397671 550100 740.00 V20F2039 05/04/2020 0008397671 550100 118,033.00 V20F2306 06/01/2020 0008419002 550100 2,960.00 V20F2306 06/01/2020 0008419002 550100 472,132.00 Total Account by Grant Year 1,069,732.00 0.00 Total Account 1,428,702.00 0.00

3234‑3050 3050 5000 2020 EHC Flo‑Thru Disc H027A190031 19E CFDA 84.027A

V20F2306 06/01/2020 0008419002 550100 58,070.00 Total Account 58,070.00 0.00 Total Fund Budget Unit 1,486,772.00 0.00

3522‑3820 3820 2019 English Language Acquisition‑  Flo‑thru S365A180016 18E CFDA 84.365A

V20F0270 10/07/2019 0008205818 550100 3,408.00 V20F0270 10/07/2019 0008205818 550100 5,349.00 V20F0497 11/04/2019 0008234230 550100 5,139.00 V20F0755 12/09/2019 0008265478 550100 6,405.00 V20F0755 12/09/2019 0008265478 550100 12,812.16 Total Account by Grant Year 33,113.16 0.00

3522‑3820 3820 2020 English Language Acquisition‑  Flo‑thru S365A190016 19E CFDA 84.365A

V20F0755 12/09/2019 0008265478 550100 8,812.84 V20F1017 01/06/2020 0008289954 550100 5,216.00 V20F1262 02/03/2020 0008316389 550100 1,062.00 V20F1262 02/03/2020 0008316389 550100 5,586.00 V20F1484 03/02/2020 0008344797 550100 6,648.00 V20F1745 04/06/2020 0008374185 550100 12,733.00 V20F2039 05/04/2020 0008397671 550100 26,911.00 V20F2306 06/01/2020 0008419002 550100 13,888.00 Total Account by Grant Year 80,856.84 0.00 Total Fund Budget Unit 113,970.00 0.00

3526‑3860 3860 2019 Supporting Effective Instruction (was Title IIA) S367A180015 18E CFDA 84.367A

V20F0270 10/07/2019 0008205818 550100 733.00 V20F0270 10/07/2019 0008205818 550100 1,500.00 Total Account by Grant Year 2,233.00 0.00

3526‑3860 3860 2020 Supporting Effective Instruction (was Title IIA) S367A190015 19E CFDA 84.367A

V20F2306 06/01/2020 0008419002 550100 122,385.00 Total Account by Grant Year 122,385.00 0.00 Total Fund Budget Unit 124,618.00 0.00

3529‑3490 3490 9904 2019 School Breakfast 10.553 CFDA 10.553

V20N0896 09/10/2019 0008179881 550100 20,950.24 V20N1787 10/15/2019 0008213693 550100 39,964.20 Total Account by Grant Year 60,914.44 0.00

3529‑3490 3490 9904 2020 School Breakfast 10.553 CFDA 10.553

V20N2377 11/12/2019 0008240907 550100 44,429.13 V20N2992 12/10/2019 0008267743 550100 31,743.22 V20N3963 01/14/2020 0008297184 550100 28,450.14 V20N4523 02/11/2020 0008324261 550100 27,763.57 V20N5252 03/10/2020 0008352601 550100 35,533.00 V20N5753 04/07/2020 0008375620 550100 10,789.15 Total Account by Grant Year 178,708.21 0.00 Total Fund Budget Unit 239,622.65 0.00

3530‑3500 3500 9902 2019 Section 4 10.555 CFDA 10.555

V20N0896 09/10/2019 0008179881 550100 74,369.43 V20N1787 10/15/2019 0008213693 550100 130,523.82 Total Account by Grant Year 204,893.25 0.00

3530‑3500 3500 9902 2020 Section 4 10.555 CFDA 10.555

V20N2377 11/12/2019 0008240907 550100 142,776.65 V20N2992 12/10/2019 0008267743 550100 101,380.98 V20N3963 01/14/2020 0008297184 550100 91,388.56 V20N4523 02/11/2020 0008324261 550100 97,963.26 V20N5252 03/10/2020 0008352601 550100 124,279.57 V20N5753 04/07/2020 0008375620 550100 32,718.30 Total Account by Grant Year 590,507.32 0.00 Total Account 795,400.57 0.00

3530‑3500 3500 9903 2019 Section 11 10.555 CFDA 10.555

V20N0896 09/10/2019 0008179881 550100 334.13 V20N0896 09/10/2019 0008179881 550100 4,463.12 V20N1787 10/15/2019 0008213693 550100 545.74 V20N1787 10/15/2019 0008213693 550100 9,635.94 Total Account by Grant Year 14,978.93 0.00

3530‑3500 3500 9903 2020 Section 11 10.555 CFDA 10.555

V20N2377 11/12/2019 0008240907 550100 625.46 V20N2377 11/12/2019 0008240907 550100 11,267.78 V20N2992 12/10/2019 0008267743 550100 413.91 V20N2992 12/10/2019 0008267743 550100 7,676.04 V20N3963 01/14/2020 0008297184 550100 392.15 V20N3963 01/14/2020 0008297184 550100 6,812.18 V20N4523 02/11/2020 0008324261 550100 379.25 V20N4523 02/11/2020 0008324261 550100 6,980.44 V20N5252 03/10/2020 0008352601 550100 493.51 V20N5252 03/10/2020 0008352601 550100 9,149.96 V20N5753 04/07/2020 0008375620 550100 133.08 V20N5753 04/07/2020 0008375620 550100 2,371.62 Total Account by Grant Year 46,695.38 0.00 Total Account 61,674.31 0.00

3530‑3500 3500 9912 2019 Cash for Commodities 10.555 CFDA 10.555

V20N0896 09/10/2019 0008179881 550100 6,932.15 V20N1787 10/15/2019 0008213693 550100 12,206.79 Total Account by Grant Year 19,138.94 0.00

3530‑3500 3500 9912 2020 Cash for Commodities 10.555 CFDA 10.555

V20N2377 11/12/2019 0008240907 550100 13,737.48 V20N2992 12/10/2019 0008267743 550100 9,792.13 V20N3963 01/14/2020 0008297184 550100 8,904.11 V20N4523 02/11/2020 0008324261 550100 9,474.83 V20N5252 03/10/2020 0008352601 550100 11,956.94 V20N5753 04/07/2020 0008375620 550100 3,139.04 Total Account by Grant Year 57,004.53 0.00 Total Account 76,143.47 0.00 Total Fund Budget Unit 933,218.35 0.00

3531‑3510 3510 9916 2019 Cash for Commodities 10.558 CFDA 10.558

V20N1032 09/10/2019 0008180001 550100 48.69 V20N1882 10/15/2019 0008213780 550100 82.89 Total Account by Grant Year 131.58 0.00

3531‑3510 3510 9916 2020 Cash for Commodities 10.558 CFDA 10.558

V20N2517 11/12/2019 0008241036 550100 88.83 V20N3211 12/10/2019 0008267945 550100 63.41 V20N3855 01/14/2020 0008297090 550100 54.39 V20N4670 02/11/2020 0008324392 550100 57.48 V20N5405 03/10/2020 0008352740 550100 72.44 V20N5948 04/07/2020 0008375798 550100 20.66 Total Account by Grant Year 357.21 0.00 Total Account 488.79 0.00

3531‑3510 3510 9921 2019 Meal Costs 10.558 CFDA 10.558

V20N1032 09/10/2019 0008180001 550100 3,316.49 V20N1882 10/15/2019 0008213780 550100 6,103.22 Total Account by Grant Year 9,419.71 0.00

3531‑3510 3510 9921 2020 Meal Costs 10.558 CFDA 10.558

V20N2517 11/12/2019 0008241036 550100 6,566.59 V20N3211 12/10/2019 0008267945 550100 4,435.97 V20N3855 01/14/2020 0008297090 550100 4,167.30 V20N4670 02/11/2020 0008324392 550100 4,357.90 V20N5405 03/10/2020 0008352740 550100 5,470.66 V20N5948 04/07/2020 0008375798 550100 1,562.53 Total Account by Grant Year 26,560.95 0.00 Total Account 35,980.66 0.00 Total Fund Budget Unit 36,469.45 0.00

3532‑3520 3520 2019 Title I  Low Income S010A180016 18E CFDA 84.010A

V20F0096 08/05/2019 0008149509 550100 251.00 V20F0270 10/07/2019 0008205818 550100 10,351.00 V20F0270 10/07/2019 0008205818 550100 43,596.00 Total Account by Grant Year 54,198.00 0.00

3532‑3520 3520 2020 Title I  Low Income S010A190016 19E CFDA 84.010A

V20F0497 11/04/2019 0008234230 550100 9,434.00 V20F0497 11/04/2019 0008234230 550100 52,224.00 V20F0755 12/09/2019 0008265478 550100 10,250.00 V20F0755 12/09/2019 0008265478 550100 55,501.00 V20F1017 01/06/2020 0008289954 550100 10,244.00 V20F1017 01/06/2020 0008289954 550100 60,709.00 V20F1262 02/03/2020 0008316389 550100 9,744.00 V20F1262 02/03/2020 0008316389 550100 51,884.00 V20F1484 03/02/2020 0008344797 550100 10,243.00 V20F1484 03/02/2020 0008344797 550100 63,359.00 V20F1745 04/06/2020 0008374185 550100 10,242.00 V20F1745 04/06/2020 0008374185 550100 56,352.00 V20F2039 05/04/2020 0008397671 550100 9,732.00 V20F2039 05/04/2020 0008397671 550100 47,408.00 V20F2306 06/01/2020 0008419002 550100 45,991.00 V20F2306 06/01/2020 0008419002 550100 277,884.00 Total Account by Grant Year 781,201.00 0.00 Total Fund Budget Unit 835,399.00 0.00

3534‑3540 1000 T401 2018 Title VI ‑ Part B IDEA ‑ Administration H027A170031 17E CFDA 84.027A

V2001535 09/25/2019 0008192972 526900 250.00 Total Account by Grant Year 250.00 0.00

3534‑3540 1000 T401 2019 Title VI ‑ Part B IDEA ‑ Administration H027A180031 18E CFDA 84.027A

V2003096 12/04/2019 0008261817 526900 100.00 V2004129 01/27/2020 0008306164 526900 200.00 Total Account by Grant Year 300.00 0.00 Total Fund Budget Unit 550.00 0.00

3535‑3550 3550 1000 2019 EC Flo‑Thru H173A180034 18E CFDA 84.173A

V20F0270 10/07/2019 0008205818 550100 3,623.00 V20F0497 11/04/2019 0008234230 550100 378.00 V20F0497 11/04/2019 0008234230 550100 3,540.00 V20F0755 12/09/2019 0008265478 550100 189.00 V20F0755 12/09/2019 0008265478 550100 4,709.00 Total Account by Grant Year 12,439.00 0.00

3535‑3550 3550 1000 2020 EC Flo‑Thru H173A190034 19E CFDA 84.173A

V20F1017 01/06/2020 0008289954 550100 140.00 V20F1017 01/06/2020 0008289954 550100 3,538.00 V20F1262 02/03/2020 0008316389 550100 5,960.00 V20F1484 03/02/2020 0008344797 550100 5,960.00 V20F1745 04/06/2020 0008374185 550100 2,934.00 Total Account by Grant Year 18,532.00 0.00 Total Fund Budget Unit 30,971.00 0.00

3537‑3570 3570 2019 Title I  Migrant S011A180016 18E CFDA 84.011A

V20F0270 10/07/2019 0008205818 550100 17,372.00 V20F0497 11/04/2019 0008234230 550100 7,763.00 Total Account by Grant Year 25,135.00 0.00

3537‑3570 3570 2020 Title I  Migrant S011A190016 19E CFDA 84.011A

V20F0755 12/09/2019 0008265478 550100 8,345.00 V20F1017 01/06/2020 0008289954 550100 8,864.00 V20F1262 02/03/2020 0008316389 550100 8,992.00 V20F1484 03/02/2020 0008344797 550100 10,496.00 V20F1745 04/06/2020 0008374185 550100 8,340.00 V20F2039 05/04/2020 0008397671 550100 8,514.00 V20F2306 06/01/2020 0008419002 550100 28,001.00 Total Account by Grant Year 81,552.00 0.00 Total Fund Budget Unit 106,687.00 0.00

3539‑3590 3590 9920 2019 Program Improv Sec V048A180016 18E CFDA 84.048A

V20F0150 09/09/2019 0008178384 550100 7,907.00 V20F0270 10/07/2019 0008205818 550100 1,776.00 V20F0497 11/04/2019 0008234230 550100 1,844.00 Total Account by Grant Year 11,527.00 0.00

3539‑3590 3590 9920 2020 Program Improv Sec V048A190016 19E CFDA 84.048A

V20F0755 12/09/2019 0008265478 550100 9,091.00 V20F1017 01/06/2020 0008289954 550100 6,797.00 V20F1262 02/03/2020 0008316389 550100 3,092.00 V20F1484 03/02/2020 0008344797 550100 5,911.00 V20F1745 04/06/2020 0008374185 550100 2,599.00 V20F2039 05/04/2020 0008397671 550100 15,137.00 Total Account by Grant Year 42,627.00 0.00 Total Account 54,154.00 0.00

3539‑3590 3590 9922 2018 Reserve Fund V048A170016 17E CFDA 84.048A

V20F0023 07/15/2019 0008129257 550100 1,417.00 Total Account by Grant Year 1,417.00 0.00

3539‑3590 3590 9922 2019 Reserve Fund V048A180016 18E CFDA 84.048A

V20F0270 10/07/2019 0008205818 550100 1,965.00 Total Account by Grant Year 1,965.00 0.00 Total Account 3,382.00 0.00 Total Fund Budget Unit 57,536.00 0.00

3592‑3070 S906 2020 Youth Risk Behavior Survey(YRBS) ‑ Special Project FY18 NU87PS004319‑01 CFDA 93.938

V2000426 07/30/2019 0008145966 526900 730.00 Total Fund Budget Unit 730.00 0.00 Total Federal Aid 4,429,116.15 -462.53

Other State Aid from 7000

7005‑7005 7005 2020 USD Contribution Checkoff Fund

V20A0381 02/18/2020 0008330621 559900 49.00 Total Fund Budget Unit 49.00 0.00

7307‑5000 R315 2020 Midwest Dairy Assn/SNA‑KS ‑ Innovative Breakfast Svc

V2000037 07/10/2019 0008126316 559900 8,300.00 Total Fund Budget Unit 8,300.00 0.00

7393‑7010 7010 2020 School District 20‑Mill Levy

V2052345 01/29/2020 0008312856 551100 2,632,521.00 V2053485 06/11/2020 0008427997 551100 2,091,599.00 Total Fund Budget Unit 4,724,120.00 0.00 Total Other State Aid from 7000 4,732,469.00 0.00 Total Aid 51,978,381.99 -462.53 Notes to the Annual Federal and State Aid Funding Report: 1. All payments received with an 'Acct Code' in the 550000s or 770000s (i.e. 551100 or 773100) 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 2020 were delayed until July 1, 2020. 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 7/7/2020
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