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

D0500 USD 500 KANSAS CITY 0000063239

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

State Aid

1000‑0000 0000 0130 2020 Incentive for Technical Educ Refunds

S2000494 04/01/2020 N/A 469010 445.00 Total Fund Budget Unit 0.00 445.00

1000‑0053 M153 2020 Teacher Education ‑ SGF

V2002747 11/19/2019 0008246950 526900 150.00 Total Fund Budget Unit 150.00 0.00

1000‑0070 0070 2020 GSA‑ Kansas Reading Success

V20A0777 06/02/2020 0008420755 551100 68,184.00 Total Fund Budget Unit 68,184.00 0.00

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

V20K0267 07/10/2019 0008126600 551100 7,850,545.23 V20K0553 10/09/2019 0008208858 551100 6,713,065.05 V20K0839 01/10/2020 0008294620 551100 5,718,657.77 V20K1125 04/10/2020 0008378718 551100 6,712,854.03 Total Fund Budget Unit 26,995,122.08 0.00

1000‑0130 0130 2020 Incentive for Technical Educ

V20I0153 06/18/2020 0008434672 551100 904.00 Total Fund Budget Unit 904.00 0.00

1000‑0150 0150 2020 SGF ‑ Mental Health Intervention Team Pilot

V2001842 10/10/2019 0008210290 551100 33,450.00 V2002548 11/12/2019 0008240862 551100 33,450.00 V2004453 02/11/2020 0008324213 551100 33,450.00 V2005540 04/10/2020 0008378450 551100 33,450.00 Total Fund Budget Unit 133,800.00 0.00

1000‑0170 0170 2020 SGF ‑ MHIT School Liaisons

V2001588 09/26/2019 0008197490 551100 186,010.00 V2002236 10/29/2019 0008230057 551100 85,656.00 V2002925 11/25/2019 0008252569 551100 96,755.00 V2003541 12/27/2019 0008284865 551100 44,913.00 V2004221 01/29/2020 0008312775 551100 17,733.00 V2004756 02/26/2020 0008341250 551100 103,644.00 V2005447 03/27/2020 0008370394 551100 44,419.00 V2005704 04/28/2020 0008394701 551100 45,503.00 V2006197 05/27/2020 0008416143 551100 127,617.00 Total Fund Budget Unit 752,250.00 0.00

1000‑0190 0190 2020 CTE Transportation

V20E0109 06/17/2020 0008433518 551100 55,895.00 Total Fund Budget Unit 55,895.00 0.00

1000‑0235 0235 2020 School safety and security grants

V20A0326 07/15/2019 0008129223 551100 286,500.00 Total Fund Budget Unit 286,500.00 0.00

1000‑0290 0290 2020 School District Juvenile Detention Facilities

V20J0012 12/11/2019 0008268941 551100 221,800.00 V20J0026 06/10/2020 0008426870 551100 301,648.00 Total Fund Budget Unit 523,448.00 0.00

1000‑0320 0320 2020 Food Service Aid

V20N0515 08/20/2019 0008161124 551100 29.28 V20N1647 10/08/2019 0008207511 551100 12,401.60 V20N2211 11/05/2019 0008236112 551100 14,550.40 V20N2647 11/19/2019 0008247042 551100 14,313.44 V20N3431 12/17/2019 0008273983 551100 11,413.76 V20N4055 01/14/2020 0008297270 551100 9,005.64 V20N4963 02/25/2020 0008336837 551100 11,026.12 V20N5534 03/17/2020 0008359264 551100 11,226.40 V20N5859 04/07/2020 0008375718 551100 6,202.88 V20N7954 06/16/2020 0008432439 551100 53,787.31 Total Fund Budget Unit 143,956.83 0.00

1000‑0400 0400 2020 Discretionary Grants

V2001225 09/11/2019 0008181285 551100 4,500.00 V2003810 01/10/2020 0008294346 551100 2,250.00 V2006367 06/10/2020 0008426853 551100 1,661.00 Total Fund Budget Unit 8,411.00 0.00

1000‑0410 0410 2020 Disc Grts‑ After School Program

V2006357 06/10/2020 0008426846 551100 15,450.00 Total Fund Budget Unit 15,450.00 0.00

1000‑0440 0440 2020 Mentor Teacher

V20M0197 06/10/2020 0008427069 551100 73,607.00 Total Fund Budget Unit 73,607.00 0.00

1000‑0630 0630 2020 Deaf Blind Aid

V2006011 05/13/2020 0008404023 551100 2,733.51 Total Fund Budget Unit 2,733.51 0.00

1000‑0700 0700 2020 Special Education Services Aid

V20S0272 10/09/2019 0008209149 551100 2,835,932.00 V20S0563 12/11/2019 0008269216 551100 3,572,233.00 V20S0854 03/11/2020 0008354244 551100 1,503,485.00 V20S1145 04/10/2020 0008379008 551100 2,247,741.00 V20S1436 05/27/2020 0008416422 551100 3,801,149.00 Total Fund Budget Unit 13,960,540.00 0.00

1000‑0770 0770 2020 Governor's Teaching Excellence Awards

V20B0031 05/12/2020 0008403182 551100 4,000.00 Total Fund Budget Unit 4,000.00 0.00

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

J2200058 06/18/2020 N/A 551100 -12,954,046.00 V2050552 07/03/2019 0008121592 551100 7,461,799.00 V2050838 07/29/2019 0008144402 551100 7,461,799.00 V2051124 08/28/2019 0008171359 551100 10,612,966.00 V2051410 09/26/2019 0008197761 551100 12,954,046.00 V2051696 10/29/2019 0008230326 551100 13,427,975.00 V2051982 11/26/2019 0008257453 551100 13,427,975.00 V2052268 12/27/2019 0008285134 551100 12,954,046.00 V2052838 02/27/2020 0008342368 551100 11,450,890.00 V2053123 03/27/2020 0008370662 551100 11,581,547.00 V2053408 04/28/2020 0008394970 551100 9,279,419.00 V2053978 06/23/2020 0008438559 551100 6,429,631.00 Total Account by Grant Year 104,088,047.00 0.00

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

V2150266 07/02/2020 0008446495 551100 7,596,143.00 Total Account by Grant Year 7,596,143.00 0.00 Total Fund Budget Unit 111,684,190.00 0.00

1000‑0840 0840 2020 Supplemental State Aid (LOB)

V20L0450 09/26/2019 0008198002 551100 15,509,030.00 V20L0682 01/29/2020 0008313386 551100 15,174,891.00 V20L0914 06/19/2020 0008436408 551100 4,391,309.00 Total Account by Grant Year 35,075,230.00 0.00

1000‑0840 0840 2021 Supplemental State Aid (LOB)

V21L0218 07/02/2020 0008446731 551100 2,688,851.00 Total Account by Grant Year 2,688,851.00 0.00 Total Fund Budget Unit 37,764,081.00 0.00

1000‑0880 0880 2020 School District Capital Outlay

V20O0172 02/11/2020 0008324628 551100 4,651,326.00 Total Fund Budget Unit 4,651,326.00 0.00 Total State Aid 197,124,548.42 445.00

Special Revenue State Aid

2000‑2408 2408 2019 CIF‑ Children's Cabinet

V2000163 07/17/2019 0008132919 555900 134,603.35 Total Account by Grant Year 134,603.35 0.00

2000‑2408 2408 2020 CIF‑ Children's Cabinet

V2000816 08/20/2019 0008161092 555900 34,755.96 V2001364 09/18/2019 0008187124 555900 77,193.93 V2001978 10/17/2019 0008217037 555900 100,892.09 V2002787 11/19/2019 0008246963 555900 100,276.83 V2003289 12/13/2019 0008272343 555900 140,051.44 V2003915 01/16/2020 0008299639 555900 94,348.94 V2004620 02/19/2020 0008331733 555900 89,821.50 V2005206 03/17/2020 0008359187 555900 136,594.99 V2005563 04/16/2020 0008383717 555900 98,753.31 V2006071 05/18/2020 0008406367 555900 127,026.87 V2006419 06/11/2020 0008427926 555900 139,907.78 Total Account by Grant Year 1,139,623.64 0.00 Total Fund Budget Unit 1,274,226.99 0.00

2000‑2535 2535 2020 CIF‑Pre‑ K‑ Pilot

V20P0095 08/12/2019 0008154714 551100 23,413.00 V20P0341 11/12/2019 0008241188 551100 23,413.00 V20P0532 02/11/2020 0008324734 551100 23,413.00 V20P0767 05/19/2020 0008407929 551100 23,413.00 Total Fund Budget Unit 93,652.00 0.00

2230‑2010 R298 2020 School Food Service Conference Fee Fund

V2002965 11/26/2019 0008257179 526900 216.12 V2005980 05/08/2020 0008401154 526900 150.00 Total Account 366.12 0.00

2230‑2010 Y494 2020 Parents as Teachers Training Fee Fund

V2000786 08/16/2019 0008158888 537100 89.97 Total Account 89.97 0.00 Total Fund Budget Unit 456.09 0.00

2869‑2800 S010 2020 Service Clearing Fund‑ Teachers in Spain

V2006352 06/09/2020 0008425506 462110 4,000.00 Total Fund Budget Unit 4,000.00 0.00

2880‑2880 2880 2020 School District Capital Improvement

V20C0104 07/29/2019 0008144509 551100 9,784,451.00 V20C0233 01/29/2020 0008313161 551100 2,594,136.00 Total Fund Budget Unit 12,378,587.00 0.00 Total Special Revenue State Aid 13,750,922.08 0.00

Federal Aid

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

V20F0120 08/05/2019 0008149532 550100 767.00 V20F0208 09/09/2019 0008178436 550100 3,242.00 V20F0427 10/07/2019 0008205973 550100 7,165.00 V20F0427 10/07/2019 0008205973 550100 45,129.00 V20F0676 11/04/2019 0008234407 550100 29,633.00 Total Account by Grant Year 85,936.00 0.00

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

V20F1195 01/06/2020 0008290129 550100 257.00 V20F1195 01/06/2020 0008290129 550100 1,924.00 V20F1421 02/03/2020 0008316545 550100 79,072.00 V20F2509 06/01/2020 0008419203 550100 287,321.00 Total Account by Grant Year 368,574.00 0.00 Total Fund Budget Unit 454,510.00 0.00

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

S2000167 10/03/2019 N/A 550100 -14,231.35 V20N0299 07/16/2019 0008130947 550100 186,433.21 V20N0568 08/20/2019 0008161172 550100 15,844.52 V20N1368 10/01/2019 0008201346 550100 7,734.35 Total Account by Grant Year 210,012.08 -14,231.35

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

V20N6195 04/14/2020 0008381272 550100 59,849.44 V20N6950 05/19/2020 0008407811 550100 199,308.64 V20N7583 06/15/2020 0008430424 550100 168,352.96 Total Account by Grant Year 427,511.04 0.00 Total Account 637,523.12 -14,231.35

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

S2000167 10/03/2019 N/A 550100 -1,491.37 V20N0299 07/16/2019 0008130947 550100 19,229.45 V20N0568 08/20/2019 0008161172 550100 1,649.26 V20N1368 10/01/2019 0008201346 550100 810.52 Total Account by Grant Year 21,689.23 -1,491.37

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

V20N6195 04/14/2020 0008381272 550100 6,202.85 V20N6950 05/19/2020 0008407811 550100 20,452.71 V20N7583 06/15/2020 0008430424 550100 17,276.09 Total Account by Grant Year 43,931.65 0.00 Total Account 65,620.88 -1,491.37

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

V20N1510 10/08/2019 0008207392 550100 27,768.27 V20N2897 12/03/2019 0008260853 550100 72,892.64 Total Account by Grant Year 100,660.91 0.00

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

V20N3341 12/17/2019 0008273899 550100 105,882.28 V20N4100 01/14/2020 0008297311 550100 22,431.03 V20N4862 02/18/2020 0008330869 550100 42,581.91 V20N5583 03/17/2020 0008359310 550100 52,731.47 V20N5897 04/07/2020 0008375753 550100 13,698.27 Total Account by Grant Year 237,324.96 0.00 Total Account 337,985.87 0.00

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

S2000167 10/03/2019 N/A 550100 -58.48 V20N0299 07/16/2019 0008130947 550100 945.92 V20N0568 08/20/2019 0008161172 550100 77.34 V20N1368 10/01/2019 0008201346 550100 31.79 Total Account by Grant Year 1,055.05 -58.48

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

V20N6195 04/14/2020 0008381272 550100 266.01 V20N6950 05/19/2020 0008407811 550100 1,010.01 V20N7583 06/15/2020 0008430424 550100 853.14 Total Account by Grant Year 2,129.16 0.00 Total Account 3,184.21 -58.48 Total Fund Budget Unit 1,044,314.08 -15,781.20

3233‑3040 3040 9930 2019 T I  Sec 2 Delinquen S010A180016 18E CFDA 84.010A

V20F0427 10/07/2019 0008205973 550100 34,589.00 V20F0676 11/04/2019 0008234407 550100 15,762.00 V20F0939 12/09/2019 0008265660 550100 5,996.00 V20F1195 01/06/2020 0008290129 550100 4,835.00 Total Fund Budget Unit 61,182.00 0.00

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

V20F0427 10/07/2019 0008205973 550100 12,768.00 V20F0427 10/07/2019 0008205973 550100 546,107.00 V20F0676 11/04/2019 0008234407 550100 12,773.00 V20F0676 11/04/2019 0008234407 550100 546,101.00 V20F0939 12/09/2019 0008265660 550100 12,773.00 V20F0939 12/09/2019 0008265660 550100 546,101.00 Total Account by Grant Year 1,676,623.00 0.00

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

V20F1195 01/06/2020 0008290129 550100 12,773.00 V20F1195 01/06/2020 0008290129 550100 546,101.00 V20F1421 02/03/2020 0008316545 550100 12,773.00 V20F1421 02/03/2020 0008316545 550100 54,701.00 V20F1665 03/02/2020 0008344975 550100 12,774.00 V20F1665 03/02/2020 0008344975 550100 668,951.00 V20F1957 04/06/2020 0008374393 550100 12,773.00 V20F1957 04/06/2020 0008374393 550100 41,540.00 V20F1957 04/06/2020 0008374393 550100 668,952.00 V20F2224 05/04/2020 0008397853 550100 6,513.00 V20F2224 05/04/2020 0008397853 550100 8,516.00 V20F2224 05/04/2020 0008397853 550100 445,968.00 V20F2509 06/01/2020 0008419203 550100 17,031.00 V20F2509 06/01/2020 0008419203 550100 178,718.00 V20F2509 06/01/2020 0008419203 550100 891,935.00 Total Account by Grant Year 3,580,019.00 0.00 Total Fund Budget Unit 5,256,642.00 0.00

3323‑0531 0531 2019 TANF‑ Early Learning Kansans 93.558 93.558 CFDA 93.558

F2000267 10/22/2019 N/A 550100 -126,495.00 V2000267 07/19/2019 0008133683 550100 126,495.00 Total Account by Grant Year 0.00 0.00

3323‑0531 0531 2020 TANF‑ Early Learning Kansans 93.558 93.558 CFDA 93.558

F2000267 10/22/2019 N/A 550100 126,495.00 V20P0242 10/22/2019 0008221274 550100 3,977.00 V20P0433 01/22/2020 0008302553 550100 5,911.00 V20P0668 04/22/2020 0008387043 550100 5,921.00 Total Fund Budget Unit 142,304.00 0.00

3519‑3890 3890 2019 Title IV 21st Century Community Learning Center S287C180016 18E CFDA 84.287C

V20F0427 10/07/2019 0008205973 550100 2,952.00 V20F0427 10/07/2019 0008205973 550100 5,014.00 V20F0427 10/07/2019 0008205973 550100 14,950.00 V20F0676 11/04/2019 0008234407 550100 2,270.00 V20F0676 11/04/2019 0008234407 550100 7,739.00 V20F0676 11/04/2019 0008234407 550100 9,567.00 V20F0939 12/09/2019 0008265660 550100 672.00 V20F0939 12/09/2019 0008265660 550100 1,139.00 V20F0939 12/09/2019 0008265660 550100 3,185.00 V20F1195 01/06/2020 0008290129 550100 10,145.00 V20F1195 01/06/2020 0008290129 550100 14,621.00 V20F1195 01/06/2020 0008290129 550100 14,907.00 V20F1421 02/03/2020 0008316545 550100 2,357.00 V20F1421 02/03/2020 0008316545 550100 6,057.00 V20F1421 02/03/2020 0008316545 550100 19,357.00 V20F1665 03/02/2020 0008344975 550100 1,753.00 V20F1665 03/02/2020 0008344975 550100 6,252.00 V20F1665 03/02/2020 0008344975 550100 10,095.00 V20F1957 04/06/2020 0008374393 550100 6,281.00 V20F1957 04/06/2020 0008374393 550100 12,740.00 V20F1957 04/06/2020 0008374393 550100 15,938.00 V20F2224 05/04/2020 0008397853 550100 419.00 V20F2509 06/01/2020 0008419203 550100 22,623.00 Total Account by Grant Year 191,033.00 0.00

3519‑3890 3890 2020 Title IV 21st Century Community Learning Center S287C190016 19E CFDA 84.287C

V20F2509 06/01/2020 0008419203 550100 8,967.00 Total Account by Grant Year 8,967.00 0.00 Total Fund Budget Unit 200,000.00 0.00

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

V20F0208 09/09/2019 0008178436 550100 33,105.00 V20F0427 10/07/2019 0008205973 550100 101,188.00 V20F0676 11/04/2019 0008234407 550100 65,266.00 Total Account by Grant Year 199,559.00 0.00

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

V20F0939 12/09/2019 0008265660 550100 20,684.00 V20F1195 01/06/2020 0008290129 550100 782.00 V20F1195 01/06/2020 0008290129 550100 110,444.00 V20F1421 02/03/2020 0008316545 550100 7,895.00 V20F1421 02/03/2020 0008316545 550100 143,285.00 V20F1665 03/02/2020 0008344975 550100 94,140.00 V20F1957 04/06/2020 0008374393 550100 26,453.00 V20F2224 05/04/2020 0008397853 550100 19,693.00 V20F2509 06/01/2020 0008419203 550100 103,138.00 Total Account by Grant Year 526,514.00 0.00 Total Fund Budget Unit 726,073.00 0.00

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

V20F0120 08/05/2019 0008149532 550100 8,178.00 V20F0208 09/09/2019 0008178436 550100 68,158.00 V20F0427 10/07/2019 0008205973 550100 18,482.00 V20F0427 10/07/2019 0008205973 550100 174,610.00 V20F0676 11/04/2019 0008234407 550100 29,739.00 V20F0676 11/04/2019 0008234407 550100 50,532.00 Total Account by Grant Year 349,699.00 0.00

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

V20F0939 12/09/2019 0008265660 550100 14,462.00 V20F0939 12/09/2019 0008265660 550100 41,510.00 V20F1195 01/06/2020 0008290129 550100 10,739.00 V20F1195 01/06/2020 0008290129 550100 161,981.00 V20F1421 02/03/2020 0008316545 550100 47,967.00 V20F1665 03/02/2020 0008344975 550100 81,431.00 V20F1957 04/06/2020 0008374393 550100 42,663.00 V20F2224 05/04/2020 0008397853 550100 21,776.00 V20F2509 06/01/2020 0008419203 550100 395,685.00 Total Account by Grant Year 818,214.00 0.00 Total Fund Budget Unit 1,167,913.00 0.00

3527‑3870 5000 D902 2019 Supporting Effective Instruction (was Title IIA)‑Disc‑KTOY Ldr Conf & Promise Wks S367A180015 18E CFDA 84.367A

V2003747 01/07/2020 0008291435 526900 120.00 Total Fund Budget Unit 120.00 0.00

3529‑3490 3490 9904 2019 School Breakfast 10.553 CFDA 10.553

V20N0099 07/09/2019 0008125332 550100 2,536.16 V20N0515 08/20/2019 0008161124 550100 1,504.16 V20N1647 10/08/2019 0008207511 550100 9,323.32 V20N1647 10/08/2019 0008207511 550100 449,730.26 V20N2211 11/05/2019 0008236112 550100 531,424.34 Total Account by Grant Year 994,518.24 0.00

3529‑3490 3490 9904 2020 School Breakfast 10.553 CFDA 10.553

V20N2211 11/05/2019 0008236112 550100 9,998.43 V20N2647 11/19/2019 0008247042 550100 9,636.49 V20N2647 11/19/2019 0008247042 550100 521,715.19 V20N3431 12/17/2019 0008273983 550100 7,616.99 V20N3431 12/17/2019 0008273983 550100 424,062.04 V20N3695 01/07/2020 0008291582 550100 7,021.80 V20N4055 01/14/2020 0008297270 550100 300,080.08 V20N4963 02/25/2020 0008336837 550100 372,008.32 V20N5534 03/17/2020 0008359264 550100 378,774.51 V20N5859 04/07/2020 0008375718 550100 214,931.32 Total Account by Grant Year 2,245,845.17 0.00 Total Fund Budget Unit 3,240,363.41 0.00

3530‑3500 3500 9902 2019 Section 4 10.555 CFDA 10.555

V20N0099 07/09/2019 0008125332 550100 4,499.01 V20N0515 08/20/2019 0008161124 550100 2,330.25 V20N1647 10/08/2019 0008207511 550100 979,701.96 V20N2211 11/05/2019 0008236112 550100 1,147,317.16 Total Account by Grant Year 2,133,848.38 0.00

3530‑3500 3500 9902 2020 Section 4 10.555 CFDA 10.555

V20N2647 11/19/2019 0008247042 550100 1,125,308.45 V20N3431 12/17/2019 0008273983 550100 897,024.73 V20N4055 01/14/2020 0008297270 550100 706,692.45 V20N4963 02/25/2020 0008336837 550100 865,846.31 V20N5534 03/17/2020 0008359264 550100 882,349.05 V20N5859 04/07/2020 0008375718 550100 487,369.46 Total Account by Grant Year 4,964,590.45 0.00 Total Account 7,098,438.83 0.00

3530‑3500 3500 9903 2019 Section 11 10.555 CFDA 10.555

V20N1647 10/08/2019 0008207511 550100 11.28 V20N2211 11/05/2019 0008236112 550100 388.22 Total Account by Grant Year 399.50 0.00

3530‑3500 3500 9903 2020 Section 11 10.555 CFDA 10.555

V20N2211 11/05/2019 0008236112 550100 2,714.72 V20N2647 11/19/2019 0008247042 550100 3,170.62 V20N3431 12/17/2019 0008273983 550100 2,306.76 V20N4055 01/14/2020 0008297270 550100 1,089.46 V20N4963 02/25/2020 0008336837 550100 1,751.22 V20N5534 03/17/2020 0008359264 550100 1,632.78 V20N5859 04/07/2020 0008375718 550100 969.14 Total Account by Grant Year 13,634.70 0.00 Total Account 14,034.20 0.00

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

V20N0099 07/09/2019 0008125332 550100 342.87 V20N0515 08/20/2019 0008161124 550100 173.85 V20N1647 10/08/2019 0008207511 550100 73,634.50 V20N2211 11/05/2019 0008236112 550100 34,311.30 Total Account by Grant Year 108,462.52 0.00

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

V20N2211 11/05/2019 0008236112 550100 52,081.70 V20N2647 11/19/2019 0008247042 550100 84,986.05 V20N3431 12/17/2019 0008273983 550100 67,769.20 V20N4055 01/14/2020 0008297270 550100 53,470.99 V20N4963 02/25/2020 0008336837 550100 65,467.59 V20N5534 03/17/2020 0008359264 550100 66,656.75 V20N5859 04/07/2020 0008375718 550100 36,829.60 Total Account by Grant Year 427,261.88 0.00 Total Account 535,724.40 0.00 Total Fund Budget Unit 7,648,197.43 0.00

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

V20N1733 10/08/2019 0008207587 550100 808.69 V20N2292 11/05/2019 0008236182 550100 2,030.15 Total Account by Grant Year 2,838.84 0.00

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

V20N2692 11/19/2019 0008247081 550100 2,257.20 V20N3469 12/17/2019 0008274013 550100 1,353.28 V20N3898 01/14/2020 0008297129 550100 930.76 V20N5003 02/25/2020 0008336875 550100 1,359.45 V20N5607 03/17/2020 0008359332 550100 1,738.50 V20N6014 04/07/2020 0008375860 550100 853.58 Total Account by Grant Year 8,492.77 0.00 Total Account 11,331.61 0.00

3531‑3510 3510 9921 2019 Meal Costs 10.558 CFDA 10.558

V20N1733 10/08/2019 0008207587 550100 19,889.49 V20N2292 11/05/2019 0008236182 550100 44,839.81 Total Account by Grant Year 64,729.30 0.00

3531‑3510 3510 9921 2020 Meal Costs 10.558 CFDA 10.558

V20N2692 11/19/2019 0008247081 550100 48,419.96 V20N3469 12/17/2019 0008274013 550100 33,133.99 V20N3898 01/14/2020 0008297129 550100 21,720.46 V20N5003 02/25/2020 0008336875 550100 32,261.04 V20N5607 03/17/2020 0008359332 550100 38,969.92 V20N6014 04/07/2020 0008375860 550100 19,023.54 Total Account by Grant Year 193,528.91 0.00 Total Account 258,258.21 0.00 Total Fund Budget Unit 269,589.82 0.00

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

V20F0120 08/05/2019 0008149532 550100 561,586.00 V20F0208 09/09/2019 0008178436 550100 651,019.00 Total Account by Grant Year 1,212,605.00 0.00

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

V20F0427 10/07/2019 0008205973 550100 239,329.00 V20F0427 10/07/2019 0008205973 550100 952,763.00 V20F0676 11/04/2019 0008234407 550100 29,920.00 V20F0676 11/04/2019 0008234407 550100 909,223.00 V20F0939 12/09/2019 0008265660 550100 1,262,992.00 V20F1195 01/06/2020 0008290129 550100 743,947.00 V20F1421 02/03/2020 0008316545 550100 209,408.00 V20F1421 02/03/2020 0008316545 550100 1,323,215.00 V20F1665 03/02/2020 0008344975 550100 250,993.00 V20F1957 04/06/2020 0008374393 550100 587,740.00 V20F2224 05/04/2020 0008397853 550100 1,376,283.00 V20F2509 06/01/2020 0008419203 550100 1,218,300.00 Total Account by Grant Year 9,104,113.00 0.00 Total Fund Budget Unit 10,316,718.00 0.00

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

V20F0427 10/07/2019 0008205973 550100 274.00 V20F0427 10/07/2019 0008205973 550100 23,860.00 V20F0676 11/04/2019 0008234407 550100 2,194.00 V20F0676 11/04/2019 0008234407 550100 23,860.00 V20F0939 12/09/2019 0008265660 550100 23,861.00 V20F1195 01/06/2020 0008290129 550100 23,861.00 Total Account by Grant Year 97,910.00 0.00

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

V20F1421 02/03/2020 0008316545 550100 23,861.00 V20F1665 03/02/2020 0008344975 550100 23,861.00 V20F1957 04/06/2020 0008374393 550100 23,860.00 V20F2224 05/04/2020 0008397853 550100 15,907.00 V20F2509 06/01/2020 0008419203 550100 31,814.00 Total Account by Grant Year 119,303.00 0.00 Total Fund Budget Unit 217,213.00 0.00

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

V20F0427 10/07/2019 0008205973 550100 149,673.00 V20F0676 11/04/2019 0008234407 550100 26,924.00 V20F0939 12/09/2019 0008265660 550100 4,708.91 Total Account by Grant Year 181,305.91 0.00

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

V20F0939 12/09/2019 0008265660 550100 18,738.09 V20F1195 01/06/2020 0008290129 550100 28,358.00 V20F1421 02/03/2020 0008316545 550100 12,367.00 V20F1665 03/02/2020 0008344975 550100 46,735.00 V20F1957 04/06/2020 0008374393 550100 8,710.00 V20F2224 05/04/2020 0008397853 550100 19,123.00 V20F2509 06/01/2020 0008419203 550100 334,663.00 Total Account by Grant Year 468,694.09 0.00 Total Fund Budget Unit 650,000.00 0.00

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

V20F0676 11/04/2019 0008234407 550100 24,750.00 Total Account by Grant Year 24,750.00 0.00

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

V20F0939 12/09/2019 0008265660 550100 71,042.00 V20F1195 01/06/2020 0008290129 550100 6,937.00 V20F1421 02/03/2020 0008316545 550100 4,430.00 V20F1957 04/06/2020 0008374393 550100 55,523.00 V20F2509 06/01/2020 0008419203 550100 252,702.00 Total Account by Grant Year 390,634.00 0.00 Total Account 415,384.00 0.00

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

V20F0078 07/15/2019 0008129310 550100 1,518.00 V20F0078 07/15/2019 0008129310 550100 2,037.00 Total Account by Grant Year 3,555.00 0.00

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

V20F0120 08/05/2019 0008149532 550100 3,750.00 V20F0427 10/07/2019 0008205973 550100 1,375.00 V20F2509 06/01/2020 0008419203 550100 250.00 Total Account by Grant Year 5,375.00 0.00 Total Account 8,930.00 0.00 Total Fund Budget Unit 424,314.00 0.00

3592‑3070 M913 2019 KVC‑ FY19 Training and Technical Assistance ‑ NSCHC Supp 19TAHKS002 CFDA 94.009

V2000709 08/13/2019 0008156061 526900 45.00 Total Account 45.00 0.00

3592‑3070 M928 2020 AmeriCorps Formula 18AFHKS001 CFDA 94.006

V20F0078 07/15/2019 0008129310 550100 10,726.00 V20F0120 08/05/2019 0008149532 550100 12,489.00 V20F0208 09/09/2019 0008178436 550100 13,474.00 V20F0676 11/04/2019 0008234407 550100 15,700.00 Total Account 52,389.00 0.00

3592‑3070 M934 2019 KVC‑ FY16 Training and Technical Assistance 16TAHKS001 CFDA 94.009

V2001028 08/28/2019 0008171092 526900 617.36 Total Account 617.36 0.00

3592‑3070 S369 2020 Youth Risk Behavior Survey(YRBS) ‑ Special Project FY19 NU87PS004319‑02 CFDA 93.938

V2004033 01/22/2020 0008302463 526900 200.00 V2004191 01/28/2020 0008308267 526900 200.00 V2006311 06/05/2020 0008423316 526900 200.00 Total Account 600.00 0.00

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

V2000443 07/30/2019 0008145983 526900 2,190.00 Total Account 2,190.00 0.00

3592‑3070 U609 2020 Homeless Child  FY2020 S196A190017 19E CFDA 84.196A

V20F0427 10/07/2019 0008205973 550100 21,126.00 V20F0676 11/04/2019 0008234407 550100 6,645.00 V20F0939 12/09/2019 0008265660 550100 12,059.00 V20F1195 01/06/2020 0008290129 550100 10,788.00 V20F1421 02/03/2020 0008316545 550100 10,839.00 V20F1665 03/02/2020 0008344975 550100 3,668.00 V20F1957 04/06/2020 0008374393 550100 3,657.00 V20F2224 05/04/2020 0008397853 550100 7,188.00 V20F2509 06/01/2020 0008419203 550100 7,225.00 Total Account 83,195.00 0.00 Total Fund Budget Unit 139,036.36 0.00 Total Federal Aid 31,958,490.10 -15,781.20

Other State Aid from 7000

7005‑7005 7005 2020 USD Contribution Checkoff Fund

V20A0503 02/18/2020 0008330743 559900 1,529.00 Total Fund Budget Unit 1,529.00 0.00

7307‑5000 S776 2020 KHF‑ Active Schools: Let's Move Kansas!

V2002961 11/26/2019 0008257176 526900 300.00 Total Fund Budget Unit 300.00 0.00

7393‑7000 7000 2020 State School District Finance

J2200058 06/18/2020 N/A 551100 12,954,046.00 Total Fund Budget Unit 12,954,046.00 0.00

7393‑7010 7010 2020 School District 20‑Mill Levy

V2052553 01/29/2020 0008313064 551100 15,466,006.00 V2053693 06/11/2020 0008428205 551100 13,279,294.00 Total Fund Budget Unit 28,745,300.00 0.00 Total Other State Aid from 7000 41,701,175.00 0.00 Total Aid 284,535,135.60 -15,336.20 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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