Kansas State Department of Education
Annual Federal and State Aid Funding Report - SFY 2021

D0453 USD 453 LEAVENWORTH 0000063258

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

State Aid

1000‑0110 000110 2021 SGF‑KPERS Employer Contributions‑USDs

J2210009 07/28/2020 N/A 551100 -962,166.75 J2210009 07/28/2020 N/A 551400 962,166.75 V21K0269 07/10/2020 0008452098 551100 962,166.75 V21K0520 10/12/2020 0008523875 551400 831,791.65 V21K0806 01/12/2021 0008597375 551400 966,758.79 V21K1092 04/12/2021 0008674808 551400 900,388.53 Total Fund Budget Unit 3,661,105.72 0.00

1000‑0150 000150 2021 SGF ‑ Mental Health Intervention Team Pilot

V21H0022 09/28/2020 0008513937 551100 6,441.00 V21H0064 10/12/2020 0008523631 551100 3,406.00 V21H0107 10/28/2020 0008541375 551100 3,443.00 V21H0150 11/09/2020 0008548975 551100 3,406.00 V21H0192 11/25/2020 0008564454 551100 3,443.00 V21H0233 12/29/2020 0008588879 551100 3,443.00 V21H0274 01/27/2021 0008612540 551100 3,443.00 V21H0316 02/11/2021 0008623497 551100 3,406.00 V21H0356 02/24/2021 0008637117 551100 3,443.00 V21H0398 03/29/2021 0008664521 551100 3,443.00 V21H0441 04/12/2021 0008674564 551100 3,406.00 V21H0484 04/28/2021 0008692552 551100 3,443.00 V21H0526 05/26/2021 0008717348 551100 10,329.00 Total Fund Budget Unit 54,495.00 0.00

1000‑0320 000320 2021 Food Service Aid

V21N8261 06/15/2021 0008734138 551100 15,785.80 Total Fund Budget Unit 15,785.80 0.00

1000‑0440 000440 2021 Mentor Teacher

V21M0186 06/10/2021 0008730004 551100 9,924.00 Total Fund Budget Unit 9,924.00 0.00

1000‑0700 000700 2021 Special Education Services Aid

V21S0234 10/12/2020 0008524161 551100 567,109.00 V21S0525 12/10/2020 0008573945 551100 722,075.00 V21S0816 03/10/2021 0008647930 551100 404,956.00 V21S1106 04/12/2021 0008675094 551100 484,333.00 V21S1397 05/26/2021 0008717590 551100 1,760,046.00 V21S1457 06/10/2021 0008730053 551100 31,511.00 Total Fund Budget Unit 3,970,030.00 0.00

1000‑0820 000820 2021 State Foundation Aid (General State Aid)

V2150554 07/07/2020 0008449222 551100 1,151,642.00 V2150840 07/29/2020 0008468171 551100 1,151,642.00 V2151126 08/27/2020 0008490366 551100 1,606,525.00 V2151377 09/28/2020 0008513860 551100 1,863,179.00 V2151663 10/28/2020 0008541290 551100 1,931,344.00 V2151949 11/25/2020 0008564365 551100 1,908,622.00 V2152236 12/29/2020 0008588785 551100 1,863,179.00 V2152808 02/24/2021 0008637019 551100 1,691,418.00 V2153094 03/29/2021 0008664432 551100 1,710,717.00 V2153380 04/28/2021 0008692463 551100 1,370,668.00 Total Account by Grant Year 16,248,936.00 0.00

1000‑0820 000820 2022 State Foundation Aid (General State Aid)

V2250234 07/06/2021 N/A 551100 1,410,206.00 Total Account by Grant Year 1,410,206.00 0.00 Total Fund Budget Unit 17,659,142.00 0.00

1000‑0840 000840 2021 Supplemental State Aid (LOB)

V21L0422 09/28/2020 0008514135 551100 1,964,455.00 V21L0654 01/27/2021 0008612739 551100 1,898,111.00 V21L0886 06/21/2021 0008740726 551100 451,780.00 Total Account by Grant Year 4,314,346.00 0.00

1000‑0840 000840 2022 Supplemental State Aid (LOB)

V22L0190 07/06/2021 N/A 551100 340,120.00 Total Account by Grant Year 340,120.00 0.00 Total Fund Budget Unit 4,654,466.00 0.00

1000‑0880 000880 2021 School District Capital Outlay

V21O0143 02/18/2021 0008628491 551100 896,028.00 Total Fund Budget Unit 896,028.00 0.00 Total State Aid 30,920,976.52 0.00

Special Revenue State Aid

2538‑2030 002030 2021 State Safety

V21T0170 02/11/2021 0008623795 551100 4,080.00 Total Fund Budget Unit 4,080.00 0.00

2880‑2880 002880 2021 School District Capital Improvement

V21C0102 07/29/2020 0008468273 551100 1,218,019.00 V21C0214 01/27/2021 0008612490 551100 1,401,720.00 Total Fund Budget Unit 2,619,739.00 0.00 Total Special Revenue State Aid 2,623,819.00 0.00

Federal Aid

3113‑3113 003113 2021 ESSA‑StudSpprt Academic Enrich FloThru S424A200017 20E CFDA 84.424A

V21F2458 05/03/2021 0008695346 550100 14,909.00 V21F2744 06/07/2021 0008725232 550100 3,701.00 V21F2744 06/07/2021 0008725232 550100 40,000.00 Total Fund Budget Unit 58,610.00 0.00

3230‑3020 003020 9923 2020 SFS ‑ Food 10.559 CFDA 10.559

V21N1837 10/27/2020 0008536484 550100 78,274.56 Total Account by Grant Year 78,274.56 0.00

3230‑3020 003020 9923 2021 SFS ‑ Food 10.559 CFDA 10.559

V21N2385 11/19/2020 0008555895 550100 132,100.64 V21N2910 12/08/2020 0008571607 550100 129,361.52 V21N3101 12/15/2020 0008576897 550100 343.28 V21N3871 01/12/2021 0008597701 550100 107,863.76 V21N5303 03/09/2021 0008646451 550100 149,926.63 V21N5556 03/16/2021 0008652214 550100 142,870.37 V21N6126 04/13/2021 0008676651 550100 149,355.37 V21N7249 05/25/2021 0008712575 550100 196,914.74 V21N7563 06/08/2021 0008728096 550100 164,548.34 Total Account by Grant Year 1,173,284.65 0.00 Total Account 1,251,559.21 0.00

3230‑3020 003020 9925 2020 SFS ‑ Sponsor Admin 10.559 CFDA 10.559

V21N1837 10/27/2020 0008536484 550100 8,076.92 Total Account by Grant Year 8,076.92 0.00

3230‑3020 003020 9925 2021 SFS ‑ Sponsor Admin 10.559 CFDA 10.559

V21N2385 11/19/2020 0008555895 550100 13,644.46 V21N2910 12/08/2020 0008571607 550100 13,366.62 V21N3101 12/15/2020 0008576897 550100 35.29 V21N3871 01/12/2021 0008597701 550100 11,145.37 V21N5303 03/09/2021 0008646451 550100 15,467.06 V21N5556 03/16/2021 0008652214 550100 14,734.53 V21N6126 04/13/2021 0008676651 550100 15,399.72 V21N7249 05/25/2021 0008712575 550100 20,296.78 V21N7563 06/08/2021 0008728096 550100 16,954.56 Total Account by Grant Year 121,044.39 0.00 Total Account 129,121.31 0.00

3230‑3020 003020 9926 2020 Fresh Fruits & Vegetables 10.582 CFDA 10.582

V21N2612 12/01/2020 0008566315 550100 9,087.83 V21N3307 12/28/2020 0008584190 550100 342.97 Total Account by Grant Year 9,430.80 0.00

3230‑3020 003020 9926 2021 Fresh Fruits & Vegetables 10.582 CFDA 10.582

V21N2770 12/08/2020 0008571478 550100 6,915.43 V21N4019 01/19/2021 0008601661 550100 7,040.34 V21N4445 02/09/2021 0008621467 550100 2,402.12 V21N5503 03/16/2021 0008652162 550100 5,767.73 V21N6031 04/13/2021 0008676557 550100 8,571.03 V21N8009 06/15/2021 0008733887 550100 19,521.93 Total Account by Grant Year 50,218.58 0.00 Total Account 59,649.38 0.00

3230‑3020 003020 9988 2020 SFS ‑ CFC 10.559 CFDA 10.559

V21N0248 07/14/2020 0008454005 550100 269.19 V21N0572 08/11/2020 0008476099 550100 226.98 V21N1035 09/22/2020 0008506437 550100 175.10 V21N1837 10/27/2020 0008536484 550100 369.55 Total Account by Grant Year 1,040.82 0.00

3230‑3020 003020 9988 2021 SFS ‑ CFC 10.559 CFDA 10.559

V21N2385 11/19/2020 0008555895 550100 615.51 V21N2910 12/08/2020 0008571607 550100 599.66 V21N3101 12/15/2020 0008576897 550100 1.69 V21N3871 01/12/2021 0008597701 550100 499.97 V21N5303 03/09/2021 0008646451 550100 667.76 V21N5556 03/16/2021 0008652214 550100 639.00 V21N6126 04/13/2021 0008676651 550100 670.13 V21N7249 05/25/2021 0008712575 550100 887.43 V21N7563 06/08/2021 0008728096 550100 745.13 Total Account by Grant Year 5,326.28 0.00 Total Account 6,367.10 0.00 Total Fund Budget Unit 1,446,697.00 0.00

3233‑3040 003040 4100 2020 ESSER I COVID‑19 Coronavirus ‑ FT S425D200002 20E CFDA 84.425D

V21F0121 07/13/2020 0008452813 550100 12,000.00 V21F0257 08/03/2020 0008470710 550100 11,156.00 V21F0616 10/05/2020 0008519055 550100 6,025.00 V21F1174 12/07/2020 0008570141 550100 9,800.00 V21F1461 01/04/2021 0008590942 550100 31,250.00 V21F1723 02/01/2021 0008615359 550100 1,574.00 V21F1986 03/08/2021 0008644631 550100 82,089.00 V21F2187 04/05/2021 0008669756 550100 10,845.00 V21F2458 05/03/2021 0008695346 550100 26,397.00 V21F2744 06/07/2021 0008725232 550100 293,500.00 Total Account 484,636.00 0.00

3233‑3040 003040 4500 2020 ESSER I COVID‑19 Coronavirus ‑ Sped S425D200002 20E CFDA 84.425D

V21F0879 11/02/2020 0008544040 550100 5,168.00 V21F1174 12/07/2020 0008570141 550100 1,460.00 V21F1723 02/01/2021 0008615359 550100 368.00 V21F1986 03/08/2021 0008644631 550100 1,114.00 V21F2187 04/05/2021 0008669756 550100 1,485.00 V21F2458 05/03/2021 0008695346 550100 10,568.00 V21F2744 06/07/2021 0008725232 550100 1,684.00 Total Account 21,847.00 0.00

3233‑3040 003040 9970 2019 Striving Readers ‑ LiNK, FT‑5% Disc S371C170006 18E CFDA 84.371C

V21F1174 12/07/2020 0008570141 550100 16,750.00 Total Account by Grant Year 16,750.00 0.00

3233‑3040 003040 9970 2020 Striving Readers ‑ LiNK, FT‑5% Disc S371C170006 19E CFDA 84.371C

V21F1174 12/07/2020 0008570141 550100 7,250.00 V21F1461 01/04/2021 0008590942 550100 29,750.00 Total Account by Grant Year 37,000.00 0.00 Total Account 53,750.00 0.00

3233‑3040 003040 9971 2019 Striving Readers ‑ LiNK, Birth‑5 S371C170006 18E CFDA 84.371C

V21F0257 08/03/2020 0008470710 550100 27,000.00 V21F0392 09/08/2020 0008496823 550100 3,000.00 V21F0392 09/08/2020 0008496823 550100 5,000.00 Total Account by Grant Year 35,000.00 0.00

3233‑3040 003040 9971 2020 Striving Readers ‑ LiNK, Birth‑5 S371C170006 19E CFDA 84.371C

V21F0616 10/05/2020 0008519055 550100 3,000.00 V21F0616 10/05/2020 0008519055 550100 7,000.00 V21F0879 11/02/2020 0008544040 550100 7,000.00 V21F0879 11/02/2020 0008544040 550100 10,000.00 V21F1174 12/07/2020 0008570141 550100 5,000.00 V21F1174 12/07/2020 0008570141 550100 5,000.00 V21F1461 01/04/2021 0008590942 550100 5,000.00 V21F1723 02/01/2021 0008615359 550100 6,000.00 V21F1986 03/08/2021 0008644631 550100 6,000.00 V21F2187 04/05/2021 0008669756 550100 22,000.00 V21F2458 05/03/2021 0008695346 550100 19,000.00 V21F2744 06/07/2021 0008725232 550100 83,250.00 Total Account by Grant Year 178,250.00 0.00 Total Account 213,250.00 0.00

3233‑3040 003040 9972 2019 Striving Readers ‑ LiNK, K‑5th S371C170006 18E CFDA 84.371C

V21F0392 09/08/2020 0008496823 550100 3,231.00 Total Account by Grant Year 3,231.00 0.00

3233‑3040 003040 9972 2020 Striving Readers ‑ LiNK, K‑5th S371C170006 19E CFDA 84.371C

V21F0392 09/08/2020 0008496823 550100 4,769.00 V21F0392 09/08/2020 0008496823 550100 27,000.00 V21F0616 10/05/2020 0008519055 550100 29,000.00 V21F0879 11/02/2020 0008544040 550100 10,000.00 V21F0879 11/02/2020 0008544040 550100 13,100.00 V21F1461 01/04/2021 0008590942 550100 5,000.00 V21F1723 02/01/2021 0008615359 550100 14,000.00 V21F1986 03/08/2021 0008644631 550100 14,000.00 V21F2187 04/05/2021 0008669756 550100 34,000.00 V21F2458 05/03/2021 0008695346 550100 20,000.00 V21F2744 06/07/2021 0008725232 550100 128,000.00 Total Account by Grant Year 298,869.00 0.00 Total Account 302,100.00 0.00

3233‑3040 003040 9973 2019 Striving Readers ‑ LiNK, MS S371C170006 18E CFDA 84.371C

V21F0257 08/03/2020 0008470710 550100 21,000.00 V21F0392 09/08/2020 0008496823 550100 4,000.00 Total Account by Grant Year 25,000.00 0.00

3233‑3040 003040 9973 2020 Striving Readers ‑ LiNK, MS S371C170006 19E CFDA 84.371C

V21F0616 10/05/2020 0008519055 550100 6,000.00 V21F0616 10/05/2020 0008519055 550100 9,000.00 V21F0879 11/02/2020 0008544040 550100 15,000.00 V21F1174 12/07/2020 0008570141 550100 10,000.00 V21F1174 12/07/2020 0008570141 550100 15,000.00 V21F1461 01/04/2021 0008590942 550100 5,000.00 V21F1461 01/04/2021 0008590942 550100 14,300.00 V21F1723 02/01/2021 0008615359 550100 4,000.00 V21F1986 03/08/2021 0008644631 550100 4,000.00 V21F2187 04/05/2021 0008669756 550100 20,000.00 V21F2458 05/03/2021 0008695346 550100 10,000.00 V21F2744 06/07/2021 0008725232 550100 70,600.00 Total Account by Grant Year 182,900.00 0.00 Total Account 207,900.00 0.00

3233‑3040 003040 9974 2019 Striving Readers ‑ LiNK, HS S371C170006 18E CFDA 84.371C

V21F0392 09/08/2020 0008496823 550100 4,000.00 V21F0616 10/05/2020 0008519055 550100 37,000.00 Total Account by Grant Year 41,000.00 0.00

3233‑3040 003040 9974 2020 Striving Readers ‑ LiNK, HS S371C170006 19E CFDA 84.371C

V21F0879 11/02/2020 0008544040 550100 16,000.00 V21F1174 12/07/2020 0008570141 550100 16,000.00 V21F1461 01/04/2021 0008590942 550100 5,000.00 V21F1461 01/04/2021 0008590942 550100 16,400.00 V21F1723 02/01/2021 0008615359 550100 6,000.00 V21F1986 03/08/2021 0008644631 550100 6,000.00 V21F2187 04/05/2021 0008669756 550100 13,000.00 V21F2458 05/03/2021 0008695346 550100 6,000.00 V21F2744 06/07/2021 0008725232 550100 50,400.00 Total Account by Grant Year 134,800.00 0.00 Total Account 175,800.00 0.00 Total Fund Budget Unit 1,459,283.00 0.00

3234‑3050 003050 1000 2020 EHC Flo‑Thru H027A190031 19E CFDA 84.027A

V21F0616 10/05/2020 0008519055 550100 2,905.00 V21F0616 10/05/2020 0008519055 550100 124,000.00 V21F0879 11/02/2020 0008544040 550100 64,000.00 V21F1174 12/07/2020 0008570141 550100 64,000.00 V21F1461 01/04/2021 0008590942 550100 64,000.00 Total Account by Grant Year 318,905.00 0.00

3234‑3050 003050 1000 2021 EHC Flo‑Thru H027A200031 20E CFDA 84.027A

V21F1723 02/01/2021 0008615359 550100 64,000.00 V21F1986 03/08/2021 0008644631 550100 3,595.00 V21F1986 03/08/2021 0008644631 550100 52,000.00 V21F2187 04/05/2021 0008669756 550100 2,877.00 V21F2187 04/05/2021 0008669756 550100 52,000.00 V21F2458 05/03/2021 0008695346 550100 2,876.00 V21F2458 05/03/2021 0008695346 550100 52,000.00 V21F2744 06/07/2021 0008725232 550100 8,631.00 V21F2744 06/07/2021 0008725232 550100 104,045.00 Total Account by Grant Year 342,024.00 0.00 Total Account 660,929.00 0.00

3234‑3050 003050 5000 2021 EHC Flo‑Thru Disc H027A200031 20E CFDA 84.027A

V21F2458 05/03/2021 0008695346 550100 15,027.00 V21F2744 06/07/2021 0008725232 550100 9,926.00 Total Account 24,953.00 0.00 Total Fund Budget Unit 685,882.00 0.00

3526‑3860 003860 2020 Supporting Effective Instruction (was Title IIA) S367A190015 19E CFDA 84.367A

V21F0121 07/13/2020 0008452813 550100 3,625.00 V21F0616 10/05/2020 0008519055 550100 8,609.00 Total Account by Grant Year 12,234.00 0.00

3526‑3860 003860 2021 Supporting Effective Instruction (was Title IIA) S367A200015 20E CFDA 84.367A

V21F0879 11/02/2020 0008544040 550100 2,089.00 V21F0879 11/02/2020 0008544040 550100 8,606.00 V21F0879 11/02/2020 0008544040 550100 18,699.00 V21F1174 12/07/2020 0008570141 550100 8,606.00 V21F1461 01/04/2021 0008590942 550100 8,606.00 V21F1723 02/01/2021 0008615359 550100 2,620.00 V21F1723 02/01/2021 0008615359 550100 8,606.00 V21F1986 03/08/2021 0008644631 550100 9,014.00 V21F2187 04/05/2021 0008669756 550100 8,605.00 V21F2458 05/03/2021 0008695346 550100 8,605.00 V21F2744 06/07/2021 0008725232 550100 28,151.00 V21F2744 06/07/2021 0008725232 550100 31,755.00 Total Account by Grant Year 143,962.00 0.00 Total Fund Budget Unit 156,196.00 0.00

3530‑3500 003500 9903 2021 Section 11 10.555 CFDA 10.555

V21N6324 04/20/2021 0008682156 550100 22.08 V21N7907 06/14/2021 0008732066 550100 35.52 Total Account 57.60 0.00

3530‑3500 003500 9906 2020 COVID‑19 Coronavirus 10.555 CFDA 10.555

V21N0248 07/14/2020 0008454005 550100 5,451.10 V21N0248 07/14/2020 0008454005 550100 53,120.16 V21N0572 08/11/2020 0008476099 550100 4,596.35 V21N0572 08/11/2020 0008476099 550100 44,790.72 V21N1035 09/22/2020 0008506437 550100 3,720.25 V21N1035 09/22/2020 0008506437 550100 36,125.68 Total Account 147,804.26 0.00 Total Fund Budget Unit 147,861.86 0.00

3532‑3520 003520 2020 Title I  Low Income S010A190016 19E CFDA 84.010A

V21F0121 07/13/2020 0008452813 550100 36,170.00 V21F0257 08/03/2020 0008470710 550100 700.00 V21F0616 10/05/2020 0008519055 550100 1,208.00 V21F0616 10/05/2020 0008519055 550100 66,359.00 Total Account by Grant Year 104,437.00 0.00

3532‑3520 003520 2021 Title I  Low Income S010A200016 20E CFDA 84.010A

V21F0879 11/02/2020 0008544040 550100 3,385.00 V21F0879 11/02/2020 0008544040 550100 21,000.00 V21F0879 11/02/2020 0008544040 550100 63,000.00 V21F1174 12/07/2020 0008570141 550100 5,770.00 V21F1174 12/07/2020 0008570141 550100 68,690.00 V21F1461 01/04/2021 0008590942 550100 66,790.00 V21F1723 02/01/2021 0008615359 550100 57,563.00 V21F1986 03/08/2021 0008644631 550100 242.00 V21F1986 03/08/2021 0008644631 550100 184,917.00 V21F2187 04/05/2021 0008669756 550100 64,020.00 V21F2458 05/03/2021 0008695346 550100 68,043.00 V21F2744 06/07/2021 0008725232 550100 42,240.00 V21F2744 06/07/2021 0008725232 550100 214,551.00 Total Account by Grant Year 860,211.00 0.00 Total Fund Budget Unit 964,648.00 0.00

3535‑3550 003550 1000 2021 EC Flo‑Thru H173A200034 20E CFDA 84.173A

V21F1986 03/08/2021 0008644631 550100 218.00 V21F1986 03/08/2021 0008644631 550100 6,323.00 V21F2187 04/05/2021 0008669756 550100 109.00 V21F2187 04/05/2021 0008669756 550100 5,060.00 V21F2458 05/03/2021 0008695346 550100 110.00 V21F2458 05/03/2021 0008695346 550100 5,059.00 V21F2744 06/07/2021 0008725232 550100 219.00 V21F2744 06/07/2021 0008725232 550100 15,177.00 Total Fund Budget Unit 32,275.00 0.00

3539‑3590 003590 9920 2020 Program Improv Sec V048A190016 19E CFDA 84.048A

V21F0121 07/13/2020 0008452813 550100 5,635.00 Total Account by Grant Year 5,635.00 0.00

3539‑3590 003590 9920 2021 Program Improv Sec V048A200016 20E CFDA 84.048A

V21F1174 12/07/2020 0008570141 550100 9,690.00 V21F1723 02/01/2021 0008615359 550100 9,135.00 V21F1986 03/08/2021 0008644631 550100 4,100.00 V21F2187 04/05/2021 0008669756 550100 2,199.00 V21F2458 05/03/2021 0008695346 550100 5,389.00 V21F2744 06/07/2021 0008725232 550100 22,801.00 Total Account by Grant Year 53,314.00 0.00 Total Fund Budget Unit 58,949.00 0.00 Total Federal Aid 5,010,401.86 0.00

Other State Aid from 7000

7005‑7005 007005 2021 USD Contribution Checkoff Fund

V21A0204 02/10/2021 0008622762 559900 585.00 Total Fund Budget Unit 585.00 0.00

7393‑7000 007000 2021 State School District Finance

V2153952 06/21/2021 0008740484 551100 475,827.00 Total Fund Budget Unit 475,827.00 0.00

7393‑7010 007010 2021 School District 20‑Mill Levy

V2152522 01/27/2021 0008612372 551100 2,202,473.00 V2153666 06/10/2021 0008729744 551100 1,934,768.00 Total Fund Budget Unit 4,137,241.00 0.00 Total Other State Aid from 7000 4,613,653.00 0.00 Total Aid 43,168,850.38 0.00 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 2021 were delayed until July 1, 2021. 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 7/6/2021
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