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

D0475 USD 475 GEARY COUNTY 0000063040

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 -2,131,609.43 J2210009 07/28/2020 N/A 551400 2,131,609.43 V21K0262 07/10/2020 0008452091 551100 2,131,609.43 V21K0540 10/12/2020 0008523895 551400 1,505,018.35 V21K0826 01/12/2021 0008597395 551400 2,073,696.71 V21K1112 04/12/2021 0008674828 551400 1,970,971.54 Total Fund Budget Unit 7,681,296.03 0.00

1000‑0290 000290 2021 School District Juvenile Detention Facilities

V21J0010 12/10/2020 0008573707 551100 24,673.00 V21J0023 06/10/2021 0008729815 551100 73,104.00 Total Fund Budget Unit 97,777.00 0.00

1000‑0320 000320 2021 Food Service Aid

V21N8281 06/15/2021 0008734158 551100 31,702.17 Total Fund Budget Unit 31,702.17 0.00

1000‑0440 000440 2021 Mentor Teacher

V21M0202 06/10/2021 0008730020 551100 32,053.00 Total Fund Budget Unit 32,053.00 0.00

1000‑0700 000700 2021 Special Education Services Aid

V21S0254 10/12/2020 0008524181 551100 1,718,146.00 V21S0545 12/10/2020 0008573965 551100 1,736,613.00 V21S0836 03/10/2021 0008647950 551100 1,225,373.00 V21S1126 04/12/2021 0008675114 551100 1,185,163.00 V21S1417 05/26/2021 0008717610 551100 2,269,167.00 Total Fund Budget Unit 8,134,462.00 0.00

1000‑0770 000770 2021 Governor's Teaching Excellence Awards

V21B0032 05/11/2021 0008701432 551100 5,000.00 Total Fund Budget Unit 5,000.00 0.00

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

V2150547 07/07/2020 0008449215 551100 1,934,645.00 V2150833 07/29/2020 0008468164 551100 1,934,645.00 V2151119 08/27/2020 0008490359 551100 3,137,891.00 V2151397 09/28/2020 0008513880 551100 2,879,424.00 V2151683 10/28/2020 0008541310 551100 2,984,769.00 V2151969 11/25/2020 0008564385 551100 2,949,654.00 V2152256 12/29/2020 0008588805 551100 2,879,424.00 V2152828 02/24/2021 0008637039 551100 2,380,394.00 V2153114 03/29/2021 0008664452 551100 2,407,555.00 V2153400 04/28/2021 0008692483 551100 1,928,992.00 Total Account by Grant Year 25,417,393.00 0.00

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

V2250254 07/06/2021 N/A 551100 1,692,173.00 Total Account by Grant Year 1,692,173.00 0.00 Total Fund Budget Unit 27,109,566.00 0.00

1000‑0840 000840 2021 Supplemental State Aid (LOB)

V21L0439 09/28/2020 0008514152 551100 5,001,441.00 V21L0671 01/27/2021 0008612756 551100 4,903,079.00 V21L0903 06/21/2021 0008740743 551100 1,289,710.00 Total Account by Grant Year 11,194,230.00 0.00

1000‑0840 000840 2022 Supplemental State Aid (LOB)

V22L0207 07/06/2021 N/A 551100 970,949.00 Total Account by Grant Year 970,949.00 0.00 Total Fund Budget Unit 12,165,179.00 0.00

1000‑0860 000860 2021 Professional Development Aid

V21D0214 06/15/2021 0008733799 551100 27,367.00 Total Fund Budget Unit 27,367.00 0.00

1000‑0880 000880 2021 School District Capital Outlay

V21O0159 02/18/2021 0008628507 551100 839,115.00 Total Fund Budget Unit 839,115.00 0.00 Total State Aid 56,123,517.20 0.00

Special Revenue State Aid

2000‑2408 002408 2020 CIF‑ Children's Cabinet

V2100161 07/23/2020 0008460472 555900 100,295.94 Total Fund Budget Unit 100,295.94 0.00

2000‑2510 002510 2021 CIF‑Parent Education Program

V21P0214 09/10/2020 0008499011 551100 72,535.00 V21P0700 03/10/2021 0008647684 551100 36,268.00 V21P0965 06/17/2021 0008736686 551100 36,267.00 Total Fund Budget Unit 145,070.00 0.00

2000‑2535 002535 2021 CIF‑Pre‑ K‑ Pilot

V21P0156 08/18/2020 0008480523 551100 42,038.00 V21P0410 11/10/2020 0008550343 551100 42,038.00 V21P0627 02/11/2021 0008623603 551100 42,038.00 V21P0892 05/25/2021 0008712769 551100 42,036.00 Total Fund Budget Unit 168,150.00 0.00

2538‑2030 002030 2021 State Safety

V21T0181 02/11/2021 0008623806 551100 9,690.00 Total Fund Budget Unit 9,690.00 0.00

2880‑2880 002880 2021 School District Capital Improvement

V21C0098 07/29/2020 0008468269 551100 3,538,424.00 V21C0221 01/27/2021 0008612497 551100 1,167,906.00 Total Fund Budget Unit 4,706,330.00 0.00 Total Special Revenue State Aid 5,129,535.94 0.00

Federal Aid

3113‑3113 003113 2020 ESSA‑StudSpprt Academic Enrich FloThru S424A190017 19E CFDA 84.424A

V21F0118 07/13/2020 0008452810 550100 80.00 V21F0388 09/08/2020 0008496819 550100 22,827.00 Total Account by Grant Year 22,907.00 0.00

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

V21F2205 04/05/2021 0008669774 550100 5,106.00 V21F2478 05/03/2021 0008695366 550100 1,735.00 V21F2760 06/07/2021 0008725248 550100 2,095.00 Total Account by Grant Year 8,936.00 0.00 Total Fund Budget Unit 31,843.00 0.00

3131‑3130 1111 U00516 2020 Consolidated Admin Pool Pool CFDA 

V2101310 12/14/2020 0008576823 526900 4,000.00 Total Fund Budget Unit 4,000.00 0.00

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

V21N1835 10/27/2020 0008536482 550100 251,037.20 Total Account by Grant Year 251,037.20 0.00

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

V21N2383 11/19/2020 0008555893 550100 287,055.76 V21N3098 12/15/2020 0008576894 550100 245,184.56 V21N4309 02/02/2021 0008616841 550100 199,514.72 V21N5318 03/09/2021 0008646466 550100 285,474.45 V21N5560 03/16/2021 0008652218 550100 332,457.71 V21N6407 04/20/2021 0008682218 550100 353,010.01 V21N7576 06/08/2021 0008728109 550100 379,665.27 V21N7806 06/14/2021 0008731972 550100 369,574.00 Total Account by Grant Year 2,451,936.48 0.00 Total Account 2,702,973.68 0.00

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

V21N1835 10/27/2020 0008536482 550100 25,897.29 Total Account by Grant Year 25,897.29 0.00

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

V21N2383 11/19/2020 0008555893 550100 29,587.36 V21N3098 12/15/2020 0008576894 550100 25,265.11 V21N4309 02/02/2021 0008616841 550100 20,554.66 V21N5318 03/09/2021 0008646466 550100 29,398.21 V21N5560 03/16/2021 0008652218 550100 34,235.65 V21N6407 04/20/2021 0008682218 550100 36,330.07 V21N7576 06/08/2021 0008728109 550100 39,101.22 V21N7806 06/14/2021 0008731972 550100 38,040.09 Total Account by Grant Year 252,512.37 0.00 Total Account 278,409.66 0.00

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

V21N2016 11/10/2020 0008565042 550100 4,305.00 V21N3306 12/28/2020 0008584189 550100 12.50 Total Account by Grant Year 4,317.50 0.00

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

V21N2769 12/08/2020 0008571477 550100 11,588.50 V21N3423 01/05/2021 0008592349 550100 7,373.50 V21N4448 02/09/2021 0008621470 550100 10,948.50 V21N5507 03/16/2021 0008652166 550100 19,612.50 V21N6033 04/13/2021 0008676559 550100 19,546.50 V21N8013 06/15/2021 0008733891 550100 24,709.52 Total Account by Grant Year 93,779.02 0.00 Total Account 98,096.52 0.00

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

V21N0308 07/21/2020 0008458975 550100 407.94 V21N0653 08/18/2020 0008480379 550100 331.76 V21N0842 09/08/2020 0008496870 550100 119.19 V21N1835 10/27/2020 0008536482 550100 1,189.13 Total Account by Grant Year 2,048.02 0.00

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

V21N2383 11/19/2020 0008555893 550100 1,375.37 V21N3098 12/15/2020 0008576894 550100 1,178.72 V21N4309 02/02/2021 0008616841 550100 961.83 V21N5318 03/09/2021 0008646466 550100 1,302.20 V21N5560 03/16/2021 0008652218 550100 1,517.04 V21N6407 04/20/2021 0008682218 550100 1,623.69 V21N7576 06/08/2021 0008728109 550100 1,729.97 V21N7806 06/14/2021 0008731972 550100 1,696.76 Total Account by Grant Year 11,385.58 0.00 Total Account 13,433.60 0.00 Total Fund Budget Unit 3,092,913.46 0.00

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

V21F0388 09/08/2020 0008496819 550100 100,948.00 V21F0610 10/05/2020 0008519049 550100 122,382.00 V21F1716 02/01/2021 0008615352 550100 307,197.00 V21F1980 03/08/2021 0008644625 550100 111,818.00 V21F2205 04/05/2021 0008669774 550100 174,058.00 V21F2760 06/07/2021 0008725248 550100 174,214.00 Total Account 990,617.00 0.00

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

V21F0388 09/08/2020 0008496819 550100 14,725.00 V21F0610 10/05/2020 0008519049 550100 3,909.00 V21F1167 12/07/2020 0008570134 550100 784.00 V21F2478 05/03/2021 0008695366 550100 16,638.00 V21F2760 06/07/2021 0008725248 550100 21,105.00 Total Account 57,161.00 0.00

3233‑3040 003040 9930 2020 T I  Sec 2 Delinquen S010A190016 19E CFDA 84.010A

V21F0118 07/13/2020 0008452810 550100 3,453.00 V21F0388 09/08/2020 0008496819 550100 18,318.00 V21F0610 10/05/2020 0008519049 550100 1,257.00 V21F0872 11/02/2020 0008544033 550100 4,401.00 V21F1167 12/07/2020 0008570134 550100 9,832.00 V21F1716 02/01/2021 0008615352 550100 404.00 V21F2205 04/05/2021 0008669774 550100 20,706.00 V21F2478 05/03/2021 0008695366 550100 5,669.00 Total Account 64,040.00 0.00 Total Fund Budget Unit 1,111,818.00 0.00

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

V21F0610 10/05/2020 0008519049 550100 2,056.00 V21F0610 10/05/2020 0008519049 550100 155,377.00 V21F0872 11/02/2020 0008544033 550100 2,056.00 V21F0872 11/02/2020 0008544033 550100 155,377.00 V21F1167 12/07/2020 0008570134 550100 2,056.00 V21F1167 12/07/2020 0008570134 550100 155,377.00 V21F1454 01/04/2021 0008590935 550100 2,340.00 Total Account by Grant Year 474,639.00 0.00

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

V21F1454 01/04/2021 0008590935 550100 177,846.00 V21F1716 02/01/2021 0008615352 550100 177,846.00 V21F1716 02/01/2021 0008615352 550100 2,412.00 V21F1980 03/08/2021 0008644625 550100 2,411.00 V21F1980 03/08/2021 0008644625 550100 177,846.00 V21F2205 04/05/2021 0008669774 550100 2,412.00 V21F2205 04/05/2021 0008669774 550100 177,846.00 V21F2478 05/03/2021 0008695366 550100 2,412.00 V21F2478 05/03/2021 0008695366 550100 177,847.00 V21F2760 06/07/2021 0008725248 550100 2,411.00 V21F2760 06/07/2021 0008725248 550100 177,846.00 Total Account by Grant Year 1,079,135.00 0.00 Total Account 1,553,774.00 0.00

3234‑3050 003050 5000 2020 EHC Flo‑Thru Disc H027A190031 19E CFDA 84.027A

V21F0118 07/13/2020 0008452810 550100 11,374.00 Total Account by Grant Year 11,374.00 0.00

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

V21F1454 01/04/2021 0008590935 550100 21,407.00 V21F1716 02/01/2021 0008615352 550100 5,998.00 V21F1980 03/08/2021 0008644625 550100 5,998.00 V21F2205 04/05/2021 0008669774 550100 5,998.00 V21F2478 05/03/2021 0008695366 550100 6,000.00 V21F2760 06/07/2021 0008725248 550100 5,997.00 Total Account by Grant Year 51,398.00 0.00 Total Account 62,772.00 0.00 Total Fund Budget Unit 1,616,546.00 0.00

3323‑0531 000531 2021 TANF‑ Early Learning Kansans 93.558 93.558 CFDA 93.558

V21P0295 10/22/2020 0008532517 550100 10,521.00 V21P0783 04/22/2021 0008683855 550100 64,235.00 Total Fund Budget Unit 74,756.00 0.00

3519‑3890 003890 2020 Title IV 21st Century Community Learning Center S287C190016 19E CFDA 84.287C

V21F0118 07/13/2020 0008452810 550100 2,882.00 V21F0118 07/13/2020 0008452810 550100 3,358.00 V21F0118 07/13/2020 0008452810 550100 3,543.00 V21F0118 07/13/2020 0008452810 550100 3,710.00 V21F0388 09/08/2020 0008496819 550100 381.00 V21F0388 09/08/2020 0008496819 550100 5,469.00 V21F0388 09/08/2020 0008496819 550100 10,288.00 V21F0610 10/05/2020 0008519049 550100 117.00 V21F0610 10/05/2020 0008519049 550100 1,266.00 V21F0872 11/02/2020 0008544033 550100 2,596.00 V21F0872 11/02/2020 0008544033 550100 3,159.00 V21F0872 11/02/2020 0008544033 550100 5,214.00 V21F0872 11/02/2020 0008544033 550100 6,252.00 V21F1167 12/07/2020 0008570134 550100 2,146.00 V21F1167 12/07/2020 0008570134 550100 4,047.00 V21F1167 12/07/2020 0008570134 550100 4,808.00 V21F1167 12/07/2020 0008570134 550100 4,874.00 V21F1454 01/04/2021 0008590935 550100 6,207.00 V21F1454 01/04/2021 0008590935 550100 8,650.00 V21F1454 01/04/2021 0008590935 550100 9,930.00 V21F1454 01/04/2021 0008590935 550100 10,873.00 V21F1716 02/01/2021 0008615352 550100 4,018.00 V21F1716 02/01/2021 0008615352 550100 4,485.00 V21F1716 02/01/2021 0008615352 550100 4,530.00 V21F1716 02/01/2021 0008615352 550100 5,743.00 V21F1980 03/08/2021 0008644625 550100 3,137.00 V21F1980 03/08/2021 0008644625 550100 3,895.00 V21F1980 03/08/2021 0008644625 550100 5,242.00 V21F1980 03/08/2021 0008644625 550100 9,379.00 V21F2205 04/05/2021 0008669774 550100 5,158.00 V21F2205 04/05/2021 0008669774 550100 7,384.00 V21F2205 04/05/2021 0008669774 550100 7,843.00 V21F2205 04/05/2021 0008669774 550100 10,330.00 V21F2205 04/05/2021 0008669774 550100 12,600.00 V21F2205 04/05/2021 0008669774 550100 12,810.00 V21F2205 04/05/2021 0008669774 550100 14,128.00 V21F2478 05/03/2021 0008695366 550100 2,828.00 V21F2760 06/07/2021 0008725248 550100 3,878.00 V21F2760 06/07/2021 0008725248 550100 14,839.00 Total Fund Budget Unit 231,997.00 0.00

3522‑3820 003820 2020 English Language Acquisition‑  Flo‑thru S365A190016 19E CFDA 84.365A

V21F0610 10/05/2020 0008519049 550100 9,810.00 V21F0872 11/02/2020 0008544033 550100 9,561.00 Total Account by Grant Year 19,371.00 0.00

3522‑3820 003820 2021 English Language Acquisition‑  Flo‑thru S365A200016 20E CFDA 84.365A

V21F1167 12/07/2020 0008570134 550100 4,602.00 V21F1454 01/04/2021 0008590935 550100 6,931.00 V21F1716 02/01/2021 0008615352 550100 6,987.00 V21F1980 03/08/2021 0008644625 550100 6,931.00 V21F2205 04/05/2021 0008669774 550100 8,931.00 Total Account by Grant Year 34,382.00 0.00 Total Fund Budget Unit 53,753.00 0.00

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

V21F0388 09/08/2020 0008496819 550100 63,304.00 V21F0610 10/05/2020 0008519049 550100 2,733.00 V21F0610 10/05/2020 0008519049 550100 74,869.00 V21F0872 11/02/2020 0008544033 550100 46,316.00 Total Account by Grant Year 187,222.00 0.00

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

V21F1167 12/07/2020 0008570134 550100 9,951.00 V21F1454 01/04/2021 0008590935 550100 18,643.00 V21F1716 02/01/2021 0008615352 550100 18,342.00 V21F1980 03/08/2021 0008644625 550100 18,596.00 V21F2205 04/05/2021 0008669774 550100 43,472.00 V21F2760 06/07/2021 0008725248 550100 39,896.00 Total Account by Grant Year 148,900.00 0.00 Total Fund Budget Unit 336,122.00 0.00

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

V21N0308 07/21/2020 0008458975 550100 8,260.79 V21N0308 07/21/2020 0008458975 550100 80,500.16 V21N0653 08/18/2020 0008480379 550100 6,732.68 V21N0653 08/18/2020 0008480379 550100 65,598.32 V21N0842 09/08/2020 0008496870 550100 2,413.60 V21N0842 09/08/2020 0008496870 550100 23,520.16 Total Fund Budget Unit 187,025.71 0.00

3531‑3510 003510 9921 2020 Meal Costs 10.558 CFDA 10.558

V21N1891 10/27/2020 0008536534 550100 936.00 Total Account by Grant Year 936.00 0.00

3531‑3510 003510 9921 2021 Meal Costs 10.558 CFDA 10.558

V21N2701 12/01/2020 0008566395 550100 3,369.60 V21N3962 01/12/2021 0008597778 550100 5,937.60 V21N4926 02/23/2021 0008631523 550100 3,369.60 V21N5578 03/16/2021 0008652229 550100 3,764.16 V21N6433 04/20/2021 0008682240 550100 3,806.40 V21N7651 06/08/2021 0008728173 550100 2,878.08 V21N8431 06/15/2021 0008734262 550100 1,671.36 Total Account by Grant Year 24,796.80 0.00 Total Fund Budget Unit 25,732.80 0.00

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

V21F0118 07/13/2020 0008452810 550100 295,333.00 V21F0610 10/05/2020 0008519049 550100 20,078.00 Total Account by Grant Year 315,411.00 0.00

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

V21F0872 11/02/2020 0008544033 550100 38,347.00 V21F0872 11/02/2020 0008544033 550100 101,744.00 V21F1167 12/07/2020 0008570134 550100 9,616.00 V21F1167 12/07/2020 0008570134 550100 75,271.00 V21F1454 01/04/2021 0008590935 550100 2,851.00 V21F1454 01/04/2021 0008590935 550100 112,940.00 V21F1716 02/01/2021 0008615352 550100 91,736.00 V21F1980 03/08/2021 0008644625 550100 107,006.00 V21F2205 04/05/2021 0008669774 550100 120,485.00 V21F2205 04/05/2021 0008669774 550100 148,885.00 V21F2478 05/03/2021 0008695366 550100 83,728.00 V21F2760 06/07/2021 0008725248 550100 280,922.00 Total Account by Grant Year 1,173,531.00 0.00 Total Fund Budget Unit 1,488,942.00 0.00

3535‑3550 003550 1000 2020 EC Flo‑Thru H173A190034 19E CFDA 84.173A

V21F0610 10/05/2020 0008519049 550100 6,020.00 V21F0872 11/02/2020 0008544033 550100 6,020.00 V21F1167 12/07/2020 0008570134 550100 6,020.00 V21F1454 01/04/2021 0008590935 550100 7,023.00 Total Account by Grant Year 25,083.00 0.00

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

V21F1716 02/01/2021 0008615352 550100 7,023.00 V21F1980 03/08/2021 0008644625 550100 7,022.00 V21F2205 04/05/2021 0008669774 550100 7,023.00 V21F2478 05/03/2021 0008695366 550100 7,023.00 V21F2760 06/07/2021 0008725248 550100 7,022.00 Total Account by Grant Year 35,113.00 0.00 Total Fund Budget Unit 60,196.00 0.00

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

F21F0388 10/02/2020 N/A 550100 -35,916.00 V21F0118 07/13/2020 0008452810 550100 3,815.00 V21F0388 09/08/2020 0008496819 550100 35,916.00 Total Account by Grant Year 3,815.00 0.00

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

F21F0388 10/02/2020 N/A 550100 35,916.00 V21F0610 10/05/2020 0008519049 550100 4,713.00 V21F0872 11/02/2020 0008544033 550100 226.00 V21F0872 11/02/2020 0008544033 550100 4,513.00 V21F1454 01/04/2021 0008590935 550100 3,554.00 V21F1716 02/01/2021 0008615352 550100 392.00 V21F2205 04/05/2021 0008669774 550100 2,745.00 V21F2760 06/07/2021 0008725248 550100 20,262.00 Total Account by Grant Year 72,321.00 0.00 Total Fund Budget Unit 76,136.00 0.00

3592‑3070 U00386 2021 Homeless Child  FY2021 S196A200017 20E CFDA 84.196A

V21F0872 11/02/2020 0008544033 550100 5,096.00 V21F1167 12/07/2020 0008570134 550100 2,218.00 V21F1454 01/04/2021 0008590935 550100 5,451.00 V21F1716 02/01/2021 0008615352 550100 790.00 V21F1980 03/08/2021 0008644625 550100 913.00 V21F2205 04/05/2021 0008669774 550100 4,168.00 V21F2478 05/03/2021 0008695366 550100 5,459.00 Total Account 24,095.00 0.00

3592‑3070 U00609 2021 Homeless Child  FY2020 S196A190017 19E CFDA 84.196A

V21F0118 07/13/2020 0008452810 550100 802.00 V21F0388 09/08/2020 0008496819 550100 1,475.00 V21F0610 10/05/2020 0008519049 550100 2,659.00 Total Account 4,936.00 0.00 Total Fund Budget Unit 29,031.00 0.00 Total Federal Aid 8,420,811.97 0.00

Other State Aid from 7000

7005‑7005 007005 2021 USD Contribution Checkoff Fund

V21A0217 02/10/2021 0008622775 559900 124.00 Total Fund Budget Unit 124.00 0.00

7393‑7000 007000 2021 State School District Finance

V2153972 06/21/2021 0008740504 551100 570,967.00 Total Fund Budget Unit 570,967.00 0.00

7393‑7010 007010 2021 School District 20‑Mill Levy

V2152542 01/27/2021 0008612392 551100 3,099,621.00 V2153686 06/10/2021 0008729764 551100 2,321,619.00 Total Fund Budget Unit 5,421,240.00 0.00 Total Other State Aid from 7000 5,992,331.00 0.00 Total Aid 75,666,196.11 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
Back to the CPA State Funding Reports County