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

S0173 DEPARTMENT OF ADMINISTRATION 17300

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

State Aid

1000‑0053 A00001 2021 State Board of Education ‑ SGF

M2101969 02/23/2021 N/A 520600 -14.82 V2100179 07/24/2020 0000194156 523800 1,781.50 V2100396 08/20/2020 0000195229 520600 1.08 V2100453 08/31/2020 0000195500 537100 46.62 V2100808 10/20/2020 0000197736 523800 1,781.50 V2101004 11/06/2020 0000198351 520600 3.27 V2101187 12/01/2020 0000199285 520600 18.24 V2101509 12/29/2020 0000200679 520600 28.63 V2101626 01/13/2021 0000201259 523800 1,781.50 V2101673 01/25/2021 N/A 520600 1.16 V2101969 02/22/2021 CANCELLED 520600 14.82 V2102012 02/24/2021 0000203213 520600 14.82 V2102212 03/22/2021 0000204436 520600 14.31 V2102478 04/22/2021 0000205988 520600 15.20 V2102534 04/27/2021 0000206274 523800 1,781.50 V2103072 06/03/2021 0000208048 520600 3.08 V2103301 06/16/2021 0000208668 520600 20.80 Total Account 7,293.21 0.00

1000‑0053 B00100 2021 Commissioner of Education ‑ SGF

V2100179 07/24/2020 0000194156 523850 1,146.25 V2100179 07/24/2020 0000194156 523800 3,563.25 V2100623 09/22/2020 0000196415 520600 1.16 V2100808 10/20/2020 N/A 523850 1,146.25 V2100808 10/20/2020 N/A 523800 3,563.25 V2101004 11/06/2020 0000198351 520600 0.54 V2101626 01/13/2021 0000201259 523850 1,146.25 V2101626 01/13/2021 0000201259 523800 3,563.25 V2102212 03/22/2021 0000204436 520600 2.82 V2102478 04/22/2021 0000205988 520600 40.01 V2102534 04/27/2021 0000206274 523850 1,146.25 V2102534 04/27/2021 0000206274 523800 3,563.25 V2103301 06/16/2021 0000208668 520600 4.62 Total Account 18,887.15 0.00

1000‑0053 C00105 2021 Personnel and Human Resources ‑ SGF

V2100179 07/24/2020 0000194156 523850 946.00 V2100179 07/24/2020 0000194156 523800 4,410.50 V2100808 10/20/2020 N/A 523850 946.00 V2100808 10/20/2020 N/A 523800 4,410.50 V2101004 11/06/2020 0000198351 520600 0.54 V2101509 12/29/2020 0000200679 520600 15.39 V2101626 01/13/2021 0000201259 523850 946.00 V2101626 01/13/2021 0000201259 523800 4,410.50 V2102478 04/22/2021 0000205988 520600 1.71 V2102534 04/27/2021 0000206274 523850 946.00 V2102534 04/27/2021 0000206274 523800 4,410.50 V2103072 06/03/2021 0000208048 520600 1.27 Total Account 21,444.91 0.00

1000‑0053 D00110 2021 Communications and Recognition ‑ SGF

M2100382 08/24/2020 N/A 537100 -199.32 M2100382 08/24/2020 N/A 537100 -77.08 M2101969 02/23/2021 N/A 520600 -3.48 V2100179 07/24/2020 0000194156 523850 1,158.75 V2100179 07/24/2020 0000194156 523800 5,132.50 V2100193 07/28/2020 0000194157 520600 4.58 V2100382 08/19/2020 CANCELLED 537100 77.08 V2100382 08/19/2020 CANCELLED 537100 199.32 V2100408 08/25/2020 0000195305 537100 77.08 V2100409 08/25/2020 0000195306 537100 199.32 V2100808 10/20/2020 N/A 523850 1,158.75 V2100808 10/20/2020 N/A 523800 5,132.50 V2101004 11/06/2020 0000198351 520600 17.60 V2101187 12/01/2020 0000199285 520600 260.53 V2101509 12/29/2020 0000200679 520600 88.30 V2101626 01/13/2021 0000201259 523850 1,158.75 V2101626 01/13/2021 0000201259 523800 5,132.50 V2101673 01/25/2021 N/A 520600 28.12 V2101846 02/11/2021 0000202644 536900 15.00 V2101969 02/22/2021 CANCELLED 520600 3.48 V2102012 02/24/2021 0000203213 520600 3.48 V2102212 03/22/2021 0000204436 520600 18.71 V2102478 04/22/2021 0000205988 520600 310.03 V2102534 04/27/2021 0000206274 523850 1,158.75 V2102534 04/27/2021 0000206274 523800 5,132.50 V2102576 04/30/2021 0000206505 537100 291.38 V2103072 06/03/2021 0000208048 520600 173.04 V2103301 06/16/2021 0000208668 520600 2.40 Total Account 26,654.57 0.00

1000‑0053 D00111 2021 Publications and Graphics Arts ‑ SGF

V2100179 07/24/2020 0000194156 523850 231.75 V2100179 07/24/2020 0000194156 523800 1,080.50 V2100808 10/20/2020 N/A 523850 231.75 V2100808 10/20/2020 N/A 523800 1,080.50 V2101626 01/13/2021 0000201259 523850 231.75 V2101626 01/13/2021 0000201259 523800 1,080.50 V2102534 04/27/2021 0000206274 523850 231.75 V2102534 04/27/2021 0000206274 523800 1,080.50 Total Account 5,249.00 0.00

1000‑0053 E00115 2021 Legal Services ‑ SGF

V2100179 07/24/2020 0000194156 523850 1,026.25 V2100179 07/24/2020 0000194156 523800 4,785.25 V2100193 07/28/2020 0000194157 520600 46.08 V2100396 08/20/2020 0000195229 520600 7.61 V2100623 09/22/2020 0000196415 520600 2.08 V2100808 10/20/2020 N/A 523850 1,026.25 V2100808 10/20/2020 N/A 523800 4,785.25 V2101004 11/06/2020 0000198351 520600 19.20 V2101187 12/01/2020 0000199285 520600 1.08 V2101509 12/29/2020 0000200679 520600 6.24 V2101626 01/13/2021 0000201259 523850 1,026.25 V2101626 01/13/2021 0000201259 523800 4,785.25 V2101673 01/25/2021 N/A 520600 3.63 V2102212 03/22/2021 0000204436 520600 10.88 V2102478 04/22/2021 0000205988 520600 9.96 V2102534 04/27/2021 0000206274 523850 1,026.25 V2102534 04/27/2021 0000206274 523800 4,785.25 V2103072 06/03/2021 0000208048 520600 1.70 V2103301 06/16/2021 0000208668 520600 1.28 Total Account 23,355.74 0.00

1000‑0053 F00120 2021 Research and Evaluation ‑ SGF

V2100179 07/24/2020 0000194156 523800 803.25 V2100179 07/24/2020 0000194156 523850 947.25 V2100808 10/20/2020 N/A 523800 803.25 V2100808 10/20/2020 N/A 523850 947.25 V2101626 01/13/2021 0000201259 523800 803.25 V2101626 01/13/2021 0000201259 523850 947.25 V2102534 04/27/2021 0000206274 523800 803.25 V2102534 04/27/2021 0000206274 523850 947.25 Total Account 7,002.00 0.00

1000‑0053 G00125 2021 Deputy Commissioner ‑ FAS ‑ SGF

V2100179 07/24/2020 0000194156 523850 913.25 V2100179 07/24/2020 0000194156 523800 4,258.75 V2100193 07/28/2020 0000194157 520600 1.08 V2100396 08/20/2020 0000195229 520600 2.08 V2100623 09/22/2020 0000196415 520600 3.62 V2100808 10/20/2020 N/A 523850 913.25 V2100808 10/20/2020 N/A 523800 4,258.75 V2101004 11/06/2020 0000198351 520600 0.62 V2101187 12/01/2020 0000199285 520600 7.91 V2101626 01/13/2021 0000201259 523850 913.25 V2101626 01/13/2021 0000201259 523800 4,258.75 V2102534 04/27/2021 0000206274 523850 913.25 V2102534 04/27/2021 0000206274 523800 4,258.75 V2103301 06/16/2021 0000208668 520600 17.00 Total Account 20,720.31 0.00

1000‑0053 H00130 2020 Fiscal Services and Operations ‑ SGF

V2100198 07/28/2020 0000194064 523900 330.00 Total Account by Grant Year 330.00 0.00

1000‑0053 H00130 2021 Fiscal Services and Operations ‑ SGF

M2101969 02/23/2021 N/A 520600 -76.25 V2100175 07/23/2020 0000193891 526320 70,200.00 V2100179 07/24/2020 0000194156 523850 2,759.64 V2100179 07/24/2020 0000194156 523800 12,865.49 V2100180 07/24/2020 0000193975 526900 165,379.00 V2100193 07/28/2020 0000194157 520600 21.64 V2100396 08/20/2020 0000195229 520600 57.46 V2100582 09/15/2020 N/A 523900 330.00 V2100623 09/22/2020 0000196415 520600 46.08 V2100808 10/20/2020 N/A 523850 2,759.64 V2100808 10/20/2020 N/A 523800 12,865.49 V2100864 10/22/2020 0000197690 523900 330.00 V2100884 10/26/2020 0000197859 522100 112.22 V2101004 11/06/2020 0000198351 520600 47.23 V2101028 11/10/2020 0000198476 523900 330.00 V2101187 12/01/2020 0000199285 520600 68.46 V2101335 12/16/2020 N/A 523900 330.00 V2101509 12/29/2020 0000200679 520600 47.39 V2101626 01/13/2021 0000201259 523850 2,759.63 V2101626 01/13/2021 0000201259 523800 12,865.50 V2101673 01/25/2021 N/A 520600 63.70 V2101692 01/27/2021 0000201860 537100 140.00 V2101833 02/10/2021 0000202532 529600 239.45 V2101969 02/22/2021 CANCELLED 520600 76.25 V2101988 02/24/2021 0000203273 525130 965.00 V2102012 02/24/2021 0000203213 520600 76.25 V2102017 02/25/2021 N/A 523900 330.00 V2102125 03/10/2021 0000203910 523900 330.00 V2102212 03/22/2021 0000204436 520600 127.96 V2102217 03/23/2021 0000204516 523900 330.00 V2102395 04/14/2021 0000205454 523900 330.00 V2102478 04/22/2021 0000205988 520600 48.00 V2102534 04/27/2021 0000206274 523850 2,759.65 V2102534 04/27/2021 0000206274 523800 12,865.50 V2102920 05/26/2021 0000207563 523900 330.00 V2102997 05/27/2021 0000207649 534100 5.00 V2102997 05/27/2021 0000207649 534100 9,973.00 V2103072 06/03/2021 0000208048 520600 33.11 V2103172 06/09/2021 0000208173 523900 330.00 V2103266 06/14/2021 0000208434 523900 330.00 V2103301 06/16/2021 0000208668 520600 47.90 Total Account by Grant Year 313,829.39 0.00 Total Account 314,159.39 0.00

1000‑0053 J00135 2021 School Finance ‑ SGF

M2101969 02/23/2021 N/A 520600 -85.41 V2100179 07/24/2020 0000194156 523850 2,097.50 V2100179 07/24/2020 0000194156 523800 8,940.75 V2100193 07/28/2020 0000194157 520600 367.00 V2100396 08/20/2020 0000195229 520600 38.68 V2100623 09/22/2020 0000196415 520600 17.95 V2100808 10/20/2020 N/A 523850 2,097.50 V2100808 10/20/2020 N/A 523800 8,940.75 V2101004 11/06/2020 0000198351 520600 37.27 V2101187 12/01/2020 0000199285 520600 375.38 V2101509 12/29/2020 0000200679 520600 63.06 V2101626 01/13/2021 0000201259 523850 2,097.50 V2101626 01/13/2021 0000201259 523800 8,940.75 V2101673 01/25/2021 N/A 520600 35.74 V2101969 02/22/2021 CANCELLED 520600 85.41 V2102012 02/24/2021 0000203213 520600 85.41 V2102212 03/22/2021 0000204436 520600 92.45 V2102478 04/22/2021 0000205988 520600 143.09 V2102534 04/27/2021 0000206274 523850 2,097.50 V2102534 04/27/2021 0000206274 523800 8,940.75 V2102561 04/29/2021 0000206437 537100 140.00 V2102570 04/29/2021 0000206439 537100 91.00 V2103072 06/03/2021 0000208048 520600 167.62 V2103301 06/16/2021 0000208668 520600 188.44 Total Account 45,996.09 0.00

1000‑0053 J00362 2021 Mental Health ‑ SGF

V2100179 07/24/2020 0000194156 523800 839.75 V2100808 10/20/2020 N/A 523800 839.75 V2101626 01/13/2021 0000201259 523800 839.75 V2102534 04/27/2021 0000206274 523800 839.75 Total Account 3,359.00 0.00

1000‑0053 J00960 2021 Safe & Secure Schools ‑ SGF

V2100179 07/24/2020 0000194156 523850 423.75 V2100179 07/24/2020 0000194156 523800 1,975.75 V2100808 10/20/2020 N/A 523850 423.75 V2100808 10/20/2020 N/A 523800 1,975.75 V2101626 01/13/2021 0000201259 523850 423.75 V2101626 01/13/2021 0000201259 523800 1,975.75 V2102534 04/27/2021 0000206274 523850 423.75 V2102534 04/27/2021 0000206274 523800 1,975.75 Total Account 9,598.00 0.00

1000‑0053 K00140 2020 Fiscal Auditing ‑ SGF

V2100198 07/28/2020 0000194064 523900 15.00 Total Account by Grant Year 15.00 0.00

1000‑0053 K00140 2021 Fiscal Auditing ‑ SGF

M2101969 02/23/2021 N/A 520600 -54.60 V2100179 07/24/2020 0000194156 523850 934.75 V2100179 07/24/2020 0000194156 523800 4,024.25 V2100193 07/28/2020 0000194157 520600 7.48 V2100396 08/20/2020 0000195229 520600 11.38 V2100582 09/15/2020 N/A 523900 15.00 V2100623 09/22/2020 0000196415 520600 102.81 V2100808 10/20/2020 N/A 523850 934.75 V2100808 10/20/2020 N/A 523800 4,024.25 V2100864 10/22/2020 0000197690 523900 15.00 V2101028 11/10/2020 0000198476 523900 15.00 V2101187 12/01/2020 0000199285 520600 77.72 V2101335 12/16/2020 N/A 523900 15.00 V2101509 12/29/2020 0000200679 520600 41.15 V2101605 01/11/2021 0000201094 526610 60.00 V2101626 01/13/2021 0000201259 523850 934.75 V2101626 01/13/2021 0000201259 523800 4,024.25 V2101673 01/25/2021 N/A 520600 3.72 V2101969 02/22/2021 CANCELLED 520600 54.60 V2102012 02/24/2021 0000203213 520600 54.60 V2102017 02/25/2021 N/A 523900 15.00 V2102125 03/10/2021 0000203910 523900 15.00 V2102212 03/22/2021 0000204436 520600 22.77 V2102217 03/23/2021 0000204516 523900 15.00 V2102395 04/14/2021 0000205454 523900 15.00 V2102478 04/22/2021 0000205988 520600 85.90 V2102534 04/27/2021 0000206274 523850 934.75 V2102534 04/27/2021 0000206274 523800 4,024.25 V2102920 05/26/2021 0000207563 523900 15.00 V2103072 06/03/2021 0000208048 520600 28.98 V2103083 06/04/2021 0000207978 526610 60.00 V2103172 06/09/2021 0000208173 523900 15.00 V2103266 06/14/2021 0000208434 523900 15.00 Total Account by Grant Year 20,557.51 0.00 Total Account 20,572.51 0.00

1000‑0053 L00145 2021 Word Processing ‑ SGF

V2100179 07/24/2020 0000194156 523850 1,312.00 V2100179 07/24/2020 0000194156 523800 6,118.00 V2100808 10/20/2020 N/A 523850 1,312.00 V2100808 10/20/2020 N/A 523800 6,118.00 V2101626 01/13/2021 0000201259 523850 1,312.00 V2101626 01/13/2021 0000201259 523800 6,118.00 V2102534 04/27/2021 0000206274 523850 1,312.00 V2102534 04/27/2021 0000206274 523800 6,118.00 Total Account 29,720.00 0.00

1000‑0053 M00079 2021 Professional Development ‑ SGF

V2100179 07/24/2020 0000194156 523800 1,190.75 V2100808 10/20/2020 N/A 523800 1,190.75 V2101626 01/13/2021 0000201259 523800 1,190.75 V2102534 04/27/2021 0000206274 523800 1,190.75 Total Account 4,763.00 0.00

1000‑0053 M00126 2021 State Accreditation ‑ KEEP ‑ SGF

V2100179 07/24/2020 0000194156 523800 1,736.75 V2100808 10/20/2020 N/A 523800 1,736.75 V2101626 01/13/2021 0000201259 523800 1,736.75 V2102534 04/27/2021 0000206274 523800 1,736.75 Total Account 6,947.00 0.00

1000‑0053 M00128 2021 State Accreditation ‑ SGF

V2100179 07/24/2020 0000194156 523800 2,183.25 V2100808 10/20/2020 N/A 523800 2,183.25 V2101626 01/13/2021 0000201259 523800 2,183.25 V2102534 04/27/2021 0000206274 523800 2,183.25 Total Account 8,733.00 0.00

1000‑0053 M00153 2021 Teacher Education ‑ SGF

V2100179 07/24/2020 0000194156 523800 1,736.75 V2100179 07/24/2020 0000194156 523850 2,820.00 V2100396 08/20/2020 0000195229 520600 5.09 V2100808 10/20/2020 N/A 523800 1,736.75 V2100808 10/20/2020 N/A 523850 2,820.00 V2101187 12/01/2020 0000199285 520600 2.16 V2101626 01/13/2021 0000201259 523800 1,736.75 V2101626 01/13/2021 0000201259 523850 2,820.00 V2101673 01/25/2021 N/A 520600 2.70 V2102212 03/22/2021 0000204436 520600 1.64 V2102534 04/27/2021 0000206274 523800 1,736.75 V2102534 04/27/2021 0000206274 523850 2,820.00 Total Account 18,238.59 0.00

1000‑0053 M00156 2021 Certified Personnel List ‑ SGF

V2100179 07/24/2020 0000194156 523800 496.25 V2100808 10/20/2020 N/A 523800 496.25 V2101626 01/13/2021 0000201259 523800 496.25 V2102534 04/27/2021 0000206274 523800 496.25 Total Account 1,985.00 0.00

1000‑0053 N00155 2020 Information Technology ‑ SGF

V2100245 08/04/2020 0000194418 526900 5.00 Total Account by Grant Year 5.00 0.00

1000‑0053 N00155 2021 Information Technology ‑ SGF

M2101969 02/23/2021 N/A 520600 -3.45 V2100179 07/24/2020 0000194156 523850 11,405.25 V2100179 07/24/2020 0000194156 523800 21,561.25 V2100396 08/20/2020 0000195229 520600 1.62 V2100808 10/20/2020 N/A 523850 11,405.25 V2100808 10/20/2020 N/A 523800 21,561.25 V2101004 11/06/2020 0000198351 520600 0.54 V2101626 01/13/2021 0000201259 523850 11,405.25 V2101626 01/13/2021 0000201259 523800 21,561.25 V2101969 02/22/2021 CANCELLED 520600 3.45 V2102012 02/24/2021 0000203213 520600 3.45 V2102212 03/22/2021 0000204436 520600 1.64 V2102478 04/22/2021 0000205988 520600 6.36 V2102534 04/27/2021 0000206274 523850 11,405.25 V2102534 04/27/2021 0000206274 523800 21,561.23 V2102852 05/19/2021 0000207234 534100 28.06 V2103301 06/16/2021 0000208668 520600 1.96 Total Account by Grant Year 131,909.61 0.00 Total Account 131,914.61 0.00

1000‑0053 N00195 2021 IT ‑ State Accreditation ‑ SGF

V2100179 07/24/2020 0000194156 523800 536.00 V2100808 10/20/2020 N/A 523800 536.00 V2101626 01/13/2021 0000201259 523800 536.00 V2102534 04/27/2021 0000206274 523800 536.00 Total Account 2,144.00 0.00

1000‑0053 N00368 2021 Mental Health ‑ SGF

V2100179 07/24/2020 0000194156 523800 1,447.50 V2100808 10/20/2020 N/A 523800 1,447.50 V2101626 01/13/2021 0000201259 523800 1,447.50 V2102534 04/27/2021 0000206274 523800 1,447.50 Total Account 5,790.00 0.00

1000‑0053 N00604 2021 IT ‑ Enterprise Data Sysyem ‑ SGF

V2100179 07/24/2020 0000194156 523800 9,381.50 V2100808 10/20/2020 N/A 523800 9,381.50 V2101626 01/13/2021 0000201259 523800 9,381.50 V2102534 04/27/2021 0000206274 523800 9,381.50 Total Account 37,526.00 0.00

1000‑0053 N00672 2021 KIDS Data System Support ‑ SGF

V2100179 07/24/2020 0000194156 523800 7,826.75 V2100808 10/20/2020 N/A 523800 7,826.75 V2101626 01/13/2021 0000201259 523800 7,826.75 V2102534 04/27/2021 0000206274 523800 7,826.75 Total Account 31,307.00 0.00

1000‑0053 P00160 2021 Deputy Commissioner ‑ DLS ‑ SGF

M2101969 02/23/2021 N/A 520600 -16.69 V2100179 07/24/2020 0000194156 523850 1,212.50 V2100179 07/24/2020 0000194156 523800 3,392.00 V2100396 08/20/2020 0000195229 520600 23.18 V2100623 09/22/2020 0000196415 520600 13.18 V2100808 10/20/2020 N/A 523850 1,212.50 V2100808 10/20/2020 N/A 523800 3,392.00 V2101004 11/06/2020 0000198351 520600 1.62 V2101187 12/01/2020 0000199285 520600 28.20 V2101509 12/29/2020 0000200679 520600 77.84 V2101626 01/13/2021 0000201259 523850 1,212.50 V2101626 01/13/2021 0000201259 523800 3,392.00 V2101673 01/25/2021 N/A 520600 59.67 V2101969 02/22/2021 CANCELLED 520600 16.69 V2102012 02/24/2021 0000203213 520600 16.69 V2102141 03/12/2021 0000203968 522100 5,932.78 V2102212 03/22/2021 0000204436 520600 10.32 V2102478 04/22/2021 0000205988 520600 156.95 V2102534 04/27/2021 0000206274 523850 1,212.50 V2102534 04/27/2021 0000206274 523800 3,392.00 V2103072 06/03/2021 0000208048 520600 83.97 V2103301 06/16/2021 0000208668 520600 72.77 Total Account 24,895.17 0.00

1000‑0053 R00200 2021 Child Nutrition and Wellness ‑ SGF

V2100179 07/24/2020 0000194156 523850 6,629.50 V2100179 07/24/2020 0000194156 523800 7,431.25 V2100808 10/20/2020 N/A 523850 6,629.50 V2100808 10/20/2020 N/A 523800 7,431.25 V2101626 01/13/2021 0000201259 523850 6,629.50 V2101626 01/13/2021 0000201259 523800 7,431.25 V2102534 04/27/2021 0000206274 523850 6,629.50 V2102534 04/27/2021 0000206274 523800 7,431.25 Total Account 56,243.00 0.00

1000‑0053 S00300 2021 Career, Standards and Assessment Services ‑ SGF

V2100179 07/24/2020 0000194156 523850 5,405.75 V2100179 07/24/2020 0000194156 523800 19,032.50 V2100193 07/28/2020 0000194157 520600 8.87 V2100396 08/20/2020 0000195229 520600 7.79 V2100623 09/22/2020 0000196415 520600 2.94 V2100808 10/20/2020 N/A 523850 5,405.75 V2100808 10/20/2020 N/A 523800 19,032.50 V2101004 11/06/2020 0000198351 520600 0.54 V2101187 12/01/2020 0000199285 520600 11.36 V2101626 01/13/2021 0000201259 523850 5,405.75 V2101626 01/13/2021 0000201259 523800 19,032.50 V2101846 02/11/2021 0000202644 536900 10.00 V2102212 03/22/2021 0000204436 520600 763.77 V2102534 04/27/2021 0000206274 523850 5,405.75 V2102534 04/27/2021 0000206274 523800 19,032.50 V2102549 04/28/2021 0000206435 535300 5.17 V2103072 06/03/2021 0000208048 520600 4.62 V2103301 06/16/2021 0000208668 520600 1.71 Total Account 98,569.77 0.00

1000‑0053 S00387 2021 Virtual\Charter Schools ‑ SGF

V2100179 07/24/2020 0000194156 523800 252.00 V2100808 10/20/2020 N/A 523800 252.00 V2101626 01/13/2021 0000201259 523800 252.00 V2102534 04/27/2021 0000206274 523800 252.00 Total Account 1,008.00 0.00

1000‑0053 T00400 2021 Special Education Services ‑ SGF

V2100179 07/24/2020 0000194156 523850 4,056.75 V2100179 07/24/2020 0000194156 523800 4,372.00 V2100808 10/20/2020 N/A 523850 4,056.75 V2100808 10/20/2020 N/A 523800 4,372.00 V2101626 01/13/2021 0000201259 523850 4,056.75 V2101626 01/13/2021 0000201259 523800 4,372.00 V2102212 03/22/2021 0000204436 520600 1.10 V2102534 04/27/2021 0000206274 523850 4,056.75 V2102534 04/27/2021 0000206274 523800 4,372.00 Total Account 33,716.10 0.00

1000‑0053 U00500 2021 Title Programs and Services ‑ SGF

V2100179 07/24/2020 0000194156 523800 421.25 V2100179 07/24/2020 0000194156 523850 2,709.50 V2100808 10/20/2020 N/A 523800 421.25 V2100808 10/20/2020 N/A 523850 2,709.50 V2101004 11/06/2020 0000198351 520600 0.62 V2101626 01/13/2021 0000201259 523800 421.25 V2101626 01/13/2021 0000201259 523850 2,709.50 V2102534 04/27/2021 0000206274 523800 421.25 V2102534 04/27/2021 0000206274 523850 2,709.50 Total Account 12,523.62 0.00

1000‑0053 W00700 2021 Carl Perkins ‑ State match ‑ SGF

J2210028 03/25/2021 N/A 523800 3,086.75 J2210038 06/09/2021 N/A 523800 3,086.75 V2100179 07/24/2020 0000194156 523850 1,520.00 V2100179 07/24/2020 0000194156 523800 4,095.00 V2100193 07/28/2020 0000194157 520600 1.70 V2100808 10/20/2020 N/A 523850 1,520.00 V2100808 10/20/2020 N/A 523800 4,095.00 V2101004 11/06/2020 0000198351 520600 0.54 V2101509 12/29/2020 0000200679 520600 8.06 V2101626 01/13/2021 0000201259 523850 1,520.00 V2101626 01/13/2021 0000201259 523800 4,095.00 V2102212 03/22/2021 0000204436 520600 18.30 V2102478 04/22/2021 0000205988 520600 4.46 V2102534 04/27/2021 0000206274 523850 1,520.00 V2102534 04/27/2021 0000206274 523800 3,086.75 V2102534 04/27/2021 0000206274 523800 4,095.00 V2103072 06/03/2021 0000208048 520600 44.61 V2103162 06/09/2021 0000208172 527800 230.11 V2103301 06/16/2021 0000208668 520600 11.74 V2103301 06/16/2021 0000208668 520600 11.74 Total Account 32,051.51 0.00

1000‑0053 W00704 2021 Voc Education Student Organizations ‑ State match ‑ SGF

M2101969 02/23/2021 N/A 520600 -3.44 V2100179 07/24/2020 0000194156 523850 64.75 V2100179 07/24/2020 0000194156 523800 1,865.25 V2100193 07/28/2020 0000194157 520600 229.48 V2100396 08/20/2020 0000195229 520600 79.04 V2100623 09/22/2020 0000196415 520600 310.68 V2100808 10/20/2020 N/A 523850 64.75 V2100808 10/20/2020 N/A 523800 1,865.25 V2101004 11/06/2020 0000198351 520600 90.75 V2101004 11/06/2020 N/A 520600 96.30 V2101187 12/01/2020 0000199285 520600 232.54 V2101509 12/29/2020 0000200679 520600 27.69 V2101626 01/13/2021 0000201259 523850 64.75 V2101626 01/13/2021 0000201259 523800 416.08 V2101626 01/13/2021 0000201259 523800 1,449.17 V2101673 01/25/2021 N/A 520600 20.16 V2101969 02/22/2021 CANCELLED 520600 3.44 V2102012 02/24/2021 0000203213 520600 3.44 V2102212 03/22/2021 0000204436 520600 6.80 V2102478 04/22/2021 0000205988 520600 69.76 V2103072 06/03/2021 0000208048 520600 200.90 Total Account 7,157.54 0.00

1000‑0053 W00797 2021 Carl Perkins SPL ‑ State match ‑ SGF

V2100179 07/24/2020 0000194156 523800 756.25 V2100179 07/24/2020 0000194156 523850 1,211.00 V2100808 10/20/2020 N/A 523800 756.25 V2100808 10/20/2020 N/A 523850 1,211.00 V2101626 01/13/2021 0000201259 523800 756.25 V2101626 01/13/2021 0000201259 523850 1,211.00 Total Account 5,901.75 0.00

1000‑0053 Y00552 2021 Early Childhood ‑ SGF

V2100179 07/24/2020 0000194156 523850 1,217.00 V2100179 07/24/2020 0000194156 523800 1,418.75 V2100808 10/20/2020 N/A 523850 1,217.00 V2100808 10/20/2020 N/A 523800 1,418.75 V2101626 01/13/2021 0000201259 523850 1,217.00 V2101626 01/13/2021 0000201259 523800 1,418.75 V2102534 04/27/2021 0000206274 523850 1,217.00 V2102534 04/27/2021 0000206274 523800 1,418.75 Total Account 10,543.00 0.00

1000‑0053 Y00570 2021 Parent Education Admin ‑ SGF

V2100179 07/24/2020 0000194156 523800 945.75 V2100808 10/20/2020 N/A 523800 945.75 V2101626 01/13/2021 0000201259 523800 945.75 V2102534 04/27/2021 0000206274 523800 945.75 Total Account 3,783.00 0.00 Total State Aid 1,089,752.54 0.00

Special Revenue State Aid

2157‑2157 N00997 2021 Education Technology Coordinator

V2100179 07/24/2020 0000194156 523850 92.00 V2100179 07/24/2020 0000194156 523800 428.75 V2100180 07/24/2020 0000193975 526900 292.00 V2100808 10/20/2020 N/A 523850 92.00 V2100808 10/20/2020 N/A 523800 428.75 V2101626 01/13/2021 0000201259 523850 92.00 V2101626 01/13/2021 0000201259 523800 428.75 V2102534 04/27/2021 0000206274 523850 92.00 V2102534 04/27/2021 0000206274 523800 428.75 Total Fund Budget Unit 2,375.00 0.00

2230‑2010 R00298 2021 School Food Service Conference Fee Fund

V2100746 10/12/2020 0000197201 522100 121.39 Total Fund Budget Unit 121.39 0.00

2312‑2200 H00279 2021 ABPA ‑ IC F816/S816 (NAEP) 84.902 CFDA 84.902

V2102017 02/25/2021 N/A 523900 50.00 V2102125 03/10/2021 0000203910 523900 50.00 V2102217 03/23/2021 0000204516 523900 50.00 V2102395 04/14/2021 0000205454 523900 -50.00 Total Account 100.00 0.00

2312‑2200 H00676 2020 SLDS‑ARRA Indirect Cost R384A100024 9E CFDA 84.384

V2100245 08/04/2020 0000194418 527990 2,141.96 Total Account by Grant Year 2,141.96 0.00

2312‑2200 H00676 2021 SLDS‑ARRA Indirect Cost R384A100024 9E CFDA 84.384

V2101846 02/11/2021 0000202644 534100 189.99 V2101846 02/11/2021 0000202644 534100 193.72 V2102184 03/17/2021 0000204165 534100 32.95 V2102276 03/25/2021 0000204605 534100 129.50 Total Account by Grant Year 546.16 0.00 Total Account 2,688.12 0.00 Total Fund Budget Unit 2,788.12 0.00

2532‑2300 J00190 2020 School Bus Safety

V2100198 07/28/2020 0000194064 523900 35.00 Total Account by Grant Year 35.00 0.00

2532‑2300 J00190 2021 School Bus Safety

V2100179 07/24/2020 0000194156 523850 868.75 V2100179 07/24/2020 0000194156 523800 4,050.50 V2100180 07/24/2020 0000193975 526900 2,755.00 V2100396 08/20/2020 0000195229 520600 82.32 V2100582 09/15/2020 N/A 523900 35.00 V2100623 09/22/2020 0000196415 520600 31.23 V2100808 10/20/2020 N/A 523850 868.75 V2100808 10/20/2020 N/A 523800 4,050.50 V2100864 10/22/2020 0000197690 523900 35.00 V2101004 11/06/2020 0000198351 520600 46.89 V2101028 11/10/2020 0000198476 523900 35.00 V2101187 12/01/2020 0000199285 520600 56.93 V2101335 12/16/2020 N/A 523900 35.00 V2101509 12/29/2020 0000200679 520600 31.18 V2101626 01/13/2021 0000201259 523850 868.75 V2101626 01/13/2021 0000201259 523800 4,050.50 V2101673 01/25/2021 N/A 520600 35.78 V2102017 02/25/2021 N/A 523900 35.00 V2102125 03/10/2021 0000203910 523900 35.00 V2102212 03/22/2021 0000204436 520600 67.72 V2102217 03/23/2021 0000204516 523900 35.00 V2102395 04/14/2021 0000205454 523900 35.00 V2102478 04/22/2021 0000205988 520600 30.62 V2102534 04/27/2021 0000206274 523850 868.75 V2102534 04/27/2021 0000206274 523800 4,050.50 V2102920 05/26/2021 0000207563 523900 35.00 V2103072 06/03/2021 0000208048 520600 45.94 V2103172 06/09/2021 0000208173 523900 35.00 V2103266 06/14/2021 0000208434 523900 35.00 V2103301 06/16/2021 0000208668 520600 24.67 Total Account by Grant Year 23,270.28 0.00 Total Fund Budget Unit 23,305.28 0.00

2538‑2030 M00348 2021 State Safety

M2101969 02/23/2021 N/A 520600 -1.56 V2100179 07/24/2020 0000194156 523850 212.75 V2100179 07/24/2020 0000194156 523800 992.50 V2100180 07/24/2020 0000193975 526900 675.00 V2100193 07/28/2020 0000194157 520600 26.95 V2100396 08/20/2020 0000195229 520600 11.72 V2100623 09/22/2020 0000196415 520600 3.02 V2100808 10/20/2020 N/A 523850 212.75 V2100808 10/20/2020 N/A 523800 992.50 V2101004 11/06/2020 0000198351 520600 3.32 V2101187 12/01/2020 0000199285 520600 9.30 V2101509 12/29/2020 0000200679 520600 2.72 V2101626 01/13/2021 0000201259 523850 212.75 V2101626 01/13/2021 0000201259 523800 992.50 V2101673 01/25/2021 N/A 520600 62.22 V2101969 02/22/2021 CANCELLED 520600 1.56 V2102012 02/24/2021 0000203213 520600 1.56 V2102212 03/22/2021 0000204436 520600 15.24 V2102478 04/22/2021 0000205988 520600 3.68 V2102534 04/27/2021 0000206274 523850 212.75 V2102534 04/27/2021 0000206274 523800 992.50 V2103072 06/03/2021 0000208048 520600 8.43 V2103301 06/16/2021 0000208668 520600 42.59 Total Fund Budget Unit 5,686.75 0.00

2723‑2060 M00150 2021 Teacher & Administrator Fee Fund

M2101969 02/23/2021 N/A 520600 -478.43 V2100179 07/24/2020 0000194156 523850 2,926.50 V2100179 07/24/2020 0000194156 523800 13,645.25 V2100180 07/24/2020 0000193975 526900 9,281.00 V2100193 07/28/2020 0000194157 520600 927.50 V2100396 08/20/2020 0000195229 520600 1,316.58 V2100623 09/22/2020 0000196415 520600 1,279.86 V2100690 10/02/2020 0000196876 537100 1,570.39 V2100808 10/20/2020 N/A 523850 2,926.50 V2100808 10/20/2020 N/A 523800 13,645.25 V2101004 11/06/2020 0000198351 520600 572.04 V2101187 12/01/2020 0000199285 520600 998.25 V2101509 12/29/2020 0000200679 520600 679.57 V2101626 01/13/2021 0000201259 523850 2,926.50 V2101626 01/13/2021 0000201259 523800 13,645.25 V2101673 01/25/2021 N/A 520600 802.65 V2101969 02/22/2021 CANCELLED 520600 478.43 V2102012 02/24/2021 0000203213 520600 478.43 V2102212 03/22/2021 0000204436 520600 1,301.83 V2102478 04/22/2021 0000205988 520600 537.62 V2102534 04/27/2021 0000206274 523850 2,926.50 V2102534 04/27/2021 0000206274 523800 13,645.25 V2103072 06/03/2021 0000208048 520600 373.52 V2103301 06/16/2021 0000208668 520600 462.51 Total Account 86,868.75 0.00

2723‑2060 M00669 2021 Professional Practices Comission(was M151)

M2101969 02/23/2021 N/A 520600 -14.36 V2100193 07/28/2020 0000194157 520600 7.17 V2100396 08/20/2020 0000195229 520600 14.04 V2100623 09/22/2020 0000196415 520600 38.87 V2101004 11/06/2020 0000198351 520600 43.02 V2101187 12/01/2020 0000199285 520600 7.56 V2101673 01/25/2021 N/A 520600 7.71 V2101969 02/22/2021 CANCELLED 520600 14.36 V2102012 02/24/2021 0000203213 520600 14.36 V2102212 03/22/2021 0000204436 520600 7.28 V2102478 04/22/2021 0000205988 520600 3.00 V2103072 06/03/2021 0000208048 520600 36.28 V2103301 06/16/2021 0000208668 520600 1.28 Total Account 180.57 0.00

2723‑2060 N00193 2021 Teacher & Administrator Fee Fund

V2100179 07/24/2020 0000194156 523850 919.75 V2100179 07/24/2020 0000194156 523800 4,288.75 V2100180 07/24/2020 0000193975 526900 2,917.00 V2100808 10/20/2020 N/A 523850 919.75 V2100808 10/20/2020 N/A 523800 4,288.75 V2101626 01/13/2021 0000201259 523850 919.75 V2101626 01/13/2021 0000201259 523800 4,288.75 V2102534 04/27/2021 0000206274 523850 919.75 V2102534 04/27/2021 0000206274 523800 4,288.75 Total Account 23,751.00 0.00 Total Fund Budget Unit 110,800.32 0.00

2869‑2800 S00010 2021 Service Clearing Fund‑ Teachers in Spain

M2101969 02/23/2021 N/A 520600 -3.93 V2100193 07/28/2020 0000194157 520600 2.16 V2101004 11/06/2020 0000198351 520600 0.54 V2101673 01/25/2021 N/A 520600 7.01 V2101969 02/22/2021 CANCELLED 520600 3.93 V2102012 02/24/2021 0000203213 520600 3.93 Total Fund Budget Unit 13.64 0.00 Total Special Revenue State Aid 145,090.50 0.00

Federal Aid

3056‑3200 Y00559 2021 Coord. Counc. on EC (CCECDS/SICC) ‑ KDHE 84.181A CFDA 84.181A

V2100179 07/24/2020 0000194156 523800 283.75 V2100808 10/20/2020 N/A 523800 283.75 V2101626 01/13/2021 0000201259 523800 283.75 V2102534 04/27/2021 0000206274 523800 283.75 Total Fund Budget Unit 1,135.00 0.00

3113‑3113 U00771 2020 ESSA‑StudSpprt Academic Enrich, Set Aside S424A190017 19E CFDA 84.424A

V2103162 06/09/2021 0000208172 527800 407.40 Total Fund Budget Unit 407.40 0.00

3131‑3130 1111 F00103 2020 Consolidated Admin Pool Pool CFDA 

V2100179 07/24/2020 0000194156 523800 1,004.00 V2100808 10/20/2020 N/A 523800 1,004.00 V2101626 01/13/2021 0000201259 523800 1,004.00 Total Account by Grant Year 3,012.00 0.00

3131‑3130 1111 F00103 2021 Consolidated Admin Pool Pool CFDA 

V2102534 04/27/2021 0000206274 523800 1,004.00 Total Account by Grant Year 1,004.00 0.00 Total Account 4,016.00 0.00

3131‑3130 1111 N00175 2020 Consolidated Admin Pool Pool CFDA 

V2100179 07/24/2020 0000194156 523800 2,787.75 V2100808 10/20/2020 N/A 523800 2,787.75 V2101626 01/13/2021 0000201259 523800 2,787.75 Total Account by Grant Year 8,363.25 0.00

3131‑3130 1111 N00175 2021 Consolidated Admin Pool Pool CFDA 

V2102534 04/27/2021 0000206274 523800 2,787.75 Total Account by Grant Year 2,787.75 0.00 Total Account 11,151.00 0.00

3131‑3130 1111 P00770 2019 Consolidated Admin Pool Pool CFDA 

V2101335 12/16/2020 N/A 523900 15.00 Total Account by Grant Year 15.00 0.00

3131‑3130 1111 P00770 2020 Consolidated Admin Pool Pool CFDA 

V2100179 07/24/2020 0000194156 523800 2,261.25 V2100198 07/28/2020 0000194064 523900 15.00 V2100582 09/15/2020 N/A 523900 15.00 V2100808 10/20/2020 N/A 523800 2,261.25 V2100864 10/22/2020 0000197690 523900 15.00 V2101028 11/10/2020 0000198476 523900 15.00 V2101626 01/13/2021 0000201259 523800 2,261.25 Total Account by Grant Year 6,843.75 0.00

3131‑3130 1111 P00770 2021 Consolidated Admin Pool Pool CFDA 

V2102017 02/25/2021 N/A 523900 15.00 V2102125 03/10/2021 0000203910 523900 15.00 V2102217 03/23/2021 0000204516 523900 15.00 V2102395 04/14/2021 0000205454 523900 15.00 V2102534 04/27/2021 0000206274 523800 2,261.25 V2102920 05/26/2021 0000207563 523900 15.00 V2103172 06/09/2021 0000208173 523900 15.00 V2103266 06/14/2021 0000208434 523900 15.00 Total Account by Grant Year 2,366.25 0.00 Total Account 9,225.00 0.00

3131‑3130 1111 S00301 2020 Consolidated Admin Pool Pool CFDA 

V2100179 07/24/2020 0000194156 523800 1,512.25 V2100808 10/20/2020 N/A 523800 1,512.25 V2101626 01/13/2021 0000201259 523800 1,512.25 Total Account by Grant Year 4,536.75 0.00

3131‑3130 1111 S00301 2021 Consolidated Admin Pool Pool CFDA 

V2102534 04/27/2021 0000206274 523800 1,512.25 Total Account by Grant Year 1,512.25 0.00 Total Account 6,049.00 0.00

3131‑3130 1111 U00516 2020 Consolidated Admin Pool Pool CFDA 

V2100179 07/24/2020 0000194156 523800 8,116.00 V2100193 07/28/2020 0000194157 520600 2,495.27 V2100396 08/20/2020 0000195229 520600 25.22 V2100623 09/22/2020 0000196415 520600 5.30 V2100808 10/20/2020 N/A 523800 8,116.00 V2101004 11/06/2020 0000198351 520600 3.94 V2101187 12/01/2020 0000199285 520600 27.45 V2101626 01/13/2021 0000201259 523800 8,116.00 Total Account by Grant Year 26,905.18 0.00

3131‑3130 1111 U00516 2021 Consolidated Admin Pool Pool CFDA 

M2101969 02/23/2021 N/A 520600 -58.41 V2101969 02/22/2021 CANCELLED 520600 58.41 V2102012 02/24/2021 0000203213 520600 58.41 V2102478 04/22/2021 0000205988 520600 5.69 V2102534 04/27/2021 0000206274 523800 8,116.00 V2103072 06/03/2021 0000208048 520600 1.28 V2103162 06/09/2021 0000208172 527800 8,344.84 V2103301 06/16/2021 0000208668 520600 5.96 Total Account by Grant Year 16,532.18 0.00 Total Account 43,437.36 0.00

3131‑3130 1111 Y00555 2020 Consolidated Admin Pool Pool CFDA 

V2100179 07/24/2020 0000194156 523800 189.25 V2100808 10/20/2020 N/A 523800 189.25 V2101626 01/13/2021 0000201259 523800 189.25 Total Account by Grant Year 567.75 0.00

3131‑3130 1111 Y00555 2021 Consolidated Admin Pool Pool CFDA 

V2102534 04/27/2021 0000206274 523800 189.25 Total Account by Grant Year 189.25 0.00 Total Account 757.00 0.00 Total Fund Budget Unit 74,635.36 0.00

3230‑3020 R00201 2019 Federal School Food Service 10.560 CFDA 10.560

F2003478 08/14/2020 N/A 520600 355.00 Total Account by Grant Year 355.00 0.00

3230‑3020 R00201 2020 Federal School Food Service 10.560 CFDA 10.560

F2003478 08/14/2020 N/A 520600 -355.00 V2100179 07/24/2020 0000194156 523800 500.50 V2100179 07/24/2020 0000194156 523800 20,549.00 V2100193 07/28/2020 0000194157 520600 967.32 V2100198 07/28/2020 0000194064 523900 45.00 V2100310 08/12/2020 0000194831 537100 140.00 V2100311 08/12/2020 0000194832 537100 140.00 V2100312 08/12/2020 0000194833 537100 1,385.53 V2100396 08/20/2020 0000195229 520600 432.68 V2100582 09/15/2020 0000196032 523900 45.00 V2100623 09/22/2020 0000196415 520600 2,362.23 V2100752 10/12/2020 N/A 522100 1,506.72 V2100808 10/20/2020 N/A 523800 500.50 V2100808 10/20/2020 N/A 523800 20,549.00 V2100864 10/22/2020 0000197690 523900 45.00 V2101004 11/06/2020 0000198351 520600 520.52 V2101028 11/10/2020 0000198476 523900 45.00 V2101187 12/01/2020 0000199285 520600 753.19 V2101335 12/16/2020 0000200075 523900 45.00 Total Account by Grant Year 50,177.19 0.00

3230‑3020 R00201 2021 Federal School Food Service 10.560 CFDA 10.560

M2101969 02/23/2021 N/A 520600 -291.66 V2101509 12/29/2020 0000200679 520600 594.94 V2101626 01/13/2021 0000201259 523800 500.50 V2101626 01/13/2021 0000201259 523800 20,549.00 V2101673 01/25/2021 N/A 520600 424.31 V2101969 02/22/2021 CANCELLED 520600 291.66 V2102012 02/24/2021 0000203213 520600 291.66 V2102017 02/25/2021 0000203274 523900 45.00 V2102125 03/10/2021 0000203910 523900 45.00 V2102212 03/22/2021 0000204436 520600 288.36 V2102217 03/23/2021 0000204516 523900 45.00 V2102395 04/14/2021 0000205454 523900 45.00 V2102478 04/22/2021 0000205988 520600 2,373.77 V2102534 04/27/2021 0000206274 523800 500.50 V2102534 04/27/2021 0000206274 523800 20,549.00 V2102920 05/26/2021 0000207563 523900 45.00 V2103072 06/03/2021 0000208048 520600 355.62 V2103162 06/09/2021 0000208172 527800 11,958.88 V2103172 06/09/2021 0000208173 523900 45.00 V2103266 06/14/2021 0000208434 523900 45.00 V2103301 06/16/2021 0000208668 520600 117.36 Total Account by Grant Year 58,818.90 0.00 Total Account 109,351.09 0.00

3230‑3020 R00204 2020 School Food Summer Program 10.559 CFDA 10.559

V2100179 07/24/2020 0000194156 523800 2,473.00 V2100623 09/22/2020 0000196415 520600 126.73 V2101004 11/06/2020 0000198351 520600 1.11 Total Account by Grant Year 2,600.84 0.00

3230‑3020 R00204 2021 School Food Summer Program 10.559 CFDA 10.559

V2100808 10/20/2020 N/A 523800 2,473.00 V2101509 12/29/2020 0000200679 520600 0.76 V2101626 01/13/2021 0000201259 523800 2,473.00 V2102534 04/27/2021 0000206274 523800 2,473.00 V2103072 06/03/2021 0000208048 520600 137.02 V2103301 06/16/2021 0000208668 520600 1,001.79 Total Account by Grant Year 8,558.57 0.00 Total Account 11,159.41 0.00

3230‑3020 R00786 2017 Team Nutrition Training‑Comp. (FY17) FOOD CFDA 10.574

V2100752 10/12/2020 0000197202 522100 2,178.34 V2100878 10/23/2020 0000197739 522100 5,875.66 Total Account 8,054.00 0.00 Total Fund Budget Unit 128,564.50 0.00

3233‑3040 S00319 2020 Striving Readers ‑ LiNK S371C170006 19E CFDA 84.371C

V2103162 06/09/2021 0000208172 527800 613.07 Total Account 613.07 0.00

3233‑3040 U00867 9954 2020 School Improvement S010A190016 19E CFDA 84.010A

V2100179 07/24/2020 0000194156 523800 652.50 V2100808 10/20/2020 N/A 523800 652.50 V2101626 01/13/2021 0000201259 523800 652.50 V2102534 04/27/2021 0000206274 523800 652.50 Total Account 2,610.00 0.00

3233‑3040 V00405 2020 ESSER I ‑ Elem & Sec Sch Emerg Relief ‑ SetAside ‑ Admin S425D200002 20E CFDA 84.425D

V2100245 08/04/2020 0000194418 536900 540.00 V2100664 09/29/2020 0000196697 534100 360.00 V2101585 01/07/2021 0000200931 536900 540.00 V2101846 02/11/2021 0000202644 536900 270.00 Total Account by Grant Year 1,710.00 0.00

3233‑3040 V00405 2021 ESSER II ‑ Elem & Sec Sch Emerg Relief ‑ SetAside ‑ Admin S425D210002 21E CFDA 84.425D

V2103162 06/09/2021 0000208172 527800 490.63 Total Account by Grant Year 490.63 0.00 Total Account 2,200.63 0.00

3233‑3040 Y00554 9954 2020 School Improvement S010A190016 19E CFDA 84.010A

V2100179 07/24/2020 0000194156 523800 283.75 V2100808 10/20/2020 N/A 523800 283.75 V2101626 01/13/2021 0000201259 523800 283.75 V2102534 04/27/2021 0000206274 523800 283.75 Total Account 1,135.00 0.00 Total Fund Budget Unit 6,558.70 0.00

3519‑3890 U00824 2020 Title IV 21st Century Statewide Activities S287C190016 19E CFDA 84.287C

V2100179 07/24/2020 0000194156 523800 463.25 V2100808 10/20/2020 N/A 523800 463.25 Total Account by Grant Year 926.50 0.00

3519‑3890 U00824 2021 Title IV 21st Century Statewide Activities S287C200016 20E CFDA 84.287C

V2101626 01/13/2021 0000201259 523800 463.25 V2102534 04/27/2021 0000206274 523800 463.25 Total Account by Grant Year 926.50 0.00 Total Fund Budget Unit 1,853.00 0.00

3520‑3800 F00987 2019 Title VI‑ State Assessments S369A180017 18E CFDA 84.369A

V2100179 07/24/2020 0000194156 523800 736.25 V2100808 10/20/2020 N/A 523800 736.25 V2101626 01/13/2021 0000201259 523800 736.25 Total Account by Grant Year 2,208.75 0.00

3520‑3800 F00987 2020 Title VI‑ State Assessments S369A190017 19E CFDA 84.369A

V2102534 04/27/2021 0000206274 523800 736.25 Total Account by Grant Year 736.25 0.00 Total Account 2,945.00 0.00

3520‑3800 N00603 2019 Title VI‑ State Assmts S369A180017 18E CFDA 84.369A

V2100179 07/24/2020 0000194156 523800 1,447.50 V2100808 10/20/2020 N/A 523800 1,447.50 V2101626 01/13/2021 0000201259 523800 1,447.50 Total Account by Grant Year 4,342.50 0.00

3520‑3800 N00603 2020 Title VI‑ State Assmts S369A190017 19E CFDA 84.369A

V2102534 04/27/2021 0000206274 523800 1,447.50 Total Account by Grant Year 1,447.50 0.00 Total Account 5,790.00 0.00

3520‑3800 S00984 2019 Title VI‑ State Assessments S369A180017 18E CFDA 84.369A

V2100179 07/24/2020 0000194156 523800 5,696.50 V2100193 07/28/2020 0000194157 520600 11.40 V2100808 10/20/2020 N/A 523800 5,696.50 V2101004 11/06/2020 0000198351 520600 0.54 V2101187 12/01/2020 0000199285 520600 1.08 V2101626 01/13/2021 0000201259 523800 5,696.50 Total Account by Grant Year 17,102.52 0.00

3520‑3800 S00984 2020 Title VI‑ State Assessments S369A190017 19E CFDA 84.369A

V2102534 04/27/2021 0000206274 523800 5,696.50 V2103162 06/09/2021 0000208172 527800 338.03 Total Account by Grant Year 6,034.53 0.00 Total Account 23,137.05 0.00 Total Fund Budget Unit 31,872.05 0.00

3527‑3870 5000 S00759 2019 Supporting Effective Instruction (was Title IIA)‑Disc‑Civic Advocacy Network S367A180015 18E CFDA 84.367A

V2101884 02/12/2021 0000202689 522110 447.93 Total Fund Budget Unit 447.93 0.00

3531‑3510 K00183 2020 Fiscal Auditing ‑ 1 1/2% Audit (School Food Service) 10.558 CFDA 10.558

V2100179 07/24/2020 0000194156 523800 334.25 Total Account by Grant Year 334.25 0.00

3531‑3510 K00183 2021 Fiscal Auditing ‑ 1 1/2% Audit (School Food Service) 10.558 CFDA 10.558

V2100808 10/20/2020 N/A 523800 334.25 V2101626 01/13/2021 0000201259 523800 334.25 V2102534 04/27/2021 0000206274 523800 334.25 Total Account by Grant Year 1,002.75 0.00 Total Account 1,337.00 0.00

3531‑3510 R00207 2020 Fiscal Auditing ‑ 1.5% Audit (School Food Service) 10.558 CFDA 10.558

V2100179 07/24/2020 0000194156 523800 4,095.75 Total Account by Grant Year 4,095.75 0.00

3531‑3510 R00207 2021 Fiscal Auditing ‑ 1.5% Audit (School Food Service) 10.558 CFDA 10.558

V2100808 10/20/2020 N/A 523800 4,095.75 V2101626 01/13/2021 0000201259 523800 4,095.75 V2102534 04/27/2021 0000206274 523800 4,095.75 Total Account by Grant Year 12,287.25 0.00 Total Account 16,383.00 0.00 Total Fund Budget Unit 17,720.00 0.00

3534‑3540 1000 F00104 2019 Title VI ‑ Part B IDEA ‑ Administration H027A180031 18E CFDA 84.027A

V2100179 07/24/2020 0000194156 523800 334.75 Total Account by Grant Year 334.75 0.00

3534‑3540 1000 F00104 2020 Title VI ‑ Part B IDEA ‑ Administration H027A190031 19E CFDA 84.027A

V2100808 10/20/2020 N/A 523800 334.75 V2101626 01/13/2021 0000201259 523800 334.75 V2102534 04/27/2021 0000206274 523800 334.75 Total Account by Grant Year 1,004.25 0.00 Total Account 1,339.00 0.00

3534‑3540 1000 S00307 2019 Title VI ‑ Part B IDEA ‑ Administration H027A180031 18E CFDA 84.027A

V2100179 07/24/2020 0000194156 523800 252.00 Total Account by Grant Year 252.00 0.00

3534‑3540 1000 S00307 2020 Title VI ‑ Part B IDEA ‑ Administration H027A190031 19E CFDA 84.027A

V2100808 10/20/2020 N/A 523800 252.00 V2101626 01/13/2021 0000201259 523800 252.00 V2102534 04/27/2021 0000206274 523800 252.00 Total Account by Grant Year 756.00 0.00 Total Account 1,008.00 0.00

3534‑3540 1000 T00401 2019 Title VI ‑ Part B IDEA ‑ Administration H027A180031 18E CFDA 84.027A

V2100179 07/24/2020 0000194156 523800 11,067.75 V2100193 07/28/2020 0000194157 520600 6.26 V2100396 08/20/2020 0000195229 520600 6.76 V2100623 09/22/2020 0000196415 520600 1.85 Total Account by Grant Year 11,082.62 0.00

3534‑3540 1000 T00401 2020 Title VI ‑ Part B IDEA ‑ Administration H027A190031 19E CFDA 84.027A

M2101969 02/23/2021 N/A 520600 -1.64 V2100808 10/20/2020 N/A 523800 11,067.75 V2101004 11/06/2020 0000198351 520600 1.08 V2101187 12/01/2020 0000199285 520600 1,457.71 V2101626 01/13/2021 0000201259 523800 11,067.75 V2101673 01/25/2021 N/A 520600 3.52 V2101969 02/22/2021 CANCELLED 520600 1.64 V2102012 02/24/2021 0000203213 520600 1.64 V2102212 03/22/2021 0000204436 520600 19.05 V2102534 04/27/2021 0000206274 523800 11,067.75 V2103072 06/03/2021 0000208048 520600 7.41 V2103162 06/09/2021 0000208172 527800 7,234.68 V2103301 06/16/2021 0000208668 520600 5.75 Total Account by Grant Year 41,934.09 0.00 Total Account 53,016.71 0.00

3534‑3540 1000 Y00556 2019 Title VI ‑ Part B IDEA ‑ Administration H027A180031 18E CFDA 84.027A

V2100179 07/24/2020 0000194156 523800 141.75 Total Account by Grant Year 141.75 0.00

3534‑3540 1000 Y00556 2020 Title VI ‑ Part B IDEA ‑ Administration H027A190031 19E CFDA 84.027A

V2100808 10/20/2020 N/A 523800 141.75 V2101626 01/13/2021 0000201259 523800 141.75 V2102534 04/27/2021 0000206274 523800 141.75 Total Account by Grant Year 425.25 0.00 Total Account 567.00 0.00

3534‑3540 1000 Y00564 2019 Title VIB ‑ Coord. Counc. on EC (CCECDS/SICC) ‑ KSDE H027A180031 18E CFDA 84.027A

V2100179 07/24/2020 0000194156 523800 520.25 Total Account by Grant Year 520.25 0.00

3534‑3540 1000 Y00564 2020 Title VIB ‑ Coord. Counc. on EC (CCECDS/SICC) ‑ KSDE H027A190031 19E CFDA 84.027A

V2100808 10/20/2020 N/A 523800 520.25 V2101626 01/13/2021 0000201259 523800 520.25 V2102534 04/27/2021 0000206274 523800 520.25 Total Account by Grant Year 1,560.75 0.00 Total Account 2,081.00 0.00

3534‑3540 5000 N00038 2020 Title VI ‑ Part B IDEA ‑ Discretionary H027A190031 19E CFDA 84.027A

V2100179 07/24/2020 0000194156 523800 3,270.00 V2100808 10/20/2020 N/A 523800 3,270.00 Total Account by Grant Year 6,540.00 0.00

3534‑3540 5000 N00038 2021 Title VI ‑ Part B IDEA ‑ Discretionary H027A200031 20E CFDA 84.027A

V2101626 01/13/2021 0000201259 523800 3,270.00 V2102534 04/27/2021 0000206274 523800 3,270.00 Total Account by Grant Year 6,540.00 0.00 Total Account 13,080.00 0.00

3534‑3540 5000 T00402 2020 Title VI ‑ Part B IDEA ‑ Discretionary H027A190031 19E CFDA 84.027A

V2100179 07/24/2020 0000194156 523800 2,648.25 V2100808 10/20/2020 N/A 523800 2,648.25 Total Account by Grant Year 5,296.50 0.00

3534‑3540 5000 T00402 2021 Title VI ‑ Part B IDEA ‑ Discretionary H027A200031 20E CFDA 84.027A

V2101626 01/13/2021 0000201259 523800 2,648.25 V2102534 04/27/2021 0000206274 523800 2,648.25 Total Account by Grant Year 5,296.50 0.00 Total Account 10,593.00 0.00 Total Fund Budget Unit 81,684.71 0.00

3536‑3560 T00403 2020 Early Childhood ‑ Administration H173A190034 19E CFDA 84.173A

V2100179 07/24/2020 0000194156 523800 945.75 V2100808 10/20/2020 N/A 523800 945.75 Total Account by Grant Year 1,891.50 0.00

3536‑3560 T00403 2021 Early Childhood ‑ Administration H173A200034 20E CFDA 84.173A

V2101626 01/13/2021 0000201259 523800 945.75 V2102534 04/27/2021 0000206274 523800 945.75 V2103162 06/09/2021 0000208172 527800 270.23 Total Account by Grant Year 2,161.73 0.00 Total Account 4,053.23 0.00

3536‑3560 Y00558 2020 Early Childhood ‑ Administration H173A190034 19E CFDA 84.173A

V2100179 07/24/2020 0000194156 523800 1,891.50 V2100808 10/20/2020 N/A 523800 1,891.50 Total Account by Grant Year 3,783.00 0.00

3536‑3560 Y00558 2021 Early Childhood ‑ Administration H173A200034 20E CFDA 84.173A

V2101626 01/13/2021 0000201259 523800 1,891.50 V2102534 04/27/2021 0000206274 523800 1,891.50 Total Account by Grant Year 3,783.00 0.00 Total Account 7,566.00 0.00 Total Fund Budget Unit 11,619.23 0.00

3538‑3580 N00162 2020 Migrant Student Network S011A190016 19E CFDA 84.011A

V2100179 07/24/2020 0000194156 523800 1,554.75 V2100808 10/20/2020 N/A 523800 1,554.75 Total Account by Grant Year 3,109.50 0.00

3538‑3580 N00162 2021 Migrant Student Network S011A200016 20E CFDA 84.011A

V2101626 01/13/2021 0000201259 523800 1,554.75 V2102534 04/27/2021 0000206274 523800 1,554.75 Total Account by Grant Year 3,109.50 0.00 Total Account 6,219.00 0.00

3538‑3580 U00507 2020 Migrant Education S011A190016 19E CFDA 84.011A

V2100179 07/24/2020 0000194156 523800 1,200.25 V2100808 10/20/2020 N/A 523800 1,200.25 Total Account by Grant Year 2,400.50 0.00

3538‑3580 U00507 2021 Migrant Education S011A200016 20E CFDA 84.011A

V2101626 01/13/2021 0000201259 523800 1,200.25 V2102534 04/27/2021 0000206274 523800 1,200.25 V2103162 06/09/2021 0000208172 527800 589.14 Total Account by Grant Year 2,989.64 0.00 Total Account 5,390.14 0.00

3538‑3580 U00513 2020 Graduation & Outcomes for Success for Out‑of‑School S144F190004 19E CFDA 84.144F

V2100179 07/24/2020 0000194156 523800 800.25 V2100808 10/20/2020 N/A 523800 800.25 V2101626 01/13/2021 0000201259 523800 800.25 V2102534 04/27/2021 0000206274 523800 800.25 Total Account 3,201.00 0.00 Total Fund Budget Unit 14,810.14 0.00

3540‑3600 SA   W00701 2019 Career and Technical Education V048A180016 18E CFDA 84.048A

V2100179 07/24/2020 0000194156 523800 3,086.75 V2100193 07/28/2020 0000194157 520600 1.70 Total Account by Grant Year 3,088.45 0.00

3540‑3600 SA   W00701 2020 Career and Technical Education V048A190016 19E CFDA 84.048A

J2210028 03/25/2021 N/A 523800 -3,086.75 J2210038 06/09/2021 N/A 523800 -3,086.75 V2100808 10/20/2020 N/A 523800 3,086.75 V2101004 11/06/2020 0000198351 520600 0.54 V2101509 12/29/2020 0000200679 520600 8.06 V2101626 01/13/2021 0000201259 523800 3,086.75 V2102212 03/22/2021 0000204436 520600 18.30 V2102478 04/22/2021 0000205988 520600 4.46 V2103072 06/03/2021 0000208048 520600 44.62 V2103162 06/09/2021 0000208172 527800 230.11 Total Account by Grant Year 306.09 0.00 Total Account 3,394.54 0.00

3540‑3600 SPL  W00536 2020 Career and Tech Ed ‑ Special Populations V048A190016 19E CFDA 84.048A

V2100179 07/24/2020 0000194156 523800 94.50 Total Account by Grant Year 94.50 0.00

3540‑3600 SPL  W00536 2021 Career and Tech Ed ‑ Special Populations V048A200016 20E CFDA 84.048A

V2100808 10/20/2020 N/A 523800 94.50 V2101626 01/13/2021 0000201259 523800 94.50 V2102534 04/27/2021 0000206274 523800 94.50 Total Account by Grant Year 283.50 0.00 Total Account 378.00 0.00

3540‑3600 SPL  W00705 2020 Career and Technical Education V048A190016 19E CFDA 84.048A

V2100179 07/24/2020 0000194156 523800 1,814.75 V2100193 07/28/2020 0000194157 520600 229.47 V2100396 08/20/2020 0000195229 520600 79.04 V2100623 09/22/2020 0000196415 520600 310.67 V2100808 10/20/2020 N/A 523800 1,814.75 V2101004 11/06/2020 0000198351 520600 90.75 V2101509 12/29/2020 0000200679 520600 27.69 V2101626 01/13/2021 0000201259 523800 416.08 Total Account by Grant Year 4,783.20 0.00

3540‑3600 SPL  W00705 2021 Career and Technical Education V048A200016 20E CFDA 84.048A

M2101969 02/23/2021 N/A 520600 -3.45 V2101004 11/06/2020 N/A 520600 96.30 V2101187 12/01/2020 0000199285 520600 232.54 V2101626 01/13/2021 0000201259 523800 1,398.67 V2101673 01/25/2021 N/A 520600 20.16 V2101969 02/22/2021 CANCELLED 520600 3.45 V2102012 02/24/2021 0000203213 520600 3.45 V2102212 03/22/2021 0000204436 520600 6.80 V2102478 04/22/2021 0000205988 520600 69.76 V2102534 04/27/2021 0000206274 523850 64.75 V2102534 04/27/2021 0000206274 523800 1,814.75 V2102534 04/27/2021 0000206274 523800 1,865.25 V2103072 06/03/2021 0000208048 520600 200.90 V2103301 06/16/2021 0000208668 520600 157.04 V2103301 06/16/2021 0000208668 520600 157.04 Total Account by Grant Year 6,087.41 0.00 Total Account 10,870.61 0.00

3540‑3600 SPL  W00714 2019 Career and Tech Ed‑ Non‑traditional V048A180016 18E CFDA 84.048A

V2100179 07/24/2020 0000194156 523800 756.25 Total Account by Grant Year 756.25 0.00

3540‑3600 SPL  W00714 2020 Career and Tech Ed‑ Non‑traditional V048A190016 19E CFDA 84.048A

V2100808 10/20/2020 N/A 523800 756.25 V2101509 12/29/2020 0000200679 520600 1.24 V2101626 01/13/2021 0000201259 523800 756.25 V2101673 01/25/2021 N/A 520600 81.03 V2102534 04/27/2021 0000206274 523800 756.25 Total Account by Grant Year 2,351.02 0.00 Total Account 3,107.27 0.00

3540‑3600 SPL  W00715 9910 2020 Curriculum Development V048A190016 19E CFDA 84.048A

V2101509 12/29/2020 0000200679 520600 64.49 Total Account 64.49 0.00

3540‑3600 SPL  W00715 9915 2020 Statewide‑ Information System V048A190016 19E CFDA 84.048A

V2100623 09/22/2020 0000196415 520600 7.62 Total Account 7.62 0.00

3540‑3600 SPL  W00798 2020 Career and Technical Education V048A190016 19E CFDA 84.048A

V2100179 07/24/2020 0000194156 523800 756.25 V2100808 10/20/2020 N/A 523800 756.25 Total Account by Grant Year 1,512.50 0.00

3540‑3600 SPL  W00798 2021 Career and Technical Education V048A200016 20E CFDA 84.048A

V2101626 01/13/2021 0000201259 523800 756.25 V2102534 04/27/2021 0000206274 523800 756.25 V2102534 04/27/2021 0000206274 523800 756.25 V2102534 04/27/2021 0000206274 523850 1,211.00 Total Account by Grant Year 3,479.75 0.00 Total Account 4,992.25 0.00 Total Fund Budget Unit 22,814.78 0.00

3592‑3070 M00914 2021 KVC‑ Commission Administration FY19 19CAHKS001 CFDA 94.003

M2101969 02/23/2021 N/A 520600 -5.04 V2100179 07/24/2020 0000194156 523800 5,805.50 V2100396 08/20/2020 0000195229 520600 4.47 V2100623 09/22/2020 0000196415 520600 98.13 V2100808 10/20/2020 N/A 523800 5,805.50 V2101004 11/06/2020 0000198351 520600 35.32 V2101187 12/01/2020 0000199285 520600 2.40 V2101626 01/13/2021 0000201259 523800 5,805.50 V2101969 02/22/2021 CANCELLED 520600 5.04 V2102012 02/24/2021 0000203213 520600 5.04 V2102212 03/22/2021 0000204436 520600 11.37 V2102478 04/22/2021 0000205988 520600 95.73 V2102534 04/27/2021 0000206274 523800 5,805.50 V2103072 06/03/2021 0000208048 520600 88.87 V2103301 06/16/2021 0000208668 520600 27.32 Total Account 23,590.65 0.00

3592‑3070 S00369 2021 Youth Risk Behavior Survey(YRBS) ‑ Special Project FY19 NU87PS004319‑02 CFDA 93.079

V2100193 07/28/2020 0000194157 520600 1.08 Total Account 1.08 0.00

3592‑3070 S00407 2021 Youth Risk Behavior Survey(YRBS) ‑ Special Project FY20 NU87PS004319‑03 CFDA 93.079

V2100586 09/15/2020 0000196033 522100 1,122.03 V2100587 09/15/2020 0000196034 522100 2,280.67 V2103249 06/11/2021 0000208305 537100 394.26 Total Account 3,796.96 0.00

3592‑3070 S00816 2021 NAEP State Administrator 84.902 Reimbursement CFDA na

V2100193 07/28/2020 0000194157 520600 8.37 Total Account 8.37 0.00

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

V2100179 07/24/2020 0000194156 523800 673.75 V2100808 10/20/2020 N/A 523800 673.75 V2101626 01/13/2021 0000201259 523800 673.75 V2102534 04/27/2021 0000206274 523800 673.75 Total Account 2,695.00 0.00

3592‑3070 Z00383 2021 Children's Cabinet Preschool Dev (B‑5) Year 1 90TP0078‑01‑00 CFDA 93.434

V2103162 06/09/2021 0000208172 527800 247.88 Total Account 247.88 0.00

3592‑3070 Z00408 2021 Children's Cabinet Preschool Dev (B‑5) indirect 90TP0078‑01‑00 CFDA 93.434

V2100179 07/24/2020 0000194156 523850 603.75 V2100179 07/24/2020 0000194156 523800 2,783.00 V2100180 07/24/2020 0000193975 526900 1,840.00 V2100808 10/20/2020 N/A 523850 603.75 V2100808 10/20/2020 N/A 523800 2,783.00 V2101626 01/13/2021 0000201259 523850 603.75 V2101626 01/13/2021 0000201259 523800 2,783.00 V2102534 04/27/2021 0000206274 523850 603.75 V2102534 04/27/2021 0000206274 523800 2,783.00 Total Account 15,387.00 0.00 Total Fund Budget Unit 45,726.94 0.00 Total Federal Aid 439,849.74 0.00

Other State Aid from 7000

7000‑7001 007001 2021 KEY‑ Children's Cabinet

V2100202 07/29/2020 0000194159 523850 1,210.25 V2100202 07/29/2020 0000194159 523800 5,578.56 V2100248 08/04/2020 0000194419 526900 3,687.75 V2100808 10/20/2020 N/A 523850 1,210.25 V2100808 10/20/2020 N/A 523800 5,578.56 V2101561 01/06/2021 0000200866 524400 268.12 V2101626 01/13/2021 0000201259 523850 1,210.25 V2101626 01/13/2021 0000201259 523800 5,578.56 V2102534 04/27/2021 0000206274 523850 1,210.25 V2102534 04/27/2021 0000206274 523800 5,578.56 Total Fund Budget Unit 31,111.11 0.00

7307‑5000 S00657 2021 KHF‑ PE and Health Curriculum

V2101004 11/06/2020 0000198351 520600 2.70 V2103072 06/03/2021 0000208048 520600 1.28 Total Account 3.98 0.00

7307‑5000 S00776 2021 KHF‑ Active Schools: Let's Move Kansas!

V2100623 09/22/2020 0000196415 520600 2.16 Total Account 2.16 0.00 Total Fund Budget Unit 6.14 0.00 Total Other State Aid from 7000 31,117.25 0.00 Total Aid 1,705,810.03 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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