Kansas State Department of Education
Annual Federal and State Aid Funding Report - SFY 2022

D0233 USD 233 OLATHE 0000047526

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

State Aid

1000‑0000 000000 0130 2022 Incentive for Technical Educ Refunds

S2200036 07/22/2021 N/A 469010 38.00 Total Fund Budget Unit 0.00 38.00

1000‑0053 M00153 2022 Teacher Licensure ‑ SGF

V2203164 03/09/2022 0008974566 526900 66.50 Total Account 66.50 0.00

1000‑0053 S00300 2022 Career, Standards and Assessment Services ‑ SGF

V2203085 03/03/2022 0008969596 526900 110.00 Total Account 110.00 0.00 Total Fund Budget Unit 176.50 0.00

1000‑0110 000110 2022 KPERS Employer Contributions‑USDs

V22K0043 07/12/2021 0008756887 551400 8,760,543.55 V22K0329 10/12/2021 0008838916 551400 8,388,435.89 V22K0615 01/11/2022 0008919958 551400 9,644,964.27 V22K0901 04/12/2022 0009007040 551400 9,059,332.57 Total Fund Budget Unit 35,853,276.28 0.00

1000‑0150 000150 2022 Mental Health Intervention Team Pilot

V22H0002 08/27/2021 0008801304 551100 19,298.00 V22H0022 09/28/2021 0008828506 551100 9,618.00 V22H0062 10/12/2021 0008838832 551100 9,249.00 V22H0105 10/27/2021 0008856304 551100 9,637.00 V22H0146 11/09/2021 0008867050 551100 9,249.00 V22H0189 11/24/2021 0008882237 551100 9,637.00 V22H0230 12/28/2021 0008911001 551100 9,902.00 V22H0272 01/27/2022 0008936644 551100 9,880.00 V22H0314 02/10/2022 0008947798 551100 9,249.00 V22H0357 02/24/2022 0008963912 551100 11,479.00 V22H0398 03/29/2022 0008994990 551100 10,393.00 V22H0436 04/12/2022 0009006956 551100 9,250.00 V22H0479 04/27/2022 0009027053 551100 9,987.00 V22H0518 05/26/2022 0009055174 551100 11,160.00 Total Fund Budget Unit 147,988.00 0.00

1000‑0290 000290 2022 School District Juvenile Detention Facilities

V22J0001 12/10/2021 0008893569 551100 414,128.00 V22J0015 06/10/2022 0009069391 551100 414,128.00 Total Fund Budget Unit 828,256.00 0.00

1000‑0320 000320 2022 Food Service Aid

V22N1851 09/21/2021 0008818338 551100 10,199.36 V22N2619 10/12/2021 0008839179 551100 15,495.44 V22N3473 11/15/2021 0008869041 551100 14,245.92 V22N3842 12/14/2021 0008896496 551100 14,134.04 V22N4833 01/18/2022 0008924663 551100 9,655.20 V22N5892 02/22/2022 0008956998 551100 11,558.12 V22N6559 03/15/2022 0008979508 551100 8,961.56 V22N7503 04/12/2022 0009007362 551100 12,988.00 V22N8038 05/10/2022 0009036704 551100 15,252.24 V22N9029 06/14/2022 0009073220 551100 20,407.02 V22N9029 06/14/2022 0009073220 551100 13,270.08 Total Fund Budget Unit 146,166.98 0.00

1000‑0440 000440 2022 Mentor Teacher

V22M0023 06/10/2022 0009069427 551100 82,409.00 Total Fund Budget Unit 82,409.00 0.00

1000‑0630 000630 2022 Deaf Blind Aid

V2201577 11/09/2021 0008867043 551100 2,825.00 V2201578 11/09/2021 0008867044 551100 1,289.15 V2201579 11/09/2021 0008867045 551100 2,039.37 V2201604 11/10/2021 0008867047 551100 1,098.00 V2201863 12/01/2021 0008885464 551100 1,174.18 V2202007 12/08/2021 0008891925 551100 2,325.00 V2202287 01/05/2022 0008915618 551100 533.59 V2202566 01/28/2022 0008937793 551100 270.99 Total Fund Budget Unit 11,555.28 0.00

1000‑0700 000700 2022 Special Education Services Aid

V22S0043 10/12/2021 0008839390 551100 6,585,156.00 V22S0334 12/10/2021 0008893625 551100 6,284,305.00 V22S0625 03/10/2022 0008976625 551100 4,190,126.00 V22S0915 04/12/2022 0009007604 551100 3,690,876.00 V22S1206 05/31/2022 0009057647 551100 13,527,792.00 Total Fund Budget Unit 34,278,255.00 0.00

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

V2250329 07/07/2021 0008753790 551100 8,809,224.00 V2250615 07/28/2021 0008774756 551100 8,809,224.00 V2250901 08/27/2021 0008801044 551100 14,437,555.00 V2251187 09/28/2021 0008828259 551100 16,702,941.00 V2251473 10/27/2021 0008856058 551100 16,740,957.00 V2251759 11/24/2021 0008881989 551100 24,542,840.00 V2252045 12/28/2021 0008906207 551100 16,245,663.00 V2252903 03/29/2022 0008994741 551100 14,023,410.00 V2253189 04/27/2022 0009026807 551100 11,076,968.00 Total Account by Grant Year 131,388,782.00 0.00

1000‑0820 000820 2023 State Foundation Aid (General State Aid)

V2350043 07/06/2022 N/A 551100 8,406,515.00 Total Account by Grant Year 8,406,515.00 0.00 Total Fund Budget Unit 139,795,297.00 0.00

1000‑0840 000840 2022 Supplemental State Aid (LOB)

V22L0258 09/28/2021 0008828570 551100 11,050,692.00 V22L0490 01/27/2022 0008936710 551100 10,919,721.00 V22L0722 06/21/2022 0009080906 551100 3,327,168.00 Total Account by Grant Year 25,297,581.00 0.00

1000‑0840 000840 2023 Supplemental State Aid (LOB)

V23L0026 07/06/2022 N/A 551100 1,678,097.00 Total Account by Grant Year 1,678,097.00 0.00 Total Fund Budget Unit 26,975,678.00 0.00

1000‑0880 000880 2022 School District Capital Outlay

V22O0018 02/16/2022 0008953056 551100 3,809,572.00 Total Fund Budget Unit 3,809,572.00 0.00 Total State Aid 241,928,630.04 38.00

Special Revenue State Aid

2000‑2510 002510 2022 CIF‑Parent Education Program

V22P0166 09/10/2021 0008810761 551100 673,999.00 V22P0624 03/10/2022 0008976525 551100 337,000.00 V22P0872 06/14/2022 0009073595 551100 336,999.00 Total Fund Budget Unit 1,347,998.00 0.00

2538‑2030 002030 2022 State Safety

V22T0032 02/10/2022 0008947978 551100 33,894.00 Total Fund Budget Unit 33,894.00 0.00

2880‑2880 002880 2022 School District Capital Improvement

V22C0023 07/28/2021 0008775008 551100 4,745,467.00 V22C0151 01/27/2022 0008936556 551100 2,053,196.00 Total Fund Budget Unit 6,798,663.00 0.00 Total Special Revenue State Aid 8,180,555.00 0.00

Federal Aid

3056‑3200 V01010 2022 KDHE K‑12 COVID Testing Grant ‑ from KDHE ‑ 93.323

V22V0301 04/15/2022 0009011145 550100 541,710.00 Total Fund Budget Unit 541,710.00 0.00

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

V22F0146 08/09/2021 0008782580 550100 4,678.00 V22F0285 09/07/2021 0008807418 550100 52,685.00 V22F0454 10/04/2021 0008832278 550100 935.00 V22F0454 10/04/2021 0008832278 550100 11,899.00 V22F0706 11/01/2021 0008858996 550100 934.00 V22F0706 11/01/2021 0008858996 550100 4,930.00 V22F0981 12/06/2021 0008888751 550100 935.00 Total Account by Grant Year 76,996.00 0.00

3113‑3113 003113 2022 ESSA‑StudSpprt Academic Enrich FloThru S424A210017 21E CFDA 84.424A

V22F0981 12/06/2021 0008888751 550100 7,828.00 V22F1274 01/03/2022 0008912426 550100 8,822.00 V22F1544 02/07/2022 0008943416 550100 37,488.00 V22F1544 02/07/2022 0008943416 550100 2,522.00 V22F1819 03/07/2022 0008971655 550100 944.00 V22F1819 03/07/2022 0008971655 550100 4,624.00 V22F2094 04/04/2022 0008999062 550100 945.00 V22F2094 04/04/2022 0008999062 550100 4,953.00 V22F2369 05/02/2022 0009028983 550100 944.00 V22F2369 05/02/2022 0009028983 550100 4,687.00 V22F2657 06/06/2022 0009062410 550100 986.00 V22F2657 06/06/2022 0009062410 550100 9,945.00 Total Account by Grant Year 84,688.00 0.00 Total Fund Budget Unit 161,684.00 0.00

3230‑3020 003020 9579 2021 NSLP Equipment 10.579 CFDA 10.579

V2202587 02/01/2022 0008940810 550100 51,916.22 Total Account 51,916.22 0.00

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

V22N0219 07/13/2021 0008758621 550100 68,642.13 V22N0520 08/03/2021 0008779173 550100 48,509.72 Total Account 117,151.85 0.00

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

V22N0219 07/13/2021 0008758621 550100 7,034.26 V22N0520 08/03/2021 0008779173 550100 4,972.12 Total Account 12,006.38 0.00

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

V22N0219 07/13/2021 0008758621 550100 333.30 V22N0520 08/03/2021 0008779173 550100 234.98 Total Account 568.28 0.00 Total Fund Budget Unit 181,642.73 0.00

3233‑3040 003040 4100 2021 ESSER II COVID‑19 Coronavirus ‑ FT S425D210002 21E CFDA 84.425D

V22F0146 08/09/2021 0008782580 550100 12,949.00 V22F0285 09/07/2021 0008807418 550100 525,789.00 V22F0454 10/04/2021 0008832278 550100 487,297.00 V22F0706 11/01/2021 0008858996 550100 465,881.00 V22F0981 12/06/2021 0008888751 550100 448,145.00 V22F1274 01/03/2022 0008912426 550100 488,343.00 V22F1544 02/07/2022 0008943416 550100 439,595.00 V22F1819 03/07/2022 0008971655 550100 516,849.00 V22F2094 04/04/2022 0008999062 550100 462,665.00 V22F2369 05/02/2022 0009028983 550100 244,572.00 V22F2657 06/06/2022 0009062410 550100 670,449.00 V22F2657 06/06/2022 0009062410 550100 10,377,682.00 Total Account 15,140,216.00 0.00

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

V22F0146 08/09/2021 0008782580 550100 32,217.00 V22F0285 09/07/2021 0008807418 550100 16,952.00 V22F0285 09/07/2021 0008807418 550100 8,248.00 Total Account by Grant Year 57,417.00 0.00

3233‑3040 003040 4500 2021 ESSER II COVID‑19 Coronavirus ‑ Sped S425D210002 21E CFDA 84.425D

V22F0454 10/04/2021 0008832278 550100 14,728.00 V22F0454 10/04/2021 0008832278 550100 27,607.00 V22F0706 11/01/2021 0008858996 550100 7,911.00 V22F0706 11/01/2021 0008858996 550100 19,078.00 V22F0981 12/06/2021 0008888751 550100 15,373.00 V22F0981 12/06/2021 0008888751 550100 18,417.00 V22F1274 01/03/2022 0008912426 550100 18,643.00 V22F1274 01/03/2022 0008912426 550100 22,440.00 V22F1544 02/07/2022 0008943416 550100 27,154.00 V22F1544 02/07/2022 0008943416 550100 28,335.00 V22F1819 03/07/2022 0008971655 550100 8,809.00 V22F1819 03/07/2022 0008971655 550100 32,066.00 V22F2094 04/04/2022 0008999062 550100 1,138,897.00 V22F2369 05/02/2022 0009028983 550100 29,509.00 V22F2657 06/06/2022 0009062410 550100 73,341.00 V22F2657 06/06/2022 0009062410 550100 44,072.00 Total Account by Grant Year 1,526,380.00 0.00 Total Account 1,583,797.00 0.00

3233‑3040 003040 4501 2021 ESSER II COVID‑19 Coronavirus ‑  PerStudentBase S425D210002 21E CFDA 84.425D

V22F0285 09/07/2021 0008807418 550100 7,283.00 V22F1274 01/03/2022 0008912426 550100 1,610.00 Total Account 8,893.00 0.00

3233‑3040 003040 9930 2021 T I  Sec 2 Delinquen S010A200016 20E CFDA 84.010A

V22F0146 08/09/2021 0008782580 550100 12,907.00 V22F0285 09/07/2021 0008807418 550100 4,917.00 V22F0454 10/04/2021 0008832278 550100 8,040.00 V22F0706 11/01/2021 0008858996 550100 6,479.00 V22F0981 12/06/2021 0008888751 550100 60,457.00 Total Account 92,800.00 0.00

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

V22F2094 04/04/2022 0008999062 550100 14,550.00 V22F2657 06/06/2022 0009062410 550100 38,433.00 Total Account 52,983.00 0.00

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

V22F0146 08/09/2021 0008782580 550100 3,500.00 V22F0285 09/07/2021 0008807418 550100 14,500.00 V22F0706 11/01/2021 0008858996 550100 9,000.00 V22F1544 02/07/2022 0008943416 550100 11,450.00 Total Account 38,450.00 0.00

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

V22F0146 08/09/2021 0008782580 550100 60,595.00 V22F1544 02/07/2022 0008943416 550100 22,030.00 V22F1819 03/07/2022 0008971655 550100 5,727.00 V22F2094 04/04/2022 0008999062 550100 8,940.00 V22F2657 06/06/2022 0009062410 550100 15,438.00 Total Account 112,730.00 0.00

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

V22F0146 08/09/2021 0008782580 550100 49,918.00 V22F0981 12/06/2021 0008888751 550100 645.00 V22F1544 02/07/2022 0008943416 550100 10,800.00 V22F1819 03/07/2022 0008971655 550100 100.00 V22F2369 05/02/2022 0009028983 550100 4,400.00 V22F2657 06/06/2022 0009062410 550100 22,804.00 Total Account 88,667.00 0.00

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

V22F0146 08/09/2021 0008782580 550100 69,706.00 V22F0285 09/07/2021 0008807418 550100 6,400.00 V22F0454 10/04/2021 0008832278 550100 14,500.00 V22F1274 01/03/2022 0008912426 550100 143.00 V22F2369 05/02/2022 0009028983 550100 17,817.00 V22F2657 06/06/2022 0009062410 550100 6,723.00 Total Account 115,289.00 0.00 Total Fund Budget Unit 17,233,825.00 0.00

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

V22F0454 10/04/2021 0008832278 550100 608,000.00 V22F0454 10/04/2021 0008832278 550100 175.00 V22F0706 11/01/2021 0008858996 550100 608,000.00 V22F0706 11/01/2021 0008858996 550100 175.00 V22F0981 12/06/2021 0008888751 550100 608,000.00 V22F0981 12/06/2021 0008888751 550100 175.00 V22F1274 01/03/2022 0008912426 550100 175.00 Total Account by Grant Year 1,824,700.00 0.00

3234‑3050 003050 1000 2022 EHC Flo‑Thru H027A210031 21E CFDA 84.027A

V22F1274 01/03/2022 0008912426 550100 608,000.00 V22F1544 02/07/2022 0008943416 550100 608,100.00 V22F1544 02/07/2022 0008943416 550100 175.00 V22F1819 03/07/2022 0008971655 550100 608,100.00 V22F1819 03/07/2022 0008971655 550100 175.00 V22F2094 04/04/2022 0008999062 550100 608,105.00 V22F2094 04/04/2022 0008999062 550100 175.00 V22F2369 05/02/2022 0009028983 550100 608,105.00 V22F2369 05/02/2022 0009028983 550100 3,439.00 V22F2657 06/06/2022 0009062410 550100 608,106.00 V22F2657 06/06/2022 0009062410 550100 580.00 Total Account by Grant Year 3,653,060.00 0.00 Total Account 5,477,760.00 0.00

3234‑3050 003050 1100 2022 EHC Flo‑Thru H027X210031 21E CFDA 84.027X

V22F0454 10/04/2021 0008832278 550100 157,347.00 V22F0454 10/04/2021 0008832278 550100 152.00 V22F0706 11/01/2021 0008858996 550100 157,347.00 V22F0706 11/01/2021 0008858996 550100 152.00 V22F0981 12/06/2021 0008888751 550100 157,347.00 V22F0981 12/06/2021 0008888751 550100 152.00 V22F1274 01/03/2022 0008912426 550100 157,347.00 V22F1274 01/03/2022 0008912426 550100 152.00 V22F1544 02/07/2022 0008943416 550100 157,347.00 V22F1544 02/07/2022 0008943416 550100 152.00 V22F1819 03/07/2022 0008971655 550100 157,348.00 V22F1819 03/07/2022 0008971655 550100 153.00 V22F2094 04/04/2022 0008999062 550100 157,349.00 V22F2094 04/04/2022 0008999062 550100 153.00 V22F2369 05/02/2022 0009028983 550100 157,349.00 V22F2369 05/02/2022 0009028983 550100 153.00 V22F2657 06/06/2022 0009062410 550100 157,350.00 V22F2657 06/06/2022 0009062410 550100 153.00 Total Account 1,417,503.00 0.00

3234‑3050 003050 5000 2022 EHC Flo‑Thru Disc H027A210031 21E CFDA 84.027A

V22F0981 12/06/2021 0008888751 550100 48,646.00 V22F1274 01/03/2022 0008912426 550100 2,122.00 V22F1544 02/07/2022 0008943416 550100 1,351.00 V22F1819 03/07/2022 0008971655 550100 1,203.00 V22F2094 04/04/2022 0008999062 550100 5,261.00 V22F2369 05/02/2022 0009028983 550100 21,848.00 V22F2657 06/06/2022 0009062410 550100 70,383.00 Total Account 150,814.00 0.00 Total Fund Budget Unit 7,046,077.00 0.00

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

V22F0285 09/07/2021 0008807418 550100 27.00 Total Account by Grant Year 27.00 0.00

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

V22F0146 08/09/2021 0008782580 550100 30,764.00 V22F0454 10/04/2021 0008832278 550100 12.00 V22F0454 10/04/2021 0008832278 550100 43,756.00 V22F0706 11/01/2021 0008858996 550100 21,847.00 V22F0981 12/06/2021 0008888751 550100 21,926.00 Total Account by Grant Year 118,305.00 0.00

3522‑3820 003820 2022 English Language Acquisition‑  Flo‑thru S365A210016 21E CFDA 84.365A

V22F1274 01/03/2022 0008912426 550100 178.00 V22F1274 01/03/2022 0008912426 550100 24,864.00 V22F1544 02/07/2022 0008943416 550100 20,473.00 V22F1819 03/07/2022 0008971655 550100 21.00 V22F1819 03/07/2022 0008971655 550100 25,075.00 V22F2094 04/04/2022 0008999062 550100 39.00 V22F2094 04/04/2022 0008999062 550100 21,233.00 V22F2369 05/02/2022 0009028983 550100 24,446.00 V22F2657 06/06/2022 0009062410 550100 3,826.00 V22F2657 06/06/2022 0009062410 550100 33,375.00 Total Account by Grant Year 153,530.00 0.00 Total Fund Budget Unit 271,862.00 0.00

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

V22F0146 08/09/2021 0008782580 550100 49,555.00 V22F0285 09/07/2021 0008807418 550100 8,424.00 V22F0454 10/04/2021 0008832278 550100 71,278.00 V22F0706 11/01/2021 0008858996 550100 39,375.00 Total Account by Grant Year 168,632.00 0.00

3526‑3860 003860 2022 Supporting Effective Instruction (was Title IIA) S367A210015 21E CFDA 84.367A

V22F0981 12/06/2021 0008888751 550100 43,104.00 V22F1274 01/03/2022 0008912426 550100 41,828.00 V22F1544 02/07/2022 0008943416 550100 32,567.00 V22F1819 03/07/2022 0008971655 550100 46,683.00 V22F2094 04/04/2022 0008999062 550100 40,720.00 V22F2369 05/02/2022 0009028983 550100 53,234.00 V22F2657 06/06/2022 0009062410 550100 79,677.00 Total Account by Grant Year 337,813.00 0.00 Total Fund Budget Unit 506,445.00 0.00

3527‑3870 5000 P01014 2020 Supporting Effective Instruction (was Title IIA)‑Disc‑KTOY Regional Trainings Project S367A190015 19E CFDA 84.367A

V2201859 12/01/2021 0008885462 526900 496.44 Total Fund Budget Unit 496.44 0.00

3529‑3490 003490 9904 2021 School Breakfast 10.553 CFDA 10.553

V22N1851 09/21/2021 0008818338 550100 60,779.43 V22N1851 09/21/2021 0008818338 550100 85,793.50 V22N2619 10/12/2021 0008839179 550100 129,670.33 V22N2619 10/12/2021 0008839179 550100 142,344.81 Total Account by Grant Year 418,588.07 0.00

3529‑3490 003490 9904 2022 School Breakfast 10.553 CFDA 10.553

V22N3473 11/15/2021 0008869041 550100 124,442.44 V22N3473 11/15/2021 0008869041 550100 128,062.31 V22N3842 12/14/2021 0008896496 550100 127,695.40 V22N3842 12/14/2021 0008896496 550100 119,517.44 V22N4833 01/18/2022 0008924663 550100 92,301.89 V22N4833 01/18/2022 0008924663 550100 87,083.85 V22N5892 02/22/2022 0008956998 550100 96,408.45 V22N5892 02/22/2022 0008956998 550100 95,970.81 V22N6559 03/15/2022 0008979508 550100 82,674.89 V22N6559 03/15/2022 0008979508 550100 80,846.18 V22N7503 04/12/2022 0009007362 550100 117,790.29 V22N7503 04/12/2022 0009007362 550100 114,622.61 V22N8038 05/10/2022 0009036704 550100 154,572.89 V22N8038 05/10/2022 0009036704 550100 143,608.44 V22N9029 06/14/2022 0009073220 550100 138,143.15 V22N9029 06/14/2022 0009073220 550100 126,777.54 Total Account by Grant Year 1,830,518.58 0.00 Total Fund Budget Unit 2,249,106.65 0.00

3530‑3500 003500 9900 2021 COVID‑19 Coronavirus 10.649 CFDA 10.649

V22N1121 09/08/2021 0008808627 550100 5,264.54 Total Account 5,264.54 0.00

3530‑3500 003500 9902 2021 Section 4 10.555 CFDA 10.555

V22N1851 09/21/2021 0008818338 550100 1,100,893.42 V22N2619 10/12/2021 0008839179 550100 1,672,539.06 Total Account by Grant Year 2,773,432.48 0.00

3530‑3500 003500 9902 2022 Section 4 10.555 CFDA 10.555

V22N3473 11/15/2021 0008869041 550100 1,537,668.99 V22N3842 12/14/2021 0008896496 550100 1,525,592.94 V22N4833 01/18/2022 0008924663 550100 1,042,158.15 V22N5892 02/22/2022 0008956998 550100 1,318,348.06 V22N6559 03/15/2022 0008979508 550100 1,022,177.94 V22N7503 04/12/2022 0009007362 550100 1,481,443.75 V22N8038 05/10/2022 0009036704 550100 1,739,708.63 V22N9029 06/14/2022 0009073220 550100 1,513,618.50 Total Account by Grant Year 11,180,716.96 0.00 Total Account 13,954,149.44 0.00

3530‑3500 003500 9908 2021 COVID‑19 Coronavirus 10.555 CFDA 10.555

V22N1598 09/16/2021 0008815182 550100 186,224.35 Total Account 186,224.35 0.00

3530‑3500 003500 9911 2022 NSLP Supply Chain Assistance 10.555 CFDA 10.555

V22N5394 02/15/2022 0008951639 550100 490,812.05 V22N7070 04/05/2022 0009000837 550100 12,588.08 Total Account 503,400.13 0.00

3530‑3500 003500 9912 2021 Cash for Commodities 10.559 CFDA 10.559

V22N1851 09/21/2021 0008818338 550100 66,295.84 V22N2619 10/12/2021 0008839179 550100 100,720.36 V22N3473 11/15/2021 0008869041 550100 11,749.14 Total Account by Grant Year 178,765.34 0.00

3530‑3500 003500 9912 2022 Cash for Commodities 10.559 CFDA 10.559

V22N3473 11/15/2021 0008869041 550100 80,849.34 V22N3842 12/14/2021 0008896496 550100 91,871.26 V22N4833 01/18/2022 0008924663 550100 62,758.80 V22N5892 02/22/2022 0008956998 550100 75,127.78 V22N6559 03/15/2022 0008979508 550100 58,250.14 V22N7503 04/12/2022 0009007362 550100 84,422.00 V22N8038 05/10/2022 0009036704 550100 99,139.56 V22N9029 06/14/2022 0009073220 550100 86,255.52 Total Account by Grant Year 638,674.40 0.00 Total Account 817,439.74 0.00 Total Fund Budget Unit 15,466,478.20 0.00

3531‑3510 003510 9907 2021 COVID‑19 Coronavirus 10.558 CFDA 10.558

V22N2058 09/22/2021 0008819289 550100 15,627.81 Total Account 15,627.81 0.00

3531‑3510 003510 9916 2021 Cash for Commodities 10.558 CFDA 10.558

V22N2497 10/05/2021 0008834054 550100 612.04 V22N3072 11/02/2021 0008860620 550100 395.20 Total Account by Grant Year 1,007.24 0.00

3531‑3510 003510 9916 2022 Cash for Commodities 10.558 CFDA 10.558

V22N4246 12/20/2021 0008901175 550100 1,079.78 V22N4756 01/11/2022 0008920424 550100 354.90 V22N5280 02/08/2022 0008945430 550100 385.58 V22N6454 03/08/2022 0008973531 550100 392.34 V22N7645 04/12/2022 0009007491 550100 529.10 V22N7908 05/03/2022 0009030601 550100 600.08 V22N8792 06/07/2022 0009064159 550100 535.60 Total Account by Grant Year 3,877.38 0.00 Total Account 4,884.62 0.00

3531‑3510 003510 9921 2021 Meal Costs 10.558 CFDA 10.558

V22N2497 10/05/2021 0008834054 550100 14,866.21 V22N3072 11/02/2021 0008860620 550100 9,386.62 Total Account by Grant Year 24,252.83 0.00

3531‑3510 003510 9921 2022 Meal Costs 10.558 CFDA 10.558

V22N4246 12/20/2021 0008901175 550100 26,723.60 V22N4756 01/11/2022 0008920424 550100 9,035.91 V22N5280 02/08/2022 0008945430 550100 9,591.57 V22N6454 03/08/2022 0008973531 550100 9,739.04 V22N7645 04/12/2022 0009007491 550100 13,027.31 V22N7908 05/03/2022 0009030601 550100 14,621.64 V22N8792 06/07/2022 0009064159 550100 13,156.15 Total Account by Grant Year 95,895.22 0.00 Total Account 120,148.05 0.00 Total Fund Budget Unit 140,660.48 0.00

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

V22F0146 08/09/2021 0008782580 550100 196,160.00 V22F0285 09/07/2021 0008807418 550100 118,506.00 V22F0454 10/04/2021 0008832278 550100 89,572.00 V22F0454 10/04/2021 0008832278 550100 183,987.00 Total Account by Grant Year 588,225.00 0.00

3532‑3520 003520 2022 Title I  Low Income S010A210016 21E CFDA 84.010A

V22F0706 11/01/2021 0008858996 550100 232,608.00 V22F0981 12/06/2021 0008888751 550100 243,885.00 V22F1274 01/03/2022 0008912426 550100 191,555.00 V22F1544 02/07/2022 0008943416 550100 191,878.00 V22F1819 03/07/2022 0008971655 550100 222,060.00 V22F2094 04/04/2022 0008999062 550100 1,564.00 V22F2094 04/04/2022 0008999062 550100 190,764.00 V22F2369 05/02/2022 0009028983 550100 6,712.00 V22F2369 05/02/2022 0009028983 550100 191,865.00 V22F2657 06/06/2022 0009062410 550100 4,705.00 V22F2657 06/06/2022 0009062410 550100 404,248.00 Total Account by Grant Year 1,881,844.00 0.00 Total Fund Budget Unit 2,470,069.00 0.00

3534‑3540 1000 T00401 2021 Title VI ‑ Part B IDEA ‑ Administration H027A200031 20E CFDA 84.027A

V2203064 03/02/2022 0008968640 526900 1,213.92 Total Fund Budget Unit 1,213.92 0.00

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

V22F0454 10/04/2021 0008832278 550100 15,171.00 V22F0706 11/01/2021 0008858996 550100 15,171.00 V22F0981 12/06/2021 0008888751 550100 15,171.00 V22F1274 01/03/2022 0008912426 550100 15,171.00 Total Account by Grant Year 60,684.00 0.00

3535‑3550 003550 1000 2022 EC Flo‑Thru H173A210034 21E CFDA 84.173A

V22F1544 02/07/2022 0008943416 550100 15,171.00 V22F1819 03/07/2022 0008971655 550100 15,172.00 V22F2094 04/04/2022 0008999062 550100 15,172.00 V22F2369 05/02/2022 0009028983 550100 15,172.00 V22F2657 06/06/2022 0009062410 550100 15,172.00 Total Account by Grant Year 75,859.00 0.00 Total Account 136,543.00 0.00

3535‑3550 003550 1100 2022 EC Flo‑Thru H173X210034 21E CFDA 84.173X

V22F0454 10/04/2021 0008832278 550100 13,662.00 V22F0706 11/01/2021 0008858996 550100 13,662.00 V22F0981 12/06/2021 0008888751 550100 13,662.00 V22F1274 01/03/2022 0008912426 550100 13,662.00 V22F1544 02/07/2022 0008943416 550100 13,662.00 V22F1819 03/07/2022 0008971655 550100 13,662.00 V22F2094 04/04/2022 0008999062 550100 13,664.00 V22F2369 05/02/2022 0009028983 550100 13,664.00 V22F2657 06/06/2022 0009062410 550100 13,664.00 Total Account 122,964.00 0.00 Total Fund Budget Unit 259,507.00 0.00

3537‑3570 003570 2021 Title I  Migrant S011A200016 20E CFDA 84.011A

V22F0454 10/04/2021 0008832278 550100 18,578.00 V22F0706 11/01/2021 0008858996 550100 7,202.00 Total Account by Grant Year 25,780.00 0.00

3537‑3570 003570 2022 Title I  Migrant S011A210016 21E CFDA 84.011A

S2200583 06/24/2022 N/A 550100 -3,884.91 V22F0981 12/06/2021 0008888751 550100 8,424.00 V22F1274 01/03/2022 0008912426 550100 3,455.00 V22F1544 02/07/2022 0008943416 550100 6,051.00 V22F1819 03/07/2022 0008971655 550100 6,135.00 V22F2094 04/04/2022 0008999062 550100 8,220.00 V22F2369 05/02/2022 0009028983 550100 6,519.00 V22F2657 06/06/2022 0009062410 550100 20,116.00 Total Account by Grant Year 58,920.00 -3,884.91 Total Fund Budget Unit 84,700.00 -3,884.91

3539‑3590 003590 9920 2022 Program Improv Sec V048A210016 21E CFDA 84.048A

V22F0285 09/07/2021 0008807418 550100 3,670.00 V22F0454 10/04/2021 0008832278 550100 8,942.00 V22F0706 11/01/2021 0008858996 550100 14,414.00 V22F0981 12/06/2021 0008888751 550100 57,327.00 V22F1274 01/03/2022 0008912426 550100 17,568.00 V22F1544 02/07/2022 0008943416 550100 6,932.00 V22F1819 03/07/2022 0008971655 550100 5,372.00 V22F2094 04/04/2022 0008999062 550100 3,611.00 V22F2369 05/02/2022 0009028983 550100 3,163.00 V22F2657 06/06/2022 0009062410 550100 42,534.00 Total Account 163,533.00 0.00

3539‑3590 003590 9922 2021 Reserve Fund V048A200016 20E CFDA 84.048A

V22F0285 09/07/2021 0008807418 550100 1,560.00 V22F0454 10/04/2021 0008832278 550100 2,335.00 Total Account 3,895.00 0.00 Total Fund Budget Unit 167,428.00 0.00

3592‑3070 S00369 2022 Youth Risk Behavior Survey(YRBS) ‑ Special Project FY19 NU87PS004319‑02 CFDA 93.079

V2200241 07/23/2021 0008766903 526900 1,440.00 Total Account 1,440.00 0.00

3592‑3070 S00407 2022 Youth Risk Behavior Survey(YRBS) ‑ Special Project FY20 NU87PS004319‑03 CFDA 93.079

V2203476 03/30/2022 0008995942 526900 150.00 V2203827 04/19/2022 0009014642 526900 150.00 V2204542 06/02/2022 0009061303 526900 150.00 V2204716 06/09/2022 0009067992 526900 350.37 Total Account 800.37 0.00

3592‑3070 S01001 2022 Youth Risk Behavior Survey(YRBS) ‑ Special Project FY21 NU87PS004319‑04 CFDA 93.079

V2201799 11/23/2021 0008876466 526900 1,500.00 Total Account 1,500.00 0.00

3592‑3070 U01006 2022 Homeless Child  FY2022 S196A210017 21E CFDA 84.196A

V22F0706 11/01/2021 0008858996 550100 1,538.00 V22F0981 12/06/2021 0008888751 550100 5,021.00 V22F1274 01/03/2022 0008912426 550100 10,918.00 V22F1544 02/07/2022 0008943416 550100 4,195.00 V22F1819 03/07/2022 0008971655 550100 4,421.00 V22F2094 04/04/2022 0008999062 550100 6,976.00 V22F2369 05/02/2022 0009028983 550100 7,801.00 V22F2657 06/06/2022 0009062410 550100 9,430.00 Total Account 50,300.00 0.00 Total Fund Budget Unit 54,040.37 0.00 Total Federal Aid 46,836,945.79 -3,884.91

Other State Aid from 7000

7005‑7005 007005 2022 USD Contribution Checkoff Fund

V22A0025 02/10/2022 0008947627 559900 2,949.82 Total Fund Budget Unit 2,949.82 0.00

7307‑5000 S00002 2022 KS Hlth Foundation‑ YRBS Incentives

V2202190 12/22/2021 0008903018 526900 1,500.00 V2202332 01/10/2022 0008918593 526900 1,500.00 Total Fund Budget Unit 3,000.00 0.00

7393‑7000 007000 2022 State School District Finance

S2200554 06/15/2022 N/A 462900 19,028,131.00 S2200554 06/15/2022 N/A 462900 10,913,274.00 V2253761 06/21/2022 0009080637 551100 6,739,968.00 Total Fund Budget Unit 6,739,968.00 29,941,405.00

7393‑7010 007010 2022 School District 20‑Mill Levy

V2252331 01/27/2022 0008936305 551100 18,054,522.00 V2252617 02/24/2022 0008963667 551100 13,865,205.00 V2253475 06/13/2022 0009070921 551100 16,426,278.00 Total Fund Budget Unit 48,346,005.00 0.00 Total Other State Aid from 7000 55,091,922.82 29,941,405.00 Total Aid 352,038,053.65 29,937,558.09 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 2022 were delayed until July 1, 2022. 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 7/6/2022
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