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

D0512 USD 512 SHAWNEE MISSION PUBLIC SCHOOLS 0000048322

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

State Aid

1000‑0053 M00153 2022 Teacher Licensure ‑ SGF

V2201526 11/05/2021 0008863501 526900 135.00 Total Fund Budget Unit 135.00 0.00

1000‑0110 000110 2022 KPERS Employer Contributions‑USDs

V22K0286 07/12/2021 0008757130 551400 9,683,817.67 V22K0572 10/12/2021 0008839159 551400 3,507,996.59 V22K0858 01/11/2022 0008920201 551400 7,091,108.31 V22K1144 04/12/2022 0009007283 551400 6,775,275.50 Total Fund Budget Unit 27,058,198.07 0.00

1000‑0320 000320 2022 Food Service Aid

V22N0944 09/07/2021 0008807596 551100 8,688.40 V22N2713 10/12/2021 0008839273 551100 13,408.40 V22N3515 11/15/2021 0008869083 551100 13,022.32 V22N4051 12/14/2021 0008896705 551100 11,721.32 V22N4875 01/18/2022 0008924705 551100 10,006.56 V22N6014 02/22/2022 0008957120 551100 11,536.36 V22N6380 03/08/2022 0008973486 551100 9,240.28 V22N7610 04/12/2022 0009007469 551100 11,037.68 V22N8176 05/10/2022 0009036842 551100 13,601.24 V22N9272 06/14/2022 0009073463 551100 18,068.77 V22N9272 06/14/2022 0009073463 551100 9,092.48 Total Fund Budget Unit 129,423.81 0.00

1000‑0700 000700 2022 Special Education Services Aid

V22S0281 10/12/2021 0008839628 551100 4,073,359.00 V22S0577 12/10/2021 0008893868 551100 3,960,525.00 V22S0867 03/10/2022 0008976867 551100 2,265,059.00 V22S1158 04/12/2022 0009007847 551100 2,762,432.00 V22S1449 05/31/2022 0009057890 551100 10,153,296.00 Total Fund Budget Unit 23,214,671.00 0.00

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

V2250572 07/07/2021 0008754033 551100 8,151,913.00 V2250858 07/28/2021 0008774999 551100 8,151,913.00 V2251144 08/27/2021 0008801287 551100 12,219,934.00 V2251430 09/28/2021 0008828502 551100 14,021,503.00 V2251716 10/27/2021 0008856301 551100 14,003,426.00 V2252002 11/24/2021 0008882232 551100 13,837,705.00 V2252288 12/28/2021 0008906450 551100 13,589,124.00 V2252860 02/24/2022 0008963910 551100 12,016,216.00 V2253146 03/29/2022 0008994984 551100 12,153,324.00 V2253432 04/27/2022 0009027050 551100 9,737,541.00 V2254004 06/21/2022 0009080880 551100 5,899,320.49 Total Account by Grant Year 123,781,919.49 0.00

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

V2350286 07/06/2022 0009092708 551100 7,358,004.51 Total Account by Grant Year 7,358,004.51 0.00 Total Fund Budget Unit 131,139,924.00 0.00 Total State Aid 181,542,351.88 0.00

Special Revenue State Aid

2000‑2510 002510 2022 CIF‑Parent Education Program

V22P0220 09/10/2021 0008810815 551100 191,482.00 V22P0678 03/10/2022 0008976579 551100 95,741.00 V22P0925 06/14/2022 0009073648 551100 95,740.00 Total Fund Budget Unit 382,963.00 0.00

2000‑2535 002535 2022 CIF‑Pre‑ K‑ Pilot

V22P0155 08/20/2021 0008791815 551100 20,438.00 V22P0411 11/09/2021 0008866107 551100 20,438.00 V22P0613 02/10/2022 0008947941 551100 20,438.00 V22P0862 05/24/2022 0009048958 551100 20,436.00 Total Fund Budget Unit 81,750.00 0.00 Total Special Revenue State Aid 464,713.00 0.00

Federal Aid

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

V22V0267 01/14/2022 0008923089 550100 269,475.00 V22V0420 04/15/2022 0009011264 550100 359,863.00 Total Fund Budget Unit 629,338.00 0.00

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

V22F0105 07/13/2021 0008758597 550100 29,000.00 V22F0399 09/07/2021 0008807532 550100 21,000.00 V22F0642 10/04/2021 0008832466 550100 2,506.00 V22F0642 10/04/2021 0008832466 550100 7,494.00 V22F0909 11/01/2021 0008859199 550100 13,000.00 Total Account by Grant Year 73,000.00 0.00

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

V22F1473 01/03/2022 0008912625 550100 3,000.00 V22F2297 04/04/2022 0008999265 550100 6,000.00 V22F2585 05/02/2022 0009029199 550100 18,000.00 V22F2875 06/06/2022 0009062628 550100 70,000.00 Total Account by Grant Year 97,000.00 0.00 Total Fund Budget Unit 170,000.00 0.00

3230‑3020 003020 9579 2021 NSLP Equipment 10.579 CFDA 10.579

V2203746 04/14/2022 0009010050 550100 66,982.96 Total Account 66,982.96 0.00

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

V22N0060 07/06/2021 0008752631 550100 183,055.47 V22N0657 08/10/2021 0008784228 550100 186,682.52 Total Account 369,737.99 0.00

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

V22N0060 07/06/2021 0008752631 550100 18,780.63 V22N0657 08/10/2021 0008784228 550100 19,158.16 Total Account 37,938.79 0.00

3230‑3020 003020 9926 2022 Fresh Fruits & Vegetables 10.582 CFDA 10.582

V22N3801 12/14/2021 0008896456 550100 9,513.22 V22N4243 12/20/2021 0008901173 550100 7,640.14 V22N4545 01/11/2022 0008920235 550100 2,511.81 V22N5869 02/22/2022 0008956976 550100 4,632.40 V22N7481 04/12/2022 0009007340 550100 11,204.63 V22N8006 05/10/2022 0009036672 550100 5,761.22 V22N8983 06/13/2022 0009071242 550100 8,781.88 Total Account 50,045.30 0.00

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

V22N0060 07/06/2021 0008752631 550100 876.23 V22N0657 08/10/2021 0008784228 550100 890.42 Total Account 1,766.65 0.00 Total Fund Budget Unit 526,471.69 0.00

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

S2200243 11/24/2021 N/A 550100 -14,369.00 Total Account by Grant Year 0.00 -14,369.00

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

V22F0251 08/09/2021 0008782685 550100 408,000.00 V22F0399 09/07/2021 0008807532 550100 1,400,000.00 V22F0642 10/04/2021 0008832466 550100 778,000.00 V22F0909 11/01/2021 0008859199 550100 2,430,000.00 V22F1195 12/06/2021 0008888965 550100 1,407,000.00 V22F1473 01/03/2022 0008912625 550100 87,000.00 V22F1754 02/07/2022 0008943626 550100 332,000.00 V22F2022 03/07/2022 0008971858 550100 549,000.00 V22F2297 04/04/2022 0008999265 550100 1,024,000.00 V22F2585 05/02/2022 0009029199 550100 372,000.00 V22F2875 06/06/2022 0009062628 550100 10,000.00 V22F2875 06/06/2022 0009062628 550100 755,000.00 Total Account by Grant Year 9,552,000.00 0.00 Total Account 9,552,000.00 -14,369.00

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

V22F0251 08/09/2021 0008782685 550100 18,000.00 V22F0399 09/07/2021 0008807532 550100 10,000.00 V22F0642 10/04/2021 0008832466 550100 19,000.00 Total Account by Grant Year 47,000.00 0.00

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

V22F0909 11/01/2021 0008859199 550100 262,000.00 V22F2022 03/07/2022 0008971858 550100 69,000.00 V22F2297 04/04/2022 0008999265 550100 52,000.00 V22F2585 05/02/2022 0009029199 550100 205,000.00 V22F2875 06/06/2022 0009062628 550100 17,000.00 Total Account by Grant Year 605,000.00 0.00 Total Account 652,000.00 0.00 Total Fund Budget Unit 10,204,000.00 -14,369.00

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

V22F0251 08/09/2021 0008782685 550100 7,575.00 Total Account by Grant Year 7,575.00 0.00

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

V22F0105 07/13/2021 0008758597 550100 9,900.00 V22F0251 08/09/2021 0008782685 550100 2,425.00 V22F0399 09/07/2021 0008807532 550100 129,730.00 V22F0642 10/04/2021 0008832466 550100 1,538,000.00 V22F0909 11/01/2021 0008859199 550100 6,000.00 V22F0909 11/01/2021 0008859199 550100 757,000.00 V22F1195 12/06/2021 0008888965 550100 29,370.00 V22F1195 12/06/2021 0008888965 550100 685,000.00 V22F1473 01/03/2022 0008912625 550100 587,000.00 Total Account by Grant Year 3,744,425.00 0.00

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

V22F1754 02/07/2022 0008943626 550100 736,000.00 V22F2022 03/07/2022 0008971858 550100 727,000.00 V22F2297 04/04/2022 0008999265 550100 754,000.00 V22F2585 05/02/2022 0009029199 550100 197,533.00 V22F2585 05/02/2022 0009029199 550100 209,444.00 Total Account by Grant Year 2,623,977.00 0.00 Total Account 6,375,977.00 0.00

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

V22F0105 07/13/2021 0008758597 550100 14,000.00 V22F0251 08/09/2021 0008782685 550100 8,822.00 Total Account by Grant Year 22,822.00 0.00

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

V22F1195 12/06/2021 0008888965 550100 114,000.00 V22F1473 01/03/2022 0008912625 550100 18,000.00 V22F1754 02/07/2022 0008943626 550100 24,000.00 V22F2022 03/07/2022 0008971858 550100 28,000.00 V22F2875 06/06/2022 0009062628 550100 14,000.00 Total Account by Grant Year 198,000.00 0.00 Total Account 220,822.00 0.00 Total Fund Budget Unit 6,596,799.00 0.00

3323‑0531 000531 2022 TANF‑ Early Learning Kansans 93.558 93.558 CFDA 93.558

V22P0048 07/23/2021 0008766980 550100 19,921.00 V22P0304 10/22/2021 0008847347 550100 9,966.00 V22P0506 01/24/2022 0008928499 550100 31,200.00 V22P0756 04/22/2022 0009017500 550100 40,584.00 Total Fund Budget Unit 101,671.00 0.00

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

V22F0105 07/13/2021 0008758597 550100 14,312.00 V22F0642 10/04/2021 0008832466 550100 40,000.00 V22F0909 11/01/2021 0008859199 550100 17,000.00 V22F1195 12/06/2021 0008888965 550100 20,000.00 Total Account by Grant Year 91,312.00 0.00

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

V22F1473 01/03/2022 0008912625 550100 18,000.00 V22F1754 02/07/2022 0008943626 550100 19,000.00 V22F2022 03/07/2022 0008971858 550100 21,000.00 V22F2297 04/04/2022 0008999265 550100 22,000.00 V22F2585 05/02/2022 0009029199 550100 17,000.00 V22F2875 06/06/2022 0009062628 550100 42,000.00 Total Account by Grant Year 139,000.00 0.00 Total Fund Budget Unit 230,312.00 0.00

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

V22F0105 07/13/2021 0008758597 550100 43,000.00 V22F0251 08/09/2021 0008782685 550100 200,000.00 V22F0399 09/07/2021 0008807532 550100 95,000.00 V22F0642 10/04/2021 0008832466 550100 33,000.00 Total Account by Grant Year 371,000.00 0.00

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

V22F0909 11/01/2021 0008859199 550100 63,306.00 V22F1195 12/06/2021 0008888965 550100 61,000.00 V22F1473 01/03/2022 0008912625 550100 24,000.00 V22F1754 02/07/2022 0008943626 550100 52,000.00 V22F2022 03/07/2022 0008971858 550100 37,000.00 V22F2297 04/04/2022 0008999265 550100 32,000.00 V22F2585 05/02/2022 0009029199 550100 165,000.00 V22F2875 06/06/2022 0009062628 550100 152,000.00 Total Account by Grant Year 586,306.00 0.00 Total Fund Budget Unit 957,306.00 0.00

3527‑3870 5000 D00902 2020 Supporting Effective Instruction (was Title IIA)‑Disc‑KTOY Ldr Conf & Promise Wks S367A190015 19E CFDA 84.367A

V2201728 11/18/2021 0008872877 526900 60.00 Total Fund Budget Unit 60.00 0.00

3529‑3490 003490 9904 2021 School Breakfast 10.553 CFDA 10.553

V22N0944 09/07/2021 0008807596 550100 14,789.78 V22N0944 09/07/2021 0008807596 550100 100,703.94 V22N1955 09/21/2021 0008818442 550100 590.33 V22N2713 10/12/2021 0008839273 550100 32,943.33 V22N2713 10/12/2021 0008839273 550100 190,021.28 Total Account by Grant Year 339,048.66 0.00

3529‑3490 003490 9904 2022 School Breakfast 10.553 CFDA 10.553

V22N3515 11/15/2021 0008869083 550100 34,194.28 V22N3515 11/15/2021 0008869083 550100 189,223.43 V22N4051 12/14/2021 0008896705 550100 31,219.58 V22N4051 12/14/2021 0008896705 550100 169,545.59 V22N4875 01/18/2022 0008924705 550100 26,567.91 V22N4875 01/18/2022 0008924705 550100 140,071.93 V22N6014 02/22/2022 0008957120 550100 31,132.36 V22N6014 02/22/2022 0008957120 550100 162,090.92 V22N6380 03/08/2022 0008973486 550100 24,966.32 V22N6380 03/08/2022 0008973486 550100 130,210.93 V22N7610 04/12/2022 0009007469 550100 32,460.91 V22N7610 04/12/2022 0009007469 550100 162,820.32 V22N8176 05/10/2022 0009036842 550100 45,371.29 V22N8176 05/10/2022 0009036842 550100 207,555.98 V22N9272 06/14/2022 0009073463 550100 29,777.76 V22N9272 06/14/2022 0009073463 550100 139,427.42 Total Account by Grant Year 1,556,636.93 0.00 Total Fund Budget Unit 1,895,685.59 0.00

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

V22N1355 09/08/2021 0008808861 550100 5,814.00 Total Account 5,814.00 0.00

3530‑3500 003500 9902 2021 Section 4 10.555 CFDA 10.555

V22N0944 09/07/2021 0008807596 550100 937,804.18 V22N2713 10/12/2021 0008839273 550100 1,447,269.18 Total Account by Grant Year 2,385,073.36 0.00

3530‑3500 003500 9902 2022 Section 4 10.555 CFDA 10.555

V22N3515 11/15/2021 0008869083 550100 1,405,596.67 V22N4051 12/14/2021 0008896705 550100 1,265,169.98 V22N4875 01/18/2022 0008924705 550100 1,080,083.07 V22N6014 02/22/2022 0008957120 550100 1,315,866.06 V22N6380 03/08/2022 0008973486 550100 1,053,969.44 V22N7610 04/12/2022 0009007469 550100 1,258,985.38 V22N8176 05/10/2022 0009036842 550100 1,551,391.44 V22N9272 06/14/2022 0009073463 550100 1,037,111.00 Total Account by Grant Year 9,968,173.04 0.00 Total Account 12,353,246.40 0.00

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

V22N1712 09/16/2021 0008815296 550100 407,216.08 Total Account 407,216.08 0.00

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

V22N5633 02/15/2022 0008951878 550100 450,494.57 V22N7309 04/05/2022 0009001076 550100 11,543.39 Total Account 462,037.96 0.00

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

V22N0944 09/07/2021 0008807596 550100 56,474.60 V22N2713 10/12/2021 0008839273 550100 87,154.60 Total Account by Grant Year 143,629.20 0.00

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

V22N3515 11/15/2021 0008869083 550100 84,645.08 V22N4051 12/14/2021 0008896705 550100 76,188.58 V22N4875 01/18/2022 0008924705 550100 65,042.64 V22N6014 02/22/2022 0008957120 550100 74,986.34 V22N6380 03/08/2022 0008973486 550100 60,061.82 V22N7610 04/12/2022 0009007469 550100 71,744.92 V22N8176 05/10/2022 0009036842 550100 88,408.06 V22N9272 06/14/2022 0009073463 550100 59,101.12 Total Account by Grant Year 580,178.56 0.00 Total Account 723,807.76 0.00 Total Fund Budget Unit 13,952,122.20 0.00

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

V22N2099 09/22/2021 0008819330 550100 2,688.88 Total Account 2,688.88 0.00

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

V22N2861 10/19/2021 0008844576 550100 35.36 V22N3543 11/18/2021 0008872903 550100 266.46 Total Account by Grant Year 301.82 0.00

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

V22N3543 11/18/2021 0008872903 550100 12.78 V22N3617 12/07/2021 0008890748 550100 510.64 V22N4895 01/18/2022 0008924718 550100 434.98 V22N5759 02/15/2022 0008951958 550100 453.44 V22N6641 03/15/2022 0008979582 550100 581.10 V22N7661 04/12/2022 0009007507 550100 561.08 V22N8424 05/17/2022 0009042865 550100 502.32 V22N9395 06/14/2022 0009073539 550100 222.04 Total Account by Grant Year 3,278.38 0.00 Total Account 3,580.20 0.00

3531‑3510 003510 9921 2021 Meal Costs 10.558 CFDA 10.558

V22N2861 10/19/2021 0008844576 550100 497.76 Total Account by Grant Year 497.76 0.00

3531‑3510 003510 9921 2022 Meal Costs 10.558 CFDA 10.558

V22N3543 11/18/2021 0008872903 550100 3,930.84 V22N3617 12/07/2021 0008890748 550100 7,188.24 V22N4895 01/18/2022 0008924718 550100 6,123.18 V22N5759 02/15/2022 0008951958 550100 6,383.04 V22N6641 03/15/2022 0008979582 550100 8,180.10 V22N7661 04/12/2022 0009007507 550100 7,898.28 V22N8424 05/17/2022 0009042865 550100 7,071.12 V22N9395 06/14/2022 0009073539 550100 3,125.64 Total Account by Grant Year 49,900.44 0.00 Total Account 50,398.20 0.00 Total Fund Budget Unit 56,667.28 0.00

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

V22F0105 07/13/2021 0008758597 550100 17,210.00 Total Account by Grant Year 17,210.00 0.00

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

V22F0105 07/13/2021 0008758597 550100 22,790.00 V22F0251 08/09/2021 0008782685 550100 53,000.00 V22F0399 09/07/2021 0008807532 550100 316,000.00 V22F0642 10/04/2021 0008832466 550100 275,000.00 Total Account by Grant Year 666,790.00 0.00

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

V22F0909 11/01/2021 0008859199 550100 137,579.00 V22F0909 11/01/2021 0008859199 550100 171,421.00 V22F1195 12/06/2021 0008888965 550100 312,000.00 V22F1473 01/03/2022 0008912625 550100 324,000.00 V22F1754 02/07/2022 0008943626 550100 230,000.00 V22F2022 03/07/2022 0008971858 550100 292,000.00 V22F2297 04/04/2022 0008999265 550100 321,000.00 V22F2585 05/02/2022 0009029199 550100 374,000.00 V22F2875 06/06/2022 0009062628 550100 616,000.00 Total Account by Grant Year 2,778,000.00 0.00 Total Fund Budget Unit 3,462,000.00 0.00

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

V22F0642 10/04/2021 0008832466 550100 15,000.00 V22F0909 11/01/2021 0008859199 550100 15,000.00 V22F1195 12/06/2021 0008888965 550100 15,000.00 V22F1473 01/03/2022 0008912625 550100 15,000.00 Total Account by Grant Year 60,000.00 0.00

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

V22F1754 02/07/2022 0008943626 550100 15,000.00 V22F2022 03/07/2022 0008971858 550100 15,000.00 V22F2297 04/04/2022 0008999265 550100 15,000.00 V22F2585 05/02/2022 0009029199 550100 1,166.00 V22F2585 05/02/2022 0009029199 550100 2,960.00 Total Account by Grant Year 49,126.00 0.00 Total Fund Budget Unit 109,126.00 0.00

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

S2200118 09/14/2021 N/A 550100 -1,329.00 Total Account by Grant Year 0.00 -1,329.00

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

V22F1754 02/07/2022 0008943626 550100 5,000.00 V22F2022 03/07/2022 0008971858 550100 4,000.00 V22F2297 04/04/2022 0008999265 550100 5,000.00 V22F2585 05/02/2022 0009029199 550100 11,000.00 V22F2875 06/06/2022 0009062628 550100 12,000.00 Total Account by Grant Year 37,000.00 0.00 Total Fund Budget Unit 37,000.00 -1,329.00

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

V22F0399 09/07/2021 0008807532 550100 179,000.00 V22F0642 10/04/2021 0008832466 550100 2,000.00 V22F1195 12/06/2021 0008888965 550100 1,000.00 V22F1473 01/03/2022 0008912625 550100 1,000.00 V22F2022 03/07/2022 0008971858 550100 3,000.00 V22F2297 04/04/2022 0008999265 550100 9,000.00 V22F2585 05/02/2022 0009029199 550100 2,894.00 Total Fund Budget Unit 197,894.00 0.00

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

V2200270 07/23/2021 0008766932 526900 1,299.71 Total Account 1,299.71 0.00

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

V2200270 07/23/2021 0008766932 526900 140.29 V2203541 03/30/2022 0008996007 526900 450.00 V2203836 04/19/2022 0009014651 526900 150.00 V2204799 06/09/2022 0009074782 526900 467.16 Total Account 1,207.45 0.00 Total Fund Budget Unit 2,507.16 0.00 Total Federal Aid 39,128,959.92 -15,698.00

Other State Aid from 7000

7005‑7005 007005 2022 USD Contribution Checkoff Fund

V22A0194 02/10/2022 0008947796 559900 4,873.69 Total Fund Budget Unit 4,873.69 0.00

7307‑5000 S00002 2022 KS Hlth Foundation‑ YRBS Incentives

V2202192 12/22/2021 0008903020 526900 1,500.00 V2202335 01/10/2022 0008918596 526900 3,000.00 Total Fund Budget Unit 4,500.00 0.00

7393‑7000 007000 2022 State School District Finance

S2200559 06/15/2022 N/A 462900 8,787,833.00 Total Fund Budget Unit 0.00 8,787,833.00

7393‑7010 007010 2022 School District 20‑Mill Levy

V2252574 01/27/2022 0008936548 551100 15,732,463.00 V2253718 06/13/2022 0009071164 551100 14,377,497.00 Total Account by Grant Year 30,109,960.00 0.00 Total Account 30,109,960.00 0.00 Total Fund Budget Unit 30,109,960.00 0.00 Total Other State Aid from 7000 30,119,333.69 8,787,833.00 Total Aid 251,255,358.49 8,772,135.00 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 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 7/21/2022
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