Kansas State Department of Education
Annual Federal and State Aid Funding Report - SFY 2023

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 2023 State Board of Education ‑ SGF

V2300286 07/27/2022 0000225664 520600 7.65 V2300404 08/03/2022 0000225930 523800 1,607.70 V2300694 08/19/2022 0000226764 520600 16.86 V2301075 09/22/2022 0000227944 520600 6.90 V2301550 10/24/2022 0000229281 520600 129.59 V2301594 10/26/2022 N/A 523800 1,607.70 V2302007 11/21/2022 0000230428 520600 8.00 V2302466 12/21/2022 0000231624 520600 17.17 V2302873 01/18/2023 0000232459 523800 1,607.70 V2302964 01/24/2023 0000232729 520600 32.72 V2303395 02/22/2023 0000234073 520600 369.18 V2303476 03/01/2023 0000234381 534100 11.66 V2303920 03/27/2023 0000235572 520600 8.46 V2304333 04/21/2023 0000236610 520600 76.06 V2304361 04/25/2023 0000236792 523800 1,607.70 V2304788 05/18/2023 0000237947 520600 412.21 V2305381 06/15/2023 0000239445 520600 242.92 Total Account 7,770.18 0.00

1000‑0053 B00100 2023 Commissioner of Education ‑ SGF

V2300404 08/03/2022 0000225930 523850 139.71 V2300404 08/03/2022 0000225930 523800 3,215.41 V2301550 10/24/2022 0000229281 520600 9.40 V2301594 10/26/2022 N/A 523850 139.71 V2301594 10/26/2022 0000229404 523800 3,215.41 V2302007 11/21/2022 0000230428 520600 0.61 V2302873 01/18/2023 N/A 523800 3,215.41 V2302873 01/18/2023 N/A 523850 139.71 V2304044 04/04/2023 0000235879 534100 221.50 V2304044 04/04/2023 0000235879 534100 40.73 V2304333 04/21/2023 N/A 520600 1.35 V2304361 04/25/2023 0000236792 523800 3,215.41 V2304361 04/25/2023 0000236792 523850 139.71 Total Account 13,694.07 0.00

1000‑0053 C00105 2023 Personnel and Human Resources ‑ SGF

V2300404 08/03/2022 0000225930 523800 5,306.71 V2300404 08/03/2022 0000225930 523850 115.29 V2301594 10/26/2022 N/A 523800 5,306.71 V2301594 10/26/2022 N/A 523850 115.29 V2302007 11/21/2022 0000230428 520600 32.94 V2302873 01/18/2023 N/A 523850 115.29 V2302873 01/18/2023 N/A 523800 5,306.71 V2302964 01/24/2023 0000232729 520600 0.61 V2304361 04/25/2023 0000236792 523850 115.29 V2304361 04/25/2023 0000236792 523800 5,306.71 Total Account 21,721.55 0.00

1000‑0053 D00110 2023 Communications and Recognition ‑ SGF

V2300404 08/03/2022 0000225930 523850 141.22 V2300404 08/03/2022 0000225930 523800 6,175.23 V2300404 08/03/2022 0000225930 523800 1,300.05 V2300694 08/19/2022 0000226764 520600 346.73 V2301550 10/24/2022 0000229281 520600 13.10 V2301594 10/26/2022 N/A 523850 141.22 V2301594 10/26/2022 N/A 523800 6,175.23 V2302007 11/21/2022 0000230428 520600 191.44 V2302466 12/21/2022 0000231624 520600 18.44 V2302873 01/18/2023 N/A 523800 6,175.23 V2302873 01/18/2023 N/A 523850 141.22 V2302964 01/24/2023 0000232729 520600 5.63 V2303395 02/22/2023 0000234073 520600 5.57 V2303920 03/27/2023 0000235572 520600 38.71 V2304333 04/21/2023 N/A 520600 21.32 V2304361 04/25/2023 0000236792 523800 6,175.23 V2304361 04/25/2023 0000236792 523850 141.22 V2304788 05/18/2023 0000237947 520600 307.73 V2305381 06/15/2023 0000239445 520600 2.49 Total Account 27,517.01 0.00

1000‑0053 D00111 2023 Publications and Graphics Arts ‑ SGF

V2300404 08/03/2022 0000225930 523850 28.24 V2301594 10/26/2022 N/A 523800 1,300.05 V2301594 10/26/2022 N/A 523850 28.24 V2302873 01/18/2023 N/A 523850 28.24 V2302873 01/18/2023 N/A 523800 1,300.05 V2304361 04/25/2023 0000236792 523850 28.24 V2304361 04/25/2023 0000236792 523800 1,300.05 Total Account 4,013.11 0.00

1000‑0053 E00115 2023 Legal Services ‑ SGF

V2300286 07/27/2022 0000225664 520600 9.97 V2300404 08/03/2022 0000225930 523850 125.09 V2300404 08/03/2022 0000225930 523800 5,757.49 V2300694 08/19/2022 0000226764 520600 13.88 V2301075 09/22/2022 0000227944 520600 16.50 V2301550 10/24/2022 0000229281 520600 33.91 V2301594 10/26/2022 N/A 523850 125.09 V2301594 10/26/2022 N/A 523800 5,757.49 V2302007 11/21/2022 0000230428 520600 27.27 V2302466 12/21/2022 0000231624 520600 31.33 V2302873 01/18/2023 N/A 523800 5,757.49 V2302873 01/18/2023 N/A 523850 125.09 V2302964 01/24/2023 0000232729 520600 51.96 V2303395 02/22/2023 0000234073 520600 16.49 V2303920 03/27/2023 0000235572 520600 8.15 V2304333 04/21/2023 N/A 520600 1.88 V2304361 04/25/2023 0000236792 523800 5,757.49 V2304361 04/25/2023 0000236792 523850 125.09 V2304788 05/18/2023 0000237947 520600 3.14 V2305381 06/15/2023 0000239445 520600 7.67 Total Account 23,752.47 0.00

1000‑0053 F00120 2023 Research and Evaluation ‑ SGF

V2300404 08/03/2022 0000225930 523850 108.47 V2300404 08/03/2022 0000225930 523800 966.33 V2300694 08/19/2022 0000226764 520600 26.39 V2301594 10/26/2022 N/A 523800 966.33 V2301594 10/26/2022 N/A 523850 108.47 V2302873 01/18/2023 N/A 523850 108.47 V2302873 01/18/2023 N/A 523800 966.33 V2303395 02/22/2023 0000234073 520600 274.26 V2304361 04/25/2023 0000236792 523850 108.47 V2304361 04/25/2023 0000236792 523800 966.33 Total Account 4,599.85 0.00

1000‑0053 G00125 2023 Deputy Commissioner ‑ FAS ‑ SGF

V2300286 07/27/2022 0000225664 520600 5.60 V2300404 08/03/2022 0000225930 523800 5,124.11 V2300404 08/03/2022 0000225930 523850 111.32 V2301550 10/24/2022 0000229281 520600 2.09 V2301594 10/26/2022 N/A 523850 111.32 V2301594 10/26/2022 N/A 523800 5,124.11 V2302873 01/18/2023 N/A 523800 5,124.11 V2302873 01/18/2023 N/A 523850 111.32 V2302964 01/24/2023 0000232729 520600 1.22 V2304333 04/21/2023 N/A 520600 6.35 V2304361 04/25/2023 0000236792 523800 5,124.11 V2304361 04/25/2023 0000236792 523850 111.32 Total Account 20,956.98 0.00

1000‑0053 H00130 2022 Fiscal Services and Operations ‑ SGF

V2300318 07/28/2022 0000225720 523900 330.00 Total Account by Grant Year 330.00 0.00

1000‑0053 H00130 2023 Fiscal Services and Operations ‑ SGF

J2230054 06/19/2023 N/A 526320 -30,577.40 V2300286 07/27/2022 0000225664 520600 40.49 V2300404 08/03/2022 0000225930 523850 281.06 V2300404 08/03/2022 0000225930 523800 12,935.95 V2300405 08/03/2022 0000225931 526320 65,800.00 V2300694 08/19/2022 0000226764 520600 58.45 V2300868 09/08/2022 0000227286 523900 330.00 V2300920 09/12/2022 0000227377 526900 177,084.39 V2301075 09/22/2022 0000227944 520600 64.18 V2301378 10/13/2022 0000228779 523900 330.00 V2301550 10/24/2022 0000229281 520600 48.76 V2301550 10/24/2022 0000229281 520600 0.42 V2301594 10/26/2022 N/A 523850 281.06 V2301594 10/26/2022 N/A 523800 12,935.95 V2302007 11/21/2022 0000230428 520600 62.23 V2302042 11/22/2022 0000230429 523900 330.00 V2302466 12/21/2022 0000231624 520600 110.62 V2302638 01/05/2023 0000231987 537100 219.79 V2302873 01/18/2023 N/A 523800 12,935.94 V2302873 01/18/2023 N/A 523850 281.07 V2302964 01/24/2023 0000232729 520600 55.28 V2303129 02/03/2023 0000233249 523900 330.00 V2303276 02/13/2023 0000233613 526900 10.00 V2303276 02/13/2023 0000233613 534100 5,341.12 V2303276 02/13/2023 0000233613 534100 4,116.62 V2303276 02/13/2023 0000233613 534100 148.21 V2303276 02/13/2023 0000233613 534100 104.18 V2303276 02/13/2023 0000233613 534100 62.39 V2303395 02/22/2023 0000234073 520600 149.87 V2303476 03/01/2023 0000234381 534100 248.45 V2303492 03/01/2023 0000234382 525130 918.00 V2303806 03/16/2023 0000234991 529600 263.46 V2303920 03/27/2023 0000235572 520600 58.78 V2304044 04/04/2023 0000235879 534100 44.50 V2304044 04/04/2023 0000235879 526900 10.00 V2304097 04/06/2023 0000235966 523900 330.00 V2304189 04/12/2023 0000236163 523900 330.00 V2304333 04/21/2023 N/A 520600 0.42 V2304333 04/21/2023 N/A 520600 87.27 V2304361 04/25/2023 0000236792 523800 12,935.93 V2304361 04/25/2023 0000236792 523850 281.04 V2304504 05/05/2023 0000237333 534100 21.43 V2304504 05/05/2023 0000237333 534100 64.28 V2304504 05/05/2023 0000237333 534100 64.28 V2304504 05/05/2023 0000237333 526900 185.27 V2304562 05/08/2023 0000237490 523900 295.00 V2304788 05/18/2023 0000237947 520600 57.59 V2304799 05/18/2023 0000237950 523900 295.00 V2304876 05/23/2023 0000238170 534100 42.85 V2304876 05/23/2023 0000238170 534100 220.18 V2304975 05/30/2023 0000238514 523900 295.00 V2304996 06/01/2023 0000238624 523900 295.00 V2305380 06/15/2023 0000239834 523900 295.00 V2305381 06/15/2023 0000239445 520600 86.36 V2305446 06/19/2023 0000239838 534100 301.70 V2305446 06/19/2023 0000239838 534100 61.10 Total Account by Grant Year 281,958.52 0.00 Total Account 282,288.52 0.00

1000‑0053 I00128 2023 State Accreditation & School Design ‑ SGF

V2300404 08/03/2022 0000225930 523850 161.53 V2300404 08/03/2022 0000225930 523800 4,130.61 V2301594 10/26/2022 N/A 523850 161.53 V2301594 10/26/2022 N/A 523800 4,130.61 V2302873 01/18/2023 N/A 523850 161.53 V2302873 01/18/2023 N/A 523800 4,130.61 V2304361 04/25/2023 0000236792 523850 161.53 V2304361 04/25/2023 0000236792 523800 4,130.61 Total Account 17,168.56 0.00

1000‑0053 J00135 2023 School Finance ‑ SGF

V2300286 07/27/2022 0000225664 520600 450.70 V2300404 08/03/2022 0000225930 523800 10,986.41 V2300404 08/03/2022 0000225930 523850 238.69 V2300694 08/19/2022 0000226764 520600 55.76 V2300768 08/29/2022 0000227148 537100 268.14 V2300769 08/29/2022 0000227149 537100 272.20 V2301075 09/22/2022 0000227944 520600 25.74 V2301550 10/24/2022 0000229281 520600 44.78 V2301594 10/26/2022 N/A 523850 238.69 V2301594 10/26/2022 N/A 523800 10,986.41 V2302007 11/21/2022 0000230428 520600 58.66 V2302466 12/21/2022 0000231624 520600 461.70 V2302873 01/18/2023 N/A 523800 10,986.41 V2302873 01/18/2023 N/A 523850 238.69 V2302964 01/24/2023 0000232729 520600 62.32 V2303276 02/13/2023 0000233613 534100 287.82 V2303395 02/22/2023 0000234073 520600 217.62 V2303920 03/27/2023 0000235572 520600 136.06 V2304333 04/21/2023 N/A 520600 198.76 V2304361 04/25/2023 0000236792 523800 10,986.41 V2304361 04/25/2023 0000236792 523850 238.69 V2304788 05/18/2023 0000237947 520600 251.13 V2305381 06/15/2023 0000239445 520600 265.63 Total Account 47,957.42 0.00

1000‑0053 J00960 2023 Safe & Secure Schools ‑ SGF

V2300404 08/03/2022 0000225930 523850 53.64 V2300404 08/03/2022 0000225930 523800 2,468.86 V2301594 10/26/2022 N/A 523850 53.64 V2301594 10/26/2022 N/A 523800 2,468.86 V2302873 01/18/2023 N/A 523850 53.64 V2302873 01/18/2023 N/A 523800 2,468.86 V2304361 04/25/2023 0000236792 523850 53.64 V2304361 04/25/2023 0000236792 523800 2,468.86 Total Account 10,090.00 0.00

1000‑0053 K00140 2022 Fiscal Auditing ‑ SGF

V2300318 07/28/2022 0000225720 523900 15.00 Total Account by Grant Year 15.00 0.00

1000‑0053 K00140 2023 Fiscal Auditing ‑ SGF

V2300286 07/27/2022 0000225664 520600 10.76 V2300404 08/03/2022 0000225930 523800 4,841.91 V2300404 08/03/2022 0000225930 523850 113.93 V2300572 08/12/2022 0000226352 537100 146.16 V2300694 08/19/2022 0000226764 520600 3.67 V2300868 09/08/2022 0000227286 523900 15.00 V2301075 09/22/2022 0000227944 520600 4.14 V2301378 10/13/2022 0000228779 523900 15.00 V2301594 10/26/2022 N/A 523850 113.93 V2301594 10/26/2022 N/A 523800 4,841.91 V2302007 11/21/2022 0000230428 520600 15.97 V2302042 11/22/2022 0000230429 523900 15.00 V2302166 12/02/2022 0000230813 526610 60.00 V2302873 01/18/2023 N/A 523800 4,841.91 V2302873 01/18/2023 N/A 523850 113.93 V2302964 01/24/2023 0000232729 520600 20.43 V2303129 02/03/2023 0000233249 523900 15.00 V2303395 02/22/2023 0000234073 520600 16.81 V2303920 03/27/2023 0000235572 520600 4.44 V2304097 04/06/2023 0000235966 523900 15.00 V2304189 04/12/2023 0000236163 523900 15.00 V2304333 04/21/2023 N/A 520600 14.67 V2304361 04/25/2023 0000236792 523800 4,841.91 V2304361 04/25/2023 0000236792 523850 113.93 V2304449 05/02/2023 0000237150 526610 60.00 V2304562 05/08/2023 0000237490 523900 30.00 V2304788 05/18/2023 0000237947 520600 1.25 V2304799 05/18/2023 0000237950 523900 30.00 V2304975 05/30/2023 0000238514 523900 30.00 V2304996 06/01/2023 0000238624 523900 15.00 V2305380 06/15/2023 0000239834 523900 15.00 V2305381 06/15/2023 0000239445 520600 1.35 Total Account by Grant Year 20,393.01 0.00 Total Account 20,408.01 0.00

1000‑0053 L00145 2023 Word Processing ‑ SGF

V2300404 08/03/2022 0000225930 523850 159.92 V2300404 08/03/2022 0000225930 523800 7,360.92 V2301594 10/26/2022 N/A 523850 159.92 V2301594 10/26/2022 N/A 523800 7,360.92 V2302873 01/18/2023 N/A 523850 159.92 V2302873 01/18/2023 N/A 523800 7,360.92 V2304361 04/25/2023 0000236792 523850 159.92 V2304361 04/25/2023 0000236792 523800 7,360.92 Total Account 30,083.36 0.00

1000‑0053 M00153 2023 Teacher Licensure ‑ SGF

V2300404 08/03/2022 0000225930 523800 2,785.41 V2300404 08/03/2022 0000225930 523850 60.51 V2300694 08/19/2022 0000226764 520600 1.83 V2301594 10/26/2022 N/A 523850 60.51 V2301594 10/26/2022 N/A 523800 2,785.41 V2302007 11/21/2022 0000230428 520600 0.69 V2302873 01/18/2023 N/A 523800 2,785.41 V2302873 01/18/2023 N/A 523850 60.51 V2304361 04/25/2023 0000236792 523800 2,785.41 V2304361 04/25/2023 0000236792 523850 60.51 Total Account 11,386.20 0.00

1000‑0053 N00155 2023 Information Technology ‑ SGF

V2300404 08/03/2022 0000225930 523850 1,398.51 V2300404 08/03/2022 0000225930 523800 29,734.73 V2300694 08/19/2022 0000226764 520600 18.02 V2301594 10/26/2022 N/A 523850 1,398.51 V2301594 10/26/2022 N/A 523800 29,734.73 V2302873 01/18/2023 N/A 523850 1,398.51 V2302873 01/18/2023 N/A 523900 29,734.73 V2302964 01/24/2023 0000232729 520600 0.61 V2303395 02/22/2023 0000234073 520600 5.22 V2304333 04/21/2023 N/A 520600 1.88 V2304361 04/25/2023 0000236792 523800 29,734.73 V2304361 04/25/2023 0000236792 523850 1,398.51 V2304788 05/18/2023 0000237947 520600 1.35 V2304876 05/23/2023 0000238170 526900 5.00 V2304876 05/23/2023 0000238170 534100 23.31 V2305381 06/15/2023 0000239445 520600 3.14 Total Account 124,591.49 0.00

1000‑0053 N00195 2023 IT ‑ State Accreditation ‑ SGF

V2300404 08/03/2022 0000225930 523800 309.60 V2301594 10/26/2022 N/A 523800 309.60 V2302873 01/18/2023 N/A 523800 309.60 V2304361 04/25/2023 0000236792 523800 309.60 Total Account 1,238.40 0.00

1000‑0053 N00368 2023 Mental Health ‑ SGF

V2300404 08/03/2022 0000225930 523800 1,612.51 V2301594 10/26/2022 N/A 523800 1,612.51 V2302873 01/18/2023 N/A 523800 1,612.51 V2304361 04/25/2023 0000236792 523800 1,612.51 Total Account 6,450.04 0.00

1000‑0053 N00604 2023 IT ‑ Enterprise Data Sysyem ‑ SGF

V2300404 08/03/2022 0000225930 523800 8,578.57 V2300694 08/19/2022 0000226764 520600 707.55 V2301594 10/26/2022 N/A 523800 8,578.57 V2302873 01/18/2023 N/A 523800 8,578.57 V2304361 04/25/2023 0000236792 523800 8,578.57 Total Account 35,021.83 0.00

1000‑0053 N00672 2023 KIDS Data System Support ‑ SGF

V2300404 08/03/2022 0000225930 523800 9,352.57 V2301594 10/26/2022 N/A 523800 9,352.57 V2302873 01/18/2023 N/A 523800 9,352.57 V2304361 04/25/2023 0000236792 523800 9,352.57 Total Account 37,410.28 0.00

1000‑0053 P00160 2023 Deputy Commissioner ‑ DLS ‑ SGF

V2300286 07/27/2022 0000225664 520600 13.81 V2300404 08/03/2022 0000225930 523800 5,204.00 V2300404 08/03/2022 0000225930 523850 113.06 V2300694 08/19/2022 0000226764 520600 2.69 V2301075 09/22/2022 0000227944 520600 1.22 V2301550 10/24/2022 0000229281 520600 1.54 V2301594 10/26/2022 N/A 523850 113.06 V2301594 10/26/2022 N/A 523800 5,204.00 V2302007 11/21/2022 0000230428 520600 20.77 V2302873 01/18/2023 N/A 523800 5,204.00 V2302873 01/18/2023 N/A 523850 113.06 V2302964 01/24/2023 0000232729 520600 43.38 V2303395 02/22/2023 0000234073 520600 4.62 V2303920 03/27/2023 0000235572 520600 11.29 V2303957 03/29/2023 0000235633 537100 203.78 V2303958 03/29/2023 0000235634 537100 205.13 V2304361 04/25/2023 0000236792 523800 5,204.00 V2304361 04/25/2023 0000236792 523850 113.06 V2304788 05/18/2023 0000237947 520600 34.49 V2305381 06/15/2023 0000239445 520600 1.25 Total Account 21,812.21 0.00

1000‑0053 R00200 2023 Child Nutrition and Wellness ‑ SGF

V2300404 08/03/2022 0000225930 523850 808.03 V2300404 08/03/2022 0000225930 523800 5,088.54 V2300404 08/03/2022 0000225930 523800 2,631.62 V2301594 10/26/2022 N/A 523850 808.03 V2301594 10/26/2022 N/A 523800 5,088.54 V2301594 10/26/2022 N/A 523800 2,631.62 V2302466 12/21/2022 0000231624 520600 0.69 V2302873 01/18/2023 N/A 523850 808.03 V2302873 01/18/2023 N/A 523800 5,088.54 V2302873 01/18/2023 N/A 523800 2,631.62 V2304361 04/25/2023 0000236792 523850 808.03 V2304361 04/25/2023 0000236792 523800 7,720.16 Total Account 34,113.45 0.00

1000‑0053 S00300 2023 Career, Standards and Assessment Services ‑ SGF

V2300286 07/27/2022 0000225664 520600 14.59 V2300404 08/03/2022 0000225930 523800 283.43 V2300404 08/03/2022 0000225930 523800 14,965.00 V2300404 08/03/2022 0000225930 523800 1,530.03 V2300404 08/03/2022 0000225930 523850 6.16 V2300404 08/03/2022 0000225930 523850 738.92 V2300694 08/19/2022 0000226764 520600 96.27 V2300759 08/26/2022 0000226904 526900 5.00 V2301075 09/22/2022 0000227944 520600 30.31 V2301205 10/04/2022 0000228371 526900 5.00 V2301550 10/24/2022 0000229281 520600 23.88 V2301594 10/26/2022 N/A 523850 6.16 V2301594 10/26/2022 N/A 523850 738.92 V2301594 10/26/2022 N/A 523800 283.43 V2301594 10/26/2022 N/A 523800 14,965.00 V2301594 10/26/2022 N/A 523800 1,530.03 V2302007 11/21/2022 0000230428 520600 235.44 V2302466 12/21/2022 0000231624 520600 35.91 V2302873 01/18/2023 N/A 523800 283.43 V2302873 01/18/2023 N/A 523800 14,965.00 V2302873 01/18/2023 N/A 523800 1,530.03 V2302873 01/18/2023 N/A 523850 6.16 V2302873 01/18/2023 N/A 523850 738.92 V2302964 01/24/2023 0000232729 520600 28.40 V2303395 02/22/2023 0000234073 520600 16.41 V2303920 03/27/2023 0000235572 520600 13.79 V2304044 04/04/2023 0000235879 526900 25.00 V2304333 04/21/2023 N/A 520600 25.38 V2304361 04/25/2023 0000236792 523800 16,778.46 V2304361 04/25/2023 0000236792 523850 745.08 V2304788 05/18/2023 0000237947 520600 9.41 V2305381 06/15/2023 0000239445 520600 25.93 Total Account 70,684.88 0.00

1000‑0053 S00387 2023 Virtual\Charter Schools ‑ SGF

V2300404 08/03/2022 0000225930 523800 226.74 V2301594 10/26/2022 N/A 523800 226.74 V2302873 01/18/2023 N/A 523800 226.74 V2304361 04/25/2023 0000236792 523800 226.74 Total Account 906.96 0.00

1000‑0053 T00400 2023 Special Education Services ‑ SGF

V2300404 08/03/2022 0000225930 523800 4,779.33 V2300404 08/03/2022 0000225930 523800 228.10 V2300404 08/03/2022 0000225930 523850 494.45 V2301594 10/26/2022 N/A 523850 494.45 V2301594 10/26/2022 N/A 523800 4,779.33 V2301594 10/26/2022 N/A 523800 228.10 V2302873 01/18/2023 N/A 523800 4,779.33 V2302873 01/18/2023 N/A 523800 228.10 V2302873 01/18/2023 N/A 523850 494.45 V2304361 04/25/2023 0000236792 523800 5,007.43 V2304361 04/25/2023 0000236792 523850 494.45 Total Account 22,007.52 0.00

1000‑0053 U00500 2023 Title Programs and Services ‑ SGF

V2300404 08/03/2022 0000225930 523850 396.45 V2300404 08/03/2022 0000225930 523800 456.21 V2301594 10/26/2022 N/A 523850 396.45 V2301594 10/26/2022 N/A 523800 456.21 V2302873 01/18/2023 N/A 523850 396.45 V2302873 01/18/2023 N/A 523800 456.21 V2304361 04/25/2023 0000236792 523850 396.45 V2304361 04/25/2023 0000236792 523800 456.21 V2305381 06/15/2023 0000239445 520600 8.78 Total Account 3,419.42 0.00

1000‑0053 W00700 2023 Carl Perkins ‑ State match ‑ SGF

V2300286 07/27/2022 0000225664 520600 3.58 V2300404 08/03/2022 0000225930 523800 3,854.62 V2300404 08/03/2022 0000225930 523800 724.75 V2300404 08/03/2022 0000225930 523800 56.90 V2300404 08/03/2022 0000225930 523850 151.48 V2300404 08/03/2022 0000225930 523850 31.49 V2300694 08/19/2022 0000226764 520600 10.92 V2301075 09/22/2022 0000227944 520600 102.29 V2301550 10/24/2022 0000229281 520600 9.66 V2301594 10/26/2022 N/A 523850 151.48 V2301594 10/26/2022 N/A 523850 31.49 V2301594 10/26/2022 N/A 523800 3,854.62 V2301594 10/26/2022 N/A 523800 781.65 V2302007 11/21/2022 0000230428 520600 16.29 V2302466 12/21/2022 0000231624 520600 5.64 V2302873 01/18/2023 N/A 523800 3,854.62 V2302873 01/18/2023 N/A 523800 724.75 V2302873 01/18/2023 N/A 523800 56.90 V2302873 01/18/2023 N/A 523850 151.48 V2302873 01/18/2023 N/A 523850 31.49 V2302964 01/24/2023 0000232729 520600 38.79 V2303395 02/22/2023 0000234073 520600 11.58 V2303920 03/27/2023 0000235572 520600 9.00 V2304333 04/21/2023 N/A 520600 11.88 V2304361 04/25/2023 0000236792 523800 4,267.82 V2304361 04/25/2023 0000236792 523850 91.50 V2304717 05/15/2023 N/A 527800 150.40 V2304788 05/18/2023 0000237947 520600 45.03 V2305381 06/15/2023 0000239445 520600 26.46 Total Account 19,258.56 0.00

1000‑0053 W00704 2023 Voc Education Student Organizations ‑ State match ‑ SGF

V2300286 07/27/2022 0000225664 520600 8.41 V2300404 08/03/2022 0000225930 523800 1,530.51 V2300694 08/19/2022 0000226764 520600 11.02 V2301075 09/22/2022 0000227944 520600 6.67 V2301550 10/24/2022 0000229281 520600 1.84 V2301594 10/26/2022 N/A 523800 1,530.51 V2302007 11/21/2022 0000230428 520600 7.14 V2302466 12/21/2022 0000231624 520600 1.61 V2302873 01/18/2023 N/A 523800 1,530.51 V2302964 01/24/2023 0000232729 520600 16.67 V2303395 02/22/2023 0000234073 520600 22.77 V2303920 03/27/2023 0000235572 520600 2.20 V2304333 04/21/2023 N/A 520600 13.43 V2304361 04/25/2023 0000236792 523800 1,332.11 V2304788 05/18/2023 0000237947 520600 84.97 V2305381 06/15/2023 0000239445 520600 3.76 Total Account 6,104.13 0.00

1000‑0053 W00797 2023 Carl Perkins SPL ‑ State match ‑ SGF

V2300404 08/03/2022 0000225930 523850 113.30 V2300404 08/03/2022 0000225930 523800 850.28 V2301594 10/26/2022 N/A 523850 113.30 V2301594 10/26/2022 N/A 523800 850.28 V2302873 01/18/2023 N/A 523800 850.28 V2302873 01/18/2023 N/A 523850 113.30 V2304361 04/25/2023 0000236792 523800 850.28 V2304361 04/25/2023 0000236792 523850 56.65 Total Account 3,797.67 0.00

1000‑0053 Y00552 2023 Early Childhood ‑ SGF

V2300404 08/03/2022 0000225930 523800 1,706.90 V2300404 08/03/2022 0000225930 523850 148.33 V2301594 10/26/2022 N/A 523850 148.33 V2301594 10/26/2022 N/A 523800 1,706.90 V2302873 01/18/2023 N/A 523850 148.33 V2302873 01/18/2023 N/A 523800 1,706.90 V2304361 04/25/2023 0000236792 523800 1,706.90 V2304361 04/25/2023 0000236792 523850 148.33 Total Account 7,420.92 0.00

1000‑0053 Y00570 2023 Parent Education Admin ‑ SGF

V2300404 08/03/2022 0000225930 523800 1,137.94 V2301594 10/26/2022 N/A 523800 1,137.94 V2302873 01/18/2023 N/A 523800 1,137.94 V2304361 04/25/2023 0000236792 523800 1,137.94 Total Account 4,551.76 0.00 Total Fund Budget Unit 942,196.81 0.00

1000‑0230 G00129 2023 School Safety Hotline

V2303167 02/08/2023 0000233444 526900 3,774.70 Total Fund Budget Unit 3,774.70 0.00 Total State Aid 945,971.51 0.00

Special Revenue State Aid

2157‑2157 N00997 2023 Education Technology Coordinator

V2300404 08/03/2022 0000225930 523800 322.50 V2300404 08/03/2022 0000225930 523850 7.01 V2300920 09/12/2022 0000227377 526900 198.88 V2301594 10/26/2022 N/A 523850 7.01 V2301594 10/26/2022 N/A 523800 322.50 V2302873 01/18/2023 N/A 523800 322.50 V2302873 01/18/2023 N/A 523850 7.01 V2304361 04/25/2023 0000236792 523850 7.01 V2304361 04/25/2023 0000236792 523800 322.50 Total Fund Budget Unit 1,516.92 0.00

2230‑2010 J00199 2023 School Bus Safety Education Fee Fund

V2300307 07/28/2022 0000225718 522100 3,713.78 V2302412 12/16/2022 0000231341 522300 856.67 Total Fund Budget Unit 4,570.45 0.00

2312‑2200 4027 H00184 2019 ABPA ‑ IC (Part B IDEA) H027A180031 18E CFDA 84.027A

V2304361 04/25/2023 0000236792 523800 1,607.70 Total Account 1,607.70 0.00

2312‑2200 4048 H00180 2017 ABPA ‑ IC (Vocational Education) V048A160016 16E CFDA 84.048

V2302168 12/02/2022 0000230814 526900 5.00 V2302168 12/02/2022 0000230814 534100 301.19 Total Account by Grant Year 306.19 0.00

2312‑2200 4048 H00180 2020 ABPA ‑ IC (Vocational Education) V048A190016 19E CFDA 84.048A

V2302469 12/21/2022 0000231625 534100 652.96 Total Account by Grant Year 652.96 0.00 Total Account 959.15 0.00

2312‑2200 H00279 2023 ABPA ‑ IC F816/S816 (NAEP) 84.902 CFDA 84.902

V2300404 08/03/2022 0000225930 523800 1,607.70 V2301594 10/26/2022 N/A 523800 1,607.70 V2302873 01/18/2023 N/A 523800 1,607.70 Total Account 4,823.10 0.00

2312‑2200 H00616 9954 2017 School Improvement S010A160016 16E CFDA 84.010

J2230042 05/15/2023 N/A 523800 377.38 Total Account 377.38 0.00

2312‑2200 H00623 2023 ABPA ‑ IC T488 (SPDG FY08) H323A070025 8E CFDA 84.323

V2305446 06/19/2023 0000239838 534100 1,072.93 Total Account 1,072.93 0.00

2312‑2200 H00625 2023 ABPA ‑ IC T490 (SPDG FY10) H323A070025 10E CFDA 84.323

J2230054 06/19/2023 N/A 526320 30,577.40 Total Account 30,577.40 0.00

2312‑2200 H00653 2023 Indirect Cost‑ N638‑Data Use Grant FY12 R372A090006 11E CFDA 84.372

J2230042 05/15/2023 N/A 523800 -377.38 V2300404 08/03/2022 0000225930 523800 826.12 V2301594 10/26/2022 N/A 523800 826.12 V2302873 01/18/2023 N/A 523800 826.12 V2304361 04/25/2023 0000236792 523800 826.12 Total Account 2,927.10 0.00

2312‑2200 H00676 2022 SLDS‑ARRA Indirect Cost R384A100024 9E CFDA 84.384

V2300378 08/02/2022 0000225883 526900 5.00 V2300378 08/02/2022 0000225883 534100 8,469.11 Total Account by Grant Year 8,474.11 0.00

2312‑2200 H00676 2023 SLDS‑ARRA Indirect Cost R384A100024 9E CFDA 84.384

V2300759 08/26/2022 0000226904 534100 142.56 V2301205 10/04/2022 0000228371 534100 188.45 V2301205 10/04/2022 0000228371 534100 242.89 V2301642 10/28/2022 0000229507 534100 93.24 Total Account by Grant Year 667.14 0.00 Total Account 9,141.25 0.00 Total Fund Budget Unit 51,486.01 0.00

2532‑2300 J00190 2022 School Bus Safety

V2300318 07/28/2022 0000225720 523900 35.00 Total Account by Grant Year 35.00 0.00

2532‑2300 J00190 2023 School Bus Safety

V2300404 08/03/2022 0000225930 523800 5,061.15 V2300404 08/03/2022 0000225930 523850 109.96 V2300694 08/19/2022 0000226764 520600 74.36 V2300868 09/08/2022 0000227286 523900 35.00 V2300920 09/12/2022 0000227377 526900 3,121.06 V2301075 09/22/2022 0000227944 520600 78.34 V2301378 10/13/2022 0000228779 523900 35.00 V2301550 10/24/2022 0000229281 520600 71.84 V2301594 10/26/2022 N/A 523850 109.96 V2301594 10/26/2022 N/A 523800 5,061.15 V2302007 11/21/2022 0000230428 520600 75.00 V2302042 11/22/2022 0000230429 523900 35.00 V2302466 12/21/2022 0000231624 520600 71.25 V2302873 01/18/2023 N/A 523800 5,061.15 V2302873 01/18/2023 N/A 523850 109.96 V2302964 01/24/2023 0000232729 520600 87.71 V2303129 02/03/2023 0000233249 523900 35.00 V2303395 02/22/2023 0000234073 520600 73.29 V2303920 03/27/2023 0000235572 520600 37.42 V2303981 03/29/2023 0000235636 537100 1,602.31 V2304097 04/06/2023 0000235966 523900 35.00 V2304189 04/12/2023 0000236163 523900 35.00 V2304333 04/21/2023 N/A 520600 125.26 V2304361 04/25/2023 0000236792 523800 5,061.15 V2304361 04/25/2023 0000236792 523850 109.96 V2304562 05/08/2023 0000237490 523900 35.00 V2304788 05/18/2023 0000237947 520600 72.39 V2304799 05/18/2023 0000237950 523900 35.00 V2304975 05/30/2023 0000238514 523900 35.00 V2304996 06/01/2023 0000238624 523900 35.00 V2305316 06/14/2023 0000239259 522100 2,046.33 V2305380 06/15/2023 0000239834 523900 35.00 Total Account by Grant Year 28,606.00 0.00 Total Fund Budget Unit 28,641.00 0.00

2538‑2030 M00348 2023 State Safety Fund

V2300286 07/27/2022 0000225664 520600 15.25 V2300694 08/19/2022 0000226764 520600 1.71 V2301075 09/22/2022 0000227944 520600 3.72 Total Fund Budget Unit 20.68 0.00

2723‑2060 M00150 2023 Teacher & Administrator Licensure Fee Fund

V2300286 07/27/2022 0000225664 520600 401.72 V2300404 08/03/2022 0000225930 523850 504.29 V2300404 08/03/2022 0000225930 523800 23,211.76 V2300694 08/19/2022 0000226764 520600 34.96 V2300920 09/12/2022 0000227377 526900 14,313.96 V2301075 09/22/2022 0000227944 520600 56.27 V2301250 10/06/2022 0000228581 537100 1,507.86 V2301550 10/24/2022 0000229281 520600 93.88 V2301594 10/26/2022 N/A 523850 504.29 V2301594 10/26/2022 N/A 523800 23,211.76 V2302007 11/21/2022 0000230428 520600 77.33 V2302466 12/21/2022 0000231624 520600 25.78 V2302873 01/18/2023 N/A 523850 504.29 V2302873 01/18/2023 N/A 523800 23,211.76 V2302964 01/24/2023 0000232729 520600 279.88 V2303395 02/22/2023 0000234073 520600 134.85 V2303920 03/27/2023 0000235572 520600 123.81 V2304333 04/21/2023 N/A 520600 24.46 V2304361 04/25/2023 0000236792 523850 504.29 V2304361 04/25/2023 0000236792 523800 23,211.76 V2304788 05/18/2023 0000237947 520600 39.75 V2305381 06/15/2023 0000239445 520600 26.10 Total Account 112,004.81 0.00

2723‑2060 M00669 2023 Professional Practices Comission(was M151)

V2300694 08/19/2022 0000226764 520600 80.36 V2301075 09/22/2022 0000227944 520600 3.90 V2301550 10/24/2022 0000229281 520600 7.94 V2302964 01/24/2023 0000232729 520600 13.70 V2303395 02/22/2023 0000234073 520600 12.78 V2304333 04/21/2023 N/A 520600 33.36 V2304788 05/18/2023 0000237947 520600 112.36 V2305381 06/15/2023 0000239445 520600 33.36 Total Account 297.76 0.00

2723‑2060 N00193 2023 Teacher & Administrator Fee Fund

V2300404 08/03/2022 0000225930 523850 107.90 V2300404 08/03/2022 0000225930 523800 4,966.54 V2300920 09/12/2022 0000227377 526900 3,062.71 V2301594 10/26/2022 N/A 523850 107.90 V2301594 10/26/2022 N/A 523800 4,966.54 V2302873 01/18/2023 N/A 523800 4,966.54 V2302873 01/18/2023 N/A 523850 107.90 V2304361 04/25/2023 0000236792 523800 4,966.54 V2304361 04/25/2023 0000236792 523850 107.90 Total Account 23,360.47 0.00 Total Fund Budget Unit 135,663.04 0.00

2869‑2800 S00010 2023 Service Clearing Fund‑ Teachers in Spain

V2300694 08/19/2022 0000226764 520600 1.83 V2301075 09/22/2022 0000227944 520600 6.11 V2302007 11/21/2022 0000230428 520600 3.06 V2302466 12/21/2022 0000231624 520600 2.44 V2303395 02/22/2023 0000234073 520600 4.89 V2305381 06/15/2023 0000239445 520600 1.88 Total Fund Budget Unit 20.21 0.00 Total Special Revenue State Aid 221,918.31 0.00

Federal Aid

3056‑3200 Y00559 2023 Coord. Counc. on EC (CCECDS/SICC) ‑ KDHE 84.181A CFDA 84.181A

V2300404 08/03/2022 0000225930 523800 341.38 V2301594 10/26/2022 N/A 523800 341.38 V2302873 01/18/2023 N/A 523800 341.38 V2304361 04/25/2023 0000236792 523800 341.38 Total Fund Budget Unit 1,365.52 0.00

3113‑3113 U00771 2022 ESSA‑StudSpprt Academic Enrich, Set Aside S424A210017 21E CFDA 84.424A

V2304717 05/15/2023 N/A 527800 402.81 Total Fund Budget Unit 402.81 0.00

3131‑3130 1111 F00103 2022 Consolidated Admin Pool Pool CFDA 

V2300404 08/03/2022 0000225930 523800 805.28 Total Account by Grant Year 805.28 0.00

3131‑3130 1111 F00103 2023 Consolidated Admin Pool Pool CFDA 

V2301594 10/26/2022 N/A 523800 805.28 V2302873 01/18/2023 N/A 523800 805.28 V2304361 04/25/2023 0000236792 523800 805.28 Total Account by Grant Year 2,415.84 0.00 Total Account 3,221.12 0.00

3131‑3130 1111 I00770 2022 Consolidated Admin Pool Pool CFDA 

V2300404 08/03/2022 0000225930 523800 2,478.37 V2300868 09/08/2022 0000227286 523900 15.00 Total Account by Grant Year 2,493.37 0.00

3131‑3130 1111 I00770 2023 Consolidated Admin Pool Pool CFDA 

V2301378 10/13/2022 0000228779 523900 15.00 V2301594 10/26/2022 N/A 523800 2,478.37 V2302042 11/22/2022 0000230429 523900 15.00 V2302873 01/18/2023 N/A 523800 2,478.37 V2303129 02/03/2023 0000233249 523900 15.00 V2304097 04/06/2023 0000235966 523900 15.00 V2304189 04/12/2023 0000236163 523900 15.00 V2304361 04/25/2023 0000236792 523800 2,478.37 Total Account by Grant Year 7,510.11 0.00 Total Account 10,003.48 0.00

3131‑3130 1111 N00175 2022 Consolidated Admin Pool Pool CFDA 

V2300404 08/03/2022 0000225930 523800 2,902.52 Total Account by Grant Year 2,902.52 0.00

3131‑3130 1111 N00175 2023 Consolidated Admin Pool Pool CFDA 

V2301594 10/26/2022 N/A 523800 2,902.52 V2302873 01/18/2023 N/A 523800 2,902.52 V2304361 04/25/2023 0000236792 523800 2,902.52 Total Account by Grant Year 8,707.56 0.00 Total Account 11,610.08 0.00

3131‑3130 1111 P00770 2022 Consolidated Admin Pool Pool CFDA 

V2300318 07/28/2022 0000225720 523900 15.00 Total Account 15.00 0.00

3131‑3130 1111 S00301 2022 Consolidated Admin Pool Pool CFDA 

V2300404 08/03/2022 0000225930 523800 1,700.57 Total Account by Grant Year 1,700.57 0.00

3131‑3130 1111 S00301 2023 Consolidated Admin Pool Pool CFDA 

V2301594 10/26/2022 N/A 523800 1,700.57 V2302873 01/18/2023 N/A 523800 1,700.57 V2304361 04/25/2023 0000236792 523800 1,700.57 Total Account by Grant Year 5,101.71 0.00 Total Account 6,802.28 0.00

3131‑3130 1111 U00516 2022 Consolidated Admin Pool Pool CFDA 

V2300286 07/27/2022 0000225664 520600 1.16 V2300404 08/03/2022 0000225930 523800 1,024.14 V2300404 08/03/2022 0000225930 523800 7,413.34 V2300694 08/19/2022 0000226764 520600 2.07 Total Account by Grant Year 8,440.71 0.00

3131‑3130 1111 U00516 2023 Consolidated Admin Pool Pool CFDA 

V2301075 09/22/2022 0000227944 520600 4.59 V2301550 10/24/2022 0000229281 520600 1.62 V2301594 10/26/2022 N/A 523800 1,024.14 V2301594 10/26/2022 N/A 523800 7,413.34 V2302007 11/21/2022 0000230428 520600 9.24 V2302466 12/21/2022 0000231624 520600 0.61 V2302873 01/18/2023 N/A 523800 1,024.14 V2302873 01/18/2023 N/A 523800 7,413.34 V2302964 01/24/2023 0000232729 520600 0.61 V2303395 02/22/2023 0000234073 520600 3.23 V2304361 04/25/2023 0000236792 523800 8,437.49 V2304717 05/15/2023 N/A 527800 1,510.98 V2304717 05/15/2023 N/A 527800 5,410.44 V2304788 05/18/2023 0000237947 520600 2.79 Total Account by Grant Year 32,256.56 0.00 Total Account 40,697.27 0.00

3131‑3130 1111 Y00555 2022 Consolidated Admin Pool Pool CFDA 

V2300404 08/03/2022 0000225930 523800 227.59 Total Account by Grant Year 227.59 0.00

3131‑3130 1111 Y00555 2023 Consolidated Admin Pool Pool CFDA 

V2301594 10/26/2022 N/A 523800 227.59 V2302873 01/18/2023 N/A 523800 227.59 V2304361 04/25/2023 0000236792 523800 227.59 Total Account by Grant Year 682.77 0.00 Total Account 910.36 0.00 Total Fund Budget Unit 73,259.59 0.00

3230‑3020 R00201 2022 Federal School Food Service 10.560 CFDA 10.560

V2300286 07/27/2022 0000225664 520600 528.82 V2300318 07/28/2022 0000225720 523900 45.00 V2300404 08/03/2022 0000225930 523800 25,350.19 V2300404 08/03/2022 0000225930 523800 325.01 V2300404 08/03/2022 0000225930 523800 2,476.82 V2300404 08/03/2022 0000225930 523800 500.50 V2300694 08/19/2022 0000226764 520600 347.49 V2300868 09/08/2022 0000227286 523900 45.00 V2301075 09/22/2022 0000227944 520600 947.72 V2301378 10/13/2022 0000228779 523900 45.00 V2301550 10/24/2022 0000229281 520600 293.90 V2301594 10/26/2022 N/A 523800 25,350.19 V2301594 10/26/2022 N/A 523800 325.01 V2301594 10/26/2022 N/A 523800 2,476.82 V2301594 10/26/2022 N/A 523800 500.50 V2302007 11/21/2022 0000230428 520600 398.49 V2302042 11/22/2022 0000230429 523900 45.00 Total Account by Grant Year 60,001.46 0.00

3230‑3020 R00201 2023 Federal School Food Service 10.560 CFDA 10.560

V2302466 12/21/2022 0000231624 520600 3,926.21 V2302873 01/18/2023 N/A 523800 25,350.19 V2302873 01/18/2023 N/A 523800 325.01 V2302873 01/18/2023 N/A 523800 2,476.82 V2302873 01/18/2023 N/A 523800 500.50 V2302964 01/24/2023 0000232729 520600 6,703.68 V2303129 02/03/2023 0000233249 523900 45.00 V2303395 02/22/2023 0000234073 520600 1,230.78 V2303920 03/27/2023 0000235572 520600 548.93 V2304097 04/06/2023 0000235966 523900 45.00 V2304189 04/12/2023 0000236163 523900 45.00 V2304333 04/21/2023 N/A 520600 1,299.75 V2304361 04/25/2023 0000236792 523800 28,152.02 V2304361 04/25/2023 0000236792 523800 500.50 V2304562 05/08/2023 0000237490 523900 30.00 V2304717 05/15/2023 0000237645 527800 17,644.70 V2304788 05/18/2023 0000237947 520600 1,687.32 V2304799 05/18/2023 0000237950 523900 30.00 V2304975 05/30/2023 0000238514 523900 30.00 V2304996 06/01/2023 0000238624 523900 30.00 V2305314 06/14/2023 0000239257 522100 2,593.64 V2305380 06/15/2023 0000239834 523900 30.00 V2305381 06/15/2023 0000239445 520600 1,592.18 Total Account by Grant Year 94,817.23 0.00 Total Account 154,818.69 0.00

3230‑3020 R00204 2022 School Food Summer Program 10.559 CFDA 10.559

V2300404 08/03/2022 0000225930 523800 2,035.42 V2301835 11/10/2022 0000229992 522100 8,284.84 Total Account by Grant Year 10,320.26 0.00

3230‑3020 R00204 2023 School Food Summer Program 10.559 CFDA 10.559

V2301594 10/26/2022 N/A 523800 2,035.42 V2302873 01/18/2023 N/A 523800 2,035.42 V2304333 04/21/2023 N/A 520600 1.25 V2304361 04/25/2023 0000236792 523800 2,035.42 Total Account by Grant Year 6,107.51 0.00 Total Account 16,427.77 0.00 Total Fund Budget Unit 171,246.46 0.00

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

V2300404 08/03/2022 0000225930 523800 227.59 V2300404 08/03/2022 0000225930 523800 775.55 Total Account by Grant Year 1,003.14 0.00

3233‑3040 U00867 9954 2021 School Improvement S010A200016 20E CFDA 84.010A

V2304361 04/25/2023 0000236792 523800 1,003.14 Total Account by Grant Year 1,003.14 0.00

3233‑3040 U00867 9954 2022 School Improvement S010A210016 21E CFDA 84.010A

V2301594 10/26/2022 N/A 523800 227.59 V2301594 10/26/2022 N/A 523800 775.55 V2302873 01/18/2023 N/A 523800 227.59 V2302873 01/18/2023 N/A 523800 775.55 Total Account by Grant Year 2,006.28 0.00 Total Account 4,012.56 0.00

3233‑3040 V00405 2022 ESSER III ‑ Elem & Sec Sch Emerg Relief ‑ SetAside ‑ Admin S425U210002 22E CFDA 84.425U

V2300404 08/03/2022 0000225930 523800 3,033.77 V2301594 10/26/2022 N/A 523800 3,033.77 V2302873 01/18/2023 N/A 523800 3,033.77 V2304361 04/25/2023 0000236792 523800 3,033.77 V2304717 05/15/2023 N/A 527800 13,684.73 Total Account 25,819.81 0.00

3233‑3040 V00492 4000 2022 ARP ‑ ESSER ‑ COVID‑19 Coronavirus ‑ Homeless S425W210017 21E CFDA 84.425W

V2300404 08/03/2022 0000225930 523800 912.41 V2301594 10/26/2022 N/A 523800 912.41 V2302873 01/18/2023 N/A 523800 912.41 V2304361 04/25/2023 0000236792 523800 912.41 Total Account 3,649.64 0.00

3233‑3040 V00506 2021 EANS/GEER II ‑ Admin ‑ Emergency Assistance for Non‑Public Schools S425R210046 21E CFDA 84.425R

V2300404 08/03/2022 0000225930 523800 558.85 V2301594 10/26/2022 N/A 523800 558.85 V2302873 01/18/2023 N/A 523800 558.85 V2304361 04/25/2023 0000236792 523800 558.85 V2304717 05/15/2023 N/A 527800 347.39 Total Account 2,582.79 0.00

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

V2300404 08/03/2022 0000225930 523800 341.38 Total Account by Grant Year 341.38 0.00

3233‑3040 Y00554 9954 2021 School Improvement S010A200016 20E CFDA 84.010A

V2304361 04/25/2023 0000236792 523800 341.38 Total Account by Grant Year 341.38 0.00

3233‑3040 Y00554 9954 2022 School Improvement S010A210016 21E CFDA 84.010A

V2301594 10/26/2022 N/A 523800 341.38 V2302873 01/18/2023 N/A 523800 341.38 Total Account by Grant Year 682.76 0.00 Total Account 1,365.52 0.00 Total Fund Budget Unit 37,430.32 0.00

3519‑3890 U00824 2022 Title IV 21st Century Statewide Activities S287C210016 21E CFDA 84.287C

V2300404 08/03/2022 0000225930 523800 501.83 V2301594 10/26/2022 N/A 523800 501.83 V2302873 01/18/2023 N/A 523800 501.83 V2304361 04/25/2023 0000236792 523800 501.83 Total Fund Budget Unit 2,007.32 0.00

3520‑3800 F00987 2021 Title VI‑ State Assessments S369A200017 20E CFDA 84.369A

V2300404 08/03/2022 0000225930 523800 1,288.45 V2304361 04/25/2023 0000236792 523800 1,288.45 Total Account by Grant Year 2,576.90 0.00

3520‑3800 F00987 2022 Title VI‑ State Assessments S369A210017 21E CFDA 84.369A

V2301594 10/26/2022 N/A 523800 1,288.45 V2302873 01/18/2023 N/A 523800 1,288.45 Total Account by Grant Year 2,576.90 0.00 Total Account 5,153.80 0.00

3520‑3800 N00603 2021 Title VI‑ State Assessments S369A200017 20E CFDA 84.369A

V2300404 08/03/2022 0000225930 523800 1,741.51 V2304361 04/25/2023 0000236792 523800 1,741.51 Total Account by Grant Year 3,483.02 0.00

3520‑3800 N00603 2022 Title VI‑ State Assessments S369A210017 21E CFDA 84.369A

V2301594 10/26/2022 N/A 523800 1,741.51 V2302873 01/18/2023 N/A 523800 1,741.51 Total Account by Grant Year 3,483.02 0.00 Total Account 6,966.04 0.00

3520‑3800 S00984 2021 Title VI‑ State Assessments S369A200017 20E CFDA 84.369A

V2300404 08/03/2022 0000225930 523800 8,899.64 V2304333 04/21/2023 N/A 520600 8.15 V2304361 04/25/2023 0000236792 523800 8,899.64 V2304717 05/15/2023 N/A 527800 275.55 V2304788 05/18/2023 0000237947 520600 3.14 Total Account by Grant Year 18,086.12 0.00

3520‑3800 S00984 2022 Title VI‑ State Assessments S369A210017 21E CFDA 84.369A

V2301550 10/24/2022 0000229281 520600 1.83 V2301594 10/26/2022 N/A 523800 8,899.64 V2302007 11/21/2022 0000230428 520600 9.17 V2302873 01/18/2023 N/A 523800 8,899.64 V2302964 01/24/2023 0000232729 520600 10.39 V2305381 06/15/2023 0000239445 520600 10.03 Total Account by Grant Year 17,830.70 0.00 Total Account 35,916.82 0.00 Total Fund Budget Unit 48,036.66 0.00

3527‑3870 5000 S01018 2021 Supporting Effective Instruction (was Title IIA)‑Disc‑ELA‑Field Educators S367A200015 20E CFDA 84.367A

V2300286 07/27/2022 0000225664 520600 5.81 V2300694 08/19/2022 0000226764 520600 2.44 V2301075 09/22/2022 0000227944 520600 4.89 Total Account 13.14 0.00

3527‑3870 5000 S01019 2021 Supporting Effective Instruction (was Title IIA)‑Disc‑History, Govt, Soc Studies‑Field Educators S367A200015 20E CFDA 84.367A

V2300286 07/27/2022 0000225664 520600 8.72 V2300694 08/19/2022 0000226764 520600 1.22 V2301075 09/22/2022 0000227944 520600 129.33 Total Account 139.27 0.00 Total Fund Budget Unit 152.41 0.00

3531‑3510 K00183 2022 Fiscal Auditing ‑ 1 1/2% Audit (School Food Service) 10.558 CFDA 10.558

V2300404 08/03/2022 0000225930 523800 402.04 Total Account by Grant Year 402.04 0.00

3531‑3510 K00183 2023 Fiscal Auditing ‑ 1 1/2% Audit (School Food Service) 10.558 CFDA 10.558

V2301594 10/26/2022 N/A 523800 402.04 V2302873 01/18/2023 N/A 523800 402.04 V2304361 04/25/2023 0000236792 523800 402.04 Total Account by Grant Year 1,206.12 0.00 Total Account 1,608.16 0.00

3531‑3510 R00207 2022 Fiscal Auditing ‑ 1.5% Audit (School Food Service) 10.558 CFDA 10.558

V2300404 08/03/2022 0000225930 523800 4,718.47 Total Account by Grant Year 4,718.47 0.00

3531‑3510 R00207 2023 Fiscal Auditing ‑ 1.5% Audit (School Food Service) 10.558 CFDA 10.558

V2301594 10/26/2022 N/A 523800 4,718.47 V2302873 01/18/2023 N/A 523800 4,718.47 V2304361 04/25/2023 0000236792 523800 4,718.47 Total Account by Grant Year 14,155.41 0.00 Total Account 18,873.88 0.00 Total Fund Budget Unit 20,482.04 0.00

3534‑3540 1000 F00104 2021 Title VI ‑ Part B IDEA ‑ Administration H027A200031 20E CFDA 84.027A

V2300404 08/03/2022 0000225930 523800 402.64 Total Account by Grant Year 402.64 0.00

3534‑3540 1000 F00104 2022 Title VI ‑ Part B IDEA ‑ Administration H027A210031 21E CFDA 84.027A

V2301594 10/26/2022 N/A 523800 402.64 V2302873 01/18/2023 N/A 523800 402.64 Total Account by Grant Year 805.28 0.00

3534‑3540 1000 F00104 2023 Title VI ‑ Part B IDEA ‑ Administration H027A220031 22E CFDA 84.027A

V2304361 04/25/2023 0000236792 523800 402.64 Total Account by Grant Year 402.64 0.00 Total Account 1,610.56 0.00

3534‑3540 1000 S00307 2021 Title VI ‑ Part B IDEA ‑ Administration H027A200031 20E CFDA 84.027A

V2300404 08/03/2022 0000225930 523800 283.43 Total Account by Grant Year 283.43 0.00

3534‑3540 1000 S00307 2022 Title VI ‑ Part B IDEA ‑ Administration H027A210031 21E CFDA 84.027A

V2301594 10/26/2022 N/A 523800 283.43 V2302873 01/18/2023 N/A 523800 283.43 Total Account by Grant Year 566.86 0.00

3534‑3540 1000 S00307 2023 Title VI ‑ Part B IDEA ‑ Administration H027A220031 22E CFDA 84.027A

V2304361 04/25/2023 0000236792 523800 283.43 Total Account by Grant Year 283.43 0.00 Total Account 1,133.72 0.00

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

V2300286 07/27/2022 0000225664 520600 28.44 V2300404 08/03/2022 0000225930 523800 12,175.91 V2300404 08/03/2022 0000225930 523800 1,163.32 Total Account by Grant Year 13,367.67 0.00

3534‑3540 1000 T00401 2022 Title VI ‑ Part B IDEA ‑ Administration H027A210031 21E CFDA 84.027A

V2300694 08/19/2022 0000226764 520600 14.82 V2301075 09/22/2022 0000227944 520600 20.92 V2301550 10/24/2022 0000229281 520600 4.97 V2301594 10/26/2022 N/A 523800 12,175.91 V2301594 10/26/2022 N/A 523800 1,163.32 V2302007 11/21/2022 0000230428 520600 36.40 V2302466 12/21/2022 0000231624 520600 3.05 V2302873 01/18/2023 N/A 523800 12,175.91 V2302873 01/18/2023 N/A 523800 1,163.32 V2302964 01/24/2023 0000232729 520600 13.53 V2303395 02/22/2023 0000234073 520600 93.65 V2303920 03/27/2023 0000235572 520600 5.02 V2304333 04/21/2023 N/A 520600 5.02 Total Account by Grant Year 26,875.84 0.00

3534‑3540 1000 T00401 2023 Title VI ‑ Part B IDEA ‑ Administration H027A220031 22E CFDA 84.027A

V2304361 04/25/2023 0000236792 523900 13,339.24 V2304717 05/15/2023 N/A 527800 5,868.96 V2304788 05/18/2023 0000237947 520600 8.96 V2305381 06/15/2023 0000239445 520600 325.08 Total Account by Grant Year 19,542.24 0.00 Total Account 59,785.75 0.00

3534‑3540 1000 Y00556 2021 Title VI ‑ Part B IDEA ‑ Administration H027A200031 20E CFDA 84.027A

V2300404 08/03/2022 0000225930 523800 170.69 Total Account by Grant Year 170.69 0.00

3534‑3540 1000 Y00556 2022 Title VI ‑ Part B IDEA ‑ Administration H027A210031 21E CFDA 84.027A

V2301594 10/26/2022 N/A 523800 170.69 V2302873 01/18/2023 N/A 523800 170.69 Total Account by Grant Year 341.38 0.00

3534‑3540 1000 Y00556 2023 Title VI ‑ Part B IDEA ‑ Administration H027A220031 22E CFDA 84.027A

V2304361 04/25/2023 0000236792 523800 170.69 Total Account by Grant Year 170.69 0.00 Total Account 682.76 0.00

3534‑3540 1000 Y00564 2021 Title VIB ‑ Coord. Counc. on EC (CCECDS/SICC) ‑ KSDE H027A200031 20E CFDA 84.027A

V2300404 08/03/2022 0000225930 523800 625.86 Total Account by Grant Year 625.86 0.00

3534‑3540 1000 Y00564 2022 Title VIB ‑ Coord. Counc. on EC (CCECDS/SICC) ‑ KSDE H027A210031 21E CFDA 84.027A

V2301594 10/26/2022 N/A 523800 625.86 V2302873 01/18/2023 N/A 523800 625.86 Total Account by Grant Year 1,251.72 0.00

3534‑3540 1000 Y00564 2023 Title VIB ‑ Coord. Counc. on EC (CCECDS/SICC) ‑ KSDE H027A220031 22E CFDA 84.027A

V2304361 04/25/2023 0000236792 523800 625.86 Total Account by Grant Year 625.86 0.00 Total Account 2,503.44 0.00

3534‑3540 5000 N00038 2023 Title VI ‑ Part B IDEA ‑ Discretionary H027A220031 22E CFDA 84.027A

V2300404 08/03/2022 0000225930 523800 3,547.53 V2301594 10/26/2022 N/A 523800 3,547.53 V2302873 01/18/2023 N/A 523800 3,547.53 V2304361 04/25/2023 0000236792 523800 3,547.53 Total Account 14,190.12 0.00

3534‑3540 5000 T00402 2023 Title VI ‑ Part B IDEA ‑ Discretionary H027A220031 22E CFDA 84.027A

V2300404 08/03/2022 0000225930 523800 3,186.22 V2301550 10/24/2022 0000229281 520600 471.06 V2301594 10/26/2022 N/A 523800 3,186.22 V2302873 01/18/2023 N/A 523800 3,186.22 V2304361 04/25/2023 0000236792 523800 3,186.22 Total Account 13,215.94 0.00 Total Fund Budget Unit 93,122.29 0.00

3536‑3560 T00403 2022 Early Childhood ‑ Administration H173A210034 21E CFDA 84.173A

V2300404 08/03/2022 0000225930 523800 1,137.94 V2301594 10/26/2022 N/A 523800 1,137.94 Total Account by Grant Year 2,275.88 0.00

3536‑3560 T00403 2023 Early Childhood ‑ Administration H173A220034 22E CFDA 84.173A

V2302873 01/18/2023 N/A 523800 1,137.94 V2304361 04/25/2023 0000236792 523800 1,137.94 V2304717 05/15/2023 N/A 527800 182.88 Total Account by Grant Year 2,458.76 0.00 Total Account 4,734.64 0.00

3536‑3560 T00404 2021 Early Childhood ‑ Discretionary H173A200034 20E CFDA 84.173A

V2300404 08/03/2022 0000225930 523800 273.72 Total Account by Grant Year 273.72 0.00

3536‑3560 T00404 2022 Early Childhood ‑ Discretionary H173A210034 21E CFDA 84.173A

V2301594 10/26/2022 N/A 523800 273.72 V2302873 01/18/2023 N/A 523800 273.72 V2304361 04/25/2023 0000236792 523800 273.72 Total Account by Grant Year 821.16 0.00 Total Account 1,094.88 0.00

3536‑3560 Y00558 2022 Early Childhood ‑ Administration H173A210034 21E CFDA 84.173A

V2300404 08/03/2022 0000225930 523800 2,275.87 V2301594 10/26/2022 N/A 523800 2,275.87 Total Account by Grant Year 4,551.74 0.00

3536‑3560 Y00558 2023 Early Childhood ‑ Administration H173A220034 22E CFDA 84.173A

V2302873 01/18/2023 N/A 523800 2,275.87 V2304361 04/25/2023 0000236792 523800 2,275.87 Total Account by Grant Year 4,551.74 0.00 Total Account 9,103.48 0.00 Total Fund Budget Unit 14,933.00 0.00

3538‑3580 N00162 2022 Migrant Student Network S011A210016 21E CFDA 84.011A

V2300404 08/03/2022 0000225930 523800 1,483.51 Total Account by Grant Year 1,483.51 0.00

3538‑3580 N00162 2023 Migrant Student Network S011A220016 22E CFDA 84.011A

V2301594 10/26/2022 N/A 523800 1,483.51 V2302873 01/18/2023 N/A 523800 1,483.51 V2304361 04/25/2023 0000236792 523800 1,483.51 Total Account by Grant Year 4,450.53 0.00 Total Account 5,934.04 0.00

3538‑3580 U00507 2022 Migrant Education S011A210016 21E CFDA 84.011A

V2300404 08/03/2022 0000225930 523800 1,311.59 Total Account by Grant Year 1,311.59 0.00

3538‑3580 U00507 2023 Migrant Education S011A220016 22E CFDA 84.011A

V2301594 10/26/2022 N/A 523800 1,311.59 V2302873 01/18/2023 N/A 523800 1,311.59 V2304361 04/25/2023 0000236792 523800 1,311.59 V2304717 05/15/2023 N/A 527800 337.47 Total Account by Grant Year 4,272.24 0.00 Total Account 5,583.83 0.00

3538‑3580 U00513 2022 Graduation & Outcomes for Success for Out‑of‑School S144F210003 21E CFDA 84.144F

V2300404 08/03/2022 0000225930 523800 843.98 V2301594 10/26/2022 N/A 523800 843.98 V2302873 01/18/2023 N/A 523800 843.98 Total Account by Grant Year 2,531.94 0.00

3538‑3580 U00513 2023 Graduation & Outcomes for Success for Out‑of‑School S144F220003 22E CFDA 84.144F

V2304361 04/25/2023 0000236792 523800 843.98 Total Account by Grant Year 843.98 0.00 Total Account 3,375.92 0.00 Total Fund Budget Unit 14,893.79 0.00

3540‑3600 SA   W00701 2021 Career and Technical Education V048A200016 20E CFDA 84.048A

V2300286 07/27/2022 0000225664 520600 3.58 Total Account by Grant Year 3.58 0.00

3540‑3600 SA   W00701 2022 Career and Technical Education V048A210016 21E CFDA 84.048A

V2300404 08/03/2022 0000225930 523800 3,117.71 V2300404 08/03/2022 0000225930 523800 724.75 V2300404 08/03/2022 0000225930 523800 56.90 V2300694 08/19/2022 0000226764 520600 10.91 V2301075 09/22/2022 0000227944 520600 102.29 V2301550 10/24/2022 0000229281 520600 9.66 V2301594 10/26/2022 N/A 523800 3,842.46 V2301594 10/26/2022 N/A 523800 56.90 V2302007 11/21/2022 0000230428 520600 16.28 V2302466 12/21/2022 0000231624 520600 5.64 V2302873 01/18/2023 N/A 523800 3,117.71 V2302873 01/18/2023 N/A 523800 724.75 V2302873 01/18/2023 N/A 523800 56.90 V2302964 01/24/2023 0000232729 520600 38.79 V2303395 02/22/2023 0000234073 520600 11.58 V2303920 03/27/2023 0000235572 520600 9.00 V2304333 04/21/2023 N/A 520600 11.88 V2304361 04/25/2023 0000236792 523800 4,267.81 V2304361 04/25/2023 0000236792 523850 91.49 V2304717 05/15/2023 N/A 527800 150.39 V2304788 05/18/2023 0000237947 520600 45.03 V2305381 06/15/2023 0000239445 520600 26.46 Total Account by Grant Year 16,495.29 0.00 Total Account 16,498.87 0.00

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

V2300404 08/03/2022 0000225930 523800 113.79 Total Account by Grant Year 113.79 0.00

3540‑3600 SPL  W00536 2022 Career and Tech Ed ‑ Special Populations V048A210016 21E CFDA 84.048A

V2301594 10/26/2022 N/A 523800 113.79 V2302873 01/18/2023 N/A 523800 113.79 V2304361 04/25/2023 0000236792 523800 113.79 Total Account by Grant Year 341.37 0.00 Total Account 455.16 0.00

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

V2300404 08/03/2022 0000225930 523800 1,133.71 Total Account by Grant Year 1,133.71 0.00

3540‑3600 SPL  W00705 2022 Career and Technical Education V048A210016 21E CFDA 84.048A

V2300286 07/27/2022 0000225664 520600 8.40 V2300694 08/19/2022 0000226764 520600 11.02 V2301075 09/22/2022 0000227944 520600 6.67 V2301550 10/24/2022 0000229281 520600 1.83 V2301594 10/26/2022 N/A 523800 1,133.71 V2302007 11/21/2022 0000230428 520600 7.14 V2302466 12/21/2022 0000231624 520600 1.60 V2302873 01/18/2023 N/A 523800 1,133.71 V2303395 02/22/2023 0000234073 520600 22.77 V2303920 03/27/2023 0000235572 520600 2.19 V2304333 04/21/2023 N/A 520600 13.43 V2304361 04/25/2023 0000236792 523800 1,332.11 V2304788 05/18/2023 0000237947 520600 84.97 V2305381 06/15/2023 0000239445 520600 3.76 Total Account by Grant Year 3,763.31 0.00 Total Account 4,897.02 0.00

3540‑3600 SPL  W00714 2022 Career and Tech Ed‑ Non‑traditional V048A210016 21E CFDA 84.048A

V2300404 08/03/2022 0000225930 523800 850.28 V2301594 10/26/2022 N/A 523800 850.28 V2302873 01/18/2023 N/A 523800 850.28 V2304361 04/25/2023 0000236792 523800 850.28 Total Account 3,401.12 0.00

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

V2300404 08/03/2022 0000225930 523800 850.28 Total Account by Grant Year 850.28 0.00

3540‑3600 SPL  W00798 2022 Career and Technical Education V048A210016 21E CFDA 84.048A

V2301594 10/26/2022 N/A 523800 850.28 V2302873 01/18/2023 N/A 523800 850.28 V2304361 04/25/2023 0000236792 523800 850.28 V2304361 04/25/2023 0000236792 523850 56.65 Total Account by Grant Year 2,607.49 0.00 Total Account 3,457.77 0.00 Total Fund Budget Unit 28,709.94 0.00

3592‑3070 S01020 2023 KVC‑ Commission Administration FY22 22CAEKS001 CFDA 94.003

V2300286 07/27/2022 0000225664 520600 52.33 V2300404 08/03/2022 0000225930 523800 7,935.99 V2301075 09/22/2022 0000227944 520600 7.36 V2301550 10/24/2022 0000229281 520600 64.61 V2301594 10/26/2022 N/A 523800 7,935.99 V2302007 11/21/2022 0000230428 520600 1.91 V2302466 12/21/2022 0000231624 520600 9.03 V2302873 01/18/2023 N/A 523800 7,935.99 V2302964 01/24/2023 0000232729 520600 4.89 V2303920 03/27/2023 0000235572 520600 3.32 V2304333 04/21/2023 N/A 520600 60.75 V2304361 04/25/2023 0000236792 523800 7,935.99 V2304788 05/18/2023 0000237947 520600 3.86 V2305381 06/15/2023 0000239445 520600 8.78 Total Account 31,960.80 0.00

3592‑3070 T00713 2023 State Personnel Development Grant‑FY21 H323A170006 21E CFDA 84.323A

V2300796 09/01/2022 0000227152 522100 10,527.08 Total Account 10,527.08 0.00

3592‑3070 U00386 2023 Homeless Child  FY2021 S196A200017 20E CFDA 84.196A

V2300404 08/03/2022 0000225930 523800 775.55 Total Account 775.55 0.00

3592‑3070 U01006 2023 Homeless Child  FY2022 S196A210017 21E CFDA 84.196A

V2301594 10/26/2022 N/A 523800 775.55 V2302873 01/18/2023 N/A 523800 775.55 V2304361 04/25/2023 0000236792 523800 775.55 Total Account 2,326.65 0.00

3592‑3070 Z00408 2023 Children's Cabinet Preschool Dev (B‑5) indirect Year 1 Z00383 90TP0078‑01‑00 CFDA 93.434

J2230018 02/07/2023 N/A 523800 -938.42 V2300404 08/03/2022 0000225930 523800 3,355.04 V2301594 10/26/2022 N/A 523800 3,355.04 V2302873 01/18/2023 N/A 523800 3,355.04 Total Account 9,126.70 0.00

3592‑3070 Z01009 2023 Children's Cabinet Preschool Dev (B‑5) indirect Year 2 Z00431 90TP0078‑02‑00 CFDA 93.434

J2230018 02/07/2023 N/A 523800 938.42 V2304361 04/25/2023 0000236792 523800 3,355.04 Total Account 4,293.46 0.00 Total Fund Budget Unit 59,010.24 0.00 Total Federal Aid 565,052.39 0.00

Other State Aid from 7000

7000‑7001 007001 2023 KEY‑ Children's Cabinet

V2300404 08/03/2022 0000225930 523800 6,725.00 V2300404 08/03/2022 0000225930 523850 221.09 V2300920 09/12/2022 0000227377 526900 6,030.00 V2301594 10/26/2022 N/A 523850 221.09 V2301594 10/26/2022 N/A 523800 6,725.00 V2302873 01/18/2023 N/A 523800 6,725.00 V2302873 01/18/2023 N/A 523850 221.09 V2304044 04/04/2023 0000235879 534100 42.85 V2304361 04/25/2023 0000236792 523850 221.09 V2304361 04/25/2023 0000236792 523800 6,725.00 Total Other State Aid from 7000 33,857.21 0.00 Total Aid 1,766,799.42 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. Payments shown under Fund 7393-7000 are for general state aid.

Last Updated 4/12/2024
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