Kansas State Department of Education
Annual Federal and State Aid Funding Report - SFY 2024

D0475 USD 475 GEARY COUNTY 0000063040

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

State Aid

1000‑0110 000110 2024 KPERS Employer Contributions‑USDs

V24K0254 07/12/2023 0009475159 551400 2,238,918.55 V24K0540 10/11/2023 0009567563 551400 1,757,453.23 V24K0826 01/10/2024 0009660082 551400 2,182,015.41 V24K1112 04/10/2024 0009755583 551400 2,163,109.78 Total Fund Budget Unit 8,341,496.97 0.00

1000‑0150 000150 2024 Mental Health Intervention Team Pilot

V24H0470 01/10/2024 0009659819 551100 8,547.00 V24H0628 03/12/2024 0009723831 551100 4,273.00 V24H0932 05/10/2024 0009790705 551100 4,273.00 V24H1012 05/29/2024 0009810913 551100 42,276.00 Total Fund Budget Unit 59,369.00 0.00

1000‑0235 000235 2024 School safety and security grants

V24A0165 07/17/2023 0009478395 551100 110,691.00 Total Fund Budget Unit 110,691.00 0.00

1000‑0290 000290 2024 School District Juvenile Detention Facilities

V24J0009 12/12/2023 0009632639 551100 40,704.00 V24J0022 06/12/2024 0009827269 551100 61,056.00 Total Fund Budget Unit 101,760.00 0.00

1000‑0320 000320 2024 Food Service Aid

V24N1680 10/03/2023 0009559186 551100 2,128.40 V24N2379 11/07/2023 0009596828 551100 2,856.68 V24N3154 12/05/2023 0009625495 551100 3,272.44 V24N4391 01/23/2024 0009670309 551100 2,433.40 V24N5026 02/26/2024 0009703162 551100 2,286.08 V24N5709 03/12/2024 0009724000 551100 2,210.00 V24N6177 04/02/2024 0009747541 551100 3,242.08 V24N7718 05/14/2024 0009793645 551100 2,170.56 V24N7821 05/21/2024 0009799894 551100 3,381.88 V24N8346 06/10/2024 0009823160 551100 2,294.00 V24N8894 06/11/2024 0009825846 551100 8,525.43 Total Fund Budget Unit 34,800.95 0.00

1000‑0440 000440 2024 Mentor Teacher

V24M0192 06/12/2024 0009827465 551100 24,140.00 Total Fund Budget Unit 24,140.00 0.00

1000‑0700 000700 2024 Special Education Services Aid

V24S0254 10/11/2023 0009567849 551100 2,115,575.00 V24S0544 12/12/2023 0009633170 551100 2,037,766.00 V24S0830 03/12/2024 0009724489 551100 1,307,679.00 V24S1120 04/10/2024 0009755869 551100 1,405,247.00 V24S1410 05/29/2024 0009811175 551100 2,870,327.00 Total Fund Budget Unit 9,736,594.00 0.00

1000‑0770 000770 2024 Governor's Teaching Excellence Awards

V24B0032 05/10/2024 0009790628 551100 1,500.00 Total Fund Budget Unit 1,500.00 0.00

1000‑0820 000820 2024 State Foundation Aid (General State Aid)

V2450254 07/10/2023 0009471964 551100 2,155,088.00 V2450540 07/24/2023 0009484632 551100 2,155,088.00 V2450826 08/29/2023 0009524533 551100 3,632,501.00 V2451112 09/27/2023 0009554035 551100 3,333,293.00 V2451398 10/27/2023 0009582967 551100 4,039,418.00 V2451684 11/28/2023 0009618583 551100 4,110,948.00 V2451970 12/27/2023 0009649759 551100 4,011,889.00 V2452540 02/27/2024 0009709573 551100 3,968,482.00 V2452825 03/27/2024 0009742650 551100 4,013,763.00 V2453109 04/26/2024 0009776387 551100 3,215,925.00 V2453394 06/17/2024 0009833739 551100 9,155,289.00 Total Fund Budget Unit 43,791,684.00 0.00

1000‑0840 000840 2024 Supplemental State Aid (LOB)

V24L0207 09/27/2023 0009554339 551100 5,622,274.00 V24L0439 01/29/2024 0009681340 551100 5,831,912.00 V24L0671 06/17/2024 0009833978 551100 3,125,593.00 Total Fund Budget Unit 14,579,779.00 0.00

1000‑0860 000860 2024 Professional Development Aid

V24D0229 06/14/2024 0009831201 551100 46,291.00 Total Fund Budget Unit 46,291.00 0.00

1000‑0870 000870 2024 Capital Improvement State Aid

V24C0094 07/24/2023 0009484748 551100 1,501,816.00 V24C0202 01/29/2024 0009681047 551100 537,343.00 Total Fund Budget Unit 2,039,159.00 0.00

1000‑0880 000880 2024 School District Capital Outlay

V24O0165 02/26/2024 0009703417 551100 1,991,539.00 Total Fund Budget Unit 1,991,539.00 0.00 Total State Aid 80,858,803.92 0.00

Special Revenue State Aid

2000‑2510 002510 2024 CIF‑Parent Education Program

V24P0161 09/12/2023 0009536179 551100 71,943.00 V24P0485 03/12/2024 0009724228 551100 35,971.00 V24P0669 06/12/2024 0009827541 551100 35,971.00 Total Fund Budget Unit 143,885.00 0.00

2000‑2535 002535 2024 CIF‑Pre‑ K‑ Pilot

J2240047 11/16/2023 N/A 551600 -67,830.00 J2240047 11/16/2023 N/A 551100 67,830.00 V24P0095 08/22/2023 0009514814 551600 67,830.00 V24P0286 11/09/2023 0009599872 551100 67,830.00 V24P0422 02/12/2024 0009691500 551100 67,830.00 V24P0605 05/22/2024 0009803798 551100 67,830.00 Total Fund Budget Unit 271,320.00 0.00

2538‑2030 002030 2024 State Safety

V24T0212 11/28/2023 0009618900 551100 14,645.00 Total Fund Budget Unit 14,645.00 0.00 Total Special Revenue State Aid 429,850.00 0.00

Federal Aid

3056‑3200 V01010 2024 KDHE K‑12 COVID Testing Grant ‑ from KDHE ‑ 93.323

V24V0126 08/11/2023 0009507375 550100 195,749.17 V24V0406 01/11/2024 0009661206 550100 55,442.35 V24V0549 04/11/2024 0009757014 550100 64,272.75 Total Fund Budget Unit 315,464.27 0.00

3113‑3113 003113 2023 ESSA‑StudSpprt Academic Enrich FloThru S424A220017 22E CFDA 84.424A

V24F0148 07/17/2023 0009478566 550100 3,400.00 V24F0324 08/07/2023 0009500904 550100 9,383.00 V24F0508 09/05/2023 0009529543 550100 486.00 V24F0745 10/02/2023 0009557330 550100 3,669.00 V24F0990 11/06/2023 0009599765 550100 19,284.00 V24F1238 12/04/2023 0009623172 550100 24,074.00 Total Account by Grant Year 60,296.00 0.00

3113‑3113 003113 2024 ESSA‑StudSpprt Academic Enrich FloThru S424A230017 23E CFDA 84.424A

V24F1501 01/08/2024 0009656664 550100 28,931.00 V24F1761 02/05/2024 0009685214 550100 945.00 V24F1761 02/05/2024 0009685214 550100 2,511.00 V24F2007 03/04/2024 0009714522 550100 4,201.00 V24F2279 04/01/2024 0009745651 550100 3,463.00 V24F2553 05/06/2024 0009784509 550100 3,457.00 V24F2829 06/03/2024 0009818416 550100 4,270.00 Total Account by Grant Year 47,778.00 0.00 Total Fund Budget Unit 108,074.00 0.00

3230‑3020 003020 9926 2023 Fresh Fruits & Vegetables 10.582 CFDA 10.582

V24N3587 12/12/2023 0009632835 550100 222.75 Total Account by Grant Year 222.75 0.00

3230‑3020 003020 9926 2024 Fresh Fruits & Vegetables 10.582 CFDA 10.582

V24N3921 01/23/2024 0009669861 550100 13,593.00 V24N3921 01/23/2024 0009669861 550100 13,501.00 V24N3921 01/23/2024 0009669861 550100 7,844.00 V24N6061 03/26/2024 0009736320 550100 5,550.00 V24N6776 04/23/2024 0009768542 550100 19,378.00 V24N7929 05/28/2024 0009805570 550100 11,957.20 V24N7929 05/28/2024 0009805570 550100 9,206.00 Total Account by Grant Year 81,029.20 0.00 Total Fund Budget Unit 81,251.95 0.00

3233‑3040 003040 4000 2022 ARP ‑ ESSER ‑ COVID‑19 Coronavirus ‑ Homeless S425W210017 21E CFDA 84.425W

V24F0148 07/17/2023 0009478566 550100 14,569.00 V24F0148 07/17/2023 0009478566 550100 6,584.00 V24F0324 08/07/2023 0009500904 550100 6,535.00 V24F0508 09/05/2023 0009529543 550100 12.00 V24F1238 12/04/2023 0009623172 550100 845.00 V24F1501 01/08/2024 0009656664 550100 1,378.00 V24F1761 02/05/2024 0009685214 550100 420.00 V24F2007 03/04/2024 0009714522 550100 5,211.00 V24F2279 04/01/2024 0009745651 550100 51,080.00 V24F2829 06/03/2024 0009818416 550100 4,265.00 Total Account 90,899.00 0.00

3233‑3040 003040 4100 2022 ESSER III COVID‑19 Coronavirus ‑ FT S425U210002 22E CFDA 84.425U

V24F0148 07/17/2023 0009478566 550100 442,191.00 V24F0324 08/07/2023 0009500904 550100 1,230,467.00 V24F0508 09/05/2023 0009529543 550100 348,063.00 V24F0745 10/02/2023 0009557330 550100 1,065,661.00 V24F0990 11/06/2023 0009599765 550100 196,812.00 V24F1238 12/04/2023 0009623172 550100 134,248.00 V24F1501 01/08/2024 0009656664 550100 183,285.00 V24F1761 02/05/2024 0009685214 550100 181,265.00 V24F2007 03/04/2024 0009714522 550100 445,128.00 V24F2279 04/01/2024 0009745651 550100 124,296.00 V24F2553 05/06/2024 0009784509 550100 506,788.00 V24F2829 06/03/2024 0009818416 550100 201,692.00 Total Account 5,059,896.00 0.00

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

V24F0324 08/07/2023 0009500904 550100 118,341.00 V24F0745 10/02/2023 0009557330 550100 46,693.00 V24F0990 11/06/2023 0009599765 550100 68,262.00 V24F1238 12/04/2023 0009623172 550100 47,483.00 Total Account 280,779.00 0.00

3233‑3040 003040 9930 2023 T I  Sec 2 Delinquen S010A220016 22E CFDA 84.010A

V24F0148 07/17/2023 0009478566 550100 9,223.00 V24F0324 08/07/2023 0009500904 550100 18,865.00 V24F0508 09/05/2023 0009529543 550100 688.00 V24F0745 10/02/2023 0009557330 550100 661.00 V24F2279 04/01/2024 0009745651 550100 5,921.00 V24F2553 05/06/2024 0009784509 550100 6,052.00 V24F2829 06/03/2024 0009818416 550100 14,908.00 Total Account 56,318.00 0.00 Total Fund Budget Unit 5,487,892.00 0.00

3234‑3050 003050 1000 2023 EHC Flo‑Thru H027A220031 22E CFDA 84.027A

V24F0148 07/17/2023 0009478566 550100 1,072,900.00 V24F0148 07/17/2023 0009478566 550100 1,247.00 V24F0324 08/07/2023 0009500904 550100 219,248.00 V24F0745 10/02/2023 0009557330 550100 6,580.00 V24F0745 10/02/2023 0009557330 550100 138.00 V24F0990 11/06/2023 0009599765 550100 54,149.00 V24F0990 11/06/2023 0009599765 550100 1,153.00 V24F1238 12/04/2023 0009623172 550100 53,563.00 V24F1238 12/04/2023 0009623172 550100 1,549.00 V24F1501 01/08/2024 0009656664 550100 53,540.00 V24F1501 01/08/2024 0009656664 550100 1,746.00 Total Account by Grant Year 1,465,813.00 0.00

3234‑3050 003050 1000 2024 EHC Flo‑Thru H027A230031 23E CFDA 84.027A

V24F1761 02/05/2024 0009685214 550100 53,598.00 V24F1761 02/05/2024 0009685214 550100 1,747.00 V24F2007 03/04/2024 0009714522 550100 54,743.00 V24F2007 03/04/2024 0009714522 550100 20,945.00 V24F2007 03/04/2024 0009714522 550100 1,785.00 V24F2279 04/01/2024 0009745651 550100 177,756.00 V24F2279 04/01/2024 0009745651 550100 1,419.00 V24F2279 04/01/2024 0009745651 550100 5,796.00 V24F2553 05/06/2024 0009784509 550100 177,587.00 V24F2553 05/06/2024 0009784509 550100 1,420.00 V24F2553 05/06/2024 0009784509 550100 5,791.00 V24F2829 06/03/2024 0009818416 550100 177,253.00 V24F2829 06/03/2024 0009818416 550100 21,720.00 V24F2829 06/03/2024 0009818416 550100 5,323.00 Total Account by Grant Year 706,883.00 0.00 Total Account 2,172,696.00 0.00

3234‑3050 003050 5000 2023 EHC Flo‑Thru Disc H027A220031 22E CFDA 84.027A

V24F0508 09/05/2023 0009529543 550100 45.00 V24F0745 10/02/2023 0009557330 550100 1,806.00 V24F0990 11/06/2023 0009599765 550100 12,165.00 Total Account by Grant Year 14,016.00 0.00

3234‑3050 003050 5000 2024 EHC Flo‑Thru Disc H027A230031 23E CFDA 84.027A

V24F0148 07/17/2023 0009478566 550100 1,616.00 V24F0324 08/07/2023 0009500904 550100 10,503.00 V24F2007 03/04/2024 0009714522 550100 18,617.00 V24F2279 04/01/2024 0009745651 550100 25,416.00 V24F2553 05/06/2024 0009784509 550100 3,284.00 V24F2829 06/03/2024 0009818416 550100 4,081.00 Total Account by Grant Year 63,517.00 0.00 Total Account 77,533.00 0.00 Total Fund Budget Unit 2,250,229.00 0.00

3323‑0531 000531 2024 TANF‑ Early Learning Kansans (from DCF) 93.558 93.558 CFDA 93.558

V24P0021 07/24/2023 0009484780 550100 253,592.00 V24P0211 10/24/2023 0009579007 550100 10,805.00 V24P0346 01/22/2024 0009670437 550100 118,570.00 V24P0531 04/22/2024 0009766879 550100 120,066.00 Total Fund Budget Unit 503,033.00 0.00

3519‑3890 003890 2023 Title IV 21st Century Community Learning Center S287C220016 22E CFDA 84.287C

V24F0148 07/17/2023 0009478566 550100 3,506.00 V24F0148 07/17/2023 0009478566 550100 2,567.00 V24F0148 07/17/2023 0009478566 550100 4,583.00 V24F0148 07/17/2023 0009478566 550100 6,073.00 V24F0148 07/17/2023 0009478566 550100 3,340.00 V24F0148 07/17/2023 0009478566 550100 5,693.00 V24F0324 08/07/2023 0009500904 550100 16,854.00 V24F0324 08/07/2023 0009500904 550100 15,217.00 V24F0324 08/07/2023 0009500904 550100 17,742.00 V24F0324 08/07/2023 0009500904 550100 11,661.00 V24F0324 08/07/2023 0009500904 550100 33,154.00 V24F0324 08/07/2023 0009500904 550100 19,091.00 V24F0508 09/05/2023 0009529543 550100 3,192.00 V24F0508 09/05/2023 0009529543 550100 2,016.00 V24F0508 09/05/2023 0009529543 550100 6,336.00 V24F0508 09/05/2023 0009529543 550100 665.00 V24F0508 09/05/2023 0009529543 550100 11,134.00 V24F0508 09/05/2023 0009529543 550100 1,013.00 V24F0745 10/02/2023 0009557330 550100 64.00 V24F0745 10/02/2023 0009557330 550100 64.00 V24F0990 11/06/2023 0009599765 550100 68.00 V24F0990 11/06/2023 0009599765 550100 427.00 V24F0990 11/06/2023 0009599765 550100 11,370.00 V24F1238 12/04/2023 0009623172 550100 1,871.00 V24F1238 12/04/2023 0009623172 550100 2,558.00 V24F1238 12/04/2023 0009623172 550100 4,501.00 V24F1238 12/04/2023 0009623172 550100 4,427.00 V24F1238 12/04/2023 0009623172 550100 2,392.00 V24F1238 12/04/2023 0009623172 550100 1,479.00 V24F1238 12/04/2023 0009623172 550100 2,266.00 V24F1501 01/08/2024 0009656664 550100 4,262.00 V24F1501 01/08/2024 0009656664 550100 4,513.00 V24F1501 01/08/2024 0009656664 550100 6,177.00 V24F1501 01/08/2024 0009656664 550100 11,415.00 V24F1501 01/08/2024 0009656664 550100 11,539.00 V24F1501 01/08/2024 0009656664 550100 7,877.00 V24F1501 01/08/2024 0009656664 550100 6,464.00 V24F1761 02/05/2024 0009685214 550100 3,880.00 V24F1761 02/05/2024 0009685214 550100 4,062.00 V24F1761 02/05/2024 0009685214 550100 4,338.00 V24F1761 02/05/2024 0009685214 550100 8,718.00 V24F1761 02/05/2024 0009685214 550100 9,523.00 V24F1761 02/05/2024 0009685214 550100 6,858.00 V24F1761 02/05/2024 0009685214 550100 8,211.00 V24F2007 03/04/2024 0009714522 550100 3,421.00 V24F2007 03/04/2024 0009714522 550100 2,508.00 V24F2007 03/04/2024 0009714522 550100 4,335.00 V24F2007 03/04/2024 0009714522 550100 8,623.00 V24F2007 03/04/2024 0009714522 550100 14,390.00 V24F2007 03/04/2024 0009714522 550100 4,917.00 V24F2007 03/04/2024 0009714522 550100 6,336.00 V24F2279 04/01/2024 0009745651 550100 1,470.00 V24F2279 04/01/2024 0009745651 550100 1,782.00 V24F2279 04/01/2024 0009745651 550100 3,177.00 V24F2279 04/01/2024 0009745651 550100 8,487.00 V24F2279 04/01/2024 0009745651 550100 10,299.00 V24F2279 04/01/2024 0009745651 550100 1,456.00 V24F2279 04/01/2024 0009745651 550100 4,225.00 V24F2553 05/06/2024 0009784509 550100 8,416.00 V24F2553 05/06/2024 0009784509 550100 6,916.00 V24F2553 05/06/2024 0009784509 550100 7,788.00 V24F2553 05/06/2024 0009784509 550100 19,401.00 V24F2553 05/06/2024 0009784509 550100 17,631.00 V24F2553 05/06/2024 0009784509 550100 9,744.00 V24F2553 05/06/2024 0009784509 550100 10,737.00 Total Account by Grant Year 449,220.00 0.00

3519‑3890 003890 2024 Title IV 21st Century Community Learning Center S287C230016 23E CFDA 84.287C

V24F2829 06/03/2024 0009818416 550100 2,905.00 V24F2829 06/03/2024 0009818416 550100 4,502.00 V24F2829 06/03/2024 0009818416 550100 8,836.00 V24F2829 06/03/2024 0009818416 550100 9,576.00 V24F2829 06/03/2024 0009818416 550100 7,601.00 V24F2829 06/03/2024 0009818416 550100 5,073.00 V24F2829 06/03/2024 0009818416 550100 7,051.00 Total Account by Grant Year 45,544.00 0.00 Total Fund Budget Unit 494,764.00 0.00

3522‑3820 003820 2023 English Language Acquisition‑  Flo‑thru S365A220016 22E CFDA 84.365A

V24F0745 10/02/2023 0009557330 550100 1,569.00 V24F0990 11/06/2023 0009599765 550100 7,596.00 V24F1238 12/04/2023 0009623172 550100 7,602.00 Total Account by Grant Year 16,767.00 0.00

3522‑3820 003820 2024 English Language Acquisition‑  Flo‑thru S365A230016 23E CFDA 84.365A

V24F1501 01/08/2024 0009656664 550100 7,596.00 V24F1761 02/05/2024 0009685214 550100 7,596.00 V24F2007 03/04/2024 0009714522 550100 7,597.00 V24F2279 04/01/2024 0009745651 550100 7,615.00 V24F2553 05/06/2024 0009784509 550100 6,078.00 V24F2829 06/03/2024 0009818416 550100 595.00 Total Account by Grant Year 37,077.00 0.00 Total Fund Budget Unit 53,844.00 0.00

3526‑3860 003860 2023 Supporting Effective Instruction (was Title IIA) S367A220015 22E CFDA 84.367A

V24F0148 07/17/2023 0009478566 550100 19,463.00 V24F0324 08/07/2023 0009500904 550100 74,586.00 V24F0508 09/05/2023 0009529543 550100 2,515.00 V24F0745 10/02/2023 0009557330 550100 7,957.00 V24F0990 11/06/2023 0009599765 550100 26,723.00 Total Account by Grant Year 131,244.00 0.00

3526‑3860 003860 2024 Supporting Effective Instruction (was Title IIA) S367A230015 23E CFDA 84.367A

V24F1238 12/04/2023 0009623172 550100 24,515.00 V24F1501 01/08/2024 0009656664 550100 20,273.00 V24F1761 02/05/2024 0009685214 550100 8,270.00 V24F1761 02/05/2024 0009685214 550100 11,901.00 V24F2007 03/04/2024 0009714522 550100 20,162.00 V24F2279 04/01/2024 0009745651 550100 20,196.00 V24F2553 05/06/2024 0009784509 550100 20,037.00 V24F2829 06/03/2024 0009818416 550100 20,240.00 Total Account by Grant Year 145,594.00 0.00 Total Fund Budget Unit 276,838.00 0.00

3529‑3490 003490 9904 2023 School Breakfast 10.553 CFDA 10.553

V24N0946 08/15/2023 0009510218 550100 28,056.36 V24N0946 08/15/2023 0009510218 550100 1,526.07 V24N1680 10/03/2023 0009559186 550100 47,488.80 V24N2379 11/07/2023 0009596828 550100 70,988.39 Total Account by Grant Year 148,059.62 0.00

3529‑3490 003490 9904 2024 School Breakfast 10.553 CFDA 10.553

V24N3154 12/05/2023 0009625495 550100 77,910.23 V24N4391 01/23/2024 0009670309 550100 59,021.50 V24N5026 02/26/2024 0009703162 550100 53,939.03 V24N5709 03/12/2024 0009724000 550100 34,378.40 V24N6177 04/02/2024 0009747541 550100 75,462.54 V24N7718 05/14/2024 0009793645 550100 50,197.88 V24N7821 05/21/2024 0009799894 550100 81,894.48 V24N8346 06/10/2024 0009823160 550100 57,095.75 Total Account by Grant Year 489,899.81 0.00 Total Fund Budget Unit 637,959.43 0.00

3530‑3500 003500 9902 2023 Section 4 10.555 CFDA 10.555

V24N0946 08/15/2023 0009510218 550100 66,042.44 V24N0946 08/15/2023 0009510218 550100 5,776.80 V24N1680 10/03/2023 0009559186 550100 164,796.85 V24N2379 11/07/2023 0009596828 550100 219,182.15 Total Account by Grant Year 455,798.24 0.00

3530‑3500 003500 9902 2024 Section 4 10.555 CFDA 10.555

V24N3154 12/05/2023 0009625495 550100 238,044.25 V24N4391 01/23/2024 0009670309 550100 179,586.55 V24N5026 02/26/2024 0009703162 550100 169,412.60 V24N5709 03/12/2024 0009724000 550100 163,883.60 V24N6177 04/02/2024 0009747541 550100 242,301.05 V24N7718 05/14/2024 0009793645 550100 162,554.30 V24N7821 05/21/2024 0009799894 550100 255,212.70 V24N8346 06/10/2024 0009823160 550100 171,955.85 Total Account by Grant Year 1,582,950.90 0.00 Total Account 2,038,749.14 0.00

3530‑3500 003500 9903 2023 Section 11 10.555 CFDA 10.555

V24N1680 10/03/2023 0009559186 550100 310.05 V24N2379 11/07/2023 0009596828 550100 4,490.46 V24N2379 11/07/2023 0009596828 550100 1,661.40 Total Account by Grant Year 6,461.91 0.00

3530‑3500 003500 9903 2024 Section 11 10.555 CFDA 10.555

V24N3154 12/05/2023 0009625495 550100 1,943.37 V24N3154 12/05/2023 0009625495 550100 7,330.05 V24N4391 01/23/2024 0009670309 550100 6,910.02 V24N4391 01/23/2024 0009670309 550100 1,640.34 V24N5026 02/26/2024 0009703162 550100 4,476.42 V24N5026 02/26/2024 0009703162 550100 937.17 V24N5709 03/12/2024 0009724000 550100 4,541.94 V24N5709 03/12/2024 0009724000 550100 1,215.63 V24N6177 04/02/2024 0009747541 550100 8,545.68 V24N6177 04/02/2024 0009747541 550100 1,671.93 V24N7718 05/14/2024 0009793645 550100 4,509.18 V24N7718 05/14/2024 0009793645 550100 834.21 V24N7821 05/21/2024 0009799894 550100 7,863.57 V24N7821 05/21/2024 0009799894 550100 1,503.45 V24N8346 06/10/2024 0009823160 550100 841.23 Total Account by Grant Year 54,764.19 0.00 Total Account 61,226.10 0.00

3530‑3500 003500 9911 2023 NSLP Supply Chain Assistance 10.555 CFDA 10.555

V24N5413 03/11/2024 0009721400 550100 159,422.40 V24N7122 04/23/2024 0009768881 550100 2,920.26 Total Account 162,342.66 0.00

3530‑3500 003500 9912 2023 Cash for Commodities 10.559 CFDA 10.559

V24N0946 08/15/2023 0009510218 550100 4,472.40 V24N0946 08/15/2023 0009510218 550100 391.76 V24N1680 10/03/2023 0009559186 550100 15,696.95 V24N2379 11/07/2023 0009596828 550100 21,068.02 Total Account by Grant Year 41,629.13 0.00

3530‑3500 003500 9912 2024 Cash for Commodities 10.559 CFDA 10.559

V24N3154 12/05/2023 0009625495 550100 24,134.25 V24N4391 01/23/2024 0009670309 550100 17,946.33 V24N5026 02/26/2024 0009703162 550100 16,859.84 V24N5709 03/12/2024 0009724000 550100 16,298.75 V24N6177 04/02/2024 0009747541 550100 23,910.34 V24N7718 05/14/2024 0009793645 550100 16,007.88 V24N7821 05/21/2024 0009799894 550100 24,941.37 V24N8346 06/10/2024 0009823160 550100 16,918.25 Total Account by Grant Year 157,017.01 0.00 Total Account 198,646.14 0.00 Total Fund Budget Unit 2,460,964.04 0.00

3532‑3520 003520 2023 Title I  Low Income S010A220016 22E CFDA 84.010A

V24F0148 07/17/2023 0009478566 550100 103,870.00 V24F0324 08/07/2023 0009500904 550100 649,208.00 V24F0508 09/05/2023 0009529543 550100 26,888.00 V24F0745 10/02/2023 0009557330 550100 12,886.00 V24F0990 11/06/2023 0009599765 550100 153,310.00 V24F0990 11/06/2023 0009599765 550100 8,071.00 Total Account by Grant Year 954,233.00 0.00

3532‑3520 003520 2024 Title I  Low Income S010A230016 23E CFDA 84.010A

V24F1238 12/04/2023 0009623172 550100 133,252.00 V24F1238 12/04/2023 0009623172 550100 10,732.00 V24F1501 01/08/2024 0009656664 550100 8,146.00 V24F1501 01/08/2024 0009656664 550100 161,957.00 V24F1761 02/05/2024 0009685214 550100 8,181.00 V24F1761 02/05/2024 0009685214 550100 153,826.00 V24F2007 03/04/2024 0009714522 550100 68,691.00 V24F2007 03/04/2024 0009714522 550100 82,816.00 V24F2279 04/01/2024 0009745651 550100 124,549.00 V24F2553 05/06/2024 0009784509 550100 139,745.00 V24F2829 06/03/2024 0009818416 550100 169,751.00 Total Account by Grant Year 1,061,646.00 0.00 Total Fund Budget Unit 2,015,879.00 0.00

3535‑3550 003550 1000 2023 EC Flo‑Thru H173A220034 22E CFDA 84.173A

V24F0148 07/17/2023 0009478566 550100 27,032.00 V24F0324 08/07/2023 0009500904 550100 9,827.00 V24F0745 10/02/2023 0009557330 550100 292.00 V24F0990 11/06/2023 0009599765 550100 2,306.00 V24F0990 11/06/2023 0009599765 550100 38.00 V24F1238 12/04/2023 0009623172 550100 2,911.00 V24F1238 12/04/2023 0009623172 550100 197.00 V24F1501 01/08/2024 0009656664 550100 2,910.00 V24F1761 02/05/2024 0009685214 550100 2,913.00 Total Account by Grant Year 48,426.00 0.00

3535‑3550 003550 1000 2024 EC Flo‑Thru H173A230034 23E CFDA 84.173A

V24F2007 03/04/2024 0009714522 550100 2,975.00 V24F2279 04/01/2024 0009745651 550100 9,661.00 V24F2553 05/06/2024 0009784509 550100 9,651.00 V24F2829 06/03/2024 0009818416 550100 9,609.00 Total Account by Grant Year 31,896.00 0.00 Total Fund Budget Unit 80,322.00 0.00

3539‑3590 003590 9920 2023 Program Improv Sec V048A220016 22E CFDA 84.048A

V24F0148 07/17/2023 0009478566 550100 10,439.00 V24F0324 08/07/2023 0009500904 550100 26,543.00 Total Account by Grant Year 36,982.00 0.00

3539‑3590 003590 9920 2024 Program Improv Sec V048A230016 23E CFDA 84.048A

V24F0745 10/02/2023 0009557330 550100 370.00 V24F0745 10/02/2023 0009557330 550100 13,131.00 V24F0990 11/06/2023 0009599765 550100 5,374.00 V24F1238 12/04/2023 0009623172 550100 19,954.00 V24F1501 01/08/2024 0009656664 550100 2,208.00 V24F1761 02/05/2024 0009685214 550100 6,288.00 V24F2007 03/04/2024 0009714522 550100 4,272.00 V24F2279 04/01/2024 0009745651 550100 570.00 V24F2553 05/06/2024 0009784509 550100 1,288.00 V24F2829 06/03/2024 0009818416 550100 25.00 Total Account by Grant Year 53,480.00 0.00 Total Account 90,462.00 0.00

3539‑3590 003590 9922 2023 Reserve Fund V048A220016 22E CFDA 84.048A

V24F1501 01/08/2024 0009656664 550100 340.00 Total Account 340.00 0.00 Total Fund Budget Unit 90,802.00 0.00

3592‑3070 U01034 2024 Homeless Child  FY2023 S196A220017 22E CFDA 84.196A

V24F0148 07/17/2023 0009478566 550100 3,856.00 V24F0324 08/07/2023 0009500904 550100 3,725.00 V24F0745 10/02/2023 0009557330 550100 301.00 Total Account 7,882.00 0.00

3592‑3070 U01057 2024 Homeless Child  FY2024 S196A230017 23E CFDA 84.196A

V24F0990 11/06/2023 0009599765 550100 215.00 V24F1238 12/04/2023 0009623172 550100 2,316.00 V24F1501 01/08/2024 0009656664 550100 5,272.00 V24F1761 02/05/2024 0009685214 550100 6,082.00 V24F2279 04/01/2024 0009745651 550100 2,422.00 V24F2553 05/06/2024 0009784509 550100 3,736.00 V24F2829 06/03/2024 0009818416 550100 3,536.00 Total Account 23,579.00 0.00 Total Fund Budget Unit 31,461.00 0.00 Total Federal Aid 14,888,777.69 0.00

Other State Aid from 7000

7005‑7005 007005 2024 USD Contribution Checkoff Fund

V24A0442 02/12/2024 0009691403 559900 815.08 Total Fund Budget Unit 815.08 0.00

7393‑7010 007010 2024 School District 20‑Mill Levy

V2452255 01/29/2024 0009680943 551100 5,740,079.00 Total Fund Budget Unit 5,740,079.00 0.00 Total Other State Aid from 7000 5,740,894.08 0.00 Total Aid 101,918,325.69 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 7/2/2024
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