STATE OF KANSAS DEPARTMENT OF ADMINISTRATION FISCAL YEAR 2006 CENTRAL CHART OF ACCOUNTS DIVISION OF ACCOUNTS AND REPORTS (JULY 1, 2005 TO JUNE 30, 2006) KANSAS WATER OFFICE REV. 05/10/06 PROGRAM CODES 67000. WATER RESOURCES 67020. WATER OFFICE OPERATIONS 67030. WATER SUPPLY CONTRACTS 67130. KANSAS WATER AUTHORITY OPERATING FUNDS APPROPRIATION ACCOUNT OR EXPENDITURE FUND OR ACCOUNT TITLE NUMBER F LIMITATIONS 05 WATER RESOURCES OPERATING EXPENDITURES 709-00-1000-6-0303 05 1,433,141.77 -SB 225-SEC 142-SESS OF 2005- 709-00-1000-5-0303 05 -HB 2482-SEC 76-SESS OF 2005- WATER RESOURCES OPER EXP-OFFICIAL HOSPIT 709-00-1000-6-0304 05 250.00 -SB 225-SEC 142-SESS OF 2005- 709-00-1000-5-0304 05 03 KSIP-WATER RESOURCES OPERATING EXPEND 709-00-1000-6-0319 05 6,616.87 -SB 225-SEC 147-SESS OF 2005- 709-00-1000-5-0319 05 20 STATE WATER PLAN FUND 709-00-1800-6-1100 05 0.00 21 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1100 05 22 -SB 225-SEC 178-SESS OF 2005- 23 -SB 225-SEC 186-SESS OF 2005- 24 -K.S.A. 82A-951- 25 03 ST WTR PLN FND-ASSESSMENT & EVALUATION 709-00-1800-6-1110 05 744,703.78 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1110 05 709-00-1800-4-1110 05 709-00-1800-3-1110 05 03 ST WTR PLN FND-FEDERAL COST-SHARE PROG 709-00-1800-6-1120 05 0.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1120 05 709-00-1800-4-1120 05 03 ST WTR PLN FND-GIS DATA BASE DEVELOPMENT 709-00-1800-6-1140 05 247,405.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1140 05 03 ST WTR PLN FND-MOU-STGE OPNS & MAINT 709-00-1800-6-1150 05 411,712.30 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1150 05 01 ST WTR PLN FND-PMIB LOAN PMT FOR STORAGE 709-00-1800-6-1170 05 237,945.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1170 05 ST WTR PLN FND-PUBLIC INFORMATION 709-00-1800-4-1180 05 0.00 -ACCOUNT CLOSED- 01 ST WTR PLN FND-STREAM GAGING PROGRAM 709-00-1800-6-1190 05 412,668.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1190 05 709-00-1800-4-1190 05 01 ST WTR PLN FND-TECH ASST TO WATER USERS 709-00-1800-6-1200 05 246,150.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1200 05 709-00-1800-4-1200 05 709-00-1800-3-1200 05 01 ST WTR PLN FND-WATER PLANNING PROCESS 709-00-1800-6-1210 05 313,205.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1210 05 709-00-1800-4-1210 05 01 ST WTR PLN FND-WATER RESOURCE EDUCATION 709-00-1800-6-1220 05 60,000.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1220 05 01 ST WTR PLN FND-WEATHER MODIFICATION PROG 709-00-1800-6-1230 05 120,000.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1230 05 SWPF-PUBLIC INFORMATION/EDUCATION 709-00-1800-0-1250 05 0.00 -ACCOUNT CLOSED- SWPF-WATER CONSERVATION PROJECT RESERVE 709-00-1800-5-1260 05 0.00 -ACCOUNT CLOSED- 01 ST WTR PLN FND-KANSAS WATER AUTHORITY 709-00-1800-6-1290 05 37,384.00 24 -SB 225-SEC 142-SESS OF 2005- 709-00-1800-5-1290 05 01 SEDIF-WATER RESOURCE EDUCATION 709-00-1900-5-1900 05 0.00 -ACCOUNT CLOSED- 10 GENERAL FEES FUND 709-00-2022-6-2000 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2022-5-2000 05 WATER SUPPLY STRG ACQUISTN FINANCING FND 709-00-2137-6-2300 05 -K.S.A. 82A-1370- 709-00-2137-5-2300 05 -SB 225-SEC 190-SESS OF 2005- 26 WATER MARKETING FUND 709-00-2255-6-2100 05 27 -SB 225-SEC 142-SESS OF 2005- 709-00-2255-5-2100 05 -K.S.A. 82A-1315C- WATER MARKETING FUND-RESERVE ACCOUNT 709-00-2255-6-2110 05 0.00 -SB 225-SEC 142-SESS OF 2005- 709-00-2255-5-2110 05 CONVERSION OF MATERIALS & EQUIPMENT FUND 709-00-2423-6-2500 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2423-5-2500 05 STATE CONSERV STORAGE WATER SUPPLY FUND 709-00-2502-6-2600 05 0.00 -SB 225-SEC 142-SESS OF 2005- 709-00-2502-5-2600 05 -K.S.A. 82A-1315B- WATER CONSERVATION PROJECTS FUND 709-00-2503-6-2400 05 733,058.00 -SB 225-SEC 142-SESS OF 2005- 709-00-2503-5-2400 05 -K.S.A. 82A-1803- 25 WATER PLAN PROJECTS FUND 709-00-2607-6-2200 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2607-5-2200 05 LOCAL WATER PROJECT MATCH FUND 709-00-2620-6-3200 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2620-5-3200 05 27 WATER SUPPLY STORAGE ASSURANCE FUND 709-00-2631-6-2800 05 0.00 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-2800 05 -K.S.A. 82A-1369- WSSA-DIST #1 ADMIN AND ENFORCEMENT 709-00-2631-6-2900 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-2900 05 WSSA-TUTTLE CREEK PRINCIPAL AND INTEREST 709-00-2631-6-2910 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-2910 05 WSSA-TUTTLE CREEK OPERATION & MAINTEN 709-00-2631-6-2920 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-2920 05 WSSA-PERRY-PRINCIPAL AND INTEREST 709-00-2631-6-2940 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-2940 05 WSSA-PERRY-OPERATION AND MAINTENANCE 709-00-2631-6-2950 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-2950 05 WSSA-MILFORD PRINCIPAL AND INTEREST 709-00-2631-6-2970 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-2970 05 WSSA-MILFORD-OPERATION AND MAINTENANCE 709-00-2631-6-2980 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-2980 05 WSSA-DISTRICT #2 ADMIN AND ENFORCEMENT 709-00-2631-6-3100 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-3100 05 WSSA-POMONA PRINCIPAL AND INTEREST 709-00-2631-6-3110 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-3110 05 WSSA-POMONA OPERATION AND MAINTENANCE 709-00-2631-6-3120 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-3120 05 WSSA-MELVERN PRINCIPAL AND INTEREST 709-00-2631-6-3130 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-3130 05 WSSA-MELVERN OPERATION AND MAINTENANCE 709-00-2631-6-3140 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-3140 05 WSSA-DIST #3 ADMIN AND ENFORCEMENT 709-00-2631-6-4100 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-4100 05 WSSA-JOHN REDMOND PRINCIPAL AND INTEREST 709-00-2631-6-4110 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-4110 05 WSSA-JOHN REDMOND OPERATION & MAINT 709-00-2631-6-4120 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-4120 05 WSSA-COUNCIL GROVE PRINCIPAL & INTEREST 709-00-2631-6-4130 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-4130 05 WSSA-COUNCIL GROVE OPERATION & MAINT 709-00-2631-6-4140 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-4140 05 WSSA-MARION PRINCIPAL & INTEREST 709-00-2631-6-4150 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-4150 05 WSSA-MARION OPERATION & MAINTENANCE 709-00-2631-6-4160 05 -SB 225-SEC 142-SESS OF 2005- 709-00-2631-5-4160 05 FEDERAL GRANTS AND RECEIPTS FUND 709-00-3673-6-3600 05 0.00 -SB 225-SEC 142-SESS OF 2005- 709-00-3673-5-3600 05 FED GRTS & RCPTS FD-KDHE ON-SITE ASSIST 709-00-3673-6-3610 05 -SB 225-SEC 142-SESS OF 2005- 709-00-3673-5-3610 05 FED GRTS & RCPTS FD-WTRSHD PLAN FOR WRAP 709-00-3673-6-3620 05 -SB 225-SEC 142-SESS OF 2005- 709-00-3673-5-3620 05 FED GRTS & RCPTS FD-MSU/KWO RESEARCH 709-00-3673-6-3630 05 -SB 225-SEC 142-SESS OF 2005- 709-00-3673-5-3630 05 FED GRTS & RCPTS FD-STRM GEO ASSMT&CLASS 709-00-3673-6-3650 05 -SB 225-SEC 142-SESS OF 2005- 709-00-3673-5-3650 05 FG&R FD-PRIORITY WTLND/RIPARIAN IMPL PLN 709-00-3673-6-3670 05 -SB 225-SEC 142-SESS OF 2005- 709-00-3673-5-3670 05 FG&R FD-WETLAND EDUCATIONAL PROJECTS 709-00-3673-6-3680 05 -SB 225-SEC 142-SESS OF 2005- 709-00-3673-5-3680 05 709-00-3673-4-3680 05 FG&R FD-RECLAMATION BUREAU DROUGHT ASST 709-00-3673-6-3690 05 -SB 225-SEC 142-SESS OF 2005- 709-00-3673-5-3690 05 AGENCY MOTOR POOL VEHICLE REPAIR & REPLA 709-00-6120-6-6100 05 PARKING DEDUCTION CLEARING FUND 709-00-9235-6-9200 05 -K.S.A. 75-5536- 709-00-9235-5-9200 05 CREDIT CARD CLEARING FUND 709-00-9437-6-9400 05 -K.S.A. 75-30,100- 709-00-9437-5-9400 05 01 THE UNENCUMBERED BALANCE AT JUNE 30, 2005, IS LAPSED. 03 THE UNENCUMBERED BALANCE AT JUNE 30, 2005, IF IN EXCESS OF $100.00, IS REAPPROPRIATED TO THE SAME ACCOUNT. 05 THE UNENCUMBERED BALANCE, IF IN EXCESS OF $100.00, AT JUNE 30, 2005 IS REAPPROPRIATED TO THE DESIGNATED ACCOUNT SUBJECT TO THE STATED EXPENDITURE LIMITATION. ACCOUNT NUMBER REAPPROPRIATED TO REAPP. LIMIT 709-1000-05-0303 709-1000-06-0303 $ 27,060.00 10 EXPENDITURES FOR OFFICIAL HOSPITALITY ARE AUTHORIZED TO BE MADE FROM THE GENERAL FEES FUND. 20 DURING THE FISCAL YEAR ENDING JUNE 30, 2006, THE DIRECTOR OF ACCOUNTS & REPORTS SHALL TRANSFER $6,000,000 FROM THE STATE GENERAL FUND TO THE STATE WATER PLAN FUND, HALF TO BE TRANSFERRED ON JULY 15 AND HALF ON JANUARY 15. K.S.A. 82A-953A 21 IN EACH FISCAL YEAR, THE DIRECTOR OF ACCOUNTS AND REPORTS SHALL MAKE TRANSFERS IN EQUAL AMOUNTS ON JULY 15 AND JANUARY 15 WHICH IN THE AGGREGATE EQUAL $2,000,000 FROM THE STATE ECONOMIC DEVELOP- MENT INITIATIVES FUND TO THE STATE WATER PLAN FUND PER K.S.A. 79-4804(G). 22 ON OR BEFORE THE 15TH DAY OF EACH MONTH, THE DIRECTOR OF ACCOUNTS AND REPORTS SHALL TRANSFER AMOUNTS CERTIFIED BY THE DIRECTOR OF TAXATION FROM THE SAND ROYALTY FUND OF THE DEPARTMENT OF REVENUE TO THE STATE WATER PLAN FUND. K.S.A. 70A-105(B) 23 ON JULY 15, AND ON THE 15TH DAY OF EACH CALENDAR QUARTER THEREAFTER BEFORE JULY 1, 2009, THE DIRECTOR OF ACCOUNTS & REPORTS SHALL TRANSFER $100,000 FROM THE STATE WATER PLAN FUND TO THE ABANDONED OIL & GAS WELL FUND OF THE CORPORATION COMMISSION PER K.S.A. 55-193. HOWEVER, THE AGGREGATE OF THE TRANSFERS MADE FROM THE STATE WATER PLAN FUND TO THE ABANDONED OIL AND GAS WELL FUND DURING STATE FISCAL YEAR 2006 SHALL NOT EXCEED $400,000. 24 DURING THE FISCAL YEAR ENDING JUNE 30, 2006, THE DIRECTOR OF THE KANSAS WATER OFFICE, WITH THE APPROVAL OF THE DIRECTOR OF THE BUDGET, MAY TRANSFER ANY PART OF ANY ITEM OF APPROPRIATION FOR FISCAL YEAR 2006 FROM THE STATE WATER PLAN FUND FOR THE KANSAS WATER OFFICE TO ANOTHER ITEM OF APPROPRIATION FOR FISCAL YEAR 2006 FROM THE STATE WATER PLAN FUND FOR THE KANSAS WATER OFFICE. 25 DURING THE FISCAL YEAR ENDING JUNE 30, 2006, THE DIRECTOR OF ACCOUNTS & REPORTS SHALL TRANSFER AN AMOUNT OR AMOUNTS SPECIFIED BY THE DIRECTOR OF THE KANSAS WATER OFFICE FROM THE STATE WATER PLAN FUND TO THE WATER PLAN PROJECTS FUND, EXCEPT THAT SUCH TRANSFERS SHALL ONLY BE MADE UPON THE APPROVAL OF THE DIRECTOR OF THE BUDGET. 26 DURING THE FISCAL YEAR ENDING JUNE 30, 2006, THE DIRECTOR OF ACCOUNTS & REPORTS SHALL TRANSFER AN AMOUNT OR AMOUNTS SPECIFIED BY THE DIRECTOR OF THE KANSAS WATER OFFICE PRIOR TO APRIL 1, 2006, FROM THE WATER MARKETING FUND TO THE STATE GENERAL FUND, K.S.A. 82A-1315C. 27 MONEYS RECEIVED FROM A WATER ASSURANCE DISTRICT MAY BE TRANSFERRED FROM THEIR ACCOUNT IN THE WATER SUPPLY STORAGE ASSURANCE FUND TO THE WATER MARKETING FUND FOR PAYMENT TO THE FEDERAL GOVERNMENT OF ANNUAL COSTS OF WATER SUPPLY STORAGE IN FEDERAL RESERVOIRS UNDER THE WATER ASSURANCE PROGRAM ACT; FOR PAYMENT & REIMBURSEMENT TO THE WATER MARKETING FUND FOR WATER SUPPLY STORAGE SPACE PREVIOUSLY PAID FOR WITH REVENUE FROM THE WATER MARKETING FUND, IF SUCH STORAGE SPACE HAS BEEN TRANSFERRED TO THE WATER ASSURANCE PROGRAM; FOR PAYMENT TO THE FEDERAL GOVERNMENT FOR ANNUAL OPERATION, MAINTENANCE AND REPAIR COSTS ASSOCIATED WITH THE WATER SUPPLY STORAGE SPACE DEDICATED FOR THE USE OF WATER ASSURANCE DISTRICTS AND FOR PAYMENT AND REIMBURSEMENT TO THE WATER MARKETING FUND & THE STATE GENERAL FUND FOR COSTS INCURRED BY THE STATE FOR THE ADMINISTRATION AND ENFORCEMENT OF APPLICABLE STATE LAWS GOVERNING THE OPERATIONS & MANAGEMENT OF THE WATER ASSURANCE PROGRAM AS PROVIDED IN CONTRACTS WITH WATER ASSURANCE DISTRICTS.