Ltr1-11: Consolidated Payment #3
July 8, 2011
Dear County Superintendents of Schools:
NOTICE OF THE FIRST APPORTIONMENT
FOR THE CATEGORICAL CONSOLIDATION #3
REGIONAL INFRASTRUCTURE AND COUNTY OFFICE PROGRAMS
FISCAL YEAR 2011-12
This apportionment, in the amount of $1,353,757, is made from funds provided by various Items of the Budget Act of 2011 (Chapter 33, Statutes of 2011), as follows:
- 6110-181-0001 - Education Technology - California Technology Assistance Project (CTAP)
- 6110-181-0001 - Education Technology - Statewide Education Technology Services (SETS)
- 6110-193-0001(1) - Bilingual Teacher Training
- 6110-244-0001 - Teacher Credentialing Block Grant - Infrastructure
- 6110-248-0001 - School Safety Competitive Grant - Regional
- 6110-266-0001 - County Oversight - Williams Case Settlement
- 6110-266-0001 - County Oversight - Valenzuela Case Settlement
- 6110-268-0001 - Child Oral Health Assessment – County Office
Warrants will be mailed to each county treasurer approximately three weeks from the date of this Notice. For standardized account code structure coding, use Resource Code 0000, Unrestricted, and Revenue Object Code 8590, All Other State Revenue.
The county superintendents of schools were notified of this apportionment by e-mail which was sent to their CDEfisc
e-mail addresses. The California Department of Education (CDE) requested that the e-mail be forwarded to all school districts and charter schools in the county, and included the links to this letter and the apportionment schedules which are posted on the CDE Web pages at http://www.cde.ca.gov/fg/aa/ca/consolidations559.asp.
California Education Code (EC) Section 42605 authorizes complete flexibility by a school district, county office of education, and charter school in the use of funds appropriated in the state budget for fiscal years 2008-09 through 2014-15 for numerous budget items, including the funds formerly restricted to the programs included in this apportionment. School districts, county offices of education, and charter schools may now use the funds formerly restricted to these programs for any educational purpose. The funds are therefore unrestricted and should be accounted for as such. With the exception noted below, program and funding requirements as otherwise provided in statute, regulation, and budget act provisional language associated with the funding are not in effect. EC Section 42605(e) provides an exception with respect to county oversite. A county office of education shall conduct at least one site visit to each of the required schoolsites pursuant to Section 1240 and shall fulfill all of the duties set forth in Sections 1240 and 44258.9.
Each local educational agency’s (LEA’s) entitlement to 2011-12 funds from each flexible program was calculated based on the same relative proportion of funds that each LEA received in the base year of funding; this amount was then reduced to reflect the funding decrease enacted in Control Section 12.42 of the Budget Act of 2011. Pursuant to the provisions of EC Section 14401.1, payments for the flexed programs are to be made in twelve installments beginning in July and ending in June. Under the new “5-5-9” schedule, five percent of the annual entitlement is to be allocated in each of July and August and nine percent in each month thereafter through the following June. In order to timely allocate funds, the July and August 2011 payments are equal to 5 percent of each LEA’s 2010-11 entitlement. The September 2011 payment will equal 19 percent of each LEA’s 2011-12 calculated entitlement less the amount advanced for the months of July and August 2011. The subsequent monthly warrants will equal the monthly payment percentage times the LEA’s 2011-12 entitlement.
In order to reduce the number of monthly payments an LEA may receive, the monthly payments for 34 of the flexible categorical programs have been consolidated into one of five groups which have then been combined into a single payment each month to each LEA. The resulting Schedule of the Combined Apportionment for Categorical Consolidations #1 - #5 is posted on the CDE Web site at http://www.cde.ca.gov/fg/aa/ca/consolidations559.asp and shows the total combined monthly payment to each LEA and the payment breakdown into the five consolidations. The apportionment schedule and letter for this apportionment, Categorical Consolidation #3 – Regional Infrastructure and County Office Programs, is posted at http://www.cde.ca.gov/fg/aa/ca/consolidations559.asp and shows the monthly payment to each LEA by program.
Individual program schedules are posted on the CDE Categorical Programs Web page at http://www.cde.ca.gov/fg/aa/ca/ under the program name, fiscal year 2011-12. Individual program schedules will not be posted for the July and August 2011 advance payment at this time but will be posted with the September 2011 apportionment. Each apportionment schedule identifies the amount for direct-funded charter schools separate from the district or county amount. Funding associated with all other charter schools is included in the district or county amount.
If you have any questions regarding this apportionment, please contact Shannon Reel, Fiscal Analyst, Categorical Allocations and Management Assistance Office, by phone at 916-319-0323 or by e-mail at email@example.com.
Jeannie Oropeza, Deputy Superintendent
Finance, Technology, and Administration Branch