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2019 (July 1, 2019 - June 30, 2020)

Program Year
2019
Year Status
Published
Narrative year
2019
Assessment year
2021
Financial Year - Initial
2019
Financial Year - Final
2018
Allow Reporting
Yes

Table FFR 3: Recipient Share Detail - Initial

State
Maryland Dept. of Labor
1100 N. Eutaw St
Baltimore, MD 21201
09061044
52-6002033
150000-20
Cash
From:
To:
From:
To:
NameAmount
State general Funds7849978.15
0.00
0.00
0.00
0.00
b. Local Cash0.00
c. Total Cash (add all rows in 7a and 7b)7849978.15
d. Total Cash and In-Kind (add row 7c and total in box 8) (This amount must equal the amount reported in row 10j 'Total Recipient Share of Expenditures', column 10f 'Total' of the FFR.)0.00
State:0.00
Local:0.00
Total in-kind contributions:0.00
I agree and certify this document
On
Thu, 12/31/2020 - 10:39
9. Please explain any increases, decreases, or new cash and in-kind sources reported in Boxes 7 or 8 since the previous year.
Decrease in operations due to COVID 19. Many of the program training sites have been closed due to the emergency. Activities have been curtailed.

Table FFR 3: Recipient Share Detail - Initial

SC Department of Education
1429 Senate Street
Columbia, SC 29201
69313609
57000286
H63010101020
Cash
From:
To:
From:
To:
NameAmount
Education Improvement Act14500000.00
0.00
0.00
0.00
0.00
b. Local Cash0.00
c. Total Cash (add all rows in 7a and 7b)14500000.00
d. Total Cash and In-Kind (add row 7c and total in box 8) (This amount must equal the amount reported in row 10j 'Total Recipient Share of Expenditures', column 10f 'Total' of the FFR.)0.00
State:0.00
Local:0.00
Total in-kind contributions:0.00
I agree and certify this document
On
Tue, 12/29/2020 - 17:38

Table FFR 3: Recipient Share Detail - Initial

State
New Jersey Department of Labor and Workforce Development
Division of Finance and Accounting
P.O. Box 955
Trenton, NJ 08625
806418430
216000928
GVFA 06220WIOA2
Cash
From:
To:
From:
To:
NameAmount
Supplemental Workforce Trust Fund-Literacy10972224.00
0.00
0.00
0.00
0.00
b. Local Cash1494337.00
c. Total Cash (add all rows in 7a and 7b)12466561.00
d. Total Cash and In-Kind (add row 7c and total in box 8) (This amount must equal the amount reported in row 10j 'Total Recipient Share of Expenditures', column 10f 'Total' of the FFR.)0.00
State:0.00
Local:0.00
Total in-kind contributions:0.00
I agree and certify this document
On
Tue, 12/29/2020 - 13:35

Table FFR 1: Federal Financial Report - Initial

SC Department of Education
1429 Senate Street
Columbia, SC 29201
69313609
57000286
H63010101020
Cash
From:
To:
From:
To:
10. Transactions(a) State Administration(b) State Leadership(c) Programs of Instruction ABE levels 1-4 and ESL levels 1-6(d) Programs of Instruction ABE levels 5-6(e) Training(f) Total
Federal Cash:
a. Cash Receipts275058.40498736.62000773795.02
b. Cash Disbursements275058.40498736.62000773795.02
c. Cash on Hand (line a minus b)0.000.000.000.000.000.00
Federal Expenditures and Unobligated Balance:
d. Total Federal funds authorized9470459.00
e. Federal share of expenditures
Basic Grant457266.101143165.256639503.77905386.8809145322.00
Integrated English Literacy and Civics Education (Sec 243)03251370325137.00
Corrections Education (Sec. 225)432838.2059023.390491861.59
One-Stop Infrastructure Costs (Local Option)9654.749654.74
One-Stop Infrastructure Costs (State Option)00.00
f. Federal share of unliquidated obligations000000.00
g. Total Federal share457266.101143165.256964640.77905386.880.009470459.00
h. Unobligated balance of Federal funds (line d minus g)0.00
Recipient Share:
i. Total recipient share required (i.e. Maintenance of Effort)00121800002320000014500000.00
j. Recipient share of expenditures0012180000.002320000.00014500000.00
One-Stop Infrastructure Costs0626.94626.94
Integrated English Literacy and Civics Education (Sec 243)00000.00
Corrections Education (Sec. 225)000000.00
k. Remaining recipient share to be provided (line i minus j)0.000.000.000.000.000.00
Program Income:
l. Total program income earned529926.6072262.720602189.32
m. Program income expended529926.6072262.720602189.32
n. Unexpended program income (line l minus line m)000.000.000.000.00
11. Indirect Expensea. Typeb. Ratec. Period FromPeriod Tod. Basee. Amount Chargedf. Federal Share
Restricted Provisional0.030007/01/201909/30/2020842674.3325280.2325280.23
0.00000.000.000.00
g. Totals:842674.3325280.2325280.23
I agree and certify this document
On
Tue, 02/09/2021 - 17:14
Subscribe to 2019 (July 1, 2019 - June 30, 2020)