75-3073. Imprest funds; periodic reconciliation statement; reimbursement of losses; replenishing fund. At the close of each month, or more frequently if necessary, the state agency shall prepare an itemized and detailed reconciliation and statement of payments for each imprest fund authorized for the state agency under this act. The detailed statement of payments shall be supported by itemized receipts for each expenditure and submitted with a voucher to the director of accounts and reports for the purpose of replenishing the imprest fund to its original amount. Upon receiving the statement and voucher, the director of accounts and reports shall draw a warrant against the fund from which payments would have been paid if the same had not been paid from the imprest fund. The director of accounts and reports may authorize a reconciling entry of not to exceed $100 in any reconciliation statement for an imprest fund and, in cases of extraordinary losses resulting from robbery, burglary or other disappearances infrequently occurring, an imprest fund may be reimbursed by the state agency from any appropriations available therefor, but such reimbursements shall not exceed a total amount of $2,000 in any fiscal year.
History: L. 1976, ch. 413, § 17; L. 1987, ch. 334, § 2; L. 2004, ch. 31, § 2; July 1.
Structure Kansas Statutes
Chapter 75 - State Departments; Public Officers And Employees
Article 30 - General Provisions
75-3001 Beginning of political year; commencement of terms of state officers.
75-3024 Contingent or other funds; accounts; embezzlement.
75-3025 Contracts for excessive expenditures; penalty.
75-3026 Accounts of expenditures; penalty.
75-3027a Official written communications of state agencies; required information; definitions.
75-3046 Reports of state agencies; preparation required; contents; availability.
75-3048 State agency publications; distribution; sale at cost, exception; disposition of proceeds.
75-3048a Reports of state agencies; "publication" defined.
75-3048b Same; central duplicating to provide library with copies of certain publications.
75-3048c Same; agency to provide library with copies of certain publications.
75-3050 Applications and contracts for federal or other nonstate funds; notice.
75-3051 Same; notification of amendment.
75-3053 Use of petty cash funds.
75-3054 Reconciliation and statement of payments; restoration of funds.
75-3072 Imprest funds; authorized uses; limitations.
75-3075 Same; establishment by state agencies.
75-3076 Same; moneys, where kept; disbursements; cancellation of certain checks.
75-3078 Same; change funds; limits; shortages, reconciliation, reimbursement; authorized uses.
75-3079 Costs of frivolous claim or action assessed against state agency; report; payment.
75-3080 Employee use funds; establishment; accounting procedures.
75-3081 Same; sources of revenue.
75-3082 Federal cash management fund established.
75-3085 Same; successor of secretary and appointed designees.
75-3086 Same; transfer of funds.
75-3087 Same; transfer of property, property rights and records.
75-3088 Same; continuation of legal action.
75-3089 Same; transfer of officers and employees.
75-30,100 Payments to state agencies and educational institutions; acceptable methods of payment.