Finance Department

Finance Department

The Finance Department supports the day-to-day business operations of Grant Parish Public Schools. The department works with schools, district staff, vendors, and community partners on payroll, accounts payable, purchasing, reimbursements, property inventory, budget support, and financial reporting.

This page is primarily for district and school staff who need finance contacts, forms, purchasing information, reimbursement guidance, budget transparency links, bid information, or E-Rate postings. Staff should contact the Finance Department before submitting a form if they are unsure which document or procedure applies.

Quick Access

Use these links to jump to common Finance Department information.

Finance Department Staff

All calls are answered through the Grant Parish Public Schools central office at 318-627-3274. Use the extensions below to reach specific Finance staff.

Financial Forms

Download financial forms for district and school staff. Forms are organized by who uses them. Contact the Finance Department before submitting if you are unsure which form applies to your situation.

For All District and School Staff
PDF

Direct Deposit Authorization Form

Use to set up or update direct deposit for your GPSB paycheck. Attach a deposit slip that clearly shows your bank routing number and account number. Submit the completed form and deposit slip to payroll or business office staff.

Download PDF →
PDF

Employee Absence & Substitute Pay Form

Monthly form recording employee absences, leave reason codes, and substitute information. Complete one form per employee per month. Requires employee and principal signatures. Submit at the end of each month. Reason codes and class codes are printed on the form for reference.

Download PDF →
Excel

Expense Statement

Use to request reimbursement for approved out-of-pocket expenses, including travel and conference costs. Download the Excel file, complete all fields, and submit to the Business Office with supporting receipts and any required approvals.

Download Excel →
PDF

Credit Card Usage Form

Required documentation for any purchase made with a district-issued credit card. Attach a receipt, order copy, agenda, or hotel bill and submit to Accounts Payable. Sign the receiving ticket when goods arrive and turn it in to Accounts Payable.

Download PDF →
PDF

Materials and Supply Requisition Form

Use to request the purchase of materials, supplies, or equipment through the district Purchasing Department. Include vendor information, item descriptions, quantities, unit prices, and charge codes. Supervisor approval signature is required before submission.

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PDF

Contracted Services Form

Documents time worked and payment owed to a contracted, non-employee individual. Record each date, hours worked, and payment amount. Must be signed by the payee and the supervising principal or supervisor. Note: employees must be paid through central office payroll — do not use this form for employees.

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PDF

Payment to Individual for Services — Form AP1099

Required when paying a non-employee individual for services rendered. Needed for IRS reporting purposes. Include the individual’s SSN or Tax ID number; taxes must be withheld if not provided. Attach a copy of the check and the invoice. Submit the completed form, check copy, and invoice to the Business Office weekly.

Download PDF →
For School Bookkeepers and Principals
PDF

Bookkeeping Request Form

Teachers use this form to request a reconciliation report or account balance from their school bookkeeper. Specify the account and date range needed. Submit at least one full business day before the information is needed — same-day requests cannot be accommodated.

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PDF

Check Request Form

Use to request a check from a school activity account. Provide the account name and number, payee name and address, payment description, and amount. Requires bookkeeper and principal signatures before the check can be issued.

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PDF

School Collection Log

Records all money collected from students for any purpose. Enter each student’s name, amount collected, and payment method. Both the collecting teacher and the school bookkeeper must verify and sign the totals. The deposit amount must match the total collected.

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PDF

Ticket Sale Reconciliation

Complete after any ticketed school event to reconcile ticket sales, complimentary tickets issued, and actual cash collected. Record general admission and student ticket rolls separately. Two signatures required. The form must balance before submission.

Download PDF →
PDF

Property Inventory Change Form

Submit one form per item to report any change to district-owned property. Complete only the section that applies: adding new property, reporting a location change, disposing of property (discard, sale, theft, or trade-in), or re-tagging an item. Principal signature and date required for disposals and location changes. Contact the Finance Department for questions about asset classification or charge codes.

Download PDF →
Fundraising — Faculty Sponsors and Principals
PDF

Request for Fund Raiser

Submit before beginning any fundraising activity. Describe items to be sold, anticipated dates, expected profit, and purpose. Requires faculty sponsor and club president signatures. The principal must approve the request before any fundraising activity begins.

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PDF

Fundraising Activity Final Report

Complete after the fundraiser is finished. Documents total revenue, expenses, net profit, and profit percentage (district target: 30%–40%). Verify all deposits and checks with the school bookkeeper and attach a bookkeeper printout. Faculty sponsor and bookkeeper signatures required.

Download PDF →
Other Finance Requests
PDF

Check Reissuance Request Form

Use this form when a check issued by Grant Parish School Board was not cashed within the 90-day valid period and a replacement check is needed. This may apply to district staff or outside payees. Submit the completed form to the Business Office and include the original check if it is available.

Download PDF →

Budget, Bids, E-Rate, and Fraud Reporting

Use these resources to find public finance information, vendor bid opportunities, E-Rate postings, and fraud reporting information.

Budget & Financial Transparency

Budget Documents and Audit Reports

The district’s adopted budget, operational budget, annual audit report, Act 370 semiannual expenditure reports, and Louisiana School Transparency Project information are posted on the Budget and Financial Transparency page.

View Budget & Transparency Page →
Vendor Information

Current Bids — Bid Express

Grant Parish School Board posts public bids on Bid Express, an online bid management platform provided by Infotech. Vendors and contractors may view current solicitations and submit responses through the platform.

Visit Bid Express →
E-Rate

E-Rate Filings and Competitive Bidding

Grant Parish School Board participates in the federal E-Rate program. Current Form 470 competitive bidding documents and related filings will be posted here when available.

No active E-Rate postings at this time.
Public Funds

Report Suspected Fraud or Misuse of Public Funds

To report suspected fraud, waste, or abuse of public funds related to Grant Parish Public Schools or any Louisiana public entity, use the Louisiana Legislative Auditor’s official reporting portal. Reports may be submitted anonymously.

Report Fraud (LLA) →

Contact the Finance Department

Contact the Finance Department for questions about financial forms, payment processing, purchasing, payroll, expense reimbursements, or property inventory. Please have your account number or charge code ready when calling about a specific transaction.

Main Office:
318-627-3274

Office Hours
Tuesday – Friday, 7:30 a.m. – 4:30 p.m.
Mailing Address
512 Main Street / P.O. Box 208
Colfax, Louisiana 71417
Finance Director
Farrah Edwards — Ext. 1126
Payroll
Alan Futrell — Ext. 1111
Accounting
Briana Hamilton — Ext. 1116
Accounts Payable & Purchasing
Darlene Anthony — Ext. 1113