All moneys collected by the board under the provisions of K.S.A. 76-6a04 and 76-6a05, and amendments thereto, shall be remitted to the state treasurer, in accordance with the provisions of K.S.A. 75-4215, and amendments thereto. Upon receipt of each such remittance, the state treasurer shall deposit the entire amount in the state treasury. Every such remittance shall be accompanied by a detailed statement showing the amount of such remittance which has been collected from and for the maintenance, operation, and cost of construction and equipment, including interest thereon, of each particular building. The state treasurer shall credit the amount collected from and for each particular building to a separate fund. From the amount credited to the fund of a particular building, the board shall pay: First, the expenses of the maintenance and operation of such building; and the remainder thereof shall be paid to the nonprofit corporation which constructed such building until the cost of construction and equipment and interest thereon be paid.
The director of accounts and reports shall draw warrants upon the treasurer of state against the funds created by this section upon the filing of duly itemized and verified vouchers approved by the secretary of the board. Nothing contained in this section shall be construed as placing in the state treasury any money collected under this act and the legislature hereby declares that it does not intend to make such moneys subject to the provisions of section 24 of article 2 of the Kansas constitution.
K.S.A. 76-6a06