Guidance on State General Supervision Responsibilities under Parts B and C of the IDEA (July 24, 2023)
Home » Policy Documents » Guidance on State General Supervision Responsibilities under Parts B and C of the IDEA (July 24, 2023)
Topic Areas: Free Appropriate Public Education
Guidance on State General Supervision Responsibilities under Parts B and C of IDEA. July 24, 2023 (PDF)
PDFView PDF
Guidance on State General Supervision Responsibilities under Parts B and C of IDEA. July 24, 2023 (PDF)
S TAT E G ENERAL S UPERVISION
R ESPONSIBILITIES
UNDER
P
A RT S B AND C OF THE
IDEA
M ONITORING , T ECHNICAL A SSISTANCE , AND E NFORCEMENT
OSEP QA 23 -01
U.S. D EPARTMENT OF EDUCATION
OFFICE OF SPECIAL EDUCATION AND
R
EHABILITATIVE SERVICES
J
ULY 24, 2023
400 MARYLAND AVE. S.W., WASHINGTON, DC 20202 -2800
www.ed.gov
The Department of Education’s mission is to promote student achievement and preparation for global competitiveness
by fostering educational excellence and ensuring equal access.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
i
The U.S. Department of Education’s (Department) Office of Special Education and
Rehabilitative Services (OSERS) has received multiple requests from a diverse group of
stakeholders asking the Department for updated and consolidated guidance interpreting the
general supervision requirements
of States
1 under the Individuals with Disabilities Education Act
(IDEA). IDE A Part B requires that children with disabilities, ages three through 21,
2 receive a
free appropriate public education ( FA P E ) . I DE A Part C requires States to make available early
intervention services to infants and toddlers with disabilities and their families. This guidance
applies to S tates (the State educational agency (SEA) under IDEA Part B Section s 611 and 619
and the State l ead agency (LA) under IDEA Part C) that are responsible for implementing a
general supervision system. State general supervision system s must include local educational
agencies (LEAs)
3 under Part B 4 and early intervention service (EIS) programs and providers 5
under Part C.
6 With this guidance, States will have the information necessary to exercise their
general supervision responsibilities under IDEA and ensure appropriate monitoring, technical
assistance ( TA ) , and enforcement regarding local progr ams. In addition, this guidance reaffirms
the importance of general supervision and the expectation that monitoring the implementation of
IDEA will improve early intervention and educational results and functional outcomes for
children
7 with disabilities and their families .
1 As used in this document, the term “State” under Part B refers to the SEA in each of the 50 States, the District of
Columbia, the Commonwealth of Puerto Rico, each of the outlying areas, the freely associated State s, and the
Secretary of the Interior responsible for general supervision of LEAs under 20 U.S.C. § 1412(a)(11) and
34 C.F.R. § 300.149. The term “State” under Part C refers to the LA in each of the 50 Sta tes, the District of
Columbia, the Commonwealth of Puerto Rico, the four outlying areas and jurisdictions of Guam, American
Samoa, the United States Virgin Islands, and the Commonwealth of the Northern Mariana Islands, and the
Secretary of the Interior res ponsible for general supervision of EIS providers, programs, and activities under
20 U.S.C. § 1435(a)(10)(A) and 34 C.F.R. § 303 .120(a) .
2 The obligatio n to make FAPE available does not apply t o children with disabilities aged 3, 4, 5, 18, 19, 20, or 21 to
the extent those ages are outside the public education age limit under State law or practice, or the order of any
court. 34 C.F.R. § 300.102(a)(1). The FAPE obligation also does not apply to c hildren with disabilities who have
graduated from high school with a regular high school diploma. 34 C.F.R. § 300.102( a)(3).
3 The term “LEA” is defined in 34 C.F.R. § 300. 28. “Public agency” is defined in 34 C.F.R. § 300.33 to include the
SEA, LEAs, educational services agencies (ESAs), nonprofit public charter schools that are not otherwise
included as LEAs or ESAs and are not a school of an LEA or ESA, and any other political subdivisions of the
State that are responsible for providing education to children with disabilities. To make this document more user -
friendly, OSEP use s, as appropriate, the term “LEA” in place of “public agency” as referenced in 34 C.F.R. §§
300.120 and 300.600(b)(2) , and in place of “educational program for children with disabilities administered
with in the State” as referenced in 34 C.F.R. § 300.149(a ).
4 20 U.S.C. § 1412(a)(11) and 34 C.F.R. § 300.149.
5 The term “EIS provider” is defined in 34 C.F.R. § 303.1 2. “EIS provider” is different from the term “EIS
program ,” which is defined in 34 C.F.R. § 303 .11 as the entity designated by the LA for reporting performance in
the State Performance Plan/Annual Performance Report (SPP/APR) under 34 C.F.R. §§ 303. 700 through 303.70 2.
6 20 U.S.C. § 1435(a)(10)(A) and 34 C.F.R. § 303.120(a) .
7 This document refers to “children” and “children with disabilities” to mean both “infants and toddlers with
disabilities” or “infants, toddlers , children and youth with disabilities” under Parts B and C of the IDEA.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
ii
This guidance incorporates longstanding policy and supersedes
the following three previously
issued guidance documents:
• Frequently Asked Questions Regarding Identification and Correction of Noncompliance
and Reporting on Correction in the State Performance Plan/Annual Performance Report
(SPP/APR) (Sep. 3, 2008);
• Office of Special Education Programs (OSEP) Memorandum 09-02: Reporting on
Correction of Noncompliance in the Annual Performance Report Required under Sections
616 and 642 of the Individuals with Disabilities Education Act (Oct. 17, 2008)
(OSEP Memo 09-02) ; and
• Questions and Answers on Monitoring, Technical Assistance, and Enforcement (Revised
Jun. 2009).
In addition, this guidance incorporates other longstanding interpretations reflected in OSEP’s
monitoring, determinations process, policy letters , and grant documentation to address common
questions that OSEP has received from parents, States , local programs and other stakeholders.
OSEP is further c larifying or expanding positions in the following three areas :
• R
EASONABLY DESIGNED GENERAL SUPERVISION SYSTEMS —
OSEP is clarifying that, as part of a State’s general supervision system , a State may not
ignore credible allegations about potential noncompliance, to ensure the timely
identification of noncompliance. State s should ensure all LEAs or EIS program s
8 are
monitored at least once within the six-year cycle of the State’s SPP/APR, presumptively
implementing a reasonable timeframe for monitoring. (See Questions A-11 and B-2.)
• T
IMELINE CONSIDERATIONS FOR IDENTIFICATION OF NONCOMPLIANCE —
OSEP is articulating reasonable timelines for identifying noncompliance and issuing a
written notification of noncompliance (i.e., a finding).
9 (See Questions B-2 and B-7.)
• C
ORRECTION OF CHILD -S PECIFIC NONCOMPLIANCE —
OSEP has had a longstanding position on how States demonstrate they have verified
correction of individual child-specific noncompliance, including the State’s
responsibilities to enforce a State complaint or due process hearing decision when a child
leaves the jurisdiction of an LEA or EIS program or provider. OSEP is now indicating
8 See 34 C.F.R. § 303.11 for the definition of “EIS program,” which, as noted above, is defined by the LA for
reporting performance in the annual SPP/APR and which is different from the “EIS provider” which more broadly
encompasses all entities and individuals that provided Part C services and is defined in 34 C.F.R. § 303.1 2.
9 OSEP use s the terms “written notification of noncompliance , “written finding of noncompliance,” “identified
noncompliance,” or “finding” interchangeably within this document to mean the State’s “identification of
noncompliance” that starts the one -year correction timeline, consistent with 34 C.F.R. §§ 300.600(e) and
303.700(e).
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
iii
that
State s and their LEAs or EIS programs or providers must demonstrate that they
verified correct ion of each individual case of the previously noncompliant files or
records, rather than using a subset of such records. (See Question B -15.)
Other key topics in this guidance incorporate longstanding policy and include public reporting of
State , LEA , and EIS program performance ; enforcement actions; and State responsibilities for
general supervision during disasters.
OSEP is issuing this guidance to better inform SEAs, LAs, LEAs, and EIS pro grams and
providers of their responsibilities. Parents who want additional support in understanding IDEA’s
monitoring, TA and enforcement provisions, or the rights afforded to children with disabilities ,
may contact the Parent Training and Information Center (PTI ) in their area . See
https://w ww.parentcenterhub.org/find-your- center/. The Department provides funding to PTIs to
ensure that parents and families of children with disabilities receive impartial training and
objective information to help improve outcomes and raise expectations for their children. P arents
and families may also wish to access the Parents and F amilies resource page on t h e IDE A
website , which brings together Department -funded centers and programs, and additional
information of interest for parents and families. See https://sites.ed.gov/idea/parents-families/.
The questions and answers in this document are not intended to be a replacement for careful
study of IDEA and its implementing regulations.
10 IDEA, its implementing regulations, and
other important documents related to IDEA and the regulations are found at:
https://sites.ed.gov/idea .
10 The Department has d etermined that this document provides significant guidance under the Office of Management
and Budget’s Final Bulletin for Agency Good Guidance Practices, 72 Fed. Reg. 3432 (Jan. 25, 2007). Except for
any statutory or regulatory requirements described in this guidance, this significant guidance is nonbinding and
does not create or impose new legal requirements. For further information about the Department’s guidance
processes, please visit: https://www2.ed.gov/policy/gen/guid/significant -guidance.html .
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
iv
C ONTENTS
A. STATE GENERAL SUPERVISION RESPONSIBILITIES ............................................. 1
Question A-1: What is general supervision? ........................................................................
.................................... 1
Question A -2:
What does OSEP consider to be the necessary components of a reasonably designed State
general supervision system? ........................................................................
...................................... 2
Question A -3: What are integrated monitoring activities? ........................................................................
............... 3
Question A -4: May States limit the scope of their general supervision activities to only the IDEA
requirements included in the State’s annual SPP/APR submission (i.e., the SPP/APR
indicators and da ta reported to the Department under IDEA Sections 616 and 642)? ...................... 5
Question A -5: How should the State use its data system as a com ponent of an effective general
supervision system? ........................................................................
.................................................. 5
Question A -6: What are a State’s responsibilities for ensuring compliance with IDEA and OMB
Uniform Guidance requirements? ........................................................................
............................. 6
Question A -7: What role does the information from the State’s dispute resolution system play in a
State’s reasonably designed general supervision system? ................................................................. 7
Question A -8: What are ways States can meet their child find responsibilities, particularly regarding
specific populations? ........................................................................
................................................. 8
Question A -9: What are a State’s general supervision responsibilities for addressing significant
disproportionality under 34 C.F.R. §§ 300.646 and 300.647? ........................................................... 9
Question A -10: Which educational programs, agencies, institutions, organizations, or EIS providers must
a State monitor to fulfill its general supervision re sponsibilities? .................................................. 11
Question A-11: How frequently should a State monitor its LEAs or EIS programs or providers? .......................... 11
Question A-12: How should a State make its monitoring cycle and results available to the public? ....................... 11
Question A-13: How should a State involve stakeholders, including parents, children with disabilities,
and local -level staff in its monitoring activities? ........................................................................
.... 12
Question A-14: Is a State required to exercise its general supervision authority during disasters (e.g.,
human- made, health -related, or natural)? ........................................................................
............... 12
B. IDENTIFICATION AND CORRECTION OF NONCOMPLIANCE ........................... 13
Question B-1: What is an “area of concern”? ........................................................................
................................. 13
Question B-2: What actions must a State take when made aware of an area of concern with an LEA or
EIS program’s or provider’s implementation of IDEA? ................................................................. 13
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
v
Question B -3: What type and amount of information should the State review to confirm LEA or EIS
program or provider compliance with IDEA requirements? ........................................................... 14
Question B-4: What does the State’s “identification of noncompliance” (i.e., a finding) mean as required
under 34 C.F.R. §§ 300.600(e) and 303.700(e)? ........................................................................
..... 14
Question B-5: How must a State notify LEAs or EIS programs or providers of any identified
noncompliance? ........................................................................
...................................................... 15
Question B-6: What are the elements of a written notification of noncompliance (i.e., a finding)? ...................... 15
Question B-7: How soon after a State determines noncompliance must it provide a written notification
of noncompliance (i.e., a finding) to the LEA or EIS program or provider? ................................... 15
Question B-8: May a State use a threshold of less than 100 percent compliance when determining an
LEA or EIS program’s or provider’s compliance with IDEA requirements? .................................. 16
Question B-9: Must the State issue a finding and require correction if, as part of the State’ s monitoring
system, an LEA or EIS program or provider submits a self- assessment or self-review that
reflects noncompliance with an IDEA requirement? ....................................................................... 16
Question B-10: What is the standard for correction of noncompliance? .................................................................. 17
Question B-11: What is “pre -finding correction?” ........................................................................
........................... 17
Question B-12: Must the State issue a finding if the LEA or EIS program or provider demonstrates “pre -
finding correction?” ........................................................................
................................................ 18
Question B-13: What is the timeline f or correcting noncompliance, i.e., demonstrating timely correction,
under the IDEA? ........................................................................
..................................................... 18
Question B-14: What should the State consider when verifying the correction of noncompliance? ........................ 18
Question B-15: How must a State verify that each individual case of child- specific noncompliance was
corrected? ........................................................................
................................................................ 19
Question B-16: What steps must a State take to verify an LEA or EIS program’s or provider’s correction
of a fiscal finding of noncompliance with the OMB Uniform Guidance o r IDEA’s fiscal
requirements? ........................................................................
.......................................................... 20
Question B-17: What factors should a State consider if an LEA or EIS program or provider has
longstanding noncompliance with the IDEA requirements? ........................................................... 21
Question B-18: How should States count and track written notifications of noncompliance identified
through the State’s system of general supervision? ........................................................................
. 21
C. STATE PERFORMANCE PLAN/ANNUAL PERFORMANCE REPORT ................. 23
Question C-1: What must a State include in its annual SPP/APR submission related to its system of
general s upervision? ........................................................................
................................................ 23
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
vi
Question C -2: How does OSEP distinguish “State monitoring” from “State database” when used as the
data source for specific SPP/APR compliance indicators? ............................................................. 23
Question C-3: Which year’s data must the State use when reporting on the correction of findings of
noncompliance in the SPP/APR? ........................................................................
............................ 24
Question C-4: How should the State report on the identification and tim ely correction of findings of
noncompliance in its SPP/APR? ........................................................................
............................. 24
Question C-5: How does the State report in its SPP/APR on any subsequent correction of
noncompliance by LEAs and EIS programs or providers? ............................................................. 25
Question C-6: What review of data and other information related to race and ethnicity do the SPP/APR
indicators require States and their LEAs or EIS programs or providers to conduct? ...................... 25
Question C-7: How may a State identify and ensure correction of noncompliance with the requirements
related to SPP/APR Indicator B -4B (Suspension/Expulsion) and Indicators B -9 and B -10
(Disproportionate Representation)? ........................................................................
........................ 28
Question C-8: What are OSEP’s minimum expectations for States in reporting annually to the public on
the performance of each LEA or EIS program locat ed in the State on the targets in the
State’s performance plan? ........................................................................
....................................... 29
Question C-9: May States report intermediate unit (or regional) information rather than LEA or EIS
program information where the “n” size (total population of children with
disabilities/infants and toddlers with disabilities measured by the indicator in the LEA or
EIS program) is too small to report data for an LEA or EIS program (e.g., the LEA’s one
high school has two graduates with disabilities)? ........................................................................
... 30
Question C-10: What are the requirements for making the State’s SPP/APR available to the public? .................... 30
Question C-11: How long must a State retain its current SPP/APR on its website? ................................................ 30
D. STATE ANNUAL DETERMINATIONS ........................................................................
.. 31
Question D-1: When making determinations about the annual performance of an LEA or EIS program,
must States use the same determination categories that OSEP uses with States? ........................... 31
Question D-2: What factors must a State consider when making annual determinations of the
performance of LEAs or EIS programs ? ........................................................................
................. 31
Question D-3: What other factors may a State consider when making annual determinations of the
performance of LEAs or EIS p rograms? ........................................................................
................. 31
Question D-4: Does IDEA provide LEAs or EIS programs with the opportunity for a hearing regarding
the annual determin ation? ........................................................................
....................................... 32
Question D-5: Are States required to issue annual determinations for their LEAs or EIS programs during
disasters (e.g., human- made, health -related, or natural)? ................................................................ 32
Question D-6: How and when must a State inform an LEA or EIS program of the State’s
determinations? ........................................................................
....................................................... 33
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
vii
Question D -7: Must a State make its annual determinations for each LEA or EIS program available to
the public? ........................................................................
............................................................... 33
E. STATE ENFORCEMENT THROUGH DETERMINATIONS AND
OTHER METHODS ........................................................................
..................................... 34
Question E-1: What are the enforcement actions that a State must, or may, impose under IDEA if it
makes a determination that an LEA or EIS program does not m eet the requirements of
IDEA? ........................................................................
..................................................................... 34
Question E-2: Under what circumstances must a State propose to withhold IDEA funds from an LEA or
EIS program after making an annual determination? ...................................................................... 35
Question E-3: May a State take enforcement action unrelated to the annual determination for an LEA or
EIS program? ........................................................................
.......................................................... 35
Question E-4: What steps must an SEA take when proposing to withhold IDEA funds from an LEA’s
IDEA Part B grant? ........................................................................
................................................. 35
Question E-5: What steps must the LA take before withholding IDEA Part C funds? .......................................... 36
Question E-6: What are other enforcement actions a State could consider when previous enforcement
actions have been unsuccessful in ensuring correction of noncompliance? .................................... 36
SUMMARY ........................................................................
..........................................................37
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
1
A. S TAT E G ENERAL SUPERVISION R ESPONSIBILITIES
Question A -1: What is general supervision?
Answer: As a condition of receiving IDEA funds, the State agency (which is the SEA under
IDEA Part B Section 611 and Section 619 and the State LA under IDEA Part C) must have a
general supervisio n system. This system includes multiple components such as monitoring to —
(1) improve educational results and functional outcomes for infants and toddlers with disabilities
and their families and children with disabilities; and (2) ensure that LEAs and EIS programs and
providers meet the requirements under IDEA. 20 U.S.C. §§ 1412(a)(11), 1416(a), 1435(a)(10)
and 1442; 34 C.F.R. §§ 300.149, 300.600- 300.604, and 300.608; 34 C.F.R. §§ 303.120, and
303.700 through 303.708.
• A State’s general supervision responsibility over its local programs is a longstanding
IDEA requirement and broader than its monitoring responsibilities under IDEA S ections
616 and 642.
11 I D E A’ s general supervision responsibility must also be read with other
Federal monitoring r equirements, including those under the Office of Management and
Budget ( OMB) Uniform Guidanc e ,
12 the General Education Provisions Act (GEPA) in
20 U.S.C. § 1232d(b)(3)(A), and the Education Department General Administrative
Regulations (EDGAR) in 34 C.F.R. Part 76 .
Under Part B, SEAs must carry out thei r general supervisory responsibilities to ensure that Part B
requirements are implemented and that each educational program for children with disabilities
meets the S E A’ s educational standards (including the Part B requirements). See
34 C.F.R. §§ 300.149, 300.600-300.604, and 300.608. Generally, these responsibilities are all
assigned to the SEA. However, IDEA permits the Governor, or another individual pursuant to
State law, to assign to any public agency in the State the responsibility to ensure that Part B
requirements are met for students with disabilities who are convicted as adults under State law
and incarcerated in adult prisons. 34 C.F.R. § 300.149(d).
The SEA must monitor implementation of IDEA Part B requirements , with a primary focus on
improving educational results and functional outcomes for all children with disabilities and
ensuring LEAs meet the Part B program requirements. 34 C.F.R. § 300.600(b). Further , SEAs
must make annual determinations about the performance of each of its LEAs and enforce Part B
requirements . 34 C.F.R. §§ 300.600(a)(2)- (a)(3).
Similar ly, under Part C, LAs must carry out their general supervisory responsibilities , which are
set forth in 34 C.F.R. §§ 303.120, and 303.700 through 303.708. The LA is responsible for the
11 IDEA Sections 612(a)(11) and 635(a)(10) codified at 20 U.S.C. §§ 1412(a)(11) and 1435(a)(10)(A);
34 C.F.R. §§ 300.149 and 303.120(a).
12 The OMB Uniform Administrative Requirements, Cost Principles, and Audit Requirements for Federal Awards
(commonly called "OMB Uniform Guidance”) is codified in 2 C.F.R. Part 200 and applies to all Federal grant
recipients, including States receiving IDEA funds.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
2
general administration and supervision of all EIS programs and providers as well as
activities to
ensure the State complies with the requirements of IDE A Part C. This includes monitoring the
implementation of IDEA Part C requirements by each agency, institution, organization, and EIS
program or provider located in the State used to carry out Part C. The primary focus of the
State’s monitoring activities must be on improving early intervention results and functional
outcomes for infants and toddlers with dis abilities. 34 C.F.R. § 303.700(b). Additionally, LA s
must make annual determinations about the performance of each EIS program and enforce Part C
requirements . 34 C.F.R. § 303.700(a)(2) and (3).
Question A -2: What does OSEP consider to be the necessary components of a
reasonably designed State general supervision system?
Answer: A reasonably designed State general supervision system should include eight integrated
components.
13 These components include the following:
1) Integrated monitoring activities ;
2) Data on processes and results;
3) The SPP/APR;
4) Fiscal management ;
5) Effective dispute resolution;
6) Targeted TA and professional development;
7) Policies , procedures, and practices resulting in effective implementation ; and
8) Improvement, correction, incentives, and sanctions.
While each State has the flexibility to develop its own model of general supervision and may
elect to address the underlying Federal requirements in other ways, it is OSEP’s longstanding
presumption that an effective system of general supervision, used to monitor LEAs and EIS
programs and providers, would at a minimum include these eight components.
To be effective, these components should operate as an integrated system to connect, interact,
articulate, and inform one another. The overall goal is for the State’s general supervision system
to effectively address —
13 OSEP first presented the concept of an integrated system of general supervision at its 2004 National
Accountability Conference. Developing and Implementing an Effective System of General Supervision, National
Center for Special Education Accountability Monitoring ( Jan. 2007). See also Resources for Grantees — DMS
and the DMS 2.0 Framework with Evidence and Intended Outcomes (2021).
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
3
1)
Improving early intervention and educational results and functional outcomes for infants
and toddlers with disabilities and their families , and children with disabilities;
2) Ensuring that LEAs or EIS programs or providers meet the program requirements of the
IDEA, with a particular emphasis on those requirements and data that are most closely
related to improving educational results and functional outcomes for children with
disabilities, and early intervention results and functional outcomes for infants and
toddlers with disabilities; and
3) Ensuring that the State has a system that co llects and reports valid and reliable data.
14
INTEGRATED M ONITORING ACTIVITIES
Question A-3: What are integrated monitoring activities?
Answer: Integrated monitoring activities are a key component of a State’s general supervision
system. Specifically, integrated m onitoring activities are a multifaceted formal process or system
designed to examine and evaluate an LEA or EIS program’s or provider’s implementation of
IDEA with a particular emphasis on educational results, functional outcomes, and compliance
with IDEA programmatic requirements. Under IDEA Part B, the SEA must monitor the LEAs
located in the State in each of the following priority areas: the provision of FAPE in the least
restrictive environment (LRE); general supervision, including effective monitoring ; child find; a
system of transition services; the use of resolution meetings; mediation ; and disproportionate
representation of racial and ethnic groups in special education and related services, to the extent
the representation is the result of inappropriate identification. 34 C.F.R. § 300.600(d). Under
IDEA Part C, the LA must monitor each EIS program or provider located in the State in each of
the following priority areas: early intervention services in natural environments; general
supervision, including effective monitoring ; child find; a system of transition services; the use of
resolution sessions (if the State adopts Part B due process hearing procedures under
34 C.F.R. § 303.430(d)(2)); and mediation. 34 C.F.R. § 303.700(d). In addition, State integrated
monitoring activities should assess the equitable implementation of IDEA, through examination
of local policies, procedures, and evidence of implementation (or practices).
Integrated monitoring activities could include the following: • Interviewing LEA and local program staff, including specialized instructional support
personnel, onsite or virtually, and reviewing local policies, procedures and practices for
compliance and improved functional outcomes and results for children with disabilities .
14 20 U.S.C. § § 1412(a)(11), 1416(a), 1435(a)(10)(A) and 1442; 34 C.F.R. §§ 300.149, 300.600, 303.120 (a) and
303.700; 2 C.F.R. §§ 200.329 and 200.332.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
4
•
Conducting interviews and listening sessions with parents of c hildren with disabilities,
children with disabilities , and other stakeholders to learn about an LEA or EIS program’s
or provider’s implementation of IDEA, including functional outcomes and results.
• Analyzin g local child find data across the State to determine if there are significant
disparities in the groups or communities of children and families who are referred for
evaluation or provided services.
• Reviewing information collected through the State’s data systems relating to local
compliance with IDEA requirements, such as compliance with individualized education
program ( IEP) and individualized family service plan ( IFSP) meeting timelines,
evaluation and reevaluation timelines, content of IEPs and IFSPs, early childhood and
secondary transition, exiting , and other key IDEA provisions. This could include data
collected under IDE A Section 618 and other data sources available to the State.
• Examining and evaluating performance and results data on specific IDEA requirements,
such as early childhood outcomes, family outcomes and involvement, graduation and
drop-out, and other key IDEA provisions. This could include data collected under IDE A
Section 618 and other data sources available to the State.
• Analyzing child find data or other information to examine if there are communities where
there are limited referrals or if there are disparities in the economic status or race and
ethnicity of families referred to IDEA Parts B and C programs.
• Evaluating an LEA or EIS program’s or provider’ s policies, procedures and practices for
fiscal management, or reviewing local b udget and expenditure data for a particular year
to ensure that IDEA funds are distributed and expended in accordance with Federal fiscal
requirements.
• Examining information gleaned from the State’s dispute resolution system, including
State complaints and due process complaints. The State’s complaint resolution system is
a tool for States to identify and correct noncompliance as stated in Question A-7. Facts
determined through the State’s resolution of State complaints and by impartial hearing
officers when adjudicating due process complaints can provide the State with important
information about LEAs and EIS program’s or provider’ s implementation of IDEA
requirements.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
5
THE SPP/APR
Question A -4: May States limit the scope of their general supervision activities to only
the IDEA requirements included in the State’s annual SPP/APR
submission (i.e., the SPP/APR indicators and data reported to the
Department under IDEA Sections 616 and 642)?
Answer: No. As stated in Question A-2, an effective general supervision system should, at a
minimum, include the eight components identified above, only one of which is the SPP/APR.
Thus, solely relying on an LEA or EIS program’s performance on the SPP/APR indicato rs would
not constitute a reasonably designed general supervision system. W hile the SPP/APR indicators
were designed to measure important aspects of State compliance with , and performance under,
IDEA, some requirements related to the fundamental rights of children with disabilities and their
families are not represented in the indicators. For example, the SPP/APR does not measure the
extent to which children with disabilities are receiving the IDEA services as prescribed in their
IEPs or IFSPs , or the provision of IDEA services for children with disabilities residing in nursing
homes
15 or correctional facilities . 16 Additionally, under Part C, the State is responsible for
monitoring all EIS providers as well as activities to implement Part C, and not just EIS programs.
Thus, solely relying on an LEA’s or EIS program’s performance on SPP/APR indicators would
not constitute a reasonably designed general supervision system .
D ATA O N PROCESSES AND RESULTS
Question A -5: How should the State use its data system as a component of an effective
general supervision system?
Answer: States use data systems for a variety of purpo ses, including as a component of an
effective general supervision system. At a minimum, States must have data systems to collect
and report valid and reliable data under IDEA Sections 616, 618, and 642.
17 As part of its general
supervision system, a State must also consider how it will review the information in its data
system to determine compliance and reflect in its monitoring policies how that review of data
will be used to identify noncompliance. 34 C.F.R. §§ 300.600(e) and 303.700(e). The State
should ensure that its policies do not delay the identification of noncompliance until the
submission of SPP/APR data or the State’ s annual determination process. The State’s general
supervision system should be reasonably designed to ensure the State examines data c ollected
through its data system at regular intervals to determine LEA or EIS program or provider
compliance with IDEA requirements (e.g., monthly, quarterly, or annually). This includes
15 See OSEP’s Dear Colleague Letter on Children with Disabilities Residing in Nursing Homes (Apr . 26, 2016) .
16 See OSEP’s Dear Colleague Letter on Children with Disabilities in Correctional Facilities (Dec. 5, 2014).
17 See IDEA Section 618, 34 C.F.R. §§ 300.640- 300.646 and 303.720- 303.724. See IDEA Section 616,
34 C.F.R. §§ 300.600- 300.602 and 303.700- 303.702. See also 34 C.F.R. §§ 300.157, 300.160, 300.211 and
303.124, and 303.720 through 303.724.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
6
reviewing
data collected to meet the IDEA reporting requirements under the SPP/APR and IDEA
S ection s 616 and 642. States should inform LEAs or EIS programs or providers of when and
how the data system is being used for the purposes of determining compliance and identifying
noncompliance. As States use their data systems for integrated monitoring activities (see
Question A -3), they may also wish to review how the data system fits into the State’s general
supervision system, to make it most effective in ensuring compliance and improving functional
outcomes and results for children with disabilities .
FISCAL M ANAGEMENT
Question A-6: What are a State’s responsibili ties for ensuring compliance with IDEA
and OMB Uniform Guidance requirements?
Answer: In addition to IDEA’s monitoring requirements, the OMB Uniform Guidance requires
SEAs and LAs as Federal grantees to conduct monitoring. As the recipient of a Federal grant
award , in accordance with 2 C.F.R. § 200.329, SEAs and LAs are responsible for oversight of the
operation of Federal award -supported activities. Under that provision, t he SEA and LA must
monitor activities under the Federal award to ensure compliance with the applicable Federal
requirements and achievement of performance expectations , and State monitoring must cover
each program, function, or activity.
For programs with subrecipients such as subgrantees, the SEA and those LA s that subgrant
Part C funds must, among other activities : (1) evaluate each subrecipient’s risk of noncompliance
with Federal statutes, regulations, and the terms and conditions of the subaward (i.e., subgrants)
to determin e appropriate subrecipient monitoring; (2) m onitor the activities of the subrecipient as
necessary to ensure that the subaward is used for authorized purposes, in compliance with
Federal statutes, regulations, and the terms and conditions of the subaward, and that subaward
performance goals are achieved; and (3) issue a management decision for applicable audit
findings pertaining only to the Federal award provided to the subrecipient from the pass-through
entity as required by 2 C.F.R. §§ 200.332 and 200.521.
T he IDE A general supervision responsibilities under 34 C.F.R. § 300.149 also inclu de fiscal
monitoring. Under the IDEA Part C regulations in 34 C.F.R. § 303.120(a), States must include a
single line of responsibility in a LA designated or established by the Governor that is responsible
for: (1) the general administration and supervision of programs and activities administered by
agencies, institutions, organizations, and EIS programs or providers receiving assistance under
ID E A Part C; and (2) the monitoring of programs and activities used by the State to carry out
IDE A Part C to ensure compliance ( whether or not the programs or activities are administered by
agencies, institutions, organizations, and EIS providers that are receiving assistance under Part C
of IDEA ). The single line of responsibility includes both fiscal and programmatic requirements
of IDEA .
Unlike IDEA Part B, where SEAs must subgrant, IDEA Part C allows States flexibility to either
subgrant or contract when implementing the Part C program in accordance with State law and
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
7
administrative policies, as
long as the EIS provider meets Federal statutory and regulatory
requirements under 34 C.F.R. § 303.12. As a result, OSEP has observed a wide variety of
approaches in how LAs provide funds to or contract with EIS providers. OSEP notes that many
LAs utilize complex systems for contracting or otherw ise arrang ing for early intervention
services and access ing multiple payor sources to fund those services.
The Consolidated Appropriations Acts of 2021, 2022, and 2023 (Public Laws 116-260, 117 -103,
and 117 -328, respectively) provide LAs with the flexibility to use Federal fiscal year (FFY )
2021, FFY 2022, and FFY 2023 IDEA Part C funds to “make subgrants to LEAs, institutions of
higher education, other public agencies, and private nonprofit organizations to carry out activities
authorized by Section 638 of IDEA.” Any Part C State that utilizes this flexibility must meet the
same requirements listed above for Part B State s with subrecipients. Generally, subrecipients of
IDEA Part C grants must meet the OMB Uniform Guidance requirements for procurement in
2 C.F.R. §§ 200.318 through 200.327 and the requirements for equipment in 2 C.F.R. § 200.313.
SEAs must monitor IDEA Part B fiscal requirements such as the LEA’s compliance with IDEA’s
maintenance of effort provisions (34 C.F.R. §§ 300.203 through 300.205) and the LEA’s
expenditure of a proportionate share of IDEA funds to provide equitable services to children with
disabilities placed in priv ate schools by their parents consistent with 34 C.F.R. § 300.133. LAs
must monitor IDEA Part C fiscal requirements such as the EIS program or provider’s compliance
with the payor of last resort and system of payment provisions. 34 C.F.R. §§ 303.501 and
303.521.
EFFECTIVE D ISPUTE RESOLUTION
Question A -7: What role does the information from the State’s dispute resolution system
play in a State’s reasonably designed general supervision system?
Answer: Due process complaints and the resulting hearing decisions, and State complaints and
the SEA’s or LA’s decisions on those complaints, are an important source of compliance
information available to the State that should be considered and addressed as part of a reasonably
designed general supervision system. In reviewing complaints and decisions, a State may be able
to identify patterns that suggest systemic noncompliance by one or more LEAs or EIS programs
or providers with IDEA requirements or suggest that there may be State-wide patterns of
noncompliance. Where such patterns are present, the State, as part of its general supervision
system, must determine whether systemic noncompliance occurred or is occurring and ensure
correction in a timely manner. 20 U.S.C. §§ 1412(a)(11) and 1435(a)(10); 34 C.F.R. §§ 300.149
and 303.120.
For example, in the past school year, an SEA received a large number of due process complaints
filed by parents against the same LEA regarding the consistent failure to provide an independent
educational evaluation (IEE) at public expense upon the parents’ request in accordance with
34 C.F.R. § 300.502. The subsequent hearing decisions found violations of those requirements.
In addition to ensuring that each due process hearing decision is implemented , and any violations
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
8
corrected within the timeframe specified by the hearing officer
or, if no timeframe is provided,
within a reasonable time, the State must also examine each due process hearing decision to
determine if the decisio n identifies any procedural or substantive
18 violations of IDEA in the
LEA. In this example, the State now has information about a pattern of violations, strongly
suggesting systemic violations by this LEA. A reasonably designed general supervision system
must be designed to collect and analyze this information . The State must determine whether
systemic noncompliance is occurring and, if so, issue written findings of noncompliance and
ensure correction. Information gathered through a State’s dispute resolution system can also help
to identify areas of IDEA implementation for which the SEA or LA could decide to provide
Statewide guidance, training, or technical assistance, to improve implementation of specific
requirements throughout the State.
PRIORITY AREAS
Question A-8: What are ways States can meet their child find responsibilities,
particularly regarding specific populations ?
Answer
: States must ensure they meet their IDEA child find responsibilities by examining and
analyzing data and other information from their child find systems and conducting robust
monitoring to ensure compliance with related requirements .
The child find requirements in IDEA Part B
19 and Part C 20 require States to have in effect
policies and procedures that ensure all children with disabilities residing in the State who need
early intervention , special education and related services are identified, located, and evaluated,
regardless of the severity of the disability. The IDEA Part B and Part C statute and regulations
specifically identify many subpopulations where coordination with other organizations is critical
to an effective child find process. As examples, child find must include children who are
experiencing homelessness or are wards of the State, are highly mobile including migrant
children, or are English learners.
21 34 C.F.R. § 300.111(a)- (c). Pursuant to I DE A P art C , the
requirements in 34 C.F.R. § 303.302(b) mandate the identification of eligible children, including
Native American infants and toddlers residing on reservations; infants and toddlers who are
homeless, in foster care, and wards of the State; infants and toddlers identified under the Child
18 A substantive violation of IDEA occurs where the public agency fails to develop and implement an IEP
reasonably calculated to enable a child to make progress appropriate in light of the child’s circumstances. Endrew
F. v. Douglas County School District Re -1, 580 U.S. 386 , 137 S. Ct. 988 (2017).
19 See also Return to School Roadmap: Child Find Under Part B of the Individuals with Disabilities Education Act
(Aug. 24, 2021 ) and 34 C.F.R. § 300.111.
20 See also Return to School Roadmap: Child Find, Referral, and Eligibility Under Part C of the Individuals with
Disabilities Education Act (Oct. 29, 2021) and 34 C.F.R. § 303.302.
21 The child find provisions in 34 C.F.R. § 300.111 also apply to children who have complex medical needs and who
reside in nursing homes because of serious health problems, those who are in correctional facilities, and children
with disabilities attending private schools. The child find requirements for parentally -placed private school
children with disabilities are found in 34 C.F.R. § 300.131.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
9
Abuse Prevention and Treatment Act (C
APTA) in substantiated cases of abuse or neglect; and at -
risk infants and toddlers who have been identified as directly affected by illegal substance abuse
or withdrawal symptoms resulting from prenatal drug exposure.
In carrying out their responsibilities, State s should examine equity issues that can exist in the
child find system , including significant racial disparities , disparities between children from low-
income and high- income families, and geographic disparities such as between urban and rural
areas . The State’s examination may include analyzing data and other information to determine if
there are significant disparities in the groups or communities of children and families who are
referred for evaluation or provided services . Based on the analysis of such data and information,
State s may determine whether targeted monitoring (i.e., a monitoring activity that occurs outside
of the State’s normal cycle to address emerging or new issues, and typically is limited in scope)
is appropriate to ensure that the relevant IDEA requirements are properly implemented . The State
also can provide TA which may include identify ing outreach strategies to better connect with
underserved groups and communities.
Question A-9: What are a State’s general supervision responsibilities for addressing
significant disproportionality under 34 C.F.R. §§ 300.646 and 300.647?
Answer: OSEP previously provided extensive guidance on the implementation of
34 C.F.R. §§ 300.646 and 300.647 in IDEA Part B Regulations Significant Disproportionality
(Equity in IDEA) Essential Questions and Answers (Dec. 19, 2016). This response is only
intended to summarize but not revise that guidance, which provides more detailed information on
these requirements.
Each State that receives assistance under Part B of the IDEA must, consistent with
20 U.S.C. 1418(d) (IDEA Section 618(d)) and 34 C.F.R. § 300.646(a), “provide for the collection
and examination of data to determine if significant disproportionality based on race and ethnicity
is occurring in the State and the LEAs of the State” with respect to —
a. The identification of children as children with disabilities, including the identification of
children as children with disabilities in accordance with a particular impairment
described in I DE A Section 602(3);
b. The placement in particular educational settings of such children; and
c. The incidence, duration, and type of disciplinary actions, including suspensions and
expulsions.
Although, IDEA does not define “significant disproportionality,” t he implementing regulations
require States to use a standard methodology to determine if significant disproportionality based
on race and ethnicity is occurring in the State and its LEAs. 34 CFR §§ 300.646 and 300.647.
States must set a threshold above which disproportionality in the identification, placement, or
discipline of children with disabilities within an LEA is considered significant.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
10
While these regulations only establish a system for identifying significant disproportionality
based on overrepresentation, the regulations acknowledge that overrepresentation may be caused
by under-identification of one or more racial or ethnic groups.
A State’s review pursuant to IDEA
Section 618(d) can assist LEAs in identifying the factors contributing to any identified over- or
under- representation . Among the data States and/or LEAs can review are school- level data,
academic achievement data, relevant environmental data that may be correlated with the
prevalence of a disability, or other data relevant to the educational needs and circumstances of
the specific group of students identified.
An LEA identified with significant disproportionality is not necessarily out of compliance with
IDEA requirements . When an LEA is identified w ith significant disproportionality, the State
must require the LEA to set aside a total of 15 percent of its IDEA Part B (Sections 611 and 619)
funds to provide comprehensive coordinated early intervening services (C CEIS) to address the
factors contributing to the significant disproportionality. Further, when an LEA is identified with
significant disproportionality, the regulations require the State to provide for the review and, if
appropriate, revision of policies, procedures, and practices it identifies as contributing to the
significant disproportionality, including any policy, procedure, or practice that results in a failure
to identify , or the inappropriate identification of, members of a racial or ethnic group.
34 C.F.R. § 300.646(d)(1)(iii). If such review identifies noncompliance with an IDEA
requirement, the State must ensure, in accordance with 34 C.F.R. § 300.600(e) , that the
noncompliance is corrected as soon as possible, and in no case later than one year after the
St ate’s identification of the noncompliance (i.e., finding).
States must report annually to OSEP on the number of LEAs identified with significant
disproportionality, the area in which significant disproportionality was identified, and the amount
of IDEA Part B funds those LEAs reserved for CCEIS. Further, States must monitor those LEAs
to ensure the required amount of funds were used to address factors contributing to the
significant disproportionality.
In addition, States provide, in their annual I DE A P art B applications, an assurance that they have
in effect, consistent with the purposes of the IDEA and with S ection 618(d) of the Act, policies
and procedures designed to prevent the inappropriate overidentification or disproportionate
represent ation by race and ethnicity of children as children with disabilities, including children
with disabilities with a particular impairment . As part of implementing these policies and
procedures, States should monitor for , and address, any implementation challenges that may
result from confusion about the interplay between F ederal and State laws, including those
challenges that may arise from the examination of data disaggregated by race and ethnicity.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
11
G ENERAL REQUIREMENTS
Question A -10: Which educational programs, agencies, institutions, organizations, or EIS
providers must a State monitor to fulfill its general supervision
responsibilities ?
Answer: Under Part B of the IDEA, SEAs are responsible for the general supervision of all
educational programs for children with disabilities administered within the State, including each
educational program administered by any other State or local agency (but not including
elementary schools and secondary schools for Indian children operated or funded by the
Secretary of the Interior). This includes Section 619 (preschool) programs, public charter
schools, children with disabilities residing in nursing homes, and educational programs in
juvenile and adult correctional facilities . Generally, SEAs monitor the subrecipients of IDEA
funds, which can include LEAs, public charter school LEAs, and programs operated by other
State agencies, such as correctional agencies. 34 C.F.R. § 300.149(d). The subrecipients, in turn,
are responsible for the general supervision of schools or programs within their jurisdiction.
Under Part C of the IDEA, each State system must include a single line of respo nsibility in the
LA designated or established within the State that is responsible for, among other things,
monitoring programs and activities used by the State to carry out IDEA Part C (whether or not
the programs or activities are administered by agencies, institutions, organizations, and EIS
providers that are receiving assistance under IDEA Part C) to ensure that the State complies with
Part C of IDEA . 34 C.F.R. § 303.120(a).
Question A -11 : How frequently should a State monitor its LEAs or EIS programs or
providers?
Answer: A State should monitor all LEAs or EIS programs and providers within a reasonable
period of time and at least once within a six -year period (which is based on the duration of the
SPP/APR). However, where LEA or EIS program or provider data or other available information
indicates an area of concern , a State should consider whether more frequent or targeted
monitoring (i.e., a monitoring activity that occurs outside of the State’s normal cycle to address
emerging or new issues, and typically is limited in scope) is necessary. (See Question B- 1).
Regardless of when the State monitors its LEAs or EIS programs or providers, States should
inform LEAs or EIS programs or providers of when and how data is being used, including the
time period it reflects, for the purposes of determining compliance and identifying
noncompliance. (See Question A -5).
Question A -12: How should a State make its monitoring cycle and results available to the
public?
Answer: A State should inform stakeholders, including parents and children with disabilities ,
about its general supervision systems and monitoring activities . This could include making
available to the public (e.g., by posting on the State’s website) the State’s monitoring schedule,
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
12
including the names and number of LEAs or EIS programs or providers monitored in a given
year, the results of those monitoring activities (e.g., written monitoring reports) and any
additional targeted
monitoring activities (i.e., a monitoring activity that occurs outside of the
State’s normal cycle to address emerging or new issues, and typically is limited in scope) that
may have occurred.
Question A -13: How should a State involve stakeholders, including parents , children with
disabilities , and local- level staff in its monitoring activities?
Answer: OSEP recommends that States involve stakeholders, including parents of children with
disabilities, children with disabilities, and groups that represent the families and communities
served by the LEAs or EIS programs or providers, as well as engaging OSEP -funded PTIs.
States should also involve local -level staff, teachers, specialized instructional support personnel,
Section 619 (preschool) coordinators, and related service providers to better understand how
their LEAs or EIS programs or providers are applying State and local policies , procedures, and
practices in the implementation of IDEA . This engagement can occur through targeted
interviews, conversations, and other appropriate means of collecting information (e.g., surveys,
public and virtual meetings, State Advisory Panel (SAP) or State Interagency Coordinating
Council (SICC) annual convenings). Information gathered from parents, providers, and local
personnel can provide valuable insight to States about the LEAs or EIS program’s or provider’s
activities related to the implementation of IDEA at the local level.
Question A -14: Is a State required to exercise its general supervision authority during
disasters (e.g., human -made, health-related, or natural)?
Answer: Yes. Even during di sasters, SEAs must ensure the requirements of IDEA Part B are met
under 34 C.F.R. § 300.149 (SEA responsibility for general supervision) and ensure the
implementation of IDEA Part B. Likewise, even when there is a disaster, LAs must ensure the
implementation of IDEA Part C under 34 C.F.R. § 303.120(a) (LA role in general supervision)
and ensure the implementation of IDEA Part C. I f traditional on-site monitoring activities are not
possible during a pandemic or natural disaster, States have the flexibility t o collect information
needed to ensure the implementation of IDEA by LEAs or EIS programs or providers through
other means and by using the multiple components of the State’s general supervision system (s ee
Question A -2). See the Non-Regulatory Guidance on Flexibility and Waivers for Grantees and
Program Participants Impacted by Federally Declared Disasters (Jan. 2022), for more
information related to this topic. 22
22 In addition to the non- regulatory guidance, see the Department’s website for a full listing of policy, guidance, and
other resources related to disasters: https://sites.ed.gov/idea/topic-areas/#Disaster_Response .
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
13
B. I DENTIFICATION AND C ORRECTION OF N ONCOMPLIANCE
IDENTIFICATION OF N ONCOMPLIANCE
Question B -1: What is an “area of concern ”?
Answer: Although not defined in IDEA and its implementing regulations, as used in this
document and reflected in OSEP’s longstanding practice, an “area of concern ” means a credible
allegation regarding a n IDEA policy, pr ocedure, practice, or other requirement that raises one or
more potential implementation or compliance issues , if confirmed true. Such credible allegations
(e.g., information and awareness) may come from integrated monitoring activities, data re views,
grant reviews, stakeholder calls, media reports, dispute resolution systems, or other mechanisms
that relate to IDE A implementation.
Question B -2: What actions must a State take when made aware of an area of concern
with an LEA or EIS program ’s or provider ’s implementation of IDEA ?
Answer: The State must ensure that its general supervision system includes polici es, procedures,
and practices that are reasonably designed to consider and address are as of concern (i.e., credible
allegations of LEA or EIS program or provider noncompliance) in a timely manner.
34 C.F.R. §§ 300.149 and 303.120. A State must conduct proper due diligence when made aware
of an area of concern regarding an LEA or EIS program ’s or provider ’s implementation of IDEA
and reach a conclusion in a reasonable amount of time. As the grantees for IDEA’s three formula
grants (i.e., Part B Section 611, Part B Section 619, and Part C), States are responsible for
monitoring (see Question A-1) and are required to comply with IDEA requirements, and
expected to follow OSEP’s published interpretations.
23 When applying for IDEA Part B and Part
C grant funds, States assure the Department that they have in effect policies, pro cedures , and
practices that are consistent with the IDEA statutory and regulatory requirements.
W hen a State is made aware of an area of concern with an LEA or EIS program ’s or provider ’s
implementation of IDEA , the State must conduct its due diligence in a timely manner to address
the area of concern and reach a conclusion in a reasonable amount of time . A State’s proper due
diligence activities may include but are not limited to : conducting clarifying legal research,
interview ing staff, parents of children with disabilities, children with disabilities, and groups that
represent the families and communities served by the LEAs or EIS programs or providers, and
reviewing and analyzing data or information. Exampl es of data or information a State may
anal yze could include : fiscal contracts or other relevant financial information, State customer
23 IDEA is Spending Clause legislation , commonly referred to as simply, the Spending Clause . Article I, Section 8,
Clause 1 of the U.S. Constitution has been widely recognized as providing the F ederal government with the legal
authority to offer F ederal grant funds to S tates and localities that are contingent on the re cipients engaging in, or
refraining from, certain activities. See Congressional Research Service: The Federal Government’s Authority to
Impose Conditions on Grant Funds (Mar . 23, 2017).
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
14
service information
, administrative or judicial decisions , media reports, previous LEA or EIS
program or provider self -reviews or self-assessments, document submissions, and any other
relevant LEA or EIS program or provider monitoring information . (See also Question B -3).
If, through its due diligence, the State determines that the LEA or EIS program or provider is out
of compliance with an applicable IDEA requirement, the State must issue a written notification
of noncompliance (i.e., a finding) to the relevant LEA or EIS program or provider . This finding
must be timely issued , generally within three months of the State exercising due diligence,
regarding the area of concern , and reaching a conclusion in a reasonable amount of time that the
LEA or EIS program or provider has violated an IDEA requirement , unless the LEA or EIS
program or provider immediately (i.e., before the State issues a finding) corrects the
noncompliance and the State is able to verify the correction (see Questions B-11 and B-12).
Question B -3: What type and amount of information should the State review to confirm
LEA or EIS program or provider compliance with IDEA requirements ?
Answer: Although IDEA does not specify the type and amount of information the State should
review when monitoring LEAs or EIS program or providers for compliance with IDEA
requirements, the OMB Uniform Guidance requires grantees to maintain effective controls that
provide a reasonable assurance of compliance with Federal statutes, regulations, and the terms
and conditions of the Federal award. 2 C.F.R. § 200.303(a). The State should be able to explain
the methodology used to ensure that the type and amount of data accurately reflect the LEA or
EIS program’s or provider’s level of compliance. The type of information reviewed may vary
depending on the specific requirement, but could include data collected as part of a State’s data
system ; information contained in the early intervention record of an infant or toddler with a
disability or the education record of a child with a disability ; interviews conducted with relevant
staff, parents, and others; as well as a review of LEA or EIS program or provider written policies,
procedures and pr actices (see also Question B -2). Finally , the State should ensure that the
information revie wed when determining compliance with IDEA requirements is representative of
the population served within a given LEA or EIS program or provider to ensure validity and
reliability of the data used .
Question B -4: What does the State’s “identification of noncompliance ” (i.e., a finding)
mean as required under 34 C.F.R. §§ 300.600(e) and 303.700(e)?
Answer: As used in this document and as is OSEP’s longstanding practice, identification of
noncompliance (i.e., a finding) means the determination by a State that an LEA or EIS program ’s
or provider ’s policy, procedure, or practice, incl uding those that are child-specific, is inconsistent
with an applicable I DE A requirement, another IDEA -related Federal requirement, or any specific
IDE A grant award terms or conditions (hereafter “IDEA implementation requirement”).
Applicable IDEA -related Federal requirements include requirements under GEPA at
20 U.S.C. 1221 et seq., under EDGAR in 34 C.F.R. Parts 76 and 81, and the OMB Uniform
Guidance in 2 C.F.R. Part 200. OSEP use s the terms “written notification of noncompliance, ”
“written finding of noncompliance,” “identified noncompliance,” or “finding” interchangeably
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
15
within this document to mean the State’s “identification o
f noncompliance” with a requirement
of IDEA Part B or Part C consistent with 34 C.F.R. §§ 300.600(e) and 303.700(e).
Question B -5: How must a State notify LEAs or EIS programs or providers of any
identified noncompliance?
Answer: The State must inform LEAs or EIS programs or providers in writing of any ide ntified
noncompliance to provide notice. 34 C.F.R. §§ 300.149 and 303.120. The written notification of
noncompliance (i.e., a finding) is from the State to the LEA or EIS program or provider and
should contain the elements described in Question B-6.
Question B -6: What are the elements of a written notification of noncompliance
(i.e., a finding) ?
Answer: OSEP’s longstanding position is that, for a State to ensure proper notice to its LEAs or
EIS programs or providers and promote timely correction of noncompliance, the finding should
include:
• A description of the identified noncompliance;
• The statutory or regulatory IDE A requirement(s) with which the LEA or EIS program or
provider is in noncompliance;
• A description of the quantitative and/or qualitative data, i.e., information , supporting the
State’s conclusion that there is noncompliance;
• A statement that the noncomplianc e must be corrected as soon as possible, and in no case
later than one year from the date of the State’s written notification of noncompliance;
• Any required corrective action(s); and
• A timeline for submission of a corrective action plan or evidence of corr ection.
Question B -7: How soon after a State determines noncompliance must it provide a
written notification of noncompliance (i.e., a finding) to the LEA or EIS
program or provider?
Answer: The State must issue a written notification of noncompliance (i.e., a finding) to the
relevant LEA or EIS program or provider, generally within three months of the State exercising
due diligence and reaching a conclusion in a reasonable amount of time that the LEA or EIS
program or provider has violated an IDEA requirement, unless the LEA or EIS program or
provider immediately (i.e., before the State issues a finding) corrects the noncompliance and the
State is able to verify the correction (see Questions B -11 and B-12). 34 C.F.R. §§ 300.149 and
303.120.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
16
Question B
-8: May a State use a threshold of less than 100 percent compliance when
determining an LEA or EIS program’s or provider’s compliance with
IDEA requirements?
Answer: No. A State may not establish a threshold of less than 100 percent for determining an
LEA or EIS program’s or provider’s compliance. If a State determines an LEA or EIS program’s
or provider’s compliance level is less than 100 percent, the State must issu e a finding and require
correction of the noncompliance, unless the exceptions set out in Questions B-11 and B-12 apply.
This is true for any general supervision component the State uses to evaluate compliance when
monitoring, such as integrated monitoring activ ities , a data system, dispute resolution, fiscal
management, or any other mechanisms to determine whether the LEA s or EIS programs or
providers are in compliance with IDEA requirements.
For example, if a State, using data from its data system , determines that an LEA’s compliance
with initial evaluation timeline s is 95 percent, the State must make a finding , unless the
exceptions set out in Questions B-11 and B-12 apply, because the LEA’s compliance level is
below 100 percent .
Question B -9: Must the State issue a finding and require correction if, as part of the
State’s monitoring system, an LEA or EIS program or provider submits a
self -assessment or self -review that reflects noncompliance with an IDEA
requirement?
Answer: It depends. A State must issue a finding when the State has exercised due diligence and
reached a conclusion, in a reasonable amount of time, that the LEA or EIS program or provider
has violated an IDEA requirement , unless the exceptions set out in Questions B- 11 and B-12
apply. This includes when the State confirms that the information in a self -assessment or self -
review constitutes noncompliance.
If a State receives the results of a self -assessment or self -review in which an LEA or EIS
program or provider acknowledges noncompliance, the State must first exercise due diligence
and confirm in a reasonable amount of time whether the information submitte d represents
noncompliance. For example, the State should confirm that the information in the self -
assessment is accurate, and the LEA or EIS program ’s or provider ’s interpretation of the
applicable requirements is correct. If the State , through its due diligence, confirms in a
reasonable amount of time that the information is accurate and the LEA or EIS program’s or
provider ’s interpretation is correct, the State must issue a finding and ensure correction, unless
the exceptions set out in Questions B- 11 and B-12 apply.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
17
CORRECTION OF N ONCOMPLIANCE
Question B -10: What is the standard for correction of noncompliance?
Answer: OSEP’s longstanding position, first described in OSEP Memo 09-02, is that, in order to
demonstrate that noncompliance has been corrected, the State must verify that the LEA or EIS
program or provider: (1) is correctly implementing the specific regulatory requirements (i.e.,
achieved 100 percent compliance with the relevant IDEA re quirements) based on a review of
updated data and information, such as data and information subsequently collected through
integrated monitoring activities or the State’s data system (systemic compliance); and (2) if
applicable, has corrected each individual case of child-specific noncompliance, unless the child
is no longer within the jurisdiction of the LEA or EIS program or provider,
24 and no outstanding
corrective action exists under a State complaint or due process hearing decision for the child
(child -specific compliance) .
25 The State must maintain documentation and evidence
demonstrating that the LEA or EIS program or provider has corrected each individual case of the
previously noncompliant files, records, data files, or whatever data source was used to identify
the original noncompliance (child -specific compliance) , if applicable, and that the review of
updated data and information did not reveal any continued noncompliance (systemic
compliance) .
Question B -11 : What is “pre -finding correction ?”
Answer: Pre -finding correction may occur when the State has exercised due diligence and
reached a conclusion in a reasonable amount of time that the LEA or EIS program or provider
has violated an IDEA requirement , but has not yet issued a finding. If t he State is able to verify
prior to issuing a finding that an LEA or EIS program or provider : (1) is correctly implementing
the specific regulatory requirements (i.e., achieved 100 percent compliance with the relevant
IDEA requirements ) based on a review of updated data such as data subsequently collected
through monitoring or the State’s data system (systemic compliance) ; and (2) if applicable, has
corrected each individual case of child-specific noncompliance, unless the child is no longer
within the jurisdiction of the LEA or EIS program or provider, and no outstanding corrective
action exists under a State complaint or due process hearing decision for the child (child -specific
compliance) (see Ques tion B-10), then this would be considered “pre-finding correction.” A State
may not use this flexibility to allow its LEAs or EIS programs or providers an indiscriminate
24 Regardless of the LEAs or EIS program’s or provider’s obligation to ensure correction for a child who is no
longer within the jurisdiction of the LEA or EIS program or provider , the State is not relieved of its responsibility
to ensure FAPE and appropri ate early intervention services for the affected child. 34 C.F.R. §§ 300.101 (FAPE)
and 303.112 (Availability of Early Intervention Services).
25 OSEP clarified in its October 23, 2019, Letter to Anonymous that generally, any outstanding corrective action
ordered through a State complaint or due process hearing to remedy the denial of appropriate services must be
completed, notwithstanding the child’s relocation to anothe r State, if the ordered relief can reasonably be
implemented in the new State and the parent does not reject the remaining services under the ordered relief .
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
18
amount of time
, generally within three months, to correct any noncompliance prior to a finding
being issued (see Question B-7).
Question B -12: Must the State issue a finding if the LEA or EIS program or provider
demonstrates “pre- finding correction?”
Answer: It is OSEP’s longstanding position that a State may choose not to issue a written
finding i f the LEA or EIS program or provider immediately (i.e., before the State issues a written
notification of noncompliance ) corrects the noncompliance and the State verifies the correction
based on a review of updated data and evidence that each individual instance of child-specific
noncompliance has been corrected . (See also Question B-15.) As stated in the answer to Question
B-11, i f a State chooses to use this flexibility, it must ensure that the LEA or EIS program or
provider has corrected the noncompliance, generally within three months of the State exercising
due diligence and reaching a conclusion in a reasonable amount of time that the LEA or EIS
program or provider has violated an IDEA requirement , and before the State has issued the
finding.
Wh ile the State is not required to issue a written notification documenting the opportunity to
correct the noncompliance under these circumstances , it should maintain documentation of the
nature and extent of the noncompliance. Further, the State must maintain documentation and
evidence demonstrating that the LEA or EIS program or provider has corrected each individual
instance of child -specifi c noncompliance, if applicable , and that the review of updated data and
information did not reveal any continued noncompliance (systemic compliance) .
Question B -13: What is the timeline for correcting noncompliance, i.e. , demonstrating
timely correction , under the IDEA ?
Answer: Under the IDEA, there is a longstanding requirement to correct noncompliance as soon
as possible, but no later than one- year after the State’s written notification of noncompliance .
This is codified in the ID E A r egulations in 34 C.F.R. § 300.600(e) and 303.700(e). Furthermore,
each State annually certifi es under 34 C.F.R. § 76.104 that the State will operate throughout the
period of this grant award consistently with the requirement s of the IDEA. The State must ensure
that when it identifies noncompliance with IDE A requirements, the noncompliance is corrected
as soon as possible, and in no case later than one year after the State’s written notification of
noncompliance.
Question B-14: What should the State consider when verifying the correction of
noncompliance?
Answer: When verifying the correction of noncompliance, States must ensure that they have
internal controls and documentation consistent with other applicable Federal laws – GEPA,
EDGAR , and the OMB Uniform Guidance , in addition to the IDEA implementation
requirements . The OMB Uniform Guidance requires grantees to maintain effective internal
controls that provide a reasonable assurance of compliance with Federal statutes, regulations, and
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
19
the terms and conditions of the Federal award. 2 C.F.R. § 200.303(a). GEPA and EDGAR require
documentation of program implementation for audit purposes. 20 U.S.C. § 1232d(b)(3)(A) and
34 C.F.R. § 76.731.
Under these laws
, States should consider a variety of factors in determining whether an LEA or
EIS program or provider has corrected identified noncompliance. These considerations include
ensuring that the correction of noncompliance addresses the extent and root cause of the
identified noncompliance, in addition to ensuring child- specific and systemic correction. For
example, States should consider the extent of the identified noncompliance — whether it was
across the entire LEA or EIS program or provider or only in a small percentage of files
concentrated within the LEA or EIS program or provider (e.g., one school, one service provider,
or one teacher). T he State should also consider whether the identified noncompliance was an
isolated incident o r a longstanding issue that was the subject of repeated corrective action plans,
and whether the noncompliance showed a denial of a basic right under the IDEA (e.g., a long
delay in initial evaluation beyond applicable timelines with a corresponding delay in the child’s
receipt of FAPE or early intervention services, or a failure to provide any services in accordance
with the IEP or IFSP). In addition, when verifying the correction of noncompliance, the State
should ensure that the information reviewed to determine correction represents the population
served within a given LEA or EIS program or provider.
In situations where an extremely small LEA or EIS program or provider does not have sufficient
updated data to demonstrate systemic compliance (i.e. , is correctly implementing the specific
regulatory requirements and has achieved 100 percent compliance with the relevant IDEA
requirements based on a review of updated data), States should use other evidence of change. In
this instance, States could review revised policies , procedures, and practices; documentation of
training provided; and changes made to supervision and oversight that demonstrates systems are
in place to ensure systemic compliance. Regardless of the size of an LEA or EIS program or
provider, any child -specific noncompliance must be corrected, even if late, including any remedy
determined necessary to address a denial of services in accordance with the IEP or IFSP. Finally,
when ensuring correction, States are encouraged to promote the use of evidence- based activities
that are designed , not only to improve the LEA or EIS program’s or provider’s compliance with
the IDE A requirements , but to also achieve and sustain compliance.
Question B -15: How must a State verify that each individual case of child-specific
noncompliance was corrected?
Answer: In order to verify correction of child -specific noncompliance, a State must review each
individual case (not a subset or sample) of previously noncompliant files, records, data file s, or
whatever data source was used to identify the original noncompliance, to verify correction by the
LEA or EIS program or provider of child- specific noncompliance,
unless the child is no longer
within the jurisdiction of the LEA or EIS program or provider, and no outstanding corrective
action exists under a State complaint or due process hearing decision for the child (see Question
B-10.)
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
20
This standard is a change from OSEP’s previous guidance because
OSEP’s monitoring has found
insufficient policies and procedures and evidence that States are ensuring overall correction of
child -specific noncompliance (whether through file review or their data systems) . With States’
expanded use of data systems that provide access to local level data, OSEP is making this change
to ensure the consistent and timely correction of all noncompliance, as required by
34 C.F.R. §§ 300.600(e) and 303.700(e).
Furthermore, a State’s failure to require its LEAs or EIS programs or providers to correct each
individual case of child-specific noncompliance could result in denying children with disabilities,
and their families, the rights and protections available under IDEA Part B and its implementing
regulations in 34 C.F.R. Part 300, or under IDEA Part C and its implementing regulations in
34 C.F.R. Part 303.
26
Question B -16: What steps must a State take to verify an LEA or EIS program ’s or
provider’s correction of a fiscal finding of noncompliance with the OMB
Uniform Guidance or IDEA’s fiscal requirements?
Answer : Findings of noncompliance related to fiscal requirements may be a result of either a
Single State Audit, or of fiscal monitoring , and would not reflect individual child-specific
noncompliance. As stated in Question A-6, the State must issue a management decision for
applicable audit findings pertaining to the IDEA funds it provides to an LEA and, if applicable,
27
EIS program or provider. In doing so, the State must determine whether to sustain the auditor’s
finding (i.e., confirm identified noncompliance with a fiscal requirement of IDEA and/or the
OMB Uniform Guidance) and ensure corrective action is taken . Fiscal findings also may be
made through the State’s fiscal monitoring process, which is part of the State’s overall general
supervision system.
In either case, the steps required to verif y correction of noncompliance depend on the nature of
the fiscal finding of noncompliance. If , for example, noncompliance with fiscal requirements is
due to an LEA or EIS program or provider lacking, or having inappropriate, fiscal policies,
procedures, and practices, the State must ensure that appropriate fiscal policies, procedures, and
practices are developed , corrected , and implement ed, as soon as possible, and in no case later
than one year after the State’s written notification of noncompliance.
26 See OSEP Policy Letter: Letter to Copenhaver (Oct. 31, 2008) .
27 Federal awards expended as a recipient or a subrecipient are subject to audit under the OMB Uniform Guidance.
The payments received for goods or services provided as a contractor are not Federal awards and are not subject to
a single audit as a result . 2 C.F.R. § 200.501(f).
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
21
LONGSTANDING N ONCOMPLIANCE
Question B -17: What factors should a State consider if an LEA or EIS program or
provider has longstanding noncompl iance with the IDEA requirements?
Answer: If an LEA or EIS program or provider did not correct identified noncompliance in a
timely manner (i.e., within one year from the written notification of noncompliance ), the State
must still verify that the noncompliance was subsequently corrected. If an LEA or EIS program
or provider is not yet correctly implementing the statutory or regulatory requirement(s), the State
needs to identify the cause(s) of continuing noncompliance and take steps to address the
continued lack of compliance including, as appropriate, enforcement actions outlined in
Section E, State Enforcement Through Determinations and Other Methods. When determining
what further action is needed to support the LEA or EIS program or provider in achieving
compliance, States should evaluate and look for data trends and patterns, which will provide the
State information on the root cause of the noncompliance.
28
If the State determines the noncompliance has not been corrected within the one- year timeline,
the State may, but is not required to, issue a new finding of noncompliance to the LEA or EIS
program or provider even if the State has already issued a finding to that same LEA or EIS
program or provider in the prior year. Ultimately, if the State has not verified that the
noncompliance has been corrected within the one- year timeline, the State may not close the
original finding and should impose additional corrective actions , if necessary.
The failure of an LEA or EIS program or provider to correct noncompliance within IDEA’s one-
year timeline could have serious implications for ensuring the provision of FA P E to children
with disabilities under Part B and the provision of appropriate early intervention services to
infants and toddlers with disabilities and their families under Part C. OSEP expects that a State
would consider its LEA or EIS program ’s or provider’s adherence t o I D E A’ s timely correction
requirements before making a subgrant award under Part B and in some States, Part C, or before
entering into a contract for early intervention services under Part C.
RECORD KEEPING
Question B-18: How should States count and track written notifications of
noncompliance identified through the State’s system of general
supervision?
Answer: Each State may determine how it will count and track written notifications of
noncompliance in order to demonstra te its effectiveness in monitoring its LEAs or EIS programs
28 See OSEP’s IDEAs That Work website f or a wide range of research -based products, publications, and other
resources to assist S tates, local district personnel, children and families to improve results for children with
disabilities.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
22
or providers and ensuring the timely correction of noncompliance. A State may choose to group
individual instances in an LEA or EIS program or provider involving the same legal requirement
or stan
dard together as one finding, or it may choose to count and track each of the individual
instances of noncompliance as separate finding s. Regardless of how the State track s its findings,
it cannot consider a finding to be corrected until the State verifies that the LEA or EIS program
or provider : (1) is correctly implementing the specific regulatory requirements (i.e., achieved 100
percent compliance with the relevant IDEA requirements ) based on the State’s review of updated
data (systemic compliance); and (2) has corrected each individual case of child -specific
noncompliance, unless the child is no longer within the jurisdiction of the LEA or EIS program
or provider and no outstanding corrective action exists under a State complaint or due process
hearing decision for the child (child -specific compliance) (see Question B -10).
Ultimately, State s
should have a mechanism in place for tracking the results of their monitoring activities to ensure:
(1) timely and full correction of any identified noncompliance; and (2) that valid and reliable
data is reported in the State’s SPP/APR regarding the identification and correction of
noncompliance.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
23
C. S TAT E PERFORMANCE PLAN /A NNUAL PERFORMANCE R EPORT
Question C- 1: What must a State include in its annual SPP/APR submission related to
its system of general supervision?
Answer: IDEA requires each State to develop an SPP/APR that evaluates the State’s efforts to
implement the requirements and purposes of the IDEA and describes how the State will improve
its implementation. The Part B SPP/APR s and Part C SPP/APRs include results indicators that
measure child and family outcomes, and other indicators that measure compliance with certain
requirements of the IDEA. Since 2015, the Part B SPP/APR and Part C SPP/APR have included
a State Systemic Improvement Plan (SSIP) through which each State focuses its efforts on
improving a State- selected child or family outcome s.
Posted annually, t he Part B and Part C Indicator Meas urement Tables
29 list the monitoring
priorities, indicators, required data sources, measurement, and instructions for providing the
required information for each indicator. In the introduction to the SPP/APR, a State must include
a description of its general supervision s ystem in sufficient detail to ensure that the Department
and the public are informed about the State’s various systems designed to improve results for
infants, toddlers, children, and youth with disabilities, and to ensure that the SEAs, LEAs, LAs,
and EIS programs and providers meet the requirements of IDEA Part B and Part C. The
introduction should include a description of the general supervision system components that are
in place to ensure that the respective IDEA Part B and Part C requirements are met (e.g.,
integrated monitoring activities , the State data system, review of processes and results, fiscal
management, dispute resolution). In addition, for any indicator where the State has selected
“ State monitor ing” as its data source, the State must “ describe the method used to select the
LEAs or EIS programs for monitoring.”
30
Question C -2: How does OSEP distin guish “State monitoring” from “State data base”
when used as the data source for specific SPP/APR compliance
indicators?
Answer: “State monitoring” data are those data gathered during the State’s integrated monitoring
activities to examine an LEA or EIS program ’s or provider’s compliance with IDEA
requirements (see Question A -5). OSEP refers to a “ database” or “ data system” as an electronic
system used by the State for collecting, maintaining, and storing LEA or EIS program or
provider data. Regardless of the data source ( State monitoring or State database), States must
collect valid and reliable data for the purpose of meet ing Federal IDEA reporting requirements,
including those under IDEA Section 618 and under IDEA Sections 616 and 642, such as the
SPP/APR.
29 See the Part B and Part C SPP/APR Indicator Measurement Tables posted annually on the Resources for Grantees
– SPP/APR page under the heading “Federal Fiscal Years SPP/APR Package.”
30 See the Part B SPP/APR Indicators 11, 12 and 13, and Part C SPP/APR Indicator 1, 7, 8A, 8B and 8C .
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
24
In addition, States must report on data for those indicators for each LEA or EIS program
31 at
least once during the six-year period of the SPP/APR package, including the status of correction
for any identified noncompliance. States must identify the data source and should be clear about
what the data reflect, including the number of local programs (i.e., all LEAs or EIS programs in
the State or a subset) , the number of children, the time period (Part C only), and the compliance
requirement.
Question C -3: Which year’s data must the State use when reporting on the correction of
findings of noncompliance in the SPP/APR?
Answer: The State must report on the number of “findings of noncompliance identified,”
“findings of noncompliance verified as corrected within one year,” “findings of noncompliance
subsequently corrected,” and “findings not yet verifi ed as corrected” during the previous
FFY SPP/APR reporting period.
32 In addition, the State must report on the correction of any
remaining findings of noncompliance identified prior to the FFY SPP/APR reporting period that
were not yet verified as corrected in the prior year’ s SPP/APR.
Question C- 4: How should the State report on the identification and timely correction of
findings of noncompliance in its SPP/APR?
Answer: If the State reported less than 100 percent compliance for an indicator in a given year,
the State must report, in the next year’s FFY SPP/APR, on the status of correction of
noncompliance under that indicator (see Question C -3). When reporting on the correction of
noncompliance, the State must report in the following year’s SPP/APR that it has verified that
each LEA or EIS program or provider with noncompliance identified for that indicator and data
source: (1) is correctly implementing the specific regula tory requirements (i.e., achieved 100
percent compliance with the relevant IDEA requirements ) based on a review of updated data,
such as data subsequently collected through on- site monitoring or a State data system (systemic
compliance) ; and (2) has correc ted each individual case of child-specific noncompliance,
33
unless the child is no longer within the jurisdiction of the LEA or EIS program or provider and
no outstanding corrective action exists under a State complaint or due process hearing decision
for the child (child -specific compliance) (see Question B -10).
When reporting in the SPP/APR, the State must describe in sufficient detail its process for
ensuring child -specific and systemic noncompliance has been corrected. The descriptions of the
actions taken to verify the correction of noncompliance should be specific to the indicator and its
31 See 34 C.F.R. § 303.11 for the definition of “EIS programs, ” which are defined by the State LA when reporting
Part C annual SPP/APR performance data.
32 See the Part B and Part C SPP/APR Indicator Measurement Tables posted annually on the Resources for Grantees
– SPP/APR page.
33 Specifically, States will no longer be allowed to report on the correction of individual child- specific
noncompliance by reviewing a select sample of files as a method to verify the correction , beginning with the FFY
2024 SPP/APR, submitted February 1, 2026.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
25
requirement. For verification of child
-specific noncompliance, t his description could include
what the State reviewed to determine if the noncompliance had been corrected such as individual
child files or records, or how the State used its data system to verify child-specific correction . In
explaining how the State verified correction of noncompliance with the specific regulatory
requirement (s) (systemic compliance) , the State is encouraged to describe the time period
covered by the subsequent data reviewed, how many records were reviewed, any trainings
provided, and how the State determined these specific actions demonstrated correction .
Generally, t he State should not use standardized, or boilerplate , language when describing the
State’s actions to ensure correction of noncompliance.
Question C- 5: How does the State report in its SPP/APR on any subsequent correction
of noncompliance by LEAs and EIS programs or providers?
Answer: If an LEA or EIS program or provider did not correct identified noncompliance in a
timely manner (within one year from the written notification of noncompliance), the State must
continue to report in the SPP/APR on whether the noncompliance was subsequently corrected. If
an LEA or EIS program or provider is not yet correctly implementing the specific regulatory
requirement(s), the State must provide information regarding the nature of any continuing
noncompliance, actions taken to support the LEA or EIS program or provider in achieving
compliance (e.g., review of policies, procedures, and practices , TA, training), and any
enforcement actions taken against any LEA or EIS program or provider that is continuing to
demonstrate noncompliance.
The State must ensure subsequent correction by verifying that the LEA or EIS program or
provider: (1) is correctly implementing the specific regulatory requirements (i.e., achieved 100
percent compliance with the relevant IDEA requirements ) based on a review of updated data,
such as data subsequently collected through on- site monitoring or the State’s data system
(systemic compliance) ; and (2) has ensured that each individual case of child-specific
noncompliance has been corrected, unless the child is no longer within the jurisdiction of the
LEA or EIS program or provider, and no outstanding corrective action exists under a State
complaint or due process hearing decision for the child (child -specific compliance) (see Question
B-10).
The State must maintain written documentatio n of the verification of subsequent correction of
the noncompliance. See Section E for the specific enforcement actions the State may utilize
when an LEA or EIS program or provider has received certain annual determinations that reflect
longstanding noncom pliance with an IDEA requirement.
Question C-6: What review of data and other information related to race and ethnicity
do the SPP/APR i ndicators require States and their LEAs or EIS
programs or providers to conduct ?
Answer : SEAs report data on LEAs’ performance on three Part B compliance indicators that
address race and ethnicity related to children with disabilities: Indicator B-4B
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
26
(Suspension/Expulsion) required by 34 C.F.R. § 300.170 and Indicators B-9 and B-10
(Disproportionate Representation) required by 34 C.F.R. § 300.600(d)(3). In addition, States are
required to report on the representativeness of the data reported for the following results
indicators: Part C Indicator C- 4 (Family Outcomes) required by 20 U.S.C. §§ 1416(a)(3)(A) and
1442 and Part B Indicators B-8 (Parent Involvement) and B-14 (Post-School Outcomes) required
by 20 U.S.C. §§ 1416(a)(3)(A) and 1416(a)(3)(B), respectively. As part of its general supervision
responsibilities in implementing these IDEA requirements, States should monitor for, and
address, any implementation challenges that may result from confusion about the interplay
between Federal and State laws, including those challenges that may arise from the examination
of d ata disaggregated by race and ethnicity.
Compliance Indicator: Part B Indicator B-4B (Suspension/Expulsion)
A State must provide an assurance in its annual IDEA Part B grant application that the State has
in place policies and procedures to ensure that the SEA examines data, including data
disaggregated by race and ethnicity, to determine if significant discrepancies are occurring in the
rate of long-term suspensions and expulsions of children with disabilities among LEAs in the
State or compared to such rates for nondisabled children within such agencies. Where such
discrepancies are occurring, SEAs are required to review and, if appropriate, revise ( or require
the affected State agency or LEA to revise) their policies, procedures, and practices relating to
the development and implementation of IEPs, the use of positive behavioral interventions and
supports, and procedural safeguards, to ensure that such policies, procedures, and practices
comply with IDEA. 34 C.F.R. § 300.170(b).
For Indicator B-4B, the State must report the percent age of LEAs that were determined to have a
significant discrepancy, as defined by the State, by race and ethnicity, in the rate of suspensions
and expulsions of greater than 10 days in a school year for children with an IEP. In addition, for
those LEAs determined by the State to have a significant discrepancy, the State must report on its
review of the LEA’s policies, procedures, or practices to address what has contributed to the
significant discrepancy, as defined by the State, and what does not comply with IDEA
requirements relating to the development and implementation of IEPs, the use of positive
behavioral interventions and supports, and procedural safeguards.
34
See Questions and Answers : Addressing the Needs of Children with Disabilities and I D E A’ s
Discipline Provisions (Jul. 19, 2022) and other supporting documents for more information
related to this topic. 35
34 See the Part B and Part C SPP/APR Indicator Measurement Tables posted annually on the Resources for Grantees
– SPP/APR page .
35 For additional information on these requirements, see OSERS Dear Colleague Letter on Ensuring Equity and
Providing Behavioral Supports to Students with Disabilities (Dec. 1, 2016) , pp. 5–7.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
27
Compliance Indicators: Part B Indicators B-9 and B-10 (Disproportionate Representation)
States also must report to OSEP on Indicat
ors B-9 and B-10 (Disproportionate Representation).
For Indicator B-9, the State must report on the percent of districts with disproportionate
representation of racial and ethnic groups in special education and related services that is the
result of inappropriate identification. For Indicator B-10, the State must report on the percent of
districts with disproportionate representation of racial and ethnic groups in specific disability
categories that is the result of inappropriate identification (see Question A -9). 36
As set out above, a State, in its annual IDEA Part B application, must provide an assurance that it
has in effect, consistent with the purposes of the IDEA and with Section 618(d) of the Act,
policies and procedures designed to prevent the inappropriate overidentification or
disproportionate representation by race and ethnicity of children as children with disabilities,
including children with disabilities with a particular impairment.
Results Indicators: Part C Indicator C-4 (Family Outcomes) and Part B Indicators B- 8 (Parent
Involvement) and B-14 (Post-School Outcomes)
When addressing certain Part B and Part C SPP/APR indicators, States are required to report on
the representativeness of the data reported.
For Part C SPP/APR Indicator C-4 (Family Outcomes), States must analyze the extent to which
the demographics of the families who responded are representative of the demographics of the
infants and toddlers receiving Part C services and must include race/ethnicity in this analysis. In
addition, the State’s analysis must also include at least one of the following demographics:
socioeconomic status, parent or guardians whose primary language is other than English or
limited English proficiency, maternal education, geographic location, and/or an other
demographic category approved by their stakeholders.
Similarly, for Part B SPP/APR Indicator B-8 (Parent Involvement), State s must analyze the
extent to which the demographics of the children for whom parents responded are representative
of the demographics of children receiving special education services. For Part B SPP/A PR
Indicator B-14 (Post-School Outcomes), States must analyze the extent to which the response
data are representative of the demographics of youth who are no longer in secondary school and
had IEPs in effect at the time they left school . For both Indicators B-8 and B-14, States must
include race/ethnicity in their analysis. In addition, the State’s analysis must also include at least
one of the following demographics: age of the student, disability category, gender, geographic
36 The Secretary of the Interior (or the Bureau of Indian Education, which administers the IDEA for the Secretary of
the Interior), the freely associated States , and the outlying areas are not required to report on Indicators B- 4B, B-9,
and B-10 due to their racial/ethnic makeup.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
28
location, and/or another demographic category approved through the State’s stakeholder input
proces s. 37
In addition, States must include in their annual SPP/APR submissions a report on their
stakeholder engagement efforts, including activities carried out to obtain input from a diverse
group of parents to support the implementation activities designed to improve outcomes,
including target setting, analyzing data, developing improvement strategies, and evaluating
progress. In engaging its stakeholders, the State should use this information to identify any trends
or patterns within its system related to equity, including ensuring equitable access to high-quality
early intervention services (Part C) and special education and related services (Part B) and
determine steps to improve outcomes. OSEP requires States to review survey responses for
race/ethnicity in the SPP/APR because it will increase the high -quality data necessary for States
to improve outcomes. High-quality data includes data that accurately reflect the infants, toddlers,
children, and youth with disabilities served.
Question C-7: How may a State identify and ensure correction of noncompliance with the requirements related to SPP/APR Indicator B -4B
(Suspension/Expulsion) and Indicators B -9 and B-10 (Disproportionate
Representation)?
Answer: For these indicators, a State may identify noncompliance through a review of policies,
procedures, and practices contributing to significant discrepancy (Indicator B-4B ) or when
determining if the disproportionate representation of racial and ethnic groups in special education
and related services (Indicator B-9) or specific disability categories (Indicator B -10) was the
result of inappropriate identification. Noncompliance resulting from policies , procedures, and
pract ices that are inconsistent with IDEA requirements may not always include child -specific
noncompliance. To demonstrate it has verified correction of noncompliance under these
indicators in its SPP/APR submission if no child -specific noncompliance is identified, State s
must ensure, as soon as possible, and in no case later than one year after the State’s written
notification of noncompliance, that the LEA is now correctly implementing the specific
regulatory requirements (i.e., achieved 100 percent compliance with the relevant IDEA
requirements ) through a review of updated data (see Question B-10). If child -specific
noncompliance was identified, the SEA must also verify that the LEA has corrected each
individual instance of child -specific noncompliance unless the child is no longer within the
jurisdiction of the LEA and no outstanding corrective action exists under a State complaint or
due process hearing decision for the child (see Question B-10).
37 See the Part B and Part C SPP/APR Indicator Measurement Tables posted annually on the Resourc es for Grantees
– SPP/APR page respectively.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
29
Question C-8:
What are OSEP’s minimum expectations for States in reporting annually
to the public on the performance of each LEA or EIS program located in
the State on the targ ets in the State’s performance plan?
Answer: Each year, States must publicly report on the performance of each LEA or EIS program
in the State on the targets in the State’s SPP/APR , as soon as practicable but no later than 120
days following the submission of the SPP/APR to OSEP . Sections 616(b)(2)(C)(ii)(I) and 642
and 34 C.F.R. §§ 300.602(b)(1)(i)(A) and 303.702(b)(1)(i)(A). In meeting this annual reporting
requirement, if a State collects performance data through monitoring or sampling, the State must
include the most recently available performance data on each LEA or EIS program as required
under 34 C.F.R. §§ 300.602(b)(1)(ii) and 303.702(b)(1)(ii), the date these data were obtained,
and the time period covered by the data.
Under 34 C. F. R . §§ 300.601(b) (2) and 303.701(c) (2), States are permitted to collect data on
specific indicators through State monitoring or sampling. For those indicators that allow States to
collect data through monitoring or sampling, data must be collected for eac h LEA or EIS
program at least once during the period of the SPP/APR. OSEP understands that some LEAs or
EIS programs will have a small “n” size for particular indicators (see Question C-9). In these
circumstances, OSEP expects the State to apply appropriate privacy protections to the LEA or
EIS program’s actual data but still indicate whether the LEA or EIS program met the State -
established target. The State’s report for the LEA or EIS program must compare their
performance against the State’s SPP/APR targets , using actual data that show whether the LEA
or EIS program has met the State’s targets for each indicator that applies to LEAs or EIS
programs, unless the specific measurement for an indicator dictates otherwise. For example,
when reporting an LEA’s performance data for conducting initial evaluations within the required
timeline (Indicator B -11 (T imely I nitial Evaluations) ), the State must indicate the percent of
evaluations that were completed within the 60 -day timeline ( or State-established timeline ). The
State’s report must include the LEA ’s actual performance data (i.e., a specific percentage) , and
not simply report that the LEA “met” or “did not meet” the State’s target of 100 percent.
States are also required to annually report current data collected pursuant to Section 618 of the
IDEA, under 34 C.F.R. §§ 300.640 through 300.646 (for Part B) and 303.124 (which
incorporates the data reporting requirements in 34 C.F.R. §§ 303.720 through 303.724 (for Part
C) ). These data include State- level data on the number and percentage of infants, toddlers,
children, and youth with disabilities by race, gender, and ethnicity on a number of measures,
including child count, educational and service setting environments, exiting, and discipline. The
State must ensure that its report to the public on the performance of its LEAs or EIS programs is
accessible and compl ies with Section 508 of the Rehabilitation Act.
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
30
Question C-9: May States report intermediate unit (or regional) information rather than
LEA or EIS program information where the “n” size (total population of
children with disabilities/infants and toddlers with disabilities measured
by the indicator in the LEA or EIS program) is too small to report data
for an LEA or EIS program (e.g., the LEA’s one high school has two
graduates with disabilities)?
Answer : Ye s . Under IDEA Sections 616(b)(2)(C)(iii) and 642, States must ensure that they
report information for LEAs or EIS programs in a manner that protects personally identifiable
information about individual children. Thus, a State may report data for intermediate units (or
regions) in situations where the “n” size for the individual LEA or EIS program is too small to
report .
Question C -10: What are the requirements for making the State’s SPP/APR available to
the public?
Answer: The State must, at a minimum, post the SPP /APR on the State’s websit e and distribute
the SPP/APR to the media and through public agencies. 34 C.F.R §§ 300.602(b)(1)(i)(B) and
303.702(b)(1)(i)(B). Additionally, a State may elect to retain hard copies of its annual SPP/APR
to make available to the public. States may not rely on the Department’s posting of State
SPP/APRs on the Department’s website to meet the requirements in
34 C.F.R §§ 300.602(b)(1)(i)(B) and 303.702(b)(1)(i)(B).
Question C- 11: How long must a State retain its current SPP/APR on its website?
Answer: States must retain copies of, and make available to the public , its annual SPP/APR. As
stated in Question C-10, t he State must post its most recent SPP/ APR on the State’s website
during the year in which it was submitted. 34 C.F.R §§ 300.602(b)(1)(i)(B) and
303.702(b)(1)(i)(B). The State should maintain , for the duration of the six- year SPP/APR cycle,
each year ’s SPP/APR on the State’s website .
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
31
D. S TAT E A NNUAL D ETERMINATIONS
Question D-1: When making determinations about the annual performance of an LEA
or EIS program, must States use the same determination categories that
OSEP uses with States?
Answer: Ye s . Pursuant to Sections 616(a) and 642 of IDEA, States must use the same four
determination categories that OSEP is required to use with States: meets requirements, needs
assistance, needs intervention, and needs substantial intervention, in accordance with
34 C.F.R. §§ 300.603(b) and 303.703(b).
38
Question D-2: What factors must a State consider when making annual determinations of the performance of LEAs or EIS program s?
Answer: When making an annual determination on the performance of each LEA under Part B,
or EIS program under Part C, consistent with IDEA and OSEP’s longstanding guidance , a State
must consider the following factors: (1) performance on compliance indicators; (2) valid and
reliable data; (3) correction of identified noncompliance; and (4) other data available to the State
about the LEA or EIS program ’s compliance with IDEA, including any relevant audit findings.
39
Addi tionally, in developing its determinations process (including the factors the State will
consider when making annual determinations), the State should consider stakeholder input,
including input from parents , children with disabilities, LEAs or EIS programs or providers,
local -level staff, teachers, specialized instructional support personnel, Section 619 (preschool)
coordinators, related service providers, the SAP established under Part B, the SICC established
under Part C, PTI leadership and staff, local and statewide advocacy groups and advisory
committees , and others. For example, t he SAP as described in 34 C.F.R. §§ 300.167 through
300.169 (Part B) and the SICC as described in 34 C.F.R. §§ 303.600 through 300.605 (Part C)
provide States with a mechanism to obtain stakeholder input and feedback on a wide variety of
issues related to IDEA implementation, including the State’s determinations process.
Question D-3: What other factors may a State consider when making annual
determinations of the performance of LEAs or EIS programs?
Answer: The Department encourages States to use results and functional outcomes data when
making their annual LEA or EIS program determinations. These data could include information
38 See OSEP’s determination letters on State implementation of IDEA .
39 IDEA Sections 616(a)(1)(C)(ii) and 642 require States to monitor using Section 616(a)(3) a nd enforce using
Section 616(e). Under IDEA Section 616(a)(3), the Department must monitor priority areas and States must
follow the Department. . The Department issued its first annual IDEA determinations in 2007 for Parts B and C
based on compliance data. Since 2014 for Part B States (and 2018 for Part B entities) and 2015 for all Part C
States and entities, the Department made IDEA determinations using both compliance and results data. Further,
beginning in 2006, OSEP communicated t he required use of the se four factors in training and technical assistance
activities .
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
32
collected and reported under
results indicators in the State’s SPP/APR or other performance
measures (see Question C -1). A State may also want to consider any monitoring findings it has
made that are not already included in data submitted under the SPP/ APR indicators (e.g.,
noncompliance identified with an IDEA requirement unrelated to an SPP/ APR indicator).
Additionally, a State may establish criteria that preclude a “meets requirements” determination
for an LEA or EIS program under certain circumstances. Such circumstances could include an
LEA or EIS program whose grant award or contract is under Specific Conditions imposed by the
State . The State’s criteria should be transparent so that stakeholders, including LEAs or EIS
programs, are aware of the standards that the State is using to make these critical decisions ,
which could lead to enforcement actions.
Question D -4: Does IDEA provide LEAs or EIS programs with the opportunity for a
hearing regarding the annual determination?
Answer: Although the IDEA affords States the opportunity for a hearing on their annual
determination s under Sections 616(d)(2)(B) and 642, the IDE A and its implementing regulations
do not explicitly provide that an LEA or EIS program has a right to a hearing regarding its annual
determination. Nevertheless, t he State may establish a process similar to that in IDEA S ections
616(d)(2)(B) and 642 for its LEAs and EIS programs.
Question D-5: Are States required to issue annual determination s for their LEAs or EIS
programs during disasters (e.g., human-made, health -related, or
natural)?
Answer: Generally, yes. States should continue to make annual determinations during a disaster.
However, States may consider the impact of the disaster in making these determinations. The
State may consider a variety of factors when determining any enforcement actions, including the
impact of the disaster on the provision of services, and the specific nature and extent of the
noncompliance in framing an appropriate corrective action on an LEA or EIS program’s annual
determination . In addition, if the State determines that a requirement was not met solely due to
the disaster (e.g ., a service could not be provided because of public health restrictions imposed as
a res ult of the disaster ), it may determine that no changes to policies, procedures and practices
are required, while ensuring that the appropriate services are provided, including, as appropriate,
the consideration and determination of compensatory services.
S ee the Non -Regulatory Guidance on Flexibility and Waivers for Grantees and Program
Participants Impacted by Federally Declared Disasters (Jan. 2022), for more information related
to this topic. 40
40 See OSEP’ s website for information on policy, guidance, and other resources related to disasters:
https://sites.ed.gov/idea/topic -areas/#Disaster_Response .
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
33
Question D-6:
How and when must a State inform an LEA or EIS program of the State’s
determination s?
Answer: States must make annual determination s regarding the performance of LEAs or EIS
programs. While IDEA does not include a specific timeline, OSEP encourages States to notify
their LEAs or EIS programs of their specific determinations in a timely manner so that they may
begin to plan for and take any actions necessary for improvement as soon as possible. To the
extent that the State’s determinations and resulting enforcement actions impact funds for LEAs
or EIS programs, the State should share its determinations before LEA subgrants are issued
under Part B or before the LA provides funds under subawards to its EIS programs or signs or
renews contracts with its EIS providers under Part C. 34 C.F.R. §§ 300.604(b)(2)(v) and
300.604(c)(2); 303.704(b)(2)(iv) and 303.704(c)(2).
Question D -7: Must a State make its annual determinations for each LEA or EIS
program available to the public?
Answer: No. IDEA does not require a State to make its annual determinations for LEA s or EIS
programs available to the public. However, States are encouraged to make these annual
determinations publicly available to promote accountability and transparency. Annual
determinations provide valuable information on the extent to which LEAs or EIS programs are
meeting IDEA requirements and how the LEA or EIS program ’s actual data compare to the
State’s targets .
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
34
E. S TATE E NFORCEMENT T HROUGH D ETERMINATIONS AND
O THER M ETHODS
Question E-1: What are the enforcement actions that a State must, or may, impose
under IDEA if it makes a determination that an LEA or EIS program
does not meet the requirements of IDEA ?
Answer: As described above, IDEA requires States to make an annual determination of the
extent to which each LEA or EIS program meets the requirements and purposes of IDEA based
on the information in the SPP/APR, information obtained through monitoring visits, and any
other publicly available information. 34 C.F.R. §§ 300.603(b) and 303.703(b). The State is then
required to take certain enforcement action(s) if an LEA or EIS program needs assistance for two
consecutive years, needs intervention for three or more consecutive years, or anytime the State
determine s that an LEA or EIS program needs substantial intervention or that there is a
substantial failure to comply with any Part B eligibility condition or Part C requirement.
34 C.F.R. §§ 300.604 and 303.704.
Under 34 C.F.R. §§ 300.604 and 303.704, State e nforcement actions are applicable as follows:
Needs Assistance for Two Consecutive Years
If the State determines that an LEA or EIS program needs assistance for two consecutive years,
the State must take one or more of the following actions:
(1) Advise the LEA or EIS program of available sources of TA that may help the LEA
or EIS program address the areas in which the LEA or EIS program needs
assistance and require the LEA or EIS program to work with the appropriate
sources of TA . 34 C.F.R. §§ 300.604(a)(1) and 303.704(a)(1).
(2) Identify the LEA or EIS program as a high-risk grantee and impose Specific
Conditions on the LEA’s IDEA Part B grant award or the EIS program’s Part C
grant award. 34 C.F.R. §§ 300.604(a)(3) and 303.704(a)(2).
For Part B, if a State determines tha t an LEA is not meeting the requirements of Part B, including
the targets for compliance indicators in the SPP/APR, the State must prohibit the LEA from
reducing its maintenance of effort under 34 C.F.R. § 300.203 for any fiscal year.
34 C.F.R. § 300.608(a).
Needs Intervention for Three or More Consecutive Years
If the State determines that an LEA or EIS program needs intervention for three or more
consecutive years, the State may take any of the actions described above for “ Needs Assistance.”
In addition, t he State must take one or more of the following enforcement actions:
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
35
(1) R
equire the LEA or EIS program to prepare a corrective action plan or improvement
plan to correct the identified area(s) . 34 C.F.R. §§ 300.604(b)(2)(i) and 303.704(b)(2)(i).
(2) Withhold, in whole or in part, further payments under Part B to the LEA or under Part
C to the EIS program. 34 C.F.R. §§ 300.604(b)(2)(v) and 303.704(b)(2)(iv).
Needs Substantial Intervention
A State ’s determination that an LEA or EIS program “needs substantial intervention,” at any
time, must result in the State ’s withholding ( after reasonable notice and opportunity for a
hearing, consistent with 34 C.F.R. §§ 300.155, 300.221, and 76.401(d)), in whole or in part, any
further payments under Part B to the LEA or under Part C to the EIS program.
34 C.F.R. §§ 300.604(c)(2) and 303.704(c)(2).
For all three of these determination categories, the State may take additional enforcement actions
that it identifies as appropriate under its determination ’s policy. See 34 C.F.R. §§ 300.608(b) and
303.708. Please see Q uestions E-4 and E-5 below regarding the notice and opportunity for
hearing requirements when a State proposes to withhold IDEA Part B funds from an LEA or Part
C funds from an EIS program.
Question E-2: Under what circumstances must a State propose to withhold IDEA funds
from an LEA or EIS program after making an annual determination ?
Answer: As stated in Question E -1, a State’s determination under Section 616 (Part B) or
Section 642 (Part C) that an LEA or EIS program needs substantial intervention, at any time,
must result in the State ’s withholding, in whole or in part, any further payments under Part B to
the LEA or under Par t C to the EIS program. 34 C.F.R. §§ 300.604(c)(2) and 303.704(c)(2).
States should have policies and procedures which describe how any IDEA funds withheld from
an LEA or EIS program would be managed. S ee Questions E-4 and E-5 below regarding the
notice and opportunity for hearing requirements when a State proposes to withhold IDEA Part B
funds from an LEA or Part C funds from an EIS program.
Question E -3: May a State take enforcement action unrelated to the annual
determinat ion for an LEA or EIS program?
Answer: Ye s , if the State has such authority. Under 34 C.F.R. §§ 300.608 and 303.708, there is
nothing in IDEA that restricts a State from utilizing any other authority available to it to monitor
and enforce IDEA requirements .
Question E-4: What steps must an SEA take when proposing to withhold IDEA funds
from an LEA’s IDEA Part B grant?
Answer: If the SEA determines that withholding , in whole or in part, an LEA’s IDEA Part B
grant is an appropriate enforcement action, this would be considered a determination on LEA
eligibility , and the SEA must notify the LEA of that determination and provide the LEA with
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
36
reasonable notice and an opportunity for a hearing under 34 C.F.R. § 76.401(a) and
(d). See
34 C.F.R. §§ 300.155 and 300.221.
Question E-5: What steps must the LA take before withholding IDEA Part C funds ?
Answer: In most States, the L A contracts with EIS providers to use IDEA Part C funds for the
provision of early intervention services within the State . These contracts are governed by State
contract law and should include provisions that clearly describe the actions the L A will take if
the EIS provider fails to perform consistent with the terms of the contract, including compliance
with IDEA requirements. Under the State’s determination authority as part of the framework
under IDEA Sections 616 and 642, withholding funds from an EIS program is available as an
enforcement action under Part C when a State determines that an EIS program either “needs
intervention” or “needs substantial intervention.” See 34 C.F.R. §§ 303.700(a)(3),
303.704(b)(2)(iv) and (c)(2), and 303.708. In addition, when the LA subgrants funds to an EIS
program, the LA may take enforcement action s through the subrecipient monitoring procedures
available under the OMB Uniform Guidance. The LA may apply any of the remedies for
noncompliance outlined in 2 C.F.R. § 200.339, including withholding. 2 C.F.R. § 200.332.
Question E-6: What are other enforcement actions a State could consider when previous
enforcement actions have been unsuccessful in ensuring correction of
noncompliance ?
Answer: States have used a variety of additional actions to facilitate improved compliance by
their LEAs or EIS programs , including those that are available to them and described under
IDEA (e.g., corre ctive action plans or Specific Conditions). In addition to the enforcement
actions described in IDEA, a State’s system of progressive sanctions and enforcement provisions
could include placing a State- designated management team at the local level to develop and
implement the policies, procedures, and practices necessary to bring the agency into compliance.
This model can include training, TA, and coaching new or existing local staff so they can re-
assume operations and the State can gradually reduce its on-site support. Although not defined in
IDEA or its implementing regulations, in this context, sanctions are generally understood to be
the adverse actions that the State uses to ensure that the requirements of the IDEA and the
applicable regulations are met. 34 C.F.R §§ 300.626 and 303.417. The State should have written
policies , procedures and practices that explain the State’s system of progressive sanctions and
enforcement provisions.
Under IDEA Part B, the SEA may take over the direct provision of special education and related
services from an LEA in certain circumstances. In one such circumstance, i f an SEA determines
that the LEA is unable to establish and maintain programs of FAPE t hat meet Part B
requirements, the SEA must use the payments that would otherwise have been available to the
LEA to provide special education and related services directly to children with disabilities
residing in the area served by that LEA. 34 C.F.R. § 300.227(a)(1)(ii).
STATE GENERAL SUPERVISION RESPONSIBILITIES UNDER PARTS B AND C OF THE IDEA
37
SUMMARY
OSEP appreciates States’ continued efforts to improve the implementation of IDEA and
recognizes the challenges in developing a reasonably designed general supervision system which
balances ensuring compliance and improving results . Using the information in this document,
and continued guidance, support, and TA, OSEP expects States to build robust general
supervision systems to ensure Statewide accountability that swiftly identif ies and correct s
noncompliance; increase s accountability through the collection of timely and accurate data; and
ensures the full implementation of IDEA to improve functional outcomes, and early intervention
and educational results for children with disabilities. A State’ s investment in establishing and
implementing a robust general supervision system should result in infants and toddlers having
access to developmental opportunities and children with disabilities receiving appropriate
education services that are necessary to prepare them for further education, employment, and
independent living.
Summary
IDEA Part B requires that children with disabilities, ages three through 21, receive a free appropriate public education (FAPE). IDEA Part C requires States to make available early intervention services to infants and toddlers with disabilities and their families. This guidance applies to States (the State educational agency (SEA) under IDEA Part B Sections 611 and 619 and the State lead agency (LA) under IDEA Part C) that are responsible for implementing a general supervision system. State general supervision systems must include local educational agencies (LEAs) under Part B and early intervention service (EIS) programs and providers under Part C.
idea_file-template-default single single-idea_file postid-88216 wp-custom-logo wp-embed-responsive with-font-selector no-anchor-scroll footer-on-bottom animate-body-popup social-brand-colors hide-focus-outline link-style-standard has-sidebar content-title-style-normal content-width-normal content-style-boxed content-vertical-padding-show non-transparent-header mobile-non-transparent-header kadence-elementor-colors elementor-default elementor-kit-82278
Last modified on October 25, 2023