LRBb0103/3
ALL:cdc
2021 - 2022 LEGISLATURE
ASSEMBLY AMENDMENT 6,
TO ASSEMBLY SUBSTITUTE AMENDMENT 2,
TO ASSEMBLY BILL 68
June 29, 2021 - Offered by Representatives Haywood, McGuire, Anderson,
Andraca, Baldeh, Billings, Bowen, Brostoff, Cabrera, Conley, Considine,
Doyle, Drake, Emerson, Goyke, Hebl, Hesselbein, Hintz, Hong, B. Meyers,
Milroy, Moore Omokunde, L. Myers, Neubauer, Ohnstad, Ortiz-Velez,
Pope, Riemer, S. Rodriguez, Shankland, Shelton, Sinicki, Snodgrass,
Spreitzer, Stubbs, Subeck, Vining and Vruwink.
AB68-ASA2-AA6,1,11 At the locations indicated, amend the substitute amendment as follows:
AB68-ASA2-AA6,1,2 21. Page 6, line 7: after that line insert:
AB68-ASA2-AA6,1,3 3 Section 5m. 13.48 (33v) of the statutes is created to read:
AB68-ASA2-AA6,1,124 13.48 (33v) Kenosha STEM innovation center. (a) The legislature finds and
5determines that meeting this state's workforce needs, providing opportunities for
6residents of this state to learn new job skills, and supporting innovation and
7entrepreneurship in this state are of vital importance in expanding industries in this
8state, creating jobs, and improving the municipal, regional, and state economies and
9are statewide responsibilities of statewide dimension. It is therefore in the public
10interest, and it is the public policy of this state, to assist the city of Kenosha in the
11construction of a science, technology, engineering, and mathematics innovation
12center located in the city of Kenosha.
AB68-ASA2-AA6,2,8
1(b) The building commission may authorize up to $9,750,000 in general fund
2supported borrowing to assist the city of Kenosha in the construction of a science,
3technology, engineering, and mathematics innovation center at the site previously
4occupied by the Chrysler facility in the city. The state funding commitment shall be
5in the form of a grant to the city of Kenosha. Before approving any state funding
6commitment for the construction of the innovation center, the building commission
7shall determine that city of Kenosha has secured additional funding for the project
8of at least $9,750,000 from nonstate revenue sources.
AB68-ASA2-AA6,2,139 (c) If the building commission authorizes a grant to the city of Kenosha under
10par. (b), and if, for any reason, the center that is constructed with funds from the
11grant is not used as a science, technology, engineering, and mathematics innovation
12center, the state shall retain an ownership interest in the center equal to the amount
13of the state's grant.”.
AB68-ASA2-AA6,2,14 142. Page 10, line 3: after that line insert:
AB68-ASA2-AA6,2,15 15 Section 18b. 16.5185 (1m) of the statutes is created to read:
AB68-ASA2-AA6,2,2016 16.5185 (1m) In fiscal year 2021-22, in addition to the amount under sub. (1),
17the secretary shall transfer from the general fund to the transportation fund
18$22,350,000. In fiscal year 2022-23, in addition to the amount under sub. (1), the
19secretary shall transfer from the general fund to the transportation fund
20$44,700,000.
AB68-ASA2-AA6,18c 21Section 18c. 16.75 (1p) of the statutes is repealed.
AB68-ASA2-AA6,18e 22Section 18e. 16.855 (1p) of the statutes is repealed.”.
AB68-ASA2-AA6,2,23 233. Page 10, line 3: after that line insert:
AB68-ASA2-AA6,2,24 24 Section 18h. 18.04 (3) of the statutes is amended to read:
AB68-ASA2-AA6,3,5
118.04 (3) Each purpose enumerated in sub. (1) shall be construed to include any
2premium payable with respect thereto and the expenses of funding, refunding and
3acquiring public debt. Each purpose specified by the legislature under subs. (1) and
4(2) shall be construed to include the expenses of contracting and administering
5public debt.
AB68-ASA2-AA6,18i 6Section 18i. 18.08 (1) (a) 3. of the statutes is amended to read:
AB68-ASA2-AA6,3,117 18.08 (1) (a) 3. Premiums required for deposit in reserve funds or those
8necessary to pay expenses incurred in contracting and administering public debt or
9to
make cost of issuance and other ancillary payments may be credited to one or more
10of the sinking funds of the bond security and redemption fund or to the capital
11improvement fund, as determined by the commission.
AB68-ASA2-AA6,18j 12Section 18j. 18.08 (1) (b) of the statutes is amended to read:
AB68-ASA2-AA6,3,1613 18.08 (1) (b) Moneys within the capital improvement fund shall be segregated
14into separate and distinct accounts according to the program purposes defined under
15ch. 20 for which public debt has been authorized by the legislature or for the payment
16of expenses incurred in contracting and administering public debt
.
AB68-ASA2-AA6,18k 17Section 18k. 18.08 (1m) (a) of the statutes is renumbered 18.08 (1m) (am) and
18amended to read:
AB68-ASA2-AA6,3,2319 18.08 (1m) (am) Premium proceeds not used under par. (ag) shall first be used
20for the purposes for which the bonds were issued in proportion to the par value of the
21bond issue. If the premiums are used for the purposes, the authorized bonding
22authorization for those purposes is reduced by the amount of premiums that are
23used.
AB68-ASA2-AA6,18L 24Section 18L. 18.08 (1m) (ag) of the statutes is created to read:
AB68-ASA2-AA6,4,4
118.08 (1m) (ag) Premium proceeds may be used for the payment of expenses
2incurred in contracting and administering public debt, as determined by the
3commission. The authorized bonding authorization is not reduced by the amount of
4premiums that are used for those expenses.
AB68-ASA2-AA6,18m 5Section 18m. 18.08 (1m) (b) of the statutes is amended to read:
AB68-ASA2-AA6,4,106 18.08 (1m) (b) Any premiums premium proceeds not used for the purposes for
7which bonding was authorized
under pars. (ag) and (am) may be used for other
8purposes, as determined by the commission. If the premiums are used for any other
9purposes, the authorized bonding authorization for those purposes is reduced by the
10amount of premiums that are used.
AB68-ASA2-AA6,18n 11Section 18n. 18.08 (2) of the statutes is amended to read:
AB68-ASA2-AA6,4,1812 18.08 (2) The capital improvement fund may be expended, pursuant to
13appropriations, only for the purposes and in the amounts for which the public debts
14have been contracted, for the payment of principal and interest on loans or on notes,
15for the payment due, if any, under an agreement or ancillary arrangement entered
16into under s. 18.06 (8) (a) with respect to any such public debt, for the purposes
17identified under s. 20.867 (2) (v) and (4) (q), and for expenses incurred in contracting
18and administering public debt.”.
AB68-ASA2-AA6,4,19 194. Page 10, line 3: after that line insert:
AB68-ASA2-AA6,4,20 20 Section 18p. 19.36 (12) of the statutes is created to read:
AB68-ASA2-AA6,5,621 19.36 (12) Information relating to certain employees. Unless access is
22specifically authorized or required by statute, an authority may not provide access
23to a record prepared or provided by an employer performing work on a project to
24which s. 66.0903, 103.49, or 103.50 applies, or on which the employer is otherwise

1required to pay prevailing wages, if that record contains the name or other personally
2identifiable information relating to an employee of that employer, unless the
3employee authorizes the authority to provide access to that information. In this
4subsection, “personally identifiable information" does not include an employee's
5work classification, hours of work, or wage or benefit payments received for work on
6such a project.”.
AB68-ASA2-AA6,5,7 75. Page 38, line 14: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,5,8 86. Page 40, line 8: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,5,9 97. Page 45, line 3: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,5,10 108. Page 45, line 5: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,5,11 119. Page 45, line 7: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,5,14 1210. Page 45, line 10: increase the dollar amount for fiscal year 2021-22 by
13$4,300,000 and increase the dollar amount for fiscal year 2022-23 by $5,900,000 for
14the purposes for which the appropriation is made.
AB68-ASA2-AA6,6,1
111. Page 106, line 16: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,6,4 212. Page 108, line 3: increase the dollar amount for fiscal year 2021-22 by
3$156,100 and increase the dollar amount for fiscal year 2022-23 by $628,300 for the
4purpose for which the appropriation is made.
AB68-ASA2-AA6,6,7 513. Page 108, line 5: increase the dollar amount for fiscal year 2021-22 by
6$33,100 and increase the dollar amount for fiscal year 2022-23 by $133,100 for the
7purpose for which the appropriation is made.
AB68-ASA2-AA6,6,10 814. Page 108, line 7: increase the dollar amount for fiscal year 2021-22 by
9$8,593,900 and increase the dollar amount for fiscal year 2022-23 by $26,201,400 for
10the purpose for which the appropriation is made.
AB68-ASA2-AA6,6,13 1115. Page 108, line 9: increase the dollar amount for fiscal year 2021-22 by
12$2,258,200 and increase the dollar amount for fiscal year 2022-23 by $6,884,800 for
13the purpose for which the appropriation is made.
AB68-ASA2-AA6,6,14 1416. Page 155, line 15: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,6,15 1517. Page 156, line 3: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,7,2 1618. Page 157, line 4: increase the dollar amount for fiscal year 2021-22 by
17$19,789,600 and increase the dollar amount for fiscal year 2022-23 by $19,789,600

1for the purpose of increasing the amount allocated for direct child care services in s.
249.175 (1) (p).
AB68-ASA2-AA6,7,3 319. Page 160, line 15: after that line insert: - See PDF for table PDF
AB68-ASA2-AA6,7,4 420. Page 217, line 12: delete lines 12 and 13.
AB68-ASA2-AA6,7,5 521. Page 240, line 21: after that line insert:
Loading...
Loading...