AB100-ASA1,335,319
20.395
(3) (ev)
Highway maintenance, repair and traffic operations, local
20funds. All moneys received from any local unit of government or other sources for
21the maintenance and repair of roadside improvements under s. 84.04, state trunk
22highways under s. 84.07 and bridges that are not on the state trunk highway system
23under s. 84.10; for signing under s. 86.195; for highway operations such as permit
24issuance, pavement marking, highway signing, traffic signalization and highway
25lighting under ss. 84.04, 84.07, 84.10 and 348.25 to 348.27 and ch. 349; and
, before
1October 1, 1997, for the disadvantaged business demonstration and training
2program under s. 84.076; for such purposes. This paragraph does not apply to special
3maintenance activities under s. 84.04 on roadside improvements.
AB100-ASA1,335,145
20.395
(3) (ex)
Highway maintenance, repair and traffic operations, federal
6funds. All moneys received from the federal government for the maintenance and
7repair of roadside improvements under s. 84.04, state trunk highways under s. 84.07
8and bridges that are not on the state trunk highway system under s. 84.10; for
9highway operations such as permit issuance, pavement marking, highway signing,
10traffic signalization and highway lighting under ss. 84.04, 84.07, 84.10 and 348.25
11to 348.27 and ch. 349; and
, before October 1, 1997, for the disadvantaged business
12demonstration and training program under s. 84.076; for such purposes. This
13paragraph does not apply to special maintenance activities under s. 84.04 on
14roadside improvements.
AB100-ASA1,335,1816
20.395
(3) (iq)
Administration and planning, state funds. The amounts in the
17schedule for the administration and planning of departmental programs
by the
18division of highways and transportation services under subs. (1) to (3).
AB100-ASA1,335,2320
20.395
(3) (iv)
Administration and planning, local funds. All moneys received
21from any local unit of government or other source for the administration and
22planning of departmental programs
by the division of highways and transportation
23services under subs. (1) to (3).
AB100-ASA1,336,4
120.395
(3) (ix)
Administration and planning, federal funds. All moneys
2received from the federal government for the administration and planning of
3departmental programs
by the division of highways and transportation services 4under subs. (1) to (3).
AB100-ASA1,336,86
20.395
(3) (jq)
Replacement of damaged signs, state funds. All moneys received
7under s. 86.19 (7) for the replacement of damaged or deteriorated signs, for such
8purposes.
AB100-ASA1,336,2210
20.395
(4) (aq)
Departmental management and operations, state funds. The
11amounts in the schedule for departmental planning and administrative activities
12and the administration and management of departmental programs except those
13programs under subs. (2) (bq), (cq)
, and (dq)
and (mq) and (3) (iq), including those
14activities in s. 85.07 and including not less than $220,000 in each fiscal year to
15reimburse the department of justice for legal services provided the department
16under s. 165.25 (4) (a) and including activities related to the demand management
17and ride-sharing program under s. 85.24 that are not funded from the
18appropriations appropriation under
subs. (1) and (2) sub. (1) (bs), (bv) or (bx), the
19minority civil engineer scholarship and loan repayment incentive grant program
20under s. 85.107, the Type 1 motorcycle, moped and motor bicycle safety program
21under s. 85.30
and the grant under 1993 Wisconsin Act 16, section 9154 (1g) and to
22match federal funds for mass transit planning.
AB100-ASA1,337,224
20.395
(4) (ar)
Minor construction projects, state funds. As a continuing
25appropriation, the amounts in the schedule for minor construction projects approved
1under s. 13.48 (10) or 16.855 (16) (b). The total construction cost of any project funded
2under this paragraph may not exceed
$250,000 the amount specified in s. 13.48 (3).
AB100-ASA1,337,84
20.395
(4) (at)
Capital building projects, service funds. All moneys received
5from the fund created under s. 18.57 (1) as reimbursement for the temporary
6financing under sub. (9) (th) of projects for transportation administrative facilities
7under s. 84.01 (28) approved under s. 13.48 (10)
or authorized under s. 84.01 (30) that
8are financed under s. 84.59, for the purpose of financing such projects.
AB100-ASA1,337,1610
20.395
(4) (av)
Departmental management and operations, local funds. All
11moneys received from any local unit of government or other source for departmental
12planning and administrative activities, for the administration and management of
13departmental programs except those programs under subs. (2) (bv)
, and (dv)
and
14(mv) and (3) (iv), and for activities related to the demand management and
15ride-sharing program under s. 85.24 that are not funded from the
appropriations 16appropriation under
subs. (1) and (2)
sub. (1) (bs), (bv) or (bx), for such purposes.
AB100-ASA1,338,319
20.395
(4) (ax)
Departmental management and operations, federal funds. All
20moneys received from the federal government for the administration and
21management of departmental programs except those programs under subs. (2) (bx)
, 22and (dx)
and (mx) and (3) (ix), and for departmental planning and administrative
23activities including all moneys received as federal aid as authorized by the governor
24under s. 16.54 to promote highway safety and continue the local traffic safety
25representatives program and for purposes of s. 85.07 and for activities related to the
1demand management and ride-sharing program under s. 85.24 that are not funded
2from the
appropriations appropriation under
subs. (1) and (2) sub. (1) (bs), (bv) or
3(bx), for such purposes.
AB100-ASA1,338,75
20.395
(4) (ew)
Operating budget supplements, state funds. All moneys
6received under s. 85.15 (2), for the purpose of supplementing the costs of
7departmental management and operations.
AB100-ASA1,338,139
20.395
(5) (ci)
Breath screening instruments, state funds. From the general
10fund, all moneys transferred from s. 20.435 (6) (hx) for the purchase and
11maintenance of breath screening instruments. Notwithstanding s. 20.001 (3) (a), the
12unencumbered balance in this appropriation account on June 30 of each year shall
13be transferred to the appropriation account under s. 20.435 (6) (hx).
AB100-ASA1,338,1815
20.395
(5) (dg)
Escort, security and traffic enforcement services, state funds. 16From the general fund, all moneys received under s. 348.26 (2) for motor carrier
17escort services and under s. 85.51 (1) for security and traffic enforcement services,
18for those purposes.
AB100-ASA1,338,2220
20.395
(5) (dh)
Traffic academy tuition payments, state funds. From the
21general fund, all moneys received as payment for tuition charges under s. 110.065
22to sponsor training under s. 110.065.
AB100-ASA1,339,324
20.395
(5) (di)
Chemical testing training and services, state funds. From the
25general fund, the amounts in the schedule for the chemical testing training and
1services provided by the state traffic patrol. All moneys transferred from the
2appropriation account under s. 20.435 (6) (hx) shall be credited to this appropriation
3account.
AB100-ASA1,339,145
20.395
(9) (th)
Temporary funding of projects financed by revenue bonds. A sum
6sufficient to provide initial, temporary funding for any project to be financed under
7s. 84.59 which is a major highway project enumerated under s. 84.013 (3) or a project
8under s. 84.01 (28) approved under s. 13.48 (10)
or authorized under s. 84.01 (30). The
9department shall keep a separate account of expenditures under this paragraph for
10each such project. As soon as moneys become available from the proceeds of the
11obligation issued under s. 84.59 to finance that project, an amount equal to the
12amounts expended under this paragraph shall be paid from those proceeds into the
13transportation fund and credited to the appropriation account under sub. (3) (br) or
14(4) (at).
AB100-ASA1,339,2216
20.410
(1) (ab) (title)
Intergovernmental corrections Corrections contracts and
17agreements. The amounts in the schedule for payments made in accordance with
18contracts entered into
with other states party to the interstate corrections compact
19under s. 302.25, including payments in accordance with contracts entered into under
20s. ss. 301.21,
302.25 and
for payments for placements in accordance with contracts
21under s. 302.27
, contracts entered into with the federal government under 18 USC
225003 and intra-agency agreements relating to the placement of prisoners.
AB100-ASA1,340,7
120.410
(1) (b) (title)
Field supervision Services for community corrections
. The
2amounts in the schedule to provide services related to probation and parole
, the
3intensive sanctions program under s. 301.048, the community residential
4confinement program under s. 301.046, programs of intensive supervision of adult
5offenders and minimum security correctional institutions established under s.
6301.13. No payments may be made under this paragraph for payments in accordance
7with other states party to the interstate corrections compact under s. 302.25.
AB100-ASA1,340,139
20.410
(1) (d)
Purchased services for offenders. The amounts in the schedule
10for the purchase of goods, care and services,
including community-based residential
11care, authorized under s. 301.08 (1) (b) 1., for
inmates, probationers
, and parolees
12and other offenders, except as provided in par. (dd). In addition, funds from this
13appropriation shall be used to reimburse programs under s. 38.04 (12).
AB100-ASA1,340,2016
20.410
(1) (f)
Energy costs. The amounts in the schedule to be used at state
17correctional institutions to pay for utilities and for fuel, heat and air conditioning,
18to pay costs incurred by or on behalf of the department under
s. ss. 16.858 and 16.895,
19and to repay to the energy efficiency fund loans made to the department under s.
2016.847 (6).
AB100-ASA1,341,222
20.410
(1) (ge)
Administrative and minimum supervision. The amounts in the
23schedule for the supervision of probationers and parolees under minimum or
24administrative supervision and for the department's costs associated with contracts
25under s. 301.08 (1) (c) 2. All moneys received from vendors under
contracts under
1s. 301.08 (1) (c)
2. 4. and from fees charged under s. 304.073 (2) shall be credited to
2this appropriation account.
AB100-ASA1,341,64
20.410
(1) (gf)
Probation and parole. The amounts in the schedule for probation
5and parole. All moneys received
from fees charged under s. 304.074 (2) shall be
6credited to this appropriation account.
AB100-ASA1,341,138
20.410
(1) (gi)
General operations. The amounts in the schedule to operate
9institutions and provide field services and administrative services. All moneys
10received under s. 303.01 (8) that are attributable to moneys collected
from earnings
11of inmates and residents under s. 303.01 (2) (em) and all moneys received under ss.
12302.386 (2m) and (3) (d) and 303.065 (6) shall be credited to this appropriation
13account.
AB100-ASA1,341,2215
20.410
(1) (hm)
Private business employment of inmates and residents. The
16amounts in the schedule for the establishment and operation of the program under
17s. 303.01 (2) (em). All moneys received under contracts entered into by the
18department of corrections under s. 303.01 (2) (em) shall be credited to this
19appropriation account. No expenditure may be made from this appropriation for the
20construction of buildings or purchase of equipment for the program under s. 303.01
21(2) (em), except upon approval of the joint committee on finance after a determination
22that the moneys are needed.
AB100-ASA1,342,724
20.410
(1) (km)
Prison industries. The amounts in the schedule for the
25establishment and operation of prison industries
, but not including the program
1under s. 303.01 (2) (em). All moneys received from prison industries sales shall be
2credited to this appropriation. All moneys credited to this appropriation shall be
3expended first for the purpose under par. (ko). No expenditure may be made from this
4appropriation for the construction of buildings or purchase of equipment for new
5prison industries, except upon approval of the joint committee on finance after a
6determination that the moneys are needed and that no other appropriation is
7available for that purpose.
AB100-ASA1,342,129
20.410
(3) (a)
General program operations. The amounts in the schedule to
10operate
the department's juvenile correctional institutions, to provide field services
11and administrative services and to provide for the operating costs of the gang
12violence prevention council.
AB100-ASA1,342,1714
20.410
(3) (e)
Principal repayment and interest. A sum sufficient to reimburse
15s. 20.866 (1) (u) for the payment of principal and interest costs incurred in financing
16the acquisition, construction, development, enlargement or improvement of
the
17department's juvenile correctional facilities.
AB100-ASA1,343,1619
20.410
(3) (hm)
Juvenile correctional services. Except as provided in pars. (ho)
20and (hr), the amounts in the schedule for juvenile correctional services specified in
21s. 301.26 (4) (c) and (d)
and to operate the correctional institution authorized under
221997 Wisconsin Act 4, section 4 (1) (a). All moneys received from the sale of surplus
23property, including vehicles, from juvenile correctional institutions
operated by the
24department, all moneys received as payments in restitution of property damaged at
25juvenile correctional institutions
operated by the department, all moneys received
1from miscellaneous services provided at a juvenile correctional institution
operated
2by the department, all moneys transferred under s. 301.26 (4) (cm)
, all moneys
3received under 1997 Wisconsin Act .... (this act), section 9111 (2u) and, except as
4provided in par. (hr), all moneys received in payment for juvenile correctional
5services specified in s. 301.26 (4) (d) shall be credited to this appropriation account.
6If moneys generated by the
monthly daily rate
under s. 301.26 (4) (d) exceed actual
7fiscal year institutional costs
, other than the cost of operating the correctional
8institution authorized under 1997 Wisconsin Act 4, section 4 (1) (a), by 2% or more,
9all moneys in excess of
that 2% shall be remitted to the counties during the
10subsequent calendar year or transferred to the appropriation account under par. (kx)
11during the subsequent fiscal year. Each county and the department shall receive a
12proportionate share of the remittance and transfer depending on the total number
13of days of placement at juvenile correctional institutions
including the Mendota
14Juvenile Treatment Center. Counties shall use the funds for purposes specified in
15s. 301.26. The department shall deposit in the general fund the amounts transferred
16under this paragraph to the appropriation account under par. (kx).
AB100-ASA1,344,918
20.410
(3) (ho)
Juvenile residential aftercare. The amounts in the schedule for
19providing foster care, treatment foster care, group home care and institutional child
20care to delinquent
children juveniles under ss. 49.19 (10) (d), 938.48 (4) and (14) and
21938.52. All moneys transferred under s. 301.26 (4) (cm) and all moneys received in
22payment for providing foster care, treatment foster care, group home care and
23institutional child care to delinquent
children juveniles under ss. 49.19 (10) (d),
24938.48 (4) and (14) and 938.52 as specified in s. 301.26 (4) (e) shall be credited to this
25appropriation account. If moneys generated by the
monthly daily rate exceed actual
1fiscal year foster care, treatment foster care, group home care and institutional child
2care costs by 2% or more, all moneys in excess of 2% shall be remitted to the counties
3during the subsequent calendar year or transferred to the appropriation account
4under par. (kx) during the subsequent fiscal year. Each county and the department
5shall receive a proportionate share of the remittance and transfer depending on the
6total number of days of placement in foster care, treatment foster care, group home
7care or institutional child care. Counties shall use the funds for purposes specified
8in s. 301.26. The department shall deposit in the general fund the amounts
9transferred under this paragraph to the appropriation account under par. (kx).
AB100-ASA1,344,1311
20.410
(3) (jv)
Secure detention services. All moneys received from counties
12under s. 938.224 (3) (a) for holding juveniles in secure custody in secured correctional
13facilities under s. 938.224 (1).
AB100-ASA1,344,1715
20.410
(3) (ko)
Interagency programs; community youth and family aids. All
16moneys transferred from the appropriation account under s. 20.435 (3) (nL) for the
17purposes of s. 301.26, to be used for those purposes.
AB100-ASA1,344,2219
20.410
(3) (kp)
Interagency programs; alcohol and other drug abuse. All
20moneys transferred from the appropriation account under s. 20.435 (7) (md) for
21alcohol and other drug abuse education and treatment under s. 301.265 (2), to be
22used to provide that education and treatment.
AB100-ASA1,345,4
120.432
(1) (kd)
Ombudsman services. The amounts in the schedule for the
2provision of ombudsman services under s. 16.009 (4). All moneys transferred from
3the appropriation account under s. 20.435 (7) (j) shall be credited to this
4appropriation account.
AB100-ASA1,345,76
20.435
(1) (title)
Health services planning, regulation and delivery; state
7operations.
AB100-ASA1, s. 425
8Section
425. 20.435 (1) (am) of the statutes is renumbered 20.435 (5) (am).
AB100-ASA1, s. 426
9Section
426. 20.435 (1) (b) of the statutes is renumbered 20.435 (5) (b) and
10amended to read:
AB100-ASA1,345,2111
20.435
(5) (b)
Medical assistance program benefits. Biennially, the amounts in
12the schedule to provide the state share of medical assistance program benefits
13administered under s. 49.45, to provide medical assistance program benefits
14administered under s. 49.45 that are not also provided under par. (o), to provide
15health care coverage under s. 49.153 and to fund the pilot project under s. 46.27 (9)
16and (10). Notwithstanding s. 20.002 (1), the department may transfer from this
17appropriation to the appropriation under sub.
(3)
(7) (kb) funds in the amount of and
18for the purposes specified in s. 46.485. Notwithstanding ss. 20.001 (3) (b) and 20.002
19(1), the department may credit or deposit into this appropriation and may transfer
20between fiscal years funds that it transfers from the appropriation under sub.
(3) (7)
21(kb) for the purposes specified in s. 46.485 (3r).
AB100-ASA1, s. 428
23Section
428. 20.435 (1) (bs) of the statutes is renumbered 20.435 (5) (bs).
AB100-ASA1, s. 429
24Section
429. 20.435 (1) (bt) of the statutes is renumbered 20.435 (5) (bt).
AB100-ASA1, s. 430
25Section
430. 20.435 (1) (bu) of the statutes is renumbered 20.435 (5) (bu).
AB100-ASA1, s. 431
1Section
431. 20.435 (1) (cc) of the statutes is renumbered 20.435 (5) (cc) and
2amended to read:
AB100-ASA1,346,143
20.435
(5) (cc)
Cancer treatment, training, follow-up, control and prevention. 4The amounts in the schedule for cancer control and prevention grants under s.
5255.05, for the breast cancer screening program under s. 255.06
and, for grants for
6training to perform colposcopic examinations and follow-up activities under s.
7255.07
and for breast cancer screening activities under 1997 Wisconsin Act .... (this
8act), section 9123 (10). Notwithstanding ss. 20.001 (3) (a) and 20.002 (1), the
9department may transfer funds for grants under s. 255.05, funds for screening and
10services under s. 255.06 and funds for grants under s. 255.07 between fiscal years
11under this paragraph. All funds allocated by the department under s. 255.05 (2) but
12not encumbered by December 31 of each year lapse to the general fund on the next
13January 1 unless transferred to the next calendar year by the joint committee on
14finance.
AB100-ASA1, s. 432
15Section
432. 20.435 (1) (cd) of the statutes is renumbered 20.435 (3) (cd).
AB100-ASA1, s. 433
16Section
433. 20.435 (1) (ce) of the statutes is renumbered 20.435 (5) (ce).
AB100-ASA1, s. 538b
18Section 538b. 20.435 (1) (cm) of the statutes is renumbered 20.435 (5) (cm) and
19amended to read:
AB100-ASA1,347,320
20.435
(5) (cm)
Immunization. Biennially, the amounts in the schedule A sum
21sufficient not to exceed in fiscal year 1997-98 the difference between $8,550,700 and
22the sum of the moneys received from the federal government under the federal
23vaccines for children program and under section 317 of the Public Health Service Act
24in fiscal year 1997-98 and not to exceed in fiscal year 1998-99 the difference between
25$8,776,400 and the sum of the moneys received from the federal government under
1the federal vaccines for children program and under section 317 of the Public Health
2Service Act in fiscal year 1998-99 for the provision of vaccine to immunize children
3under s. 252.04 (1).