AB133-SSA1-SA1,73,2321
20.235
(1) (fd)
Talent incentive grants. Biennially, the amounts in the schedule 22A sum sufficient equal to the amount determined under s. 39.435 (8) for talent
23incentive grants under s. 39.435 (2).
AB133-SSA1-SA1,74,5
120.235
(1) (fe)
Wisconsin higher education grants; University of Wisconsin
2System students. Biennially, the amounts in the schedule A sum sufficient equal to
3the amount determined under s. 39.435 (7) for the Wisconsin higher education grant
4program under s. 39.435 for University of Wisconsin System students, except for
5grants awarded under s. 39.435 (2) or (5).".
AB133-SSA1-SA1,74,108
20.245
(3) (b)
Plover Heritage Park. Biennially, the amounts in the schedule
9for a grant to the Portage County historical society under 1999 Wisconsin Act .... (this
10act), section 9124 (1x).".
AB133-SSA1-SA1,75,215
20.255
(1) (b)
General program operations;
residential schools School for the
16Deaf and Center for the Blind and Visually Impaired. The amounts in the schedule
17for the operation and maintenance of the Wisconsin
schools School for the
deaf Deaf 18and the
visually handicapped Wisconsin Center for the Blind and Visually Impaired,
19the matching of federal funds, but not including expenses financed under par. (js).
20All moneys received in reimbursement for services rendered institutional employes,
21participants in institutes and training programs and visitors at the state schools for
22the deaf and the visually handicapped under s. 115.52 (6), except reimbursements
23credited under par. (js), shall be refunded to the appropriation made by this
1paragraph. Such reimbursements shall be accumulated in an account named
2"maintenance credits".
AB133-SSA1-SA1,75,104
20.255
(1) (c)
Energy costs; School for the Deaf and Center for the Blind and
5Visually Impaired. The amounts in the schedule to be used at the
schools Wisconsin
6School for the
deaf Deaf and
visually handicapped the Wisconsin Center for the Blind
7and Visually Impaired to pay for utilities and for fuel, heat and air conditioning, to
8pay costs incurred by or on behalf of the department under ss. 16.858 and 16.895, and
9to repay to the energy efficiency fund loans made to the department under s. 16.847
10(6).
AB133-SSA1-SA1,75,1712
20.255
(1) (d)
Principal repayment and interest. A sum sufficient to reimburse
13s. 20.866 (1) (u) for the payment of principal and interest costs incurred in financing
14the acquisition, construction, development, enlargement or improvement of
15institutional facilities for individuals with hearing impairments
and visual
16impairments under s. 115.52
, individuals with visual impairments under s. 115.525 17and reference and loan library facilities under s. 43.05 (11).
AB133-SSA1-SA1,75,2319
20.255
(1) (gb)
Residential schools School for the Deaf and Center for the Blind
20and Visually Impaired; nonresident fees. All moneys received from fees charged
21nonresident pupils
under s. 115.52 (3) for services provided at the
residential schools 22Wisconsin School for the Deaf under s. 115.52
(3) and for services provided by the
23Wisconsin Center for the Blind and Visually Impaired under s. 115.525 (3) (a) 3.
AB133-SSA1-SA1,76,4
120.255
(1) (gh)
School for the Deaf and Center for the Blind and Visually
2Impaired; hospitalization. All moneys received on account of hospitalization under
3s. 115.53 (4) for the operation of the Wisconsin School for the Deaf and the Wisconsin
4Center for the Blind and Visually Impaired.
AB133-SSA1-SA1,76,96
20.255
(1) (gL)
Center for the Blind and Visually Impaired; leasing of space. 7All moneys received from leasing space at the Wisconsin Center for the Blind and
8Visually Impaired under s. 115.525 (6) for the operation and maintenance of the
9center.
AB133-SSA1-SA1,76,1511
20.255
(1) (gs)
School for the Deaf and Center for the Blind and Visually
12Impaired; services. All moneys received from services provided at the Wisconsin
13School for the Deaf under s. 115.52 (6) and at the Wisconsin Center for the Blind and
14Visually Impaired under s. 115.525 (5) for the operation and maintenance of the
15school and the center.
AB133-SSA1-SA1,76,2317
20.255
(1) (gt)
Residential schools School for the Deaf and Center for the Blind
18and Visually Impaired; pupil transportation. The amounts in the schedule for the
19weekend transportation of pupils enrolled in the
residential schools under subch. III
20of ch. 115 Wisconsin School for the Deaf under s. 115.52 or the school operated by the
21Wisconsin Center for the Blind and Visually Impaired under s. 115.525 to and from
22their homes. All moneys received under s. 115.53 (6) shall be credited to this
23appropriation.".
AB133-SSA1-SA1,77,3
1320. Page 301, line 5: delete that line and substitute "to
$3,318,488,800 in the
21997-98 fiscal year, equal to $3,460,133,800 in the 1998-99 $3,759,711,000 in the
31999-2000".
AB133-SSA1-SA1,77,6
4321. Page 301, line 5: delete that line and substitute "to
$3,318,488,800 in the
51997-98 fiscal year, equal to $3,460,133,800 in the 1998-99 $3,760,502,600 in the
61999-2000".
AB133-SSA1-SA1,77,9
7322. Page 301, line 5: delete that line and substitute "to
$3,318,488,800 in the
81997-98 fiscal year, equal to $3,460,133,800 in the 1998-99 $3,760,517,600 in the
91999-2000".
AB133-SSA1-SA1,77,12
10323. Page 301, line 5: delete that line and substitute "to
$3,318,488,800 in the
111997-98 fiscal year, equal to $3,460,133,800 in the 1998-99 $3,768,344,300 in the
121999-2000".
AB133-SSA1-SA1,77,1615
20.255
(2) (ad)
Supplemental aid. The amounts in the schedule for aid to school
16districts under s. 115.435.".
AB133-SSA1-SA1,77,2019
20.255
(2) (cf)
Alternative education grants. The amounts in the schedule for
20alternative education grants under s. 115.366.".
AB133-SSA1-SA1,78,3
120.255
(2) (cm)
Grants Reimbursement for school breakfast programs. As a
2continuing appropriation, the amounts in the schedule for
grants reimbursement for
3school breakfast programs under s. 115.341.".
AB133-SSA1-SA1,78,106
20.255
(2) (dd)
Principal repayment, interest and rebates. A sum sufficient to
7reimburse s. 20.866 (1) (u) for the payment of principal and interest costs incurred
8in financing the grants under s. 118.435, and to make the payments determined by
9the building commission under s. 13.488 (1) (m) that are attributable to the proceeds
10of obligations incurred in financing the grants under s. 118.435.".
AB133-SSA1-SA1,78,1413
20.255
(2) (fL)
Foreign language instruction grants. The amounts in the
14schedule for foreign language instruction grants under s. 115.28 (42).".
AB133-SSA1-SA1,78,2220
20.255
(3) (eh)
Wisconsin geographical education fund. The amounts in the
21schedule for the Wisconsin geographical education fund under s. 115.28 (44). No
22moneys may be encumbered under this paragraph after June 30, 2001.".
AB133-SSA1-SA1,79,32
20.285
(1) (ce)
Census awareness program. The amounts in the schedule for
3the census awareness program under s. 36.25 (43).".
AB133-SSA1-SA1,79,86
20.285
(1) (gs)
Stray voltage research. Biennially, the amounts in the schedule
7for stray voltage research under s. 36.25 (43). All moneys received from the public
8service commission under s. 196.856 shall be credited to this appropriation account.".
AB133-SSA1-SA1,79,1514
20.285
(1) (qm)
Grants to forestry cooperatives. From the conservation fund,
15the amounts in the schedule for grants to forest cooperatives under s. 36.56.".
AB133-SSA1-SA1,79,2018
20.285
(4) (dd)
Lawton minority undergraduate grants program. The amounts
19in the schedule A sum sufficient equal to the amount determined under s. 36.34 (1)
20(c) for the Lawton minority undergraduate grant program under s. 36.34 (1).".
AB133-SSA1-SA1,80,223
20.292
(1) (ec)
Milwaukee Enterprise Center. The amounts in the schedule
24for a grant to the Milwaukee Enterprise Center under 1999 Wisconsin Act .... (this
1act), section 9147 (2ct). No moneys may be encumbered from this appropriation after
2June 30, 2001.".
AB133-SSA1-SA1,80,117
20.320
(1) (r)
Clean water fund program repayment of revenue obligations. 8From the environmental improvement fund, a sum sufficient to repay the fund in the
9state treasury created under s. 18.57 (1) the amount needed to retire revenue
10obligations issued
for the clean water fund program or the urban storm water loan
11program under subch. II or IV of ch. 18, as authorized under s. 281.59 (4).".
AB133-SSA1-SA1,80,2414
20.320
(1) (u)
Principal repayment and interest — clean water fund program
15revenue obligation repayment. From the fund in the state treasury created under s.
1618.57 (1), all moneys received by the fund and not transferred under s. 281.59 (4) (c)
17to the environmental improvement fund, for the purpose of the retirement of revenue
18obligations, providing for reserves and for operations relating to the management
19and retirement of revenue obligations issued
for the clean water fund program or the
20urban storm water loan program under subch. II or IV of ch. 18, as authorized under
21s. 281.59 (4). All moneys received are irrevocably appropriated in accordance with
22subch. II of ch. 18 and further established in resolutions authorizing the issuance of
23the revenue obligations and setting forth the distribution of funds to be received
24thereafter.".
AB133-SSA1-SA1,81,113
20.320
(2) (q)
Safe drinking water loan program revenue obligation funding. 4As a continuing appropriation, all proceeds from revenue obligations issued for the
5safe drinking water loan program under subch. II or IV of ch. 18, as authorized under
6s. 281.59 (4) and deposited in the fund in the state treasury created under s. 18.57
7(1), providing for reserves and for expenses of issuance and management of the
8revenue obligations, and the remainder to be transferred to the environmental
9improvement fund for the purposes of the safe drinking water loan program under
10s. 281.61. Estimated disbursements under this paragraph shall not be included in
11the schedule under s. 20.005.
AB133-SSA1-SA1,81,1713
20.320
(2) (r)
Safe drinking water loan program repayment of revenue
14obligations. From the environmental improvement fund, a sum sufficient to repay
15the fund in the state treasury created under s. 18.57 (1) the amount needed to retire
16revenue obligations issued for the safe drinking water loan program under subch. II
17or IV of ch. 18, as authorized under s. 281.59 (4).
AB133-SSA1-SA1,82,519
20.320
(2) (u)
Principal repayment and interest — safe drinking water loan
20program revenue obligation repayment. From the fund in the state treasury created
21under s. 18.57 (1), all moneys received by the fund and not transferred under s.
22281.59 (4) (c) to the environmental improvement fund, for the purpose of the
23retirement of revenue obligations, providing for reserves and for operations relating
24to the management and retirement of revenue obligations issued for the safe
1drinking water loan program under subch. II or IV of ch. 18, as authorized under s.
2281.59 (4). All moneys received are irrevocably appropriated in accordance with
3subch. II of ch. 18 and further established in resolutions authorizing the issuance of
4the revenue obligations and setting forth the distribution of funds to be received
5thereafter.".
AB133-SSA1-SA1,82,9
6344. Page 314, line 1: delete lines 1 to 4 and substitute "
(10) (h) 3. in each
7fiscal year, but not to exceed $100,000, shall be allocated for wildlife damage control
8and payment of claims for damage associated with endangered or threatened
9species.".