To committee on Labor.
Referred on September 10, 2004.
Relating to admission time for national examinations and post graduate training permits.
Submitted by Department of Regulation and Licensing.
Report received from Agency, August 31, 2004.
To committee on Agriculture.
Referred on September 10, 2004.
Relating to the agricultural chemical and household hazardous waste collection ("clean sweep") grant program.
Submitted by Department of Agriculture, Trade and Consumer Protection.
Report received from Agency, August 31, 2004.
To committee on Agriculture.
Referred on September 10, 2004.
Relating to alcohol and drug counseling.
Submitted by Department of Regulation and Licensing.
Report received from Agency, August 31, 2004.
To committee on Health.
Referred on September 10, 2004.
Relating to the Wisconsin scenic byways program.
Submitted by Department of Transportation.
Report received from Agency, August 31, 2004.
To committee on Transportation.
Referred on September 10, 2004.
Relating to annual adjustment to the minimum necessary cost or payment to access independent review.
Submitted by Insurance Commissioner.
Report received from Agency, August 31, 2004.
To committee on Insurance.
Referred on September 10, 2004.
Relating to prevailing wage rates on public works projects and affecting small business.
Submitted by Department of Workforce Development.
Report received from Agency, August 31, 2004.
To committee on Labor.
Referred on September 10, 2004.
Relating to the grievance procedure for resolving complaints of employment displacement under the Wisconsin works program and affecting small business.
Submitted by Department of Workforce Development.
Report received from Agency, August 31, 2004.
To committee on Children and Families
.
Referred on September 10, 2004.
__________________
Communications
September 8, 2004
Speaker John Gard
State Capitol, 211 West
Madison, WI 53708
Dear Speaker Gard:
I respectfully request the appointment of Representative Mark Pocan to the Joint Committee on Finance to fill the vacancy left by former Representative Dan Schooff.
Thank you for your consideration of this request. Please feel free to contact me if you have any concerns or questions.
Sincerely,
Jim Kreuser
Assembly Democratic Leader
__________________
A983
State of Wisconsin
Revisor of Statutes Bureau
Madison
DATE: September 1, 2004
TO: Patrick E. Fuller
Assembly Chief Clerk
Robert Marchant
Senate Chief Clerk
FROM: Gary L. Poulson
Assistant Revisor of Statutes
SUBJECT: Rules published in the August 31, 2004,
Wisconsin Administrative
Register, No. 584.
The following rules have been published:
__________________
State of Wisconsin
Joint Legislative Council
Madison
September 7, 2004
Mr. Patrick Fuller
Assembly Chief Clerk
17 West Main Street, Suite 208
Madison, WI 53703
Dear Patrick:
Enclosed is a copy of the
General Report of the Joint Legislative Council to the 2003-04 Legislature, prepared and submitted pursuant to s.
13.81 (3), Stats.
I would appreciate your noting in the
Assembly Journal, pursuant to s.
13.172, Stats., that this report has been delivered to your office.
Thank you.
Sincerely,
Terry C. Anderson
Director
__________________
Referral of Agency Reports
State of Wisconsin
Department of Administration
Madison
August 30, 2004
To the Honorable, the Legislature:
This report is transmitted as required by s.
20.002 (11)(f), Wisconsin Statutes, (for distribution to the appropriate standing committees under s.
13.172 (3), Wisconsin Statutes), and confirms that the Department of Administration has found it necessary to exercise the "temporary reallocation of balances" authority provided by this section in order to meet payment responsibilities and cover resulting negative cash balances during the month of July 2004.
On July 1, 2004, the General Fund cash balance closed at a negative $102.2 million. The fund's negative cash balance continued intermittently through July 31, 2004, when the fund's cash balance closed at an intramonth low of a negative $431.4 million. The negative balance was due to a difference in the timing of revenues and expenditures.
On July 1, 2004, the Medical Assistance Trust Fund cash balance closed at a negative $199.1 million. The fund's negative cash balance continued through July 31, 2004, when the fund's cash balance closed at a negative $199.4 million. The fund closed at its intramonth low of a negative $206.1 million on July 14, 2004. The negative balance was due to a difference in the timing of revenues and expenditures.
On July 8, 2004, the Mediation Fund cash balance closed at a negative $1.0 thousand. The Mediation Fund closed at an intramonth low of a negative 8.0 thousand on July 15, 2004. The fund's negative cash balance continued until July 22, 2004, when its cash balance closed at a positive $60.0 thousand. The negative balance was due to a difference in the timing of revenues and expenditures.