SB44, s. 269 3Section 269. 18.60 (3) of the statutes is amended to read:
SB44,136,84 18.60 (3) The principal proceeds from the sale of any refunding obligations
5shall be applied either to the immediate payment and retirement of the obligations
6or notes being refinanced or, if the obligations or notes have not matured and are not
7presently redeemable, to the creation of a trust for and shall be pledged to the
8payment of the obligations or notes being refinanced. If a trust is created, a separate
9deposit shall be made for each issue of obligations or notes being refinanced. Each
10deposit shall be with the state treasurer secretary of administration or a bank or
11trust company that is then a member of the federal deposit insurance corporation.
12If the total amount of any deposit, including money other than sale proceeds but
13legally available for such purpose, is less than the principal amount of the obligations
14or notes being refinanced and for the payment of which the deposit has been created
15and pledged, together with applicable redemption premiums and interest accrued
16and to accrue to maturity or to the date of redemption, then the application of the sale
17proceeds shall be legally sufficient only if the money deposited is invested in
18securities issued by the United States or one of its agencies, or securities fully
19guaranteed by the United States, and only if the principal amount of the securities
20at maturity and the income therefrom to maturity will be sufficient and available,
21without the need for any further investment or reinvestment, to pay at maturity or
22upon redemption the principal amount of the obligations or notes being refinanced
23together with applicable redemption premiums and interest accrued and to accrue
24to maturity or to the date of redemption. The income from the principal proceeds of
25the securities shall be applied solely to the payment of the principal of and interest

1and redemption premiums on the obligations or notes being refinanced, but
2provision may be made for the pledging and disposition of any surplus. Nothing in
3this subsection shall be construed as a limitation on the duration of any deposit in
4trust for the retirement of obligations or notes being refinanced, but which have not
5matured and which are not presently redeemable. Nothing in this subsection shall
6be construed to prohibit reinvestment of the income of a trust if the reinvestments
7will mature at such times that sufficient cash will be available to pay interest,
8applicable premiums, and principal on the obligations or notes being refinanced.
SB44, s. 270 9Section 270. 18.61 (5) of the statutes is amended to read:
SB44,136,1910 18.61 (5) The legislature may provide, with respect to any specific issue of
11revenue obligations, prior to their issuance, that if the special fund income or the
12enterprise or program income pledged to the payment of the principal of and interest
13of on the issue is insufficient for that purpose, or is insufficient to replenish a reserve
14fund, if applicable,
it will consider supplying the deficiency by appropriation of funds,
15from time to time, out of the treasury. If the legislature so provides, the commission
16may make the necessary provisions therefor in the authorizing resolution and other
17proceedings of the issue. Thereafter, if the contingency occurs, recognizing its moral
18obligation to do so, the legislature hereby expresses its expectation and aspiration
19that it shall make such appropriation.
SB44, s. 271 20Section 271. 18.70 of the statutes is amended to read:
SB44,137,2 2118.70 Provisions applicable. The following sections apply to this
22subchapter, except that all references to "public debt", "debt" or "revenue obligation"
23are deemed to refer to "operating notes", all references to "evidence of indebtedness"
24are deemed to refer to "evidence of operating note", and all references to "evidences
25of indebtedness" are deemed to refer to "evidences of operating notes": ss. 18.03,

118.06 (8), 18.07, 18.10 (1), (2), (4) to (9) and (11), 18.17, 18.52 (1), 18.58 (2) (1m), 18.61
2(1), 18.62 and 18.63.
SB44, s. 272 3Section 272. 18.73 (5) of the statutes is created to read:
SB44,137,144 18.73 (5) Agreements and arrangements; delegation; use of operating notes.
5(a) At the time of, or in anticipation of, contracting operating notes and at any time
6thereafter while the operating notes are outstanding, the commission may enter into
7agreements and ancillary arrangements relating to the operating notes, including
8liquidity facilities, remarketing or dealer agreements, letter of credit agreements,
9insurance policies, guaranty agreements, reimbursement agreements, indexing
10agreements, or interest exchange agreements. Any payment received pursuant to
11any such agreements or ancillary arrangements shall be deposited in, and any
12payments made pursuant to any such agreements or ancillary arrangements will be
13made from, the general fund or the operating note redemption fund, as determined
14by the commission.
SB44,137,1715 (b) The commission may delegate to other persons the authority and
16responsibility to take actions necessary and appropriate to implement agreements
17and ancillary arrangements under par. (a).
SB44,137,1918 (c) Any operating notes may include operating notes contracted to fund
19interest, accrued or to accrue, on the operating notes.
SB44, s. 273 20Section 273. 18.74 of the statutes is amended to read:
SB44,138,2 2118.74 Application of operating note proceeds. All moneys resulting from
22the contracting of operating notes or any payment to be received under an agreement
23or ancillary arrangement entered into under s. 18.73 (5) with respect to any such
24operating notes
shall be credited to the general fund, except that moneys which
25represent premium and accrued interest on operating notes, or moneys for purposes

1of funding or refunding operating notes pursuant to s. 18.72 (1) shall be credited to
2the operating note redemption fund.
SB44, s. 274 3Section 274. 18.75 (2) of the statutes is amended to read:
SB44,138,94 18.75 (2) The operating note redemption fund shall be expended and all
5moneys from time to time on hand therein are irrevocably appropriated, in sums
6sufficient, only for the payment of principal and interest on operating notes giving
7rise to it and premium, if any, due upon refunding or early redemption of such
8operating notes, and for the payment due, if any, under an agreement or ancillary
9arrangement entered into under s. 18.73 (5) with respect to such operating notes
.
SB44, s. 275 10Section 275. 18.75 (4) of the statutes is amended to read:
SB44,138,2511 18.75 (4) There shall be transferred, under s. 20.855 (1) (a), a sum sufficient
12for the payment of the principal, interest and premium due, if any, and for the
13payment due, if any, under an agreement or ancillary arrangement entered into
14pursuant to s. 18.73 (5) with respect to such operating notes
on the operating notes
15giving rise to it as the same falls due. Such transfers shall be so timed that there is
16at all times on hand in the fund an amount not less than the amount to be paid out
17of it during the ensuing 30 days or such other period if so provided for in the
18authorizing resolution. The commission may pledge the deposit of additional
19amounts at periodic intervals and the secretary of the department may impound
20moneys of the general fund, including moneys temporarily reallocated from other
21funds under s. 20.002 (11), in accordance with the pledge of revenues in the
22authorizing resolution, and all such impoundments are deemed to be payments for
23purposes of s. 16.53 (10), but no such impoundment may be made until the amounts
24to be paid into the bond security and redemption fund under s. 18.09 during the
25ensuing 30 days have been deposited in the bond security and redemption fund.
SB44, s. 276
1Section 276. 19.36 (4) of the statutes is amended to read:
SB44,139,62 19.36 (4) Computer programs and data. A computer program, as defined in s.
322.03 16.971 (4) (c), is not subject to examination or copying under s. 19.35 (1), but
4the material used as input for a computer program or the material produced as a
5product of the computer program is subject to the right of examination and copying,
6except as otherwise provided in s. 19.35 or this section.
SB44, s. 277 7Section 277. 19.43 (7) of the statutes is amended to read:
SB44,139,198 19.43 (7) If an official required to file fails to make a timely filing, the board
9shall promptly provide notice of the delinquency to the state treasurer secretary of
10administration
, and to the chief executive of the department of which the official's
11office or position is a part, or, in the case of a district attorney, to the chief executive
12of that department and to the county clerk of each county served by the district
13attorney or in the case of a municipal judge to the clerk of the municipality of which
14the official's office is a part, or in the case of a justice, court of appeals judge, or circuit
15judge, to the director of state courts. Upon such notification both the state treasurer
16secretary of administration and the department, municipality, or director shall
17withhold all payments for compensation, reimbursement of expenses, and other
18obligations to the official until the board notifies the officers to whom notice of the
19delinquency was provided that the official has complied with this section.
SB44, s. 278 20Section 278. 19.45 (7) (a) 4. of the statutes is amended to read:
SB44,139,2321 19.45 (7) (a) 4. In a matter before the department of revenue or the office of the
22commissioner of
tax appeals commission that involves the representation of a client
23in connection with a tax matter.
SB44, s. 279 24Section 279. 19.45 (11) (a) of the statutes is amended to read:
SB44,140,6
119.45 (11) (a) The administrator of the division of merit recruitment and
2selection in the department of employment relations administration shall, with the
3board's advice, promulgate rules to implement a code of ethics for classified and
4unclassified state employees except state public officials subject to this subchapter,
5unclassified personnel in the University of Wisconsin System and officers and
6employees of the judicial branch.
SB44, s. 280 7Section 280. 20.003 (4) (e) of the statutes is amended to read:
SB44,140,108 20.003 (4) (e) For fiscal year 2003-04, 1.6% the amount by which the
9appropriation under s. 20.435 (4) (b) is reduced for fiscal year 2003-04 under 2003
10Wisconsin Act .... (this act), section 9224 (1 ), or $35,000,000, whichever is greater
.
SB44, s. 281 11Section 281. 20.003 (4) (f) of the statutes is amended to read:
SB44,140,1412 20.003 (4) (f) For fiscal year 2004-05, 1.8% the amount by which the
13appropriation under s. 20.435 (4) (b) is reduced for fiscal year 2004-05 under 2003
14Wisconsin Act .... (this act), section 9224 (2 ), or $40,000,000, whichever is greater
.
SB44, s. 282 15Section 282. 20.003 (4) (fm) of the statutes is created to read:
SB44,140,1616 20.003 (4) (fm) For fiscal year 2005-06, $75,000,000.
SB44, s. 283 17Section 283. 20.003 (4) (g) of the statutes is amended to read:
SB44,140,1918 20.003 (4) (g) For fiscal year 2005-06 2006-07 and each fiscal year thereafter,
192%.
SB44, s. 284 20Section 284. 20.005 (1) of the statutes is repealed and recreated to read:
SB44,140,2321 20.005 (1) Summary of all funds. The budget governing fiscal operations for
22the state of Wisconsin for all funds beginning on July 1, 2003, and ending on June
2330, 2005, is summarized as follows: [See Figure 20.005 (1) following]

SB44,141,22 Figure: 20.005 (1)
SB44,141,33 GENERAL FUND SUMMARY - See PDF for table PDF
SUMMARY OF APPROPRIATIONS — ALL FUNDS - See PDF for table PDF
SUMMARY OF COMPENSATION RESERVES — ALL FUNDS - See PDF for table PDF
LOTTERY FUND SUMMARY - See PDF for table PDF
SB44, s. 285 2Section 285. 20.005 (2) of the statutes is repealed and recreated to read:
SB44,144,53 20.005 (2) State borrowing program summary. The following schedule sets
4forth the state borrowing program summary: [See Figures 20.005 (2) (a) and (b)
5following]
SUMMARY OF BONDING AUTHORITY MODIFICATIONS
2003-05 FISCAL BIENNIUM - See PDF for table PDF
SB44,145,22 Figure: 20.005 (2) (b)
SB44,145,33 GENERAL OBLIGATION AND
BUILDING CORPORATION DEBT SERVICE
FISCAL YEARS 2003-04 AND 2004-05 - See PDF for table PDF
SB44, s. 286 1Section 286. 20.005 (3) of the statutes is repealed and recreated to read:
SB44,153,72 20.005 (3) Appropriations. The following schedule sets forth all annual,
3biennial, and sum certain continuing appropriations and anticipated expenditures
4from other appropriations for the programs and other purposes indicated. All
5appropriations are made from the general fund unless otherwise indicated. The
6letter abbreviations shown designating the type of appropriation apply to both fiscal
7years in the schedule unless otherwise indicated. [See Figure 20.005 (3) following]
SB44,153,99 Figure: 20.005 (3)
SB44, s. 287 2Section 287. 20.115 (1) (hm) of the statutes is amended to read:
SB44,336,83 20.115 (1) (hm) Ozone-depleting refrigerants and products regulation. The
4amounts in the schedule for administration of the mobile air conditioner servicing
5and refrigerant recycling programs and for responsibilities under ss. s. 100.45 and
6100.50
relating to sales and labeling of products containing or made with
7ozone-depleting substances. All moneys received from fees under s. 100.45 (5) (a)
83. and (5m) shall be credited to this appropriation.
SB44, s. 288 9Section 288. 20.115 (2) (j) of the statutes, as affected by 2001 Wisconsin Act
1016
, is amended to read:
SB44,336,1611 20.115 (2) (j) Dog licenses, rabies control, and related services. All moneys
12received under ss. 95.21 (9) (c), 173.27, 173.40, and 174.09 (1), to provide dog license
13tags and forms under s. 174.07 (2), to perform other program responsibilities under
14ch. 174, to administer the rabies control program under s. 95.21, to help administer
15the rabies control media campaign, and to carry out activities under s. 93.07 (11) and
16ch. 173.
SB44, s. 289 17Section 289. 20.115 (7) (v) of the statutes is repealed.
SB44, s. 290 18Section 290. 20.115 (7) (va) of the statutes is created to read:
SB44,336,2019 20.115 (7) (va) Chemical and container disposal. From the recycling fund, the
20amounts in the schedule for chemical and container collection grants under s. 93.55.
SB44, s. 291
1Section 291. 20.115 (8) (jm) of the statutes is repealed.
SB44, s. 292 2Section 292. 20.143 (1) (br) of the statutes is repealed.
SB44, s. 293 3Section 293. 20.143 (1) (ie) of the statutes is amended to read:
SB44,337,154 20.143 (1) (ie) Wisconsin development fund, repayments. All moneys received
5in repayment of grants or loans under s. 560.085 (4) (b), 1985 stats., s. 560.147, s.
6560.16, 1995 stats., s. 560.165, 1993 stats., subch. V of ch. 560 except s. 560.65, 1989
7Wisconsin Act 336
, section 3015 (1m), 1989 Wisconsin Act 336, section 3015 (2m),
81989 Wisconsin Act 336, section 3015 (3gx), 1997 Wisconsin Act 27, section 9110 (7f),
91997 Wisconsin Act 310, section 2 (2d), and 1999 Wisconsin Act 9, section 9110 (4),
10to be used for grants and loans under subch. V of ch. 560 except s. 560.65, for loans
11under s. 560.147, for grants under ss. 560.16, and 560.175, and 560.25, for assistance
12under s. 560.06 (2), for the loan under 1999 Wisconsin Act 9, section 9110 (4), for the
13grant under 2001 Wisconsin Act 16, section 9110 (7g), and for reimbursements under
14s. 560.167. No moneys may be encumbered under this paragraph for grants under
15s. 560.25 after June 30, 2003.
SB44, s. 294 16Section 294. 20.143 (1) (ko) of the statutes is repealed.
SB44, s. 295 17Section 295. 20.143 (1) (qa) of the statutes is repealed.
SB44, s. 296 18Section 296. 20.143 (1) (qm) of the statutes is repealed.
SB44, s. 297 19Section 297. 20.143 (1) (t) of the statutes is repealed.
SB44, s. 298 20Section 298. 20.144 (1) (g) of the statutes is amended to read:
SB44,338,521 20.144 (1) (g) General program operations. The amounts in the schedule for
22the general program operations of the department of financial institutions. Except
23as provided in pars. (a), (h), (i), and (u), all moneys received by the department, other
24than by the office of credit unions, and the division of banking and the division of
25savings institutions
, and 88% of all moneys received by the department's division of

1banking and the department's division of savings institutions shall be credited to this
2appropriation, but any balance at the close of a fiscal year under this appropriation
3shall lapse to the general fund. Annually, $200,000 of the amounts received under
4this appropriation account shall be transferred to the appropriation account under
5s. 20.575 (1) (g).
SB44, s. 299 6Section 299. 20.145 (2) (a) of the statutes is created to read:
SB44,338,117 20.145 (2) (a) Claims payable by patients compensation fund. A sum sufficient
8for paying any portion of a claim for damages arising out of the rendering of health
9care services that the patients compensation fund under s. 655.27 is required to pay
10under ch. 655 but that the patients compensation fund is unable to pay because of
11insufficient moneys.
SB44, s. 300 12Section 300. 20.155 (intro.) of the statutes is amended to read:
SB44,338,14 1320.155 Public service commission. (intro.) There is appropriated to the
14public service commission for the following programs program:
SB44, s. 301 15Section 301. 20.155 (2) of the statutes is repealed.
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