20.285(1)(tm) (tm) Solid waste research and experiments. From the recycling fund, the amounts in the schedule for research into alternative methods of solid waste management and for administering solid waste experiment centers.
20.285(1)(u) (u) Trust fund income. All moneys received as trust fund income under s. 36.03, 1969 stats.
20.285(1)(w) (w) Trust fund operations. All moneys available for trust fund operations pursuant to s. 36.03, 1969 stats.
20.285(2) (2)General provisions.
20.285(2)(a)(a) Transfers.
20.285(2)(a)1.1. Any moneys in program revenue appropriations to the board of regents for operation may be temporarily transferred to or from any other program revenue appropriation, but any moneys so transferred shall be repaid to the appropriation from which taken before the close of the fiscal year in which the transfer was made. This subdivision does not apply to moneys transferred from the appropriation account under sub. (1) (h) to the appropriation account under sub. (1) (kp).
20.285(2)(a)3. 3. The board of regents may transfer moneys from the appropriation under sub. (1) (Lm) to the appropriation under sub. (1) (fm).
20.285(2)(b) (b) Contingent fund. Notwithstanding s. 20.920 (1) (b), the board of regents may use balances in University of Wisconsin System program revenue appropriations as contingent funds for the payment of miscellaneous expenses and student financial aid if immediate payment is deemed necessary. Other than payments for student financial aid, the daily balance of these funds may not exceed $3,000,000 and total disbursements from these funds may not exceed $100,000,000 in any fiscal year.
20.285(2)(c) (c) Student employment funds. The board of regents, through the institutions' student financial aids offices, shall annually use at least 10% of its budgeted student employment funds that are unrelated to the college work-study program or to research and instruction for distribution on the basis of financial need.
20.285(2)(d) (d) Fee and tuition remissions. The aggregate amount of nonresident remissions of tuition and fees for any fiscal year for the institutions formerly governed under ch. 36, 1971 stats., may not exceed the aggregate amount so remitted for those institutions in the 1970-71 fiscal year as adjusted for proportional increases in tuition charges since 1976-77, and for the institutions formerly governed under ch. 37, 1971 stats., the aggregate amount shall not exceed the aggregate amount so remitted for those institutions in the 1972-73 fiscal year as adjusted for proportional increases in tuition charges since 1976-77. The limits under this paragraph do not apply to fee remissions granted under s. 36.27 (3) (g). This paragraph does not restrict the granting of remissions when required under the terms of a contract or gift, or when such remissions are reimbursed as an indirect cost.
20.285(2)(e) (e) Use of state funds for entertainment purposes. No general purpose revenues appropriated under this section may be used for entertainment by University of Wisconsin officials.
20.285(2)(h) (h) University of Wisconsin college campus at Medford. Of the amounts appropriated to the board of regents of the University of Wisconsin System under sub. (1) (a), the board of regents may pay to the Taylor County board of supervisors, for outstanding debt service costs on the University of Wisconsin college campus at Medford facilities, up to $24,500 annually until the facilities are sold or an alternative use for the facilities is found. Payments shall be made on a schedule and in the manner the board determines. If the facilities are sold or an alternative use for the facilities is found, the Taylor County board of supervisors shall repay to the state all amounts received under this paragraph.
20.285(2)(i) (i) Expenditures from federal indirect cost reimbursement appropriation. In addition to any expenditures approved under s. 16.50 (2) to (5), the board of regents of the University of Wisconsin System may make expenditures from the appropriation under sub. (1) (n) for any fiscal year equivalent to the amount by which the expenditure estimate under s. 16.50 (1) for that appropriation exceeded actual expenditures from that appropriation for the previous fiscal year without approval under s. 16.50 (2) to (5), to the extent that sufficient revenues are available in the appropriation account under sub. (1) (n) to finance this expenditure.
20.285(3) (3)University system administration.
20.285(3)(a)(a) General program operations. The amounts in the schedule for the general program operations of the university system administration.
20.285(3)(iz) (iz) General operations receipts. All moneys received for or on account of the university system administration, to be used for general operations of the university system administration.
20.285(3)(n) (n) Federal indirect cost reimbursement. All moneys received from the federal government as reimbursement for indirect costs of grants and contracts.
20.285(4) (4)Minority and disadvantaged programs.
20.285(4)(a)(a) Minority and disadvantaged programs. The amounts in the schedule for programs for minority and disadvantaged students under s. 36.25 (14m).
20.285(4)(b) (b) Graduate student financial aid. The amounts in the schedule for grants to minority and disadvantaged graduate students under s. 36.25 (14).
20.285(4)(dd) (dd) Lawton minority undergraduate grants program. A sum sufficient equal to $3,080,000 in the 2003-04 fiscal year and $3,080,000 in the 2004-05 fiscal year, and in subsequent fiscal years a sum sufficient equal to the amount determined under s. 36.34 (1) (c), for the Lawton minority undergraduate grant program under s. 36.34 (1).
20.285(4)(g) (g) Lawton minority undergraduate grant program; auxiliary enterprises. From moneys received from the auxiliary enterprises described under s. 20.285 (1) (h), the amounts in the schedule for the Lawton minority undergraduate grant program under s. 36.34 (1).
20.285(4)(gm) (gm) Minority and disadvantaged graduate student grant program; auxiliary enterprises. From moneys received from the auxiliary enterprises described under s. 20.285 (1) (h), the amounts in the schedule for the minority and disadvantaged graduate student grant program under s. 36.25 (14).
20.285(5) (5)University of Wisconsin-Madison intercollegiate athletics.
20.285(5)(a)(a) General program operations. The amounts in the schedule for the division of intercollegiate athletics at the University of Wisconsin-Madison.
20.285(5)(h) (h) Auxiliary enterprises. The amounts in the schedule for the operation of the division of intercollegiate athletics at the University of Wisconsin-Madison. All moneys received from the operation of the division of intercollegiate athletics at the University of Wisconsin-Madison shall be credited to this appropriation.
20.285(5)(i) (i) Nonincome sports. All moneys received from the sale of parking provided for all events at athletic facilities at the University of Wisconsin-Madison, less related expenses appropriated under sub. (1) (h), to be used for the sports administered by the division of intercollegiate athletics at the University of Wisconsin-Madison other than men's basketball, football and hockey and for debt service on any sports-related facility. Of the amount appropriated under this paragraph, the board shall allocate at least $50,000 annually to support scholarships for women athletes.
20.285(5)(j) (j) Gifts and grants. All moneys received from gifts, grants and bequests to carry out the purposes for which made.
20.285(6) (6)University of Wisconsin Hospitals and Clinics Authority.
20.285(6)(a)(a) Services received from authority. The amounts in the schedule to pay for services received from the University of Wisconsin Hospitals and Clinics Authority.
20.285(6)(g) (g) Services provided to authority. All moneys received from the University of Wisconsin Hospitals and Clinics Authority under any agreements entered into under s. 233.03 (10) or 233.04 (7), (7g), (7m) or (7p) for services provided to the authority and for leases and rentals to the authority. Moneys may be transferred from this appropriation account to the appropriation account under sub. (1) (kd) or (ke).
20.285 Annotation The university cannot accept trust funds that are for an unlawful purpose, and the expenditure of trust funds must comply with special and general laws. 62 Atty. Gen. 4.
20.292 20.292 Technical college system board. There is appropriated to the technical college system board for the following programs:
20.292(1) (1)Technical college system.
20.292(1)(a)(a) General program operations. The amounts in the schedule for general program operations. In case any allotment under this paragraph is made to a state university or any other wholly state-controlled educational institution, the program appropriations for the operation of such school or institution for the year in which such allotment was made shall be reduced by an amount equal to the amount of such allotment.
20.292(1)(am) (am) Fee remissions. The amounts in the schedule for the fee remissions under s. 38.24 (5).
20.292(1)(b) (b) Displaced homemakers' program. The amounts in the schedule for the displaced homemakers' program under s. 38.04 (13).
20.292(1)(bm) (bm) Workplace literacy resource center. The amounts in the schedule for the workplace literacy resource center under s. 38.04 (23).
20.292(1)(c) (c) Minority student participation and retention grants. The amounts in the schedule for minority student participation and retention grants under s. 38.26.
20.292(1)(ce) (ce) Basic skills grants. The amounts in the schedule for grants to technical college district boards for basic skills instruction in jails and prisons under s. 38.04 (20).
20.292(1)(ch) (ch) Health care education programs. The amounts in the schedule for grants to district boards for health care education programs under s. 38.04 (28).
20.292(1)(d) (d) State aid for technical colleges; statewide guide. The amounts in the schedule for state aids for technical college districts and technical colleges, including area schools and programs established and maintained under the supervision of the board, under s. 38.28 (2) (b), and for production and distribution of the statewide guide under s. 38.04 (18). Of the amount in the schedule for each fiscal year not exceeding $50,000 may be spent by the board to match federal funds made available for technical education by any act of congress for the purposes set forth in such act and no more than $125,000 may be spent by the board to produce and distribute the statewide guide under s. 38.04 (18). If, in any fiscal year, actual program fees raised under s. 38.24 (1m) exceed board estimates, the increase shall be used to offset actual district aidable cost.
20.292(1)(dc) (dc) Incentive grants. As a continuing appropriation, the amounts in the schedule for incentive grants to district boards under s. 38.27.
20.292(1)(dd) (dd) Farm training program tuition grants. The amounts in the schedule for farm training program tuition grants under s. 38.272.
20.292(1)(de) (de) Services for handicapped students; local assistance. The amounts in the schedule for grants to district boards under s. 38.38.
20.292(1)(dm) (dm) Aid for special collegiate transfer programs. The amounts in the schedule for aid to special collegiate transfer programs under s. 38.28 (4).
20.292(1)(e) (e) Technical college instructor occupational competency program. The amounts in the schedule for the payment of grants to district boards for participation in the technical college instructor occupational competency program under s. 38.32.
20.292(1)(ec) (ec) Milwaukee Enterprise Center. The amounts in the schedule for a grant to the Milwaukee Enterprise Center under 1999 Wisconsin Act 9, section 9147 (2ct). No moneys may be encumbered from this appropriation after June 30, 2001.
20.292(1)(ef) (ef) School-to-work programs for children at risk. The amounts in the schedule for grants to nonprofit organizations under s. 38.40 (4m).
20.292(1)(eg) (eg) Faculty development grants. The amounts in the schedule for faculty development grants under s. 38.33.
20.292(1)(em) (em) Apprenticeship curriculum development. The amounts in the schedule for apprenticeship curriculum development.
20.292(1)(f) (f) Alcohol and other drug abuse prevention and intervention. The amounts in the schedule for district alcohol and other drug abuse prevention and intervention programs under s. 38.35.
20.292(1)(fc) (fc) Driver education, local assistance. The amounts in the schedule, to be distributed to technical college districts for operating driver training programs under s. 38.28 (2) (c) and (g).
20.292(1)(fg) (fg) Chauffeur training grants. As a continuing appropriation, the amounts in the schedule for advanced chauffeur training grants under s. 38.29.
20.292(1)(fm) (fm) Supplemental aid. The amounts in the schedule for supplemental aid to technical college districts under s. 38.28 (6).
20.292(1)(fp) (fp) Emergency medical technician — basic training; state operations. The amounts in the schedule for technical assistance and administrative support for emergency medical technician — basic training under s. 146.55 (5).
20.292(1)(g) (g) Text materials. The amounts in the schedule for the preparation, publication and distribution of text material. All moneys received from technical college district boards shall be credited to this appropriation.
20.292(1)(gm) (gm) Fire schools; state operations. The amounts in the schedule for supervising and conducting schools for instruction in fire protection and prevention under s. 38.04 (9). All moneys transferred from s. 20.143 (3) (L) to this appropriation shall be credited to this appropriation.
20.292(1)(gr) (gr) Fire schools; local assistance. The amounts in the schedule for district fire fighter training programs under s. 38.12 (9). All moneys transferred from s. 20.143 (3) (L) to this appropriation shall be credited to this appropriation. Notwithstanding s. 20.001 (3) (a), the unencumbered balance on June 30 of each year shall revert to the appropriation under s. 20.143 (3) (L).
20.292(1)(h) (h) Gifts and grants. All moneys received from gifts, grants, bequests and devises to be used in the execution of the technical college program.
20.292(1)(hm) (hm) Truck driver training. All moneys received from truck driver education surcharges under s. 349.04 to award grants for truck driver training under s. 38.04 (31).
20.292(1)(i) (i) Conferences. All moneys received for the conduct of conferences.
20.292(1)(j) (j) Personnel certification. The amounts in the schedule for determining the qualifications of district educational personnel. All moneys received from district boards under s. 38.04 (4) (a) shall be credited to this appropriation.
20.292(1)(k) (k) Gifts and grants. All moneys received from gifts and grants to be paid to individuals or to nongovernmental organizations.
20.292(1)(ka) (ka) Interagency projects; local assistance. The amounts in the schedule to be expended as local assistance in conformity with the purposes and requirements agreed to by the board. All moneys received from state agencies for local assistance shall be credited to this appropriation.
20.292(1)(kb) (kb) Interagency projects; state operations. The amounts in the schedule to be expended for state operations in conformity with the purposes and requirements agreed to by the board. All money received from state agencies for state operations shall be credited to this appropriation.
20.292(1)(kd) (kd) Transfer of Indian gaming receipts; work-based learning programs. The amounts in the schedule for work-based learning programs. All moneys transferred from the appropriation account under s. 20.143 (1) (kj) shall be credited to this appropriation account. Notwithstanding s. 20.001 (3) (a), the unencumbered balance on June 30 of each year shall revert to the appropriation account under s. 20.143 (1) (kj).
20.292(1)(L) (L) Services for district boards. The amounts in the schedule for services provided to technical college district boards. All moneys received from technical college district boards or other persons for services provided to the district boards to pay for the cost of such services shall be credited to this appropriation.
20.292(1)(m) (m) Federal aid, state operations. All moneys received as federal aids for technical college programs for which the board is responsible, to be expended for state operations in conformity with the purposes and requirements of the several acts of congress under which such federal aid is granted.
20.292(1)(n) (n) Federal aid, local assistance. All moneys received as federal aids for technical college programs for which the board is responsible, to be expended as local assistance in conformity with the purposes and requirements of the several acts of congress under which such federal aid is granted.
20.292(1)(o) (o) Federal aid, aids to individuals and organizations. All moneys received as federal aids for technical college programs for which the board is responsible, to be expended as aids to individuals and organizations, in conformity with the purposes and requirements of the several acts of congress under which such federal aid is granted.
20.292(1)(pz) (pz) Indirect cost reimbursements. All moneys received from the federal government as reimbursement of indirect costs of grants and contracts for the purposes authorized in s. 16.54 (9) (b).
20.292(1)(q) (q) Agricultural education consultant. The amounts in the schedule for an agricultural education consultant at the technical college system board.
subch. IV of ch. 20 SUBCHAPTER IV
ENVIRONMENTAL RESOURCES
20.320 20.320 Environmental improvement program. There is appropriated for the environmental improvement program:
20.320(1) (1)Clean water fund program operations.
20.320(1)(a)(a) Environmental aids — clean water fund program. The amounts in the schedule to be paid into the environmental improvement fund for the clean water fund program under s. 281.58.
20.320(1)(c) (c) Principal repayment and interest — clean water fund program. A sum sufficient to reimburse s. 20.866 (1) (u) for the payment of principal and interest costs incurred in transferring moneys from s. 20.866 (2) (tc) to the environmental improvement fund for the purposes of the clean water fund program under s. 281.58.
20.320(1)(q) (q) Clean water fund program revenue obligation funding. As a continuing appropriation, all proceeds from revenue obligations issued for the clean water fund program under subch. II or IV of ch. 18, as authorized under s. 281.59 (4) and deposited in the fund in the state treasury created under s. 18.57 (1), providing for reserves and for expenses of issuance and management of the revenue obligations, and the remainder to be transferred to the environmental improvement fund for the purposes of the clean water fund program under s. 281.58. Estimated disbursements under this paragraph shall not be included in the schedule under s. 20.005.
20.320(1)(r) (r) Clean water fund program repayment of revenue obligations. From the environmental improvement fund, a sum sufficient to repay the fund in the state treasury created under s. 18.57 (1) the amount needed to retire revenue obligations issued for the clean water fund program under subch. II or IV of ch. 18, as authorized under s. 281.59 (4).
20.320(1)(s) (s) Clean water fund program financial assistance. From the environmental improvement fund, a sum sufficient for the purposes of providing clean water fund program financial assistance under s. 281.58.
20.320(1)(sm) (sm) Land recycling loan program financial assistance. From the clean water fund program federal revolving loan fund account in the environmental improvement fund, a sum sufficient, not to exceed a total of $20,000,000, to provide land recycling loan program financial assistance under s. 281.60.
20.320(1)(t) (t) Principal repayment and interest — clean water fund program bonds. From the environmental improvement fund, the amounts in the schedule to reimburse s. 20.866 (1) (u) for the payment of principal and interest costs incurred in transferring moneys from s. 20.866 (2) (tc) to the environmental improvement fund for the purposes of the clean water fund program under s. 281.58. Fifty percent of all moneys received from municipalities as payment of interest on loans or portions of loans under s. 281.58 the revenues of which have not been pledged to secure revenue obligations shall be credited to this appropriation account.
20.320(1)(u) (u) Principal repayment and interest — clean water fund program revenue obligation repayment. From the fund in the state treasury created under s. 18.57 (1), all moneys received by the fund and not transferred under s. 281.59 (4) (c) to the environmental improvement fund, for the purpose of the retirement of revenue obligations, providing for reserves and for operations relating to the management and retirement of revenue obligations issued for the clean water fund program under subch. II or IV of ch. 18, as authorized under s. 281.59 (4). All moneys received are irrevocably appropriated in accordance with subch. II of ch. 18 and further established in resolutions authorizing the issuance of the revenue obligations and setting forth the distribution of funds to be received thereafter.
20.320(1)(x) (x) Clean water fund program financial assistance; federal. From the clean water fund program federal revolving loan fund account in the environmental improvement fund, all moneys received from the federal government to provide financial assistance under the clean water fund program under s. 281.58, as authorized by the governor under s. 16.54, except moneys appropriated under par. (y), for financial assistance under the clean water fund program under s. 281.58.
20.320(1)(y) (y) Clean water fund program federal financial hardship assistance. From the clean water fund program federal hardship assistance account in the environmental improvement fund, all moneys received from the federal government under P.L. 104-134, Title III, to provide clean water fund program federal financial hardship assistance under s. 281.58 (13) (be), as authorized by the governor under s. 16.54, for clean water fund program federal financial hardship assistance under s. 281.58 (13) (be).
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