AB100-engrossed,279,4
120.373
(1) (g)
Administration, operation, repair, and rehabilitation. All moneys
2received from the sale of surplus land under 2005 Wisconsin Act .... (this act), section
39105 (14q), to be used for administration of the authority and the operation, repair,
4and rehabilitation of the Fox River lock system.
AB100-engrossed,279,216
20.380
(1) (b)
Tourism marketing; general purpose revenue. The amounts in the
7schedule for tourism marketing service expenses and the execution of the functions
8under ss. 41.11 (4) and 41.17
and the grants under 1997 Wisconsin Act 27, section
99148 (2f) and (2x). In each fiscal year, the department shall expend for tourism
10marketing service expenses and the execution of the functions under ss. 41.11 (4) and
1141.17 an amount that bears the same proportion to the amount in the schedule for
12the fiscal year as the amount expended under par. (kg) in that fiscal year bears to the
13amount in the schedule for par. (kg) for that fiscal year. Of the amounts under this
14paragraph, not more than 50% shall be used to match funds allocated under s. 41.17
15by private or public organizations for the joint effort marketing of tourism with the
16state.
The department shall expend at least $125,000 in each fiscal year from this
17appropriation to conduct or contract for marketing activities related to sporting
18activities and events. Of the amounts in the schedule, $25,000 shall be allocated in
19each fiscal year for state sponsorship of, and advertising during, media broadcasts
20of the Milwaukee symphony. Of the amounts in the schedule, $50,000 shall be
21allocated for grants to America's Black Holocaust Museum in the city of Milwaukee.
AB100-engrossed,280,1123
20.380
(1) (kg)
Tourism marketing; gaming revenue. Biennially, the amounts
24in the schedule for tourism marketing service expenses and the execution of the
25functions under ss. 41.11 (4) and 41.17
and for the grant under 1999 Wisconsin Act
19, section 9149 (2c) and (2tw). In each fiscal year, the department shall expend for
2tourism marketing service expenses and the execution of the functions under ss.
341.11 (4) and 41.17 an amount that bears the same proportion to the amount in the
4schedule for the fiscal year as the amount expended under par. (b) in that fiscal year
5bears to the amount in the schedule for par. (b) for that fiscal year.
Of the amounts
6in the schedule, $200,000 shall be allocated for grants to the Milwaukee Public
7Museum for Native American exhibits and activities. All moneys transferred from
8the appropriation account under s. 20.505 (8) (hm) 6. shall be credited to this
9appropriation account. Notwithstanding s. 20.001 (3) (b), the unencumbered
10balance on June 30 of each odd-numbered year shall revert to the appropriation
11account under s. 20.505 (8) (hm).
AB100-engrossed,280,1513
20.380
(1) (w)
Tourism marketing; transportation fund. Biennially, from the
14transportation fund, the amounts in the schedule for tourism marketing service
15expenses and the execution of the functions under ss. 41.11 (4) and 41.17.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,280,1917
20.395
(1) (gt)
Soo Locks improvements, state funds. The amounts in the
18schedule for the purpose of providing the state share of a federal project to improve
19the Soo Locks connecting Lake Superior with the other Great Lakes.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,280,2221
20.395
(2) (cs)
Harbor assistance, federal funds. All moneys received from the
22federal government for harbor assistance or harbor improvements under s. 85.095.
AB100-engrossed,281,52
20.395
(2) (fr)
Local roads improvement program, state funds. As a continuing
3appropriation, the amounts in the schedule for the local roads improvement program
4under s. 86.31
(3), and for the payment required under
1997 Wisconsin Act 27, section
59149 (4z).
AB100-engrossed,281,97
20.395
(2) (ft)
Local roads improvement program; discretionary grants, state
8funds. As a continuing appropriation, the amounts in the schedule for the local roads
9improvement program under s. 86.31 (3g) to (3r).
AB100-engrossed,282,411
20.395
(3) (cq)
State highway rehabilitation, state funds. As a continuing
12appropriation, the amounts in the schedule for improvement of existing state trunk
13and connecting highways; for improvement of bridges on state trunk or connecting
14highways and other bridges for which improvement is a state responsibility, for
15necessary approach work for such bridges and for replacement of such bridges with
16at-grade crossing improvements; for the construction and rehabilitation of the
17national system of interstate and defense highways and bridges and related
18appurtenances; for special maintenance activities under s. 84.04 on roadside
19improvements; for bridges under s. 84.10;
for the bridge project under s. 84.115; for
20payment to a local unit of government for a jurisdictional transfer under s. 84.02 (8);
21for the disadvantaged business demonstration and training program under s.
2284.076; for the transfers required under
1999 Wisconsin Act 9, section
9250 (1) and
232003 Wisconsin Act 33, section
9153 (4q); and for the purposes described under
1999
24Wisconsin Act 9, section
9150 (8g), and
2001 Wisconsin Act 16, section
9152 (4e). This
25paragraph does not apply to any southeast Wisconsin freeway rehabilitation projects
1under s. 84.014, or to the installation, replacement, rehabilitation, or maintenance
2of highway signs, traffic control signals, highway lighting, pavement markings, or
3intelligent transportation systems, unless incidental to the improvement of existing
4state trunk and connecting highways.
AB100-engrossed,282,116
20.395
(3) (ct)
Marquette interchange reconstruction, owner controlled
7insurance program, service funds. All moneys received from contractors on the
8Marquette interchange reconstruction project as payments arising from safety
9violations or claims for the purposes of funding safety coordination efforts and safety
10programs on the project and making premium payments for insurance maintained
11by the department on the project.
AB100-engrossed,282,2513
20.395
(3) (cv)
State highway rehabilitation, local funds. All moneys received
14from any local unit of government or other source for the specific information sign
15program under s. 86.195; for improvement of existing state trunk and connecting
16highways; for improvement of bridges on state trunk or connecting highways and
17other bridges for which improvement is a state responsibility, for necessary approach
18work for such bridges and for replacement of such bridges with at-grade crossing
19improvements; for the construction and rehabilitation of the national system of
20interstate and defense highways and bridges and related appurtenances; for special
21maintenance activities under s. 84.04 on roadside improvements;
for the bridge
22project under s. 84.115; for the railroad and utility alteration and relocation loan
23program under s. 84.065; and for the disadvantaged business demonstration and
24training program under s. 84.076, for such purposes. This paragraph does not apply
25to any southeast Wisconsin freeway rehabilitation projects under s. 84.014.
AB100-engrossed,283,142
20.395
(3) (cx)
State highway rehabilitation, federal funds. All moneys
3received from the federal government for improvement of existing state trunk and
4connecting highways; for improvement of bridges on state trunk or connecting
5highways and other bridges for which improvement is a state responsibility, for
6necessary approach work for such bridges and for replacement of such bridges with
7at-grade crossing improvements; for the construction and rehabilitation of the
8national system of interstate and defense highways and bridges and related
9appurtenances; for special maintenance activities under s. 84.04 on roadside
10improvements;
for the bridge project under s. 84.115; and for the disadvantaged
11business demonstration and training program under s. 84.076; and all moneys
12received under
2003 Wisconsin Act 33, section
9153 (4q); for such purposes. This
13paragraph does not apply to any southeast Wisconsin freeway rehabilitation projects
14under s. 84.014.
AB100-engrossed,284,216
20.395
(3) (eq)
Highway maintenance, repair, and traffic operations, state
17funds. As a continuing appropriation, the amounts in the schedule for the
18maintenance and repair of roadside improvements under s. 84.04, state trunk
19highways under s. 84.07, and bridges that are not on the state trunk highway system
20under s. 84.10; for permit issuance and other highway operations, including the
21installation, replacement, rehabilitation, or maintenance of highway signs, traffic
22control signals, highway lighting, pavement markings, and intelligent
23transportation systems, under ss. 84.04, 84.07, 84.10, and 348.25 to 348.27 and ch.
24349;
for the grant under 2005 Wisconsin Act .... (this act), section 9148 (3f); and for
25the disadvantaged business demonstration and training program under s. 84.076.
1This paragraph does not apply to special maintenance activities under s. 84.04 on
2roadside improvements.
AB100-engrossed,284,74
20.395
(3) (er)
State-owned lift bridge operations and maintenance, state
5funds. The amounts in the schedule for the operating and maintenance costs of lift
6bridges on connecting highways, state trunk highways, or local highways that are
7owned by the state and are not funded by sub. (1) (ft).
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,284,199
20.395
(4) (aq)
Departmental management and operations, state funds. The
10amounts in the schedule for departmental planning and administrative activities
11and the administration and management of departmental programs except those
12programs under subs. (2) (bq), (cq), and (dq) and (3) (iq),
including those activities in
13s. 85.07 and including not less than $220,000 in each fiscal year to reimburse the
14department of justice for legal services provided the department under s. 165.25 (4)
15(a) and including activities related to the transportation employment and mobility
16program under s. 85.24 that are not funded from the appropriation under sub. (1)
17(bs), (bv) or (bx)
, and the scholarship and loan repayment incentive grant program
18under s. 85.107
, and the Type 1 motorcycle, moped, and motor bicycle safety program
19under s. 85.30 and to match federal funds for mass transit planning.
AB100-engrossed,285,821
20.395
(4) (ax)
Departmental management and operations, federal funds. All
22moneys received from the federal government for the administration and
23management of departmental programs except those programs under subs. (2) (bx)
1and (dx) and (3) (ix), and for departmental planning and administrative activities
2including all moneys received as federal aid as authorized by the governor under s.
316.54
to promote highway safety and continue the local traffic safety representatives
4program and for purposes of s. 85.07 and for activities related to the transportation
5employment and mobility program under s. 85.24 that are not funded from the
6appropriation under sub. (1) (bs), (bv), or (bx)
, and to transfer to the appropriation
7account under s. 20.505 (1) (z) the amounts in the schedule under s. 20.505 (1) (z), 8for such purposes.
AB100-engrossed,285,1210
20.395
(5) (dr)
Transportation safety, state funds. The amounts in the schedule
11for activities related to highway safety under s. 85.07 and the Type 1 motorcycle,
12moped, and motor bicycle safety program under s. 85.30.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,285,1614
20.395
(5) (dy)
Transportation safety, federal funds. All moneys received from
15the federal government as authorized by the governor under s. 16.54 to promote
16highway safety and for purposes of s. 85.07, for such purposes.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,286,519
20.395
(6) (af)
Principal repayment and interest, local roads for job preservation
20program and major highway and rehabilitation projects, state funds. From the
21general fund, a sum sufficient to reimburse s. 20.866 (1) (u) for the payment of
22principal and interest costs incurred in financing the local roads for job preservation
1program under s. 86.312 and major highway and rehabilitation projects, as provided
2under
s. ss. 20.866 (2) (uum) and (uur), 84.555,
and 84.95, and to make the payments
3determined by the building commission under s. 13.488 (1) (m) that are attributable
4to the proceeds of obligations incurred in financing the local roads for job
5preservation program under s. 86.312.
AB100-engrossed,286,117
20.395
(6) (au)
Principal repayment and interest, Marquette interchange
8reconstruction project, state funds. A sum sufficient to reimburse s. 20.866 (1) (u) for
9the payment of principal and interest costs incurred in financing the Marquette
10interchange reconstruction project, as provided under ss. 20.866 (2) (uup) and
1184.555.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,286,1513
20.410
(1) (f)
Energy costs. The amounts in the schedule to be used at state
14correctional institutions to pay for utilities and for fuel, heat and air conditioning and
15to pay costs incurred by or on behalf of the department under
ss. s. 16.858
and 16.895.
AB100-engrossed,286,20
1720.410
(1) (gd)
Sex offender management. The amounts in the schedule for the
18supervision of persons on probation, parole, or extended supervision. All moneys
19received from sex offenders under s. 301.45 (10) shall be credited to this
20appropriation account.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,287,6
120.410
(1) (gm)
Sale of fuel and utility water service. The amounts in the
2schedule for fuel
, or water
, sewage treatment service, electricity, heat or chilled water 3provided to entities outside the department at correctional facilities. All moneys
4received from the sale of those materials or services at correctional facilities to
5entities outside the department under s. 16.93 (2) shall be credited to this
6appropriation.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,287,148
20.410
(1) (ke)
Jackson correctional institution wastewater treatment facility. 9The amounts in the schedule to make improvements to the wastewater treatment
10facility at the Jackson correctional institution. All moneys transferred from the
11appropriation account under s. 20.505 (8) (hm) 16m. shall be credited to this
12appropriation account. Notwithstanding s. 20.001 (3) (a), the unencumbered
13balance on June 30 of each year shall revert to the appropriation account under s.
1420.505 (8) (hm).
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed, s. 291
15Section
291
. 20.410 (1) (ke) of the statutes, as created by 2005 Wisconsin Act
16.... (this act), is repealed.
AB100-engrossed,287,2118
20.410
(1) (kh)
Victim services and programs. The amounts in the schedule for
19the administration of victim services and programs. All moneys transferred from the
20appropriation account under s.
20.505 (6) (j) 20.455 (2) (i) 5m. shall be credited to this
21appropriation account.
AB100-engrossed,288,4
120.410
(1) (kp)
Correctional officer training. The amounts in the schedule to
2finance correctional officers training under s. 301.28. All moneys transferred from
3the appropriation account under s.
20.505 (6) (j)
20.455 (2) (i) 6. shall be credited to
4this appropriation account.
AB100-engrossed,289,66
20.410
(3) (hm)
Juvenile correctional services. Except as provided in pars. (ho)
7and (hr), the amounts in the schedule for juvenile correctional services specified in
8s. 301.26 (4) (c) and (d). All moneys received from the sale of surplus property,
9including vehicles, from juvenile correctional institutions operated by the
10department, all moneys received as payments in restitution of property damaged at
11juvenile correctional institutions operated by the department, all moneys received
12from miscellaneous services provided at a juvenile correctional institution operated
13by the department,
all moneys transferred from the appropriation account under
14pars. (ho) and (hr) as provided in 2005 Wisconsin Act .... (this act), section 9209 (1x), 15all moneys transferred under s. 301.26 (4) (cm), and, except as provided in par. (hr),
16all moneys received in payment for juvenile correctional services specified in s.
17301.26 (4) (d), (dt), and (g) shall be credited to this appropriation account. If moneys
18generated by the daily rate under s. 301.26 (4) (d)
, other than moneys generated
19under s. 301.26 (5) (b), exceed actual fiscal year institutional costs by 2% or more, all
20moneys in excess of that 2% shall be remitted to the counties during the subsequent
21calendar year or transferred to the appropriation account under par. (kx) during the
22subsequent fiscal year. Each county and the department shall receive a
23proportionate share of the remittance and transfer depending on the total number
24of days of placement at juvenile correctional institutions including the Mendota
25Juvenile Treatment Center. Counties shall use the funds for purposes specified in
1s. 301.26. The department shall deposit in the general fund the amounts transferred
2under this paragraph to the appropriation account under par. (kx).
Notwithstanding
3ss. 16.50 (2), 16.52, 20.002 (11), and 20.903, the department may project a deficit in
4this appropriation account on June 30 of any odd-numbered year as provided in s.
5301.26 (5) (a), and any such projected deficit shall be recouped during the next fiscal
6biennium as provided in s. 301.26 (5) (b).
AB100-engrossed, s. 295h
7Section 295h. 20.410 (3) (hm) of the statutes, as affected by 2005 Wisconsin
8Act .... (this act), is amended to read:
AB100-engrossed,290,99
20.410
(3) (hm)
Juvenile correctional services. Except as provided in pars. (ho)
10and (hr), the amounts in the schedule for juvenile correctional services specified in
11s. 301.26 (4) (c) and (d). All moneys received from the sale of surplus property,
12including vehicles, from juvenile correctional institutions operated by the
13department, all moneys received as payments in restitution of property damaged at
14juvenile correctional institutions operated by the department, all moneys received
15from miscellaneous services provided at a juvenile correctional institution operated
16by the department,
all moneys transferred from the appropriation account under 17pars. (ho) and (hr) as provided in 2005 Wisconsin Act .... (this act), section 9209 (1x), 18all moneys transferred under s. 301.26 (4) (cm), and, except as provided in par. (hr),
19all moneys received in payment for juvenile correctional services specified in s.
20301.26 (4) (d), (dt), and (g) shall be credited to this appropriation account. If moneys
21generated by the daily rate under s. 301.26 (4) (d), other than moneys generated
22under s. 301.26 (5) (b), exceed actual fiscal year institutional costs by 2% or more, all
23moneys in excess of that 2% shall be remitted to the counties during the subsequent
24calendar year or transferred to the appropriation account under par. (kx) during the
25subsequent fiscal year. Each county and the department shall receive a
1proportionate share of the remittance and transfer depending on the total number
2of days of placement at juvenile correctional institutions including the Mendota
3Juvenile Treatment Center. Counties shall use the funds for purposes specified in
4s. 301.26. The department shall deposit in the general fund the amounts transferred
5under this paragraph to the appropriation account under par. (kx). Notwithstanding
6ss. 16.50 (2), 16.52, 20.002 (11), and 20.903, the department may project a deficit in
7this appropriation account on June 30 of any odd-numbered year as provided in s.
8301.26 (5) (a), and any such projected deficit shall be recouped during the next fiscal
9biennium as provided in s. 301.26 (5) (b).
AB100-engrossed,291,511
20.410
(3) (ho)
Juvenile residential aftercare. The amounts in the schedule for
12providing foster care, treatment foster care, group home care
, and institutional child
13care to delinquent juveniles under ss. 49.19 (10) (d), 938.48 (4) and (14)
, and 938.52.
14All moneys transferred under s. 301.26 (4) (cm) and all moneys received in payment
15for providing foster care, treatment foster care, group home care
, and institutional
16child care to delinquent juveniles under ss. 49.19 (10) (d), 938.48 (4) and (14)
, and
17938.52 as specified in s. 301.26 (4) (e) and (ed) shall be credited to this appropriation
18account. If moneys generated by the daily rate exceed actual fiscal year foster care,
19treatment foster care, group home care
, and institutional child care costs
, that excess
20shall be transferred to the appropriation account under par. (hm) as provided in 2005
21Wisconsin Act .... (this act), section 9209 (1x), except that if those moneys generated
22exceed those costs by 2% or more, all moneys in excess of 2% shall be remitted to the
23counties during the subsequent calendar year or transferred to the appropriation
24account under par. (kx) during the subsequent fiscal year. Each county and the
25department shall receive a proportionate share of the remittance and transfer
1depending on the total number of days of placement in foster care, treatment foster
2care, group home care or institutional child care. Counties shall use the funds for
3purposes specified in s. 301.26. The department shall deposit in the general fund the
4amounts transferred under this paragraph to the appropriation account under par.
5(kx).
AB100-engrossed, s. 295k
6Section 295k. 20.410 (3) (ho) of the statutes, as affected by 2005 Wisconsin Act
7.... (this act), is amended to read:
AB100-engrossed,292,28
20.410
(3) (ho)
Juvenile residential aftercare. The amounts in the schedule for
9providing foster care, treatment foster care, group home care
, and institutional child
10care to delinquent juveniles under ss. 49.19 (10) (d), 938.48 (4) and (14), and 938.52.
11All moneys transferred under s. 301.26 (4) (cm) and all moneys received in payment
12for providing foster care, treatment foster care, group home care, and institutional
13child care to delinquent juveniles under ss. 49.19 (10) (d), 938.48 (4) and (14), and
14938.52 as specified in s. 301.26 (4) (e) and (ed) shall be credited to this appropriation
15account. If moneys generated by the daily rate exceed actual fiscal year foster care,
16treatment foster care, group home care, and institutional child care costs
, that excess
17shall be transferred to the appropriation account under par. (hm) as provided in 2005
18Wisconsin Act .... (this act), section 9209 (1x), except that if those moneys generated
19exceed those costs by 2% or more, all moneys in excess of 2% shall be remitted to the
20counties during the subsequent calendar year or transferred to the appropriation
21account under par. (kx) during the subsequent fiscal year. Each county and the
22department shall receive a proportionate share of the remittance and transfer
23depending on the total number of days of placement in foster care, treatment foster
24care, group home care or institutional child care. Counties shall use the funds for
25purposes specified in s. 301.26. The department shall deposit in the general fund the
1amounts transferred under this paragraph to the appropriation account under par.
2(kx).
****Note: This is reconciled s. 20.410 (3) (f). This Section has been affected by
drafts with the following LRB #s: LRB-1624/1 and LRB-1670/3.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,292,74
20.410
(3) (k)
Youth diversion administration. The amounts in the schedule
5for administering the youth diversion program under s. 301.265. All moneys
6transferred from the appropriation account under s. 20.455 (2) (i) 13m. shall be
7credited to this appropriation account.
AB100-engrossed,292,219
20.425
(1) (i)
Fees, collective bargaining training, and publications, and
10appeals. The amounts in the schedule for the performance of fact-finding,
11mediation
, and arbitration functions, for the provision of copies of transcripts, for the
12cost of operating training programs under ss. 111.09 (3), 111.71 (5), and 111.94 (3),
13and for the preparation of publications, transcripts, reports, and other copied
14material
, and for costs related to conducting appeals under s. 230.45. All moneys
15received under ss. 111.09 (1) and (2), 111.71 (1) and (2),
and 111.94 (1) and (2),
and
16230.45 (3), all moneys received from arbitrators and arbitration panel members, and
17individuals who are interested in serving in such positions, and from individuals and
18organizations who participate in other collective bargaining training programs
19conducted by the commission, and all moneys received from the sale of publications,
20transcripts, reports, and other copied material shall be credited to this appropriation
21account.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
AB100-engrossed,293,32
20.433
(1) (b)
Grants to organizations. The amounts in the schedule to be used
3for grants to organizations under s. 48.982 (4), (6), and (7).
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
****Note: This Section involves a change in an appropriation that must be
reflected in the revised schedule in s. 20.005, stats.
****Note: This is reconciled s. 20.433 (1) (h). This Section has been affected by
drafts with the following LRB numbers: LRB-1417 and LRB-1625.
AB100-engrossed,293,55
20.433
(1) (h) (title)
Grants to organizations; program revenues.
AB100-engrossed,293,167
20.435
(1) (gm)
Licensing, review and certifying activities; fees; supplies and
8services. The amounts in the schedule for the purposes specified in ss. 146.50 (8),
9250.05 (6), 252.23, 252.24, 252.245, 254.176, 254.178, 254.179, 254.20 (5) and (8),
10254.31 to 254.39, 254.41, 254.47, 254.61 to 254.88, and 255.08 (2) and ch. 69, for the
11purchase and distribution of medical supplies and to analyze and provide data under
12s. 250.04. All moneys received under ss. 146.50 (5) (f) and (8) (d), 250.04 (3m),
250.05
13(6), 252.23 (4) (a), 252.24 (4) (a), 252.245 (9), 254.176, 254.178, 254.181, 254.20 (5)
14and (8), 254.31 to 254.39, 254.41, 254.47, 254.61 to 254.88, and 255.08 (2) (b) and ch.
1569
, other than s. 69.22 (1m), and as reimbursement for medical supplies shall be
16credited to this appropriation account.
****Note: This is reconciled s. 20.435 (1) (gm). This Section has been affected by
drafts with the following LRB numbers: 0316/2 and 0347/1.
AB100-engrossed,293,1818
20.435
(2) (title)
Disability and elder services; institutions.