AB133-SSA1,303,1913
20.275
(1) (er)
Principal, interest and rebates; general purpose revenue — public
14library boards. A sum sufficient to reimburse s. 20.866 (1) (u) for the payment of
15principal and interest costs incurred in financing
subsidized educational technology
16infrastructure
loans financial assistance to public library boards under s. 44.72 (4)
17and to make full payment of the amounts determined by the building commission
18under s. 13.488 (1) (m), to the extent that these costs and payments are not paid
19under par. (hb).
AB133-SSA1,304,221
20.275
(1) (es)
Principal, interest and rebates; general purpose revenue — school
22districts. A sum sufficient to reimburse s. 20.866 (1) (u) for the payment of principal
23and interest costs incurred in financing
subsidized educational technology
24infrastructure
loans financial assistance to school districts under s. 44.72 (4) and to
25make full payment of the amounts determined by the building commission under s.
113.488 (1) (m), to the extent that these costs and payments are not paid under par.
2(h).
AB133-SSA1,304,64
20.275
(1) (et)
Educational technology training and technical assistance
5grants. Biennially, the The amounts in the schedule for grants to cooperative
6educational service agencies and consortia under s. 44.72 (1).
AB133-SSA1,304,159
20.275
(1) (gf)
Payments from telecommunications carriers; school districts. All
10moneys received from telecommunications carriers in lieu of discounted service to
11school districts under
47 USC 254 to make payments to telecommunications
12providers under contracts with the department of administration under s. 16.974 (7)
13(a) and, prior to July 1, 2002, to make grants to school districts under s. 44.73 (6).
14Notwithstanding s. 20.001 (3) (c), the amount expended under this paragraph and
15par. (s), in the aggregate, may not exceed the amounts in the schedule for par. (s).
AB133-SSA1,304,2217
20.275
(1) (gg)
Payments from telecommunications carriers; libraries. All
18moneys received from telecommunications carriers in lieu of discounted service to
19libraries under
47 USC 254 to make payments to telecommunications providers
20under contracts with the department of administration under s. 16.974 (7) (b).
21Notwithstanding s. 20.001 (3) (c), the amount expended under this paragraph and
22par. (t), in the aggregate, may not exceed the amounts in the schedule for par. (t).
AB133-SSA1,305,524
20.275
(1) (gh)
Payments from telecommunications carriers; private schools. 25All moneys received from telecommunications carriers in lieu of discounted service
1to private schools under
47 USC 254 to make payments to telecommunications
2providers under contracts with the department of administration under s. 16.974 (7)
3(c) and, prior to July 1, 2002, to make grants to private schools under s. 44.73 (6).
4Notwithstanding s. 20.001 (3) (c), the amount expended under this paragraph and
5par. (tm), in the aggregate, may not exceed the amounts in the schedule for par. (tm).
AB133-SSA1,305,107
20.275
(1) (gm)
Wisconsin advanced telecommunications foundation services. 8All moneys received from the Wisconsin advanced telecommunications foundation
9to provide administrative services to the Wisconsin advanced telecommunications
10foundation under contracts under s. 44.71 (2) (bm).
AB133-SSA1,305,1712
20.275
(1) (h)
Principal, interest and rebates; program revenue — school
13districts. All moneys received under s. 44.72 (4) (c) to reimburse s. 20.866 (1) (u) for
14the payment of principal and interest costs incurred in financing
subsidized 15educational technology infrastructure
loans financial assistance to school districts
16under s. 44.72 (4) and to make full payment of the amounts determined by the
17building commission under s. 13.488 (1) (m).
AB133-SSA1,305,2419
20.275
(1) (hb)
Principal, interest and rebates; program revenue — public
20library boards. All moneys received under s. 44.72 (4) (c) to reimburse s. 20.866 (1)
21(u) for the payment of principal and interest costs incurred in financing
subsidized 22educational technology infrastructure
loans financial assistance to public library
23boards under s. 44.72 (4) and to make full payment of the amounts determined by the
24building commission under s. 13.488 (1) (m).
AB133-SSA1,306,4
120.275
(1) (L)
Equipment purchases and leases. All moneys received from
2school districts, cooperative educational service agencies and public educational
3institutions for the purchase or lease of educational technology equipment under s.
444.71 (2)
(h) (a) 8., for the purpose of purchasing such equipment.
AB133-SSA1,306,146
20.275
(1) (s)
Educational telecommunications Telecommunications access
7support; school districts, cooperative educational service agencies and technical
8college districts. Biennially, from the universal service fund, the amounts in the
9schedule to make payments to telecommunications providers under contracts with
10the department of administration under s. 16.974 (7) (a) to the extent that the
11amounts due are not paid from the
appropriation appropriations under
par. (gf) and 12s. 20.505 (1) (is) and, prior to July 1, 2002,
to the extent that the amounts due school
13districts are not paid from the appropriation under par. (gf), to make grants to school
14districts under s.
196.218 (4r) (g) 44.73 (6).
AB133-SSA1,306,2116
20.275
(1) (t)
Educational telecommunications Telecommunications access
17support; private and technical colleges and public library boards libraries. 18Biennially, from the universal service fund, the amounts in the schedule to make
19payments to telecommunications providers under contracts with the department of
20administration under s. 16.974 (7) (b) to the extent that the amounts due are not paid
21from the
appropriation appropriations under
par. (gg) and s. 20.505 (1) (is).
AB133-SSA1,307,523
20.275
(1) (tm)
Educational telecommunications Telecommunications access
24support; private schools. Biennially, from the universal service fund, the amounts
25in the schedule to make payments to telecommunications providers under contracts
1with the department of administration under s. 16.974 (7) (c) to the extent that the
2amounts due are not paid from the
appropriation appropriations under
par. (gh) and 3s. 20.505 (1) (is) and, prior to July 1, 2002,
to the extent that the amounts due private
4schools are not paid from the appropriation under par. (gh), to make grants to private
5schools under s.
196.218 (4r) (g) 44.73 (6).
AB133-SSA1,307,117
20.275
(1) (tu)
Telecommunications access; state schools. Biennially, from the
8universal service fund, the amounts in the schedule to make payments to
9telecommunications providers under contracts with the department of
10administration under s. 16.974 (7) (d) to the extent that the amounts due are not paid
11from the appropriation under s. 20.505 (1) (kL).
AB133-SSA1,307,1914
20.285
(1) (b)
Area health education
center centers. The amounts in the
15schedule
for the to operate and implement jointly with the Medical College of
16Wisconsin area health education
center at the University of Wisconsin-Madison
17under s. 36.25 (37) centers and projects. Beginning October 1, 1999, the area health
18education centers and projects shall be implemented and operated solely by the
19board of regents of the University of Wisconsin System.
AB133-SSA1,307,2221
20.285
(1) (er)
Grants for study abroad. The amounts in the schedule for grants
22for study abroad under s. 36.36.
AB133-SSA1,308,18
120.285
(1) (h)
Auxiliary enterprises. Except as provided under
par. (gm) and 2subs. (5) (i) and (6) (g), all moneys received by the university of Wisconsin system for
3or on account of any housing facility, commons, dining halls, cafeteria, student union,
4athletic activities, stationery stand or bookstore, parking facilities or car fleet, or
5such other auxiliary enterprise activities as the board designates and including such
6fee revenues as allocated by the board and including such moneys received under
7leases entered into previously with nonprofit building corporations as the board
8designates to be receipts under this paragraph, to be used for the operation,
9maintenance and capital expenditures of activities specified in this paragraph,
10including the transfer of funds to pars. (kd) and (ke) and to nonprofit building
11corporations to be used by the corporations for the retirement of existing
12indebtedness and such other payments as may be required under existing loan
13agreements, and for optional rental payments in addition to the mandatory rental
14payments under the leases and subleases in connection with the providing of
15facilities for such activities. A separate account shall be maintained for each campus
16and extension. Upon the request of the extension or any campus within the system,
17the board of regents may transfer surplus moneys appropriated under this
18paragraph to the appropriation account under par. (kp).
AB133-SSA1,308,2421
20.285
(1) (kf)
Outdoors skills training. The amounts in the schedule for
22outdoors skills training under s. 29.598. All moneys transferred from the
23appropriation account under s. 20.370 (1) (mu) shall be credited to this appropriation
24account.
AB133-SSA1,309,9
120.285
(1) (km)
Aquaculture demonstration facility; principal repayment and
2interest. The amounts in the schedule to reimburse s. 20.866 (1) (u) for the payment
3of principal and interest costs incurred in financing the construction of the
4aquaculture demonstration facility enumerated under 1999 Wisconsin Act .... (this
5act), section 9107 (1) (i) 3. and to make the payments determined by the building
6commission under s. 13.488 (1) (m) that are attributable to the proceeds of
7obligations incurred in financing that facility. All moneys transferred from the
8appropriation account under s. 20.505 (8) (hm) 1c. shall be credited to this
9appropriation account.
AB133-SSA1,309,1511
20.285
(1) (kn)
Aquaculture demonstration facility; operational costs. The
12amounts in the schedule for the operational costs of the aquaculture demonstration
13facility enumerated under 1999 Wisconsin Act .... (this act), section
9107 (1) (i) 3. All
14moneys transferred from the appropriation account under s. 20.505 (8) (hm) 11a.
15shall be credited to this appropriation account.
AB133-SSA1,309,2317
20.285
(1) (kr)
University of Wisconsin center for tobacco research and
18intervention. All moneys received from the department of health and family services
19under s. 255.15 (3) (a) 1., to advance the work of the tobacco research and
20intervention center at the University of Wisconsin-Madison in developing new
21educational programs to discourage tobacco use, determining the most effective
22strategies for preventing tobacco use and expanding smoking cessation programs
23throughout the state.
AB133-SSA1,310,5
120.285
(1) (ks)
Extension local planning program. The amounts in the schedule
2for the University of Wisconsin-Extension local planning program under s. 36.11
3(37) and for development of a model ordinance for traditional neighborhood
4development under s. 66.034. All moneys transferred from the appropriation
5account under s. 20.505 (1) (kh) shall be credited to this appropriation account.
AB133-SSA1,310,97
20.285
(1) (La)
Public broadcasting. All moneys received from the
8broadcasting corporation, as defined in s. 39.81 (2), for the purpose of providing
9services to such corporation under an agreement under s. 36.25 (5) (c) 2.
AB133-SSA1,310,1411
20.285
(1) (qd)
Ginseng research. Biennially, from the agrichemical
12management fund, the amounts in the schedule to research the properties of ginseng
13that grows in this state. No moneys may be encumbered under this paragraph after
14June 30, 2001.
AB133-SSA1,310,2219
20.292
(1) (cw)
La Crosse Health Science Center. The amounts in the schedule
20for Western Wisconsin Technical College's share of the costs of the La Crosse Health
21Science Center. No moneys may be encumbered from this appropriation after June
2230, 2001.
AB133-SSA1,311,924
20.292
(1) (d)
State aid for technical colleges; statewide guide. The amounts in
25the schedule for state aids for technical college districts and technical colleges,
1including area schools and programs established and maintained under the
2supervision of the board
to be distributed, under s. 38.28
(2) (b), and for production
3and distribution of the statewide guide under s. 38.04 (18). Of the amount in the
4schedule for each
fiscal year not exceeding $50,000 may be spent by the board to
5match federal funds made available for technical education by any act of congress for
6the purposes set forth in such act
and no more than $125,000 may be spent by the
7board to produce and distribute the statewide guide under s. 38.04 (18). If, in any
8fiscal year, actual program fees raised under s. 38.24 (1m) exceed board estimates,
9the increase shall be used to offset actual district aidable cost.
AB133-SSA1,311,1311
20.292
(1) (gt)
Telecommunications retraining. All moneys received under s.
1238.42 (4) to fund telecommunications retraining grants under s. 38.42 (5). This
13paragraph does not apply after June 30,
1999 2000.
AB133-SSA1,311,2117
20.320
(1) (c)
Principal repayment and interest — clean water fund program. 18A sum sufficient to reimburse s. 20.866 (1) (u) for the payment of principal and
19interest costs incurred in transferring moneys from s. 20.866 (2) (tc) to the
20environmental improvement fund for the purposes of the clean water fund program
21under s. 281.58
and the urban storm water loan program under s. 281.595.
AB133-SSA1,312,623
20.320
(1) (q)
Clean water fund program revenue obligation funding. As a
24continuing appropriation, all proceeds from revenue obligations issued under subch.
25II or IV of ch. 18, as authorized under s. 281.59 (4) and deposited in the fund in the
1state treasury created under s. 18.57 (1), providing for reserves and for expenses of
2issuance and management of the revenue obligations, and the remainder to be
3transferred to the environmental improvement fund for the purposes of the clean
4water fund program under s. 281.58
and the urban storm water loan program under
5s. 281.595. Estimated disbursements under this paragraph shall not be included in
6the schedule under s. 20.005.
AB133-SSA1,312,118
20.320
(1) (s)
Clean water fund program financial assistance. From the
9environmental improvement fund, a sum sufficient for the purposes of providing
10clean water fund program financial assistance under s. 281.58
and urban storm
11water loan program assistance under s. 281.595.
AB133-SSA1,312,2113
20.320
(1) (t)
Principal repayment and interest — clean water fund program
14bonds. From the environmental improvement fund, the amounts in the schedule to
15reimburse s. 20.866 (1) (u) for the payment of principal and interest costs incurred
16in transferring moneys from s. 20.866 (2) (tc) to the environmental improvement
17fund for the purposes of the clean water fund program under s. 281.58
and the urban
18storm water loan program under s. 281.595. Fifty percent of all moneys received
19from municipalities as payment of interest on loans or portions of loans under
s. ss. 20281.58
and 281.595 the revenues of which have not been pledged to secure revenue
21obligations shall be credited to this appropriation account.
AB133-SSA1,313,523
20.320
(1) (x)
Clean water fund program financial assistance; federal. From
24the clean water fund program federal revolving loan fund account in the
25environmental improvement fund, all moneys received from the federal government
1to provide financial assistance under the clean water fund program under s. 281.58
2and under the urban storm water loan program under s. 281.595, as authorized by
3the governor under s. 16.54, except moneys appropriated under par. (y), for financial
4assistance under the clean water fund program under s. 281.58
and under the urban
5storm water loan program under s. 281.595.
AB133-SSA1,313,107
20.320
(3) P
rivate sewage system program. (q)
Private sewage system loans. 8From the environmental improvement fund, as a continuing appropriation, the
9amounts in the schedule for private sewage system replacement or rehabilitation
10loans under s. 145.245 (12m).
AB133-SSA1,313,1613
20.370
(1) (ct)
Timber sales contracts — repair and reimbursement costs. All
14moneys received by the department as sureties under s. 28.05 (1) to be used to repair
15damage and recover costs incurred by the improper performance of timber sales
16contracts and to reimburse persons who provide sureties as provided in s. 28.05 (1).
AB133-SSA1,314,418
20.370
(1) (fs)
Endangered resources — voluntary payments; sales, leases and
19fees. As a continuing appropriation, from moneys received as amounts designated
20under
s. ss. 71.10 (5) (b)
and 71.30 (10) (b), the net amounts certified under
s.
ss. 71.10
21(5) (h) 4.
and 71.30 (10) (h) 3., all moneys received from the sale or lease of resources
22derived from the land in the state natural areas system and all moneys received from
23fees collected under ss. 23.27 (3) (b), 29.563 (10) and 341.14 (6r) (b) 5., for the purposes
24of the endangered resources program, as defined under
s. ss. 71.10 (5) (a) 2.
and 71.30
25(10) (a) 2. Three percent of the moneys certified under
s. ss. 71.10 (5) (h) 4.
and 71.30
1(10) (h) 3. in each fiscal year
, but not exceed $100,000, and 3% of the fees received
2under s. 341.14 (6r) (b) 5. in each fiscal year shall be allocated for wildlife damage
3control and payment of claims for damage associated with endangered or threatened
4species
, except that this combined allocation may not exceed $100,000 per fiscal year.
AB133-SSA1,314,106
20.370
(1) (hk)
Elk management. From the general fund, the amounts in the
7schedule for the costs associated with the management of the elk population in this
8state and for the costs associated with the transportation of elk brought into the
9state. All moneys transferred from the appropriation account under s. 20.505 (8)
10(hm) 8g. shall be credited to this appropriation account.
AB133-SSA1,314,1412
20.370
(1) (iu)
Gravel pit reclamation. All moneys received under s. 23.20 to
13be used to reclaim gravel pits and similar facilities on property under the jurisdiction
14of the department of natural resources.
AB133-SSA1,314,2016
20.370
(1) (Lk)
Wild crane management. From the general fund, the amounts
17in the schedule for the study on crop damage by cranes under 1999 Wisconsin Act ....
18(this act), section 9136 (10m), and for the costs associated with reintroducing
19whooping cranes into the state. All moneys transferred from the appropriation
20account under s. 20.505 (8) (hm) 8i. shall be credited to this appropriation account.
AB133-SSA1, s. 308L
21Section 308L. 20.370 (1) (Lk) of the statutes, as created by 1999 Wisconsin Act
22.... (this act), is amended to read:
AB133-SSA1,315,223
20.370
(1) (Lk)
Wild crane management. From the general fund, the amounts
24in the schedule for
the study on crop damage by cranes under 1999 Wisconsin Act ....
25(this act), section 9136 (10m) and for the costs associated with reintroducing
1whooping cranes into the state. All moneys transferred from the appropriation
2account under s. 20.505 (8) (hm) 8i. shall be credited to this appropriation account.
AB133-SSA1,315,54
20.370
(1) (Lt)
Wildlife management. The amounts in the schedule for wildlife
5management activities in forested areas of this state.