SB55-ASA1, s. 277
8Section
277. 20.245 (2) (j) of the statutes is renumbered 20.245 (1) (j) and
9amended to read:
SB55-ASA1,314,1610
20.245
(1) (j)
Self-amortizing facilities; principal repayment, interest, and
11rebates. A sum sufficient from the revenues received under par. (g) to reimburse s.
1220.866 (1) (u) for the payment of principal and interest costs incurred in financing
13the acquisition, construction, development, enlargement
, or improvement of
14facilities of the historical society
related to historic sites and to make the payments
15determined by the building commission under s. 13.488 (1) (m) that are attributable
16to the proceeds of obligations incurred in financing such facilities.
SB55-ASA1, s. 279
18Section
279. 20.245 (2) (km) of the statutes is renumbered 20.245 (1) (km) and
19amended to read:
SB55-ASA1,314,2520
20.245
(1) (km)
Northern Great Lakes Center. The amounts in the schedule for
21the operation of the Northern Great Lakes Center. All moneys transferred from the
22appropriation account under s. 20.505 (8) (hm) 4h. shall be credited to this
23appropriation account.
Notwithstanding s. 20.001 (3) (a), the unencumbered
24balance on June 30 of each year shall revert to the appropriation account under s.
2520.505 (8) (hm).
SB55-ASA1, s. 282
3Section
282. 20.245 (2) (y) of the statutes is renumbered 20.245 (1) (y).
SB55-ASA1, s. 294
15Section
294. 20.245 (3) (n) of the statutes is renumbered 20.245 (1) (n).
SB55-ASA1, s. 302
23Section
302. 20.245 (4) (k) of the statutes is renumbered 20.245 (1) (ks).
SB55-ASA1, s. 304
25Section
304. 20.245 (4) (pz) of the statutes is renumbered 20.245 (1) (pz).
SB55-ASA1, s. 305
1Section
305. 20.245 (4) (q) of the statutes is renumbered 20.245 (1) (q) and
2amended to read:
SB55-ASA1,316,63
20.245
(1) (q)
Endowment principal. As a continuing appropriation, from the
4historical society trust fund, all moneys, securities
, and other assets received, to
be
5credited to the appropriations under par. (r) or sub. (1) (r), (2) (r), (3) (r) or (5) (r), in
6accordance with carry out the purposes for which the assets are received.
SB55-ASA1,316,1412
20.250
(1) (b)
Family medicine and practice education. The amounts in the
13schedule for
the development and operation of family
practice residency programs 14medicine education.
SB55-ASA1,316,2116
20.250
(1) (c)
Principal repayment, interest, and rebates; biomedical research
17and technology incubator. A sum sufficient to reimburse s. 20.866 (1) (u) for the
18payment of principal and interest costs incurred in financing the construction grants
19under s. 13.48 (31), and to make the payments determined by the building
20commission under s. 13.488 (1) (m) that are attributable to the proceeds of
21obligations incurred in financing the construction grants under s. 13.48 (31).
SB55-ASA1,317,323
20.255
(1) (c)
Energy costs; School for the Deaf and Center for the Blind and
24Visually Impaired. The amounts in the schedule to be used at the Wisconsin School
25for the Deaf and the Wisconsin Center for the Blind and Visually Impaired to pay for
1utilities and for fuel, heat and air conditioning
, and to pay costs incurred by or on
2behalf of the department under ss. 16.858 and 16.895
, and to repay to the energy
3efficiency fund loans made to the department under s. 16.847 (6).
SB55-ASA1,317,96
20.255
(1) (dw)
Pupil assessment. The amounts in the schedule for the costs
7of the examinations developed and administered under
s. ss. 118.30 and
for the
8review and modification of academic standards, as provided under 1997 Wisconsin
9Act 27, section 9140 (5r) 121.02 (1) (r).
SB55-ASA1,317,1511
20.255
(2) (ac)
General equalization aids. A sum sufficient for the payment of
12educational aids under ss. 121.08, 121.09
, and 121.105 and subch. VI of ch. 121 equal
13to $3,767,893,500 in the 1999-2000 fiscal year and equal to the amount determined
14by the joint committee on finance under s. 121.15 (3m) (c) in each fiscal year
15thereafter
, less the amount appropriated under par. (bi).
SB55-ASA1,317,1817
20.255
(2) (am)
Interest on delayed school aid payment. A sum sufficient to
18make interest payments to school districts under s. 121.085.
SB55-ASA1,317,2422
20.255
(2) (cu)
Achievement guarantee contracts. The amounts in the schedule
23for aid to school districts and the program evaluation under s. 118.43.
No funds may
24be encumbered from this appropriation after June 30, 2005.
SB55-ASA1,318,3
120.255
(2) (cv)
Achievement guarantee contracts; supplement. The amounts in
2the schedule for aid to school districts under s. 118.43.
No funds may be encumbered
3from this appropriation after June 30, 2003.
SB55-ASA1,318,105
20.255
(2) (cw)
Aid for transportation
to institutions of higher education and
6technical colleges; part-time open enrollment; youth options program. The amounts
7in the schedule for the payment of state aid for the transportation of pupils attending
8an institution of higher education or technical college under s. 118.55 (7g)
and for the
9reimbursement of parents for the costs of transportation of pupils who are eligible
10for assistance under s. 118.52 (11) (b).
SB55-ASA1,318,1412
20.255
(2) (cy)
Aid for transportation;
full-time open enrollment. The amounts
13in the schedule to reimburse parents for the costs of transportation of
full-time open
14enrollment pupils under
s. ss. 118.51 (14) (b)
and 118.52 (11) (b).
SB55-ASA1,318,2116
20.255
(2) (kL)
Special counselor grants. The amounts in the schedule for
17special counselor grants under s. 115.28 (45). All moneys transferred from the
18appropriation account under s. 20.505 (8) (hm) 10s. shall be credited to this
19appropriation account. Notwithstanding s. 20.001 (3) (a), the unencumbered
20balance on June 30 of each year shall revert to the appropriation account under s.
2120.505 (8) (hm).
SB55-ASA1,319,423
20.255
(2) (km)
Alternative school American Indian language and culture
24education aid. The amounts in the schedule for the payment of aid to alternative
25schools for American Indian language and culture education programs under s.
1115.75. All moneys transferred from the appropriation account under s. 20.505 (8)
2(hm) 11. shall be credited to this appropriation account.
Notwithstanding s. 20.001
3(3) (a), the unencumbered balance on June 30 of each year shall revert to the
4appropriation account under s. 20.505 (8) (hm).
SB55-ASA1,319,148
20.275
(1) (es)
Principal, interest and rebates; general purpose revenue —
9school districts schools. A sum sufficient to reimburse s. 20.866 (1) (u) for the
10payment of principal and interest costs incurred in financing educational technology
11infrastructure financial assistance to school districts
and charter school sponsors 12under s. 44.72 (4) and to make full payment of the amounts determined by the
13building commission under s. 13.488 (1) (m), to the extent that these costs and
14payments are not paid under par. (h).
SB55-ASA1,319,2016
20.275
(1) (et)
Educational technology training and technical assistance
17grants. Biennially, the amounts in the schedule for grants to
secured correctional
18facilities, as defined in s. 44.70 (3r), cooperative educational service agencies and
19consortia under s. 44.72 (1) and to the board of regents of the University of Wisconsin
20System under
1999 Wisconsin Act 9, section
9148 (2g).
SB55-ASA1,319,2522
20.275
(1) (f)
Educational technology block grants. The amounts in the
23schedule
, less the amounts appropriated under pars. (im), (jm), and (mp), to make
24payments to school districts
, secured correctional facilities, as defined in s. 44.70 (3r),
25and charter school sponsors under s. 44.72 (2) (b) 2.
SB55-ASA1,320,72
20.275
(1) (h)
Principal, interest and rebates; program revenue — school
3districts schools. All moneys received under s. 44.72 (4) (c) to reimburse s. 20.866 (1)
4(u) for the payment of principal and interest costs incurred in financing educational
5technology infrastructure financial assistance to school districts
and charter school
6sponsors under s. 44.72 (4) and to make full payment of the amounts determined by
7the building commission under s. 13.488 (1) (m).
SB55-ASA1,320,139
20.275
(1) (i)
Grants to libraries. The amounts in the schedule for grants to
10public libraries under s. 44.74. The first $500,000 of moneys received from the
11Ameritech Wisconsin settlement, public service commission docket 6720-T1-164,
12shall be credited to this appropriation account. No moneys may be expended or
13encumbered from this appropriation after June 30, 2002.
SB55-ASA1,320,1815
20.275
(1) (im)
Educational technology block grants; supplemental. Except as
16provided in par. (i), all moneys received from the Ameritech Wisconsin settlement,
17public service commission docket 6720-T1-164, for payments to school districts
18under s. 44.72 (2) (b) 2.
SB55-ASA1,320,2520
20.275
(1) (jm)
Educational technology block grants; Wisconsin Advanced
21Telecommunications Foundation funds. All moneys received from the Wisconsin
22Advanced Telecommunications Foundation, less the amounts credited to the
23appropriation account under s. 20.865 (4) (gm), to make payments to school districts,
24secured correctional facilities, as defined in s. 44.70 (3r), and charter school sponsors
25under s. 44.72 (2) (b) 2.
SB55-ASA1,321,32
20.275
(1) (k)
Funds received from other state agencies. All moneys received
3from other state agencies to carry out the purposes for which received.
SB55-ASA1,321,85
20.275
(1) (L)
Equipment purchases and leases. All moneys received from
6school districts, cooperative educational service agencies and public educational
7institutions for the purchase or lease of educational technology equipment under s.
844.71 (2)
(a) 8. (h), for the purpose of purchasing such equipment.