AB75-SSA1,287,2219
20.370
(4) (aj)
Water resources—ballast water discharge permits. From the
20general fund, all moneys received from fees collected under s. 283.35 (1m) to
21administer and enforce the ballast water discharge permit program under s. 283.35
22(1m) and for grants under 2009 Wisconsin Act .... (this act), section 9137 (3w).
AB75-SSA1,288,324
20.370
(4) (bj)
Storm water management — fees. From the general fund, the
25amounts in the schedule for the administration, including enforcement, of the storm
1water discharge permit program under s. 283.33. All moneys received under s.
2283.33 (9)
and under 2009 Wisconsin Act .... (this act), section 9110 (11f) shall be
3credited to this appropriation account.
AB75-SSA1,288,85
20.370
(4) (cg)
Groundwater quantity administration. From the general fund,
6from the moneys received under s. 281.34, the amounts in the schedule for the
7administration of the program under s. 281.34
and, before July 1, 2010, for the
8administration of s. 281.346.
AB75-SSA1,288,1310
20.370
(5) (ar)
Resource aids — county conservation aids. As a continuing
11appropriation, the amounts in the schedule for county fish and game projects under
12s. 23.09 (12)
and for a public shooting range under 2009 Wisconsin Act .... (this act),
13section 9137 (4u).
AB75-SSA1, s. 275j
14Section 275j. 20.370 (5) (ar) of the statutes, as affected by 2009 Wisconsin Act
15.... (this act), is repealed and recreated to read:
AB75-SSA1,288,1816
20.370
(5) (ar)
Resource aids — county conservation aids. As a continuing
17appropriation, the amounts in the schedule for county fish and game projects under
18s. 23.09 (12).
AB75-SSA1,288,2120
20.370
(5) (az)
Resource aids — urban forestry grants. Biennially, the amounts
21in the schedule for urban forestry grants under s. 23.097.
AB75-SSA1,289,223
20.370
(5) (bw)
Resource aids —
county sustainable forestry and county forest
24administration grants. The Biennially, the amounts in the schedule for
urban
1forestry grants under s. 23.097, county sustainable forestry grants under s. 28.11
2(5r)
, and county forest administration grants under s. 28.11 (5m).
AB75-SSA1,289,74
20.370
(6) (as)
Environmental aids—invasive aquatic species and lake
5monitoring. Biennially, from the conservation fund, the amounts in the schedule for
6grants under s. 23.22 (2) (c) to control invasive species that are aquatic species
and
7for lake monitoring contracts under s. 281.68 (1t).
AB75-SSA1,289,129
20.370
(6) (bu)
Financial assistance for responsible units. From the recycling
10and renewable energy fund, the amounts in the schedule for grants to responsible
11units under s. 287.23
and for the grant under 2009 Wisconsin Act .... (this act), section
129137 (1q).
AB75-SSA1,289,1914
20.370
(6) (dq)
Environmental aids - urban nonpoint source. Biennially, from
15the environmental fund, the amounts in the schedule to provide financial assistance
16for urban nonpoint source water pollution abatement and storm water management
17under s. 281.66 and for municipal flood control and riparian restoration under s.
18281.665 and to make the grant under
2007 Wisconsin Act 20, section 9135 (1i) 2009
19Wisconsin Act .... (this act), section 9137 (5q).
AB75-SSA1, s. 280
20Section
280. 20.370 (7) (ca) of the statutes is renumbered 20.370 (7) (cq) and
21amended to read:
AB75-SSA1,290,522
20.370
(7) (cq)
Principal repayment and interest — nonpoint source grants. A 23From the environmental fund, a sum sufficient to reimburse s. 20.866 (1) (u) for the
24payment of principal and interest costs incurred in providing funds under s. 20.866
25(2) (te) for nonpoint source water pollution abatement projects under s. 281.65, to
1make the payments determined by the building commission under s. 13.488 (1) (m)
2that are attributable to the proceeds of obligations incurred in financing those
3projects, to the extent that these payments are not made under par. (cg), and to make
4payments under an agreement or ancillary arrangement entered into under s. 18.06
5(8) (a).
AB75-SSA1,290,137
20.370
(7) (cb)
Principal repayment and interest — pollution abatement bonds. 8A sum sufficient to reimburse s. 20.866 (1) (u) for the payment of principal and
9interest costs incurred in financing the acquisition, construction, development,
10enlargement or improvement of point source water pollution abatement facilities
11and sewage collection facilities under ss. 281.55, 281.56 and 281.57 and to make
12payments under an agreement or ancillary arrangement entered into under s. 18.06
13(8) (a)
, to the extent that these payments are not made under par. (ct).
AB75-SSA1, s. 282
14Section
282. 20.370 (7) (ce) of the statutes is renumbered 20.370 (7) (cr) and
15amended to read:
AB75-SSA1,290,2216
20.370
(7) (cr)
Principal repayment and interest — nonpoint source. A From
17the environmental fund, a sum sufficient to reimburse s. 20.866 (1) (u) for the
18payment of principal and interest costs incurred in financing nonpoint source
19projects under s. 20.866 (2) (tf), 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 those projects, and to make payments under an
22agreement or ancillary arrangement entered into under s. 18.06 (8) (a).
AB75-SSA1, s. 283
23Section
283. 20.370 (7) (cf) of the statutes is renumbered 20.370 (7) (cs) and
24amended to read:
AB75-SSA1,291,8
120.370
(7) (cs)
Principal repayment and interest — urban nonpoint source
2cost-sharing. A From the environmental fund, a sum sufficient to reimburse s.
320.866 (1) (u) for the payment of principal and interest costs incurred in financing
4cost-sharing grants for projects under s. 20.866 (2) (th), to make the payments
5determined by the building commission under s. 13.488 (1) (m) that are attributable
6to the proceeds of obligations incurred in financing those grants, and to make
7payments under an agreement or ancillary arrangement entered into under s. 18.06
8(8) (a).
AB75-SSA1,291,1810
20.370
(7) (ct)
Principal and interest — pollution abatement, environmental
11fund. From the environmental fund, the amounts in the schedule 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 point
14source water pollution abatement facilities and sewage collection facilities under ss.
15281.55, 281.56 and 281.57, to make the payments determined by the building
16commission under s. 13.488 (1) (m) that are attributable to the proceeds of
17obligations incurred in financing those facilities, and to make payments under an
18agreement or ancillary arrangement entered into under s. 18.06 (8) (a).
AB75-SSA1,291,2420
20.370
(8) (mg)
General program operations — stationary sources. From the
21general fund, from the moneys received from fees
imposed on owners and operators
22of stationary sources for which operation permits are required under the federal
23clean air act under s. 285.69 (2) (a) and (e), the amounts in the schedule for the
24administration of the operation permit program under ch. 285 and s. 299.15.
AB75-SSA1,292,7
120.370
(9) (hk)
Approval fees to Lac du Flambeau band-service funds. From
2the general fund, the amounts in the schedule for the purpose of making payments
3to the Lac du Flambeau band of the Lake Superior Chippewa under s. 29.2295 (4) (a)
4and (4m). All moneys transferred from the appropriation account under s. 20.505 (8)
5(hm) 8r. shall be credited to this appropriation account.
Notwithstanding s. 20.001
6(3) (a), the unencumbered balance on June 30 of each year shall revert to the
7appropriation account under s. 20.505 (8) (hm).
AB75-SSA1,292,149
20.370
(9) (mh)
General program operations — stationary sources. From the
10general fund, from the moneys received from fees
imposed on owners and operators
11of stationary sources for which operation permits are required under the federal
12clean air act under s. 285.69 (2) (a) and (e), the amounts in the schedule for customer
13service, communications and aids administration for the operation permit program
14under ch. 285 and s. 299.15.
AB75-SSA1,292,2116
20.380
(1) (km)
Tourist
Grants for regional tourist information assistant
17centers. The amounts in the schedule
to pay for
a tourist information
assistant 18center grants under s. 41.16. All moneys transferred from the appropriation account
19under s. 20.505 (8) (hm) 6b. shall be credited to this appropriation account.
20Notwithstanding s. 20.001 (3) (a), the unencumbered balance on June 30 of each year
21shall revert to the appropriation account under s. 20.505 (8) (hm).
AB75-SSA1,292,2523
20.395
(1) (bq)
Intercity bus assistance program, state funds. As a continuing
24appropriation, the amounts in the schedule for the intercity bus assistance program
25under s. 85.26.
AB75-SSA1,293,82
20.395
(1) (bv)
Transit and transportation employment and mobility other
3transportation-related aids, local funds. All moneys received from any local unit of
4government or other source for urban mass transit purposes under s. 85.20, for rural
5public transportation purposes under s. 85.23,
or for transportation employment and
6mobility purposes under s. 85.24 that are not funded from other appropriations
7under this subsection,
or for intercity bus assistance purposes under s. 85.26, for
8such purposes.
AB75-SSA1,293,1610
20.395
(1) (bx)
Transit and transportation employment and mobility other
11transportation-related aids, federal funds. All moneys received from the federal
12government for urban mass transit purposes under s. 85.20, for rural public
13transportation purposes under s. 85.23,
or for transportation employment and
14mobility purposes under s. 85.24 that are not funded from other appropriations
15under this subsection,
or for intercity bus assistance purposes under s. 85.26, for
16such purposes.
AB75-SSA1,293,2418
20.395
(1) (ck)
Tribal elderly transportation grants. From the general fund, the
19amounts in the schedule for grants under s. 85.215 to American Indian tribes and
20bands for transportation assistance for the elderly. All moneys transferred from the
21appropriation account under s. 20.505 (8) (hm) 22. shall be credited to this
22appropriation account. Notwithstanding s. 20.001 (3) (a), the unencumbered
23balance on June 30 of each year shall revert to the appropriation account under s.
2420.505 (8) (hm).
AB75-SSA1,294,2
120.395
(1) (hw)
Tier A-3 transit operating aids, state funds. The amounts in
2the schedule for mass transit aids under s. 85.20 (4m) (a) 6. e.
AB75-SSA1,294,54
20.395
(2) (jq)
Grant to village of Bellevue, state funds. The amounts in the
5schedule for the grant under 2009 Wisconsin Act .... (this act), section 9150 (4c).
AB75-SSA1, s. 294r
6Section 294r. 20.395 (2) (jq) of the statutes, as created by 2009 Wisconsin Act
7.... (this act), is repealed.
AB75-SSA1,294,109
20.395
(2) (jr)
Grant to village of Footville, state funds. The amounts in the
10schedule for the grant under 2009 Wisconsin Act .... (this act), section 9150 (5bb).
AB75-SSA1, s. 294w
11Section 294w. 20.395 (2) (jr) of the statutes, as created by 2009 Wisconsin Act
12.... (this act), is repealed.
AB75-SSA1,294,1814
20.395
(2) (oq)
Bicycle and pedestrian facilities, state funds. As a continuing
15appropriation, the amounts in the schedule for grants under the bicycle and
16pedestrian facilities program under s. 85.024 and for grants involving bicycle and
17pedestrian facilities under the transportation enhancement activities program
18under s. 85.026.
AB75-SSA1,295,220
20.395
(3) (ct)
Marquette interchange reconstruction, owner Owner controlled
21insurance program, service funds. All moneys received from contractors on
the
22Marquette interchange reconstruction project any highway improvement project
23having an estimated cost exceeding $500,000,000 as payments arising from safety
24violations or claims for the purposes of funding safety coordination efforts and safety
1programs on the project and making premium payments for insurance maintained
2by the department on the project.
AB75-SSA1,295,154
20.395
(3) (ev)
Highway maintenance, repair, and traffic operations, local
5funds. All moneys received from any local unit of government or other sources for
6the maintenance and repair of roadside improvements under s. 84.04, state trunk
7highways under s. 84.07, and bridges that are not on the state trunk highway system
8under s. 84.10; for signing under s. 86.195; for highway operations such as permit
9issuance, pavement marking, highway signing, traffic signalization, and highway
10lighting under ss. 84.04, 84.07, 84.10, and 348.25 to 348.27 and ch. 349; and for the
11disadvantaged business demonstration and training program under s. 84.076; for
12such purposes
; and all moneys received from private entities in connection with
13agreements under s. 84.04 (2m), for wayside or rest area maintenance. This
14paragraph does not apply to special maintenance activities under s. 84.04 on
15roadside improvements.
AB75-SSA1,295,2317
20.395
(5) (cg)
Internet and telephone transactions Convenience fees, state
18funds. From the general fund, all moneys received from
Internet and telephone
19credit card transaction fees that are convenience fees authorized under s. 85.14 (1)
20(a)
and all moneys received from convenience fees for the purpose of paying
vendor
21and Internet charges
assessed against the department under s. 85.14 (1) (b) and
22charges associated with the acceptance of payment by credit card, debit card, and
23other electronic payment mechanism.
AB75-SSA1,296,6
120.395
(5) (ci)
Breath screening instruments, state funds. From the general
2fund, all moneys transferred from
the appropriation account under s. 20.435
(6) (5) 3(hx) for the purchase and maintenance of breath screening instruments.
4Notwithstanding s. 20.001 (3) (a), the unencumbered balance in this appropriation
5account on June 30 of each year shall be transferred to the appropriation account
6under s. 20.435
(6) (5) (hx).
AB75-SSA1, s. 298
7Section
298. 20.395 (5) (cL) (title) of the statutes is amended to read:
AB75-SSA1,296,88
20.395
(5) (cL) (title)
Licensing Football plate licensing fees, state funds.
AB75-SSA1,296,1610
20.395
(5) (di)
Chemical testing training and services, state funds. From the
11general fund, the amounts in the schedule for the chemical testing training and
12services provided by the state traffic patrol. All moneys transferred from the
13appropriation account under s. 20.435
(6) (5) (hx) shall be credited to this
14appropriation account. Notwithstanding s. 20.001 (3) (a), the unencumbered
15balance in this appropriation account on June 30 of each year shall be transferred
16to the appropriation account under s. 20.435
(6)
(5) (hx).
AB75-SSA1,296,2018
20.395
(5) (ej)
Baseball plate licensing fees, state funds. From the general fund,
19all moneys received under s. 341.14 (6r) (b) 13. a. for the purpose of making payments
20of licensing fees under s. 341.14 (6r) (i).
AB75-SSA1,296,2422
20.395
(5) (ek)
Safe-ride grant program; state funds. From the general fund,
23all moneys transferred from the appropriation account under s. 20.435
(6) (5) (hx) for
24the purpose of awarding grants under s. 85.55.
AB75-SSA1,297,11
120.395
(6) (af)
Principal repayment and interest, local roads for job preservation
2program, transit improvements, and major highway and rehabilitation projects,
3state funds. From the general fund, a sum sufficient to reimburse s. 20.866 (1) (u)
4for the payment of principal and interest costs incurred in financing the local roads
5for job preservation program under s. 86.312
, transit capital improvements under s.
685.11, as provided under s. 20.866 (2) (uq), and major highway and rehabilitation
7projects, as provided under ss. 20.866 (2) (uum) and (uur), 84.555, and 84.95, to make
8the payments determined by the building commission under s. 13.488 (1) (m) that are
9attributable to the proceeds of obligations incurred in financing the local roads for
10job preservation program under s. 86.312, and to make payments under an
11agreement or ancillary arrangement entered into under s. 18.06 (8) (a).
AB75-SSA1,297,2113
20.395
(6) (aq)
Principal repayment and interest, transportation facilities, state
14highway rehabilitation, major highway projects, state funds. A sum sufficient to
15reimburse s. 20.866 (1) (u) for the payment of principal and interest costs incurred
16in financing the acquisition, construction, development, enlargement, or
17improvement of transportation facilities under ss. 84.51, 84.52, 84.53, 85.08 (2) (L)
18and (4m) (c) and (d), 85.09, and 85.095 (2)
, state highway rehabilitation projects, as
19provided under ss. 20.866 (2) (uut) and 84.57, and major highway projects, as
20provided under ss. 20.866 (2) (uus) and 84.56, and to make payments under an
21agreement or ancillary arrangement entered into under s. 18.06 (8) (a).
AB75-SSA1,298,324
20.410
(1) (ds)
Becky Young Community Corrections; recidivism reduction
25community services. The amounts in the schedule to provide services under s.
1301.068 to persons who are on probation, or who are soon to be or are currently on
2parole or extended supervision, following a felony conviction, in an effort to reduce
3recidivism.
AB75-SSA1,298,105
20.410
(1) (f)
Energy costs; energy-related assessments. The amounts in the
6schedule to be used at state correctional institutions to pay for utilities and for fuel,
7heat and air conditioning, to pay assessments levied by the department of
8administration under s. 16.847 (3) for
debt service costs
incurred and
energy cost 9savings generated at departmental facilities, and to pay costs incurred by or on
10behalf of the department under ss. 16.858 and 16.895.
AB75-SSA1, s. 311
11Section
311. 20.410 (2) (title) of the statutes is amended to read:
AB75-SSA1,298,1212
20.410
(2) (title)
Parole
Earned release review commission.
AB75-SSA1,298,1514
20.410
(2) (a)
General program operations. The amounts in the schedule for
15the general program operations of the
parole earned release review commission.
AB75-SSA1, s. 313
16Section
313
. 20.410 (3) (hm) of the statutes is amended to read:
AB75-SSA1,299,1317
20.410
(3) (hm)
Juvenile correctional services. Except as provided in pars. (ho)
18and (hr), the amounts in the schedule for juvenile correctional services specified in
19s. 301.26 (4) (c) and (d). All moneys received from the sale of surplus property,
20including vehicles, from juvenile correctional institutions operated by the
21department, all moneys received as payments in restitution of property damaged at
22juvenile correctional institutions operated by the department, all moneys received
23from miscellaneous services provided at a juvenile correctional institution operated
24by the department, all moneys transferred from the appropriation
account accounts 25under pars. (ho) and (hr) as provided in
2007 Wisconsin Act 20, section 9209 (1f) 2009
1Wisconsin Act .... (this act), section 9211 (1
), all moneys transferred under s. 301.26
2(4) (cm), and, except as provided in par. (hr), all moneys received in payment for
3juvenile correctional services specified in s. 301.26 (4) (d), (dt), and (g) shall be
4credited to this appropriation account. If moneys generated by the daily rate under
5s. 301.26 (4) (d) exceed actual fiscal year institutional costs by 2% or more, all moneys
6in excess of that 2% shall be remitted to the counties during the subsequent calendar
7year or transferred to the appropriation account under par. (kx) during the
8subsequent fiscal year. Each county and the department shall receive a
9proportionate share of the remittance and transfer depending on the total number
10of days of placement at juvenile correctional institutions including the Mendota
11Juvenile Treatment Center. Counties shall use the funds for purposes specified in
12s. 301.26. The department shall deposit in the general fund the amounts transferred
13under this paragraph to the appropriation account under par. (kx).
AB75-SSA1, s. 314
14Section
314
. 20.410 (3) (hm) of the statutes, as affected by 2009 Wisconsin Act
15.... (this act), is amended to read:
AB75-SSA1,300,1216
20.410
(3) (hm)
Juvenile correctional services. Except as provided in pars. (ho)
17and (hr), the amounts in the schedule for juvenile correctional services specified in
18s. 301.26 (4) (c) and (d). All moneys received from the sale of surplus property,
19including vehicles, from juvenile correctional institutions operated by the
20department, all moneys received as payments in restitution of property damaged at
21juvenile correctional institutions operated by the department, all moneys received
22from miscellaneous services provided at a juvenile correctional institution operated
23by the department,
all moneys transferred from the appropriation accounts under
24pars. (ho) and (hr) as provided in 2009 Wisconsin Act .... (this act), section 9211 (1), 25all moneys transferred under s. 301.26 (4) (cm), and, except as provided in par. (hr),
1all moneys received in payment for juvenile correctional services specified in s.
2301.26 (4) (d), (dt), and (g) shall be credited to this appropriation account. If moneys
3generated by the daily rate under s. 301.26 (4) (d) exceed actual fiscal year
4institutional costs by 2% or more, all moneys in excess of that 2% shall be remitted
5to the counties during the subsequent calendar year or transferred to the
6appropriation account under par. (kx) during the subsequent fiscal year. Each
7county and the department shall receive a proportionate share of the remittance and
8transfer depending on the total number of days of placement at juvenile correctional
9institutions including the Mendota Juvenile Treatment Center. Counties shall use
10the funds for purposes specified in s. 301.26. The department shall deposit in the
11general fund the amounts transferred under this paragraph to the appropriation
12account under par. (kx).
AB75-SSA1, s. 315
13Section
315
. 20.410 (3) (ho) of the statutes is amended to read: