Bill Text: WV SB1024 | 2010 | 1st Special Session | Enrolled
Bill Title: Making supplementary appropriation from State Fund, General Revenue, to various accounts
Spectrum: Partisan Bill (Democrat 1-0)
Status: (Passed) 2010-06-07 - Chapter 11, Acts, 1st Extraordinary Session, 2010 [SB1024 Detail]
Download: West_Virginia-2010-SB1024-Enrolled.html
AN ACTmaking a supplementary appropriation of public moneys out of the Treasury from the balance of moneys remaining as an unappropriated balance in the State Fund, General Revenue, to the Senate, fund 0165, fiscal year 2011, organization 2100, to the House of Delegates, fund 0170, fiscal year 2011, organization 2200, to Joint Expenses, fund 0175, fiscal year 2011, organization 2300, to a new item of appropriation designated to the Department of Administration - Travel Management, fund 0615, fiscal year 2011, organization 0215, to the Department of Administration - Real Estate Division, fund 0610, fiscal year 2011, organization 0233, to the Department of Commerce - West Virginia Development Office, fund 0256, fiscal year 2011, organization 0307, to the Department of Education - State Department of Education, fund 0313, fiscal year 2011, organization 0402, to the Department of Education - State Board of Education - Vocational Division, fund 0390, fiscal year 2011, organization 0402, to the Department of Education and the Arts - Department of Education and the Arts - Office of the Secretary, fund 0294, fiscal year 2011, organization 0431, to the Department of Education and the Arts - Division of Culture and History, fund 0293, fiscal year 2011, organization 0432, to the Department of Education and the Arts - Library Commission, fund 0296, fiscal year 2011, organization 0433, to the Department of Health and Human Resources - Division of Health - Central Office, fund 0407, fiscal year 2011, organization 0506, to the Department of Health and Human Resources - Division of Human Services, fund 0403, fiscal year 2011, organization 0511, to the Department of Military Affairs and Public Safety - Department of Military Affairs and Public Safety - Office of the Secretary, fund 0430, fiscal year 2011, organization 0601, to the Department of Military Affairs and Public Safety - West Virginia State Police, fund 0453, fiscal year 2011, organization 0612, and to Higher Education - Higher Education Policy Commission - Administration - Control Account, fund 0589, fiscal year 2011, organization 0441, by supplementing and amending Chapter 8, Acts of the Legislature, Regular Session, 2010, known as the Budget Bill.
WHEREAS, The Governor submitted to the Legislature a statement of the State Fund, General Revenue, dated May 13, 2010, setting forth therein the cash balance as of July 1, 2009 and further included the estimate of revenues for the fiscal year 2010, less net appropriation balances forwarded and regular appropriations for the fiscal year 2010, and an estimate of revenues for the fiscal year 2011, less regular appropriations; and
WHEREAS, It appears from the Governor's statement of the State Fund - General Revenue there now remains an unappropriated balance in the State Treasury which is available for appropriation during the fiscal year ending June 30, 2011; therefore
Be it enacted by the Legislature of West Virginia:
That the total appropriation for the fiscal year ending June 30, 2011, to fund 0165, fiscal year 2011, organization 2100, be supplemented and amended to read as follows:
- -Senate
Act- Revenue
ivity Funds
1 Compensation of Members (R) 003 $ 1,010,000
2 Compensation and Per Diem of
3 Officers and Employees (R) 005 3,003,210
4 Employee Benefits (R) 010 597,712
5 Current Expenses and
6 Contingent Fund (R) 021 561,392
7 Repairs and Alterations (R) 064 210,410
8 Computer Supplies (R) 101 40,000
9 Computer Systems (R) 102 150,000
10 Printing Blue Book (R) 103 150,000
11 Expenses of Members (R) 399 700,000
12 BRIM Premium (R) 913 ________29,482
13 Total $ 6,452,206
The appropriations for the Senate for the fiscal year 2010 are to remain in full force and effect and are hereby reappropriated to June 30, 2011 with the exception of fund 0165, fiscal year 2010, activity 005 ($230,921) which shall expire on June 30, 2010. Any balances so reappropriated may be transferred and credited to the fiscal year 2011 accounts.
Upon the written request of the Clerk of the Senate, the auditor shall transfer amounts between items of the total appropriation in order to protect or increase the efficiency of the service.
The Clerk of the Senate, with the approval of the President, is authorized to draw his or her requisitions upon the auditor, payable out of the Current Expenses and Contingent Fund of the Senate, for any bills for supplies and services that may have been incurred by the Senate and not included in the appropriation bill, for supplies and services incurred in preparation for the opening, the conduct of the business and after adjournment of any regular or extraordinary session, and for the necessary operation of the Senate offices, the requisitions for which are to be accompanied by bills to be filed with the auditor.
The Clerk of the Senate, with the written approval of the President, or the President of the Senate shall have authority to employ such staff personnel during any session of the Legislature as shall be needed in addition to staff personnel authorized by the Senate resolution adopted during any such session. The Clerk of the Senate, with the written approval of the President, or the President of the Senate shall have authority to employ such staff personnel between sessions of the Legislature as shall be needed, the compensation of all staff personnel during and between sessions of the Legislature, notwithstanding any such Senate resolution, to be fixed by the President of the Senate. The Clerk is hereby authorized to draw his or her requisitions upon the auditor for the payment of all such staff personnel for such services, payable out of the appropriation for Compensation and Per Diem of Officers and Employees or Current Expenses and Contingent Fund of the Senate.
For duties imposed by law and by the Senate, the Clerk of the Senate shall be paid a monthly salary as provided by the Senate resolution, unless increased between sessions under the authority of the President, payable out of the appropriation for Compensation and Per Diem of Officers and Employees or Current Expenses and Contingent Fund of the Senate.
The distribution of the blue book shall be by the office of the Clerk of the Senate and shall include seventy-five copies for each member of the Legislature and two copies for each classified and approved high school and junior high or middle school and one copy for each elementary school within the state.
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0170, fiscal year 2011, organization 2200, be supplemented and amended to read as follows:
- -House of Delegates
________________________________________________________________General
Act- Revenue
ivity Funds
1 Compensation of Members (R) 003 $ 3,000,000
2 Compensation and Per Diem
3 of Officer and Employees (R) 005 700,000
4 Current Expenses and
5 Contingent Fund (R) 021 3,954,031
6 Expenses of Members (R) 399 1,700,000
7 BRIM Premium 913 ________50,000
8 Total $ 9,404,031
The appropriations for the House of Delegates for the fiscal year 2010 are to remain in full force and effect and are hereby reappropriated to June 30, 2011 with the exception of fund 0170, fiscal year 2010, activity 021 ($336,565) which shall expire on June 30, 2010. Any balances so reappropriated may be transferred and credited to the fiscal year 2011 accounts.
Upon the written request of the Clerk of the House of Delegates, the auditor shall transfer amounts between items of the total appropriation in order to protect or increase the efficiency of the service.
The Clerk of the House of Delegates, with the approval of the Speaker, is authorized to draw his or her requisitions upon the auditor, payable out of the Current Expenses and Contingent Fund of the House of Delegates, for any bills for supplies and services that may have been incurred by the House of Delegates and not included in the appropriation bill, for bills for services and supplies incurred in preparation for the opening of the session and after adjournment, and for the necessary operation of the House of Delegates' offices, the requisitions for which are to be accompanied by bills to be filed with the auditor.
The Speaker of the House of Delegates, upon approval of the House committee on rules, shall have authority to employ such staff personnel during and between sessions of the Legislature as shall be needed, in addition to personnel designated in the House resolution, and the compensation of all personnel shall be as fixed in such House resolution for the session, or fixed by the Speaker, with the approval of the House committee on rules, during and between sessions of the Legislature, notwithstanding such House resolution. The Clerk of the House of Delegates is hereby authorized to draw requisitions upon the auditor for such services, payable out of the appropriation for the Compensation and Per Diem of Officers and Employees or Current Expenses and Contingent Fund of the House of Delegates.
For duties imposed by law and by the House of Delegates, including salary allowed by law as keeper of the rolls, the Clerk of the House of Delegates shall be paid a monthly salary as provided in the House resolution, unless increased between sessions under the authority of the Speaker, with the approval of the House committee on rules, and payable out of the appropriation for Compensation and Per Diem of Officers and Employees or Current Expenses and Contingent Fund of the House of Delegates.
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0175, fiscal year 2011, organization 2300, be supplemented and amended to read as follows:
- -Joint Expenses
________________________________________________________________General
Act- Revenue
ivity Funds
1 Joint Committee on Government
2 and Finance (R) 104 $ 6,758,015
3 Legislative Printing (R) 105 760,000
4 Legislative Rule-Making
5 Review Committee (R) 106 147,250
6 Legislative Computer System (R) 107 902,500
7 Joint Standing Committee
8 on Education (R) 108 83,600
9 BRIM Premium (R) 913 ________20,900
10 Total $ 8,672,265
The appropriations for the joint expenses for the fiscal year 2010 are to remain in full force and effect and are hereby reappropriated to June 30, 2011 with the exception of fund 0175, fiscal year 2010, activity 104 ($310,375) which shall expire on June 30, 2010. Any balances so reappropriated may be transferred and credited to the fiscal year 2011 accounts.
Upon the written request of the Clerk of the Senate, with the approval of the President of the Senate, and the Clerk of the House of Delegates, with the approval of the Speaker of the House of Delegates, and a copy to the Legislative Auditor, the auditor shall transfer amounts between items of the total appropriation in order to protect or increase the efficiency of the service.
The appropriation for the Tax Reduction and Federal Funding Increased Compliance (TRAFFIC) (fund 0175, activity 642) is intended for possible general state tax reductions or the offsetting of any reductions in federal funding for state programs.
And, That chapter 8, Acts of the Legislature, regular session, 2010, known as the Budget Bill, be supplemented and amended by adding to Title II, section 1 thereof, the following:
Act- Revenue
ivity Funds
1 Unclassified - Total 096 $ 1,800,000
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0610, fiscal year 2011, organization 0233, be supplemented and amended by increasing an existing item of appropriation as follows:
Act- Revenue
ivity Funds
1 Unclassified - Total 099 $ 366,393
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0256, fiscal year 2011, organization 0307, be supplemented and amended by adding a new item and increasing an existing item of appropriation as follows:
Act- Revenue
ivity Funds
7 Unclassified - Total 099 $ 300,000
43a 4-H Camp Improvements 941 650,000
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0313, fiscal year 2011, organization 0402, be supplemented and amended by increasing an existing item of appropriation as follows:
Act- Revenue
ivity Funds
19 English as a Second Language 528 $ 350,000
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0390, fiscal year 2011, organization 0402, be supplemented and amended by increasing an existing item of appropriation as follows:
Act- Revenue
ivity Funds
13 GED Testing (R) 339 $ 100,000
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0294, fiscal year 2011, organization 0431, be supplemented and amended by increasing an existing item of appropriation as follows:
Act- Revenue
ivity Funds
1 Unclassified (R) 099 $ 100,000
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0293, fiscal year 2011, organization 0432, be supplemented and amended by increasing an existing item of appropriation as follows:
Act- Revenue
ivity Funds
4 Unclassified (R) 099 $ 105,576
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0296, fiscal year 2011, organization 0433, be supplemented and amended by adding a new item of appropriation as follows:
Act- Revenue
ivity Funds
5a Grants to Public Libraries 182 $ 250,000
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0407, fiscal year 2011, organization 0506, be supplemented and amended by increasing an existing item of appropriation as follows:
Act- Revenue
ivity Funds
32 Health Right Free Clinics 727 $ 750,000
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0403, fiscal year 2011, organization 0511, be supplemented and amended by increasing existing items of appropriation as follows:
Act- Revenue
ivity Funds
4 Unclassified 099 $ 200,000
20 Title XIX Waiver for Seniors 533 $ 5,500,000
36 Grants for Licensed Domestic
37 Violence Programs and
38 Statewide Prevention 750 500,000
From the above appropriation for Unclassified (fund 0403, activity 099), up to $200,000 is for an At-Risk Youth Program which may only be used to match the Federal Promise Neighborhood Grant Program.
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0430, fiscal year 2011, organization 0601, be supplemented and amended by adding a new item of appropriation as follows:
Act- Revenue
ivity Funds
3a WV Fire and EMS Survivor Benefit (R) 939 $ 100,000
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0453, fiscal year 2011, organization 0612, be supplemented and amended by increasing existing items of appropriation as follows:
Act- Revenue
ivity Funds
1 Personal Services 001 $ 670,152
3 Employee Benefits 010 152,404
5 Unclassified 099 200,404
6 Vehicle Purchase 451 365,400
8 Communications and
9 Other Equipment(R) 558 391,104
10 Trooper Retirement Fund 605 126,538
And, That the total appropriation for the fiscal year ending June 30, 2011, to fund 0589, fiscal year 2011, organization 0441, be supplemented and amended by increasing an existing item of appropriation as follows:
Act- Revenue
ivity Funds
1 Unclassified (R) 099 $ 600,000
The purpose of this supplemental appropriation bill is to supplement, amend, increase and add items of appropriations in the aforesaid accounts for the designated spending units for expenditure during the fiscal year 2011.