Amended
IN
Assembly
May 29
, 2019 |
Assembly Bill | No. 190 |
Introduced by Assembly Member Ting |
January 10 , 2019 |
0110-001-0001—For support of Senate
........................
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Schedule:
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(1) |
0960-Support of the Senate
........................
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(a) |
101001-Salaries of Senators
........................
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(b) |
317295-Mileage
........................
|
(11,000) | |||||
(c) |
317292-Expenses
........................
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(d) |
500004-Operating Expenses
........................
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Provisions:
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1. |
The funds appropriated in Schedule (1)(d) are for operating expenses of the Senate, including personal services for officers,
clerks, and all other employees, and legislative committees thereof composed in whole or in part of Members of the Senate,
and for support of joint expenses of the Legislature, to be transferred by the Controller to the Senate Operating Fund.
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2. |
The funds appropriated in Schedules (1)(a), (1)(b), and (1)(c) may be adjusted for transfers to or from the Senate Operating
Fund.
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0120-011-0001—For support of Assembly
........................
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Schedule:
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(1) |
0970-Support of the Assembly
........................
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(a) |
101001-Salaries of Assembly Members
........................
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(b) |
317295-Mileage
........................
|
(8,000) | |||||
(c) |
317292-Expenses
........................
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||||||
(d) |
500004-Operating Expenses
........................
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Provisions:
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1. |
The funds appropriated in Schedule (1)(d) are for operating expenses of the Assembly, including personal services for officers,
clerks, and all other employees, and legislative committees thereof composed in whole or in part of Members of the Assembly,
and for support of joint expenses of the Legislature, to be transferred by the Controller to the Assembly Operating Fund.
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2. |
The funds appropriated in Schedules (1)(a), (1)(b), and (1)(c) may be adjusted for transfers to or from the Assembly Operating
Fund.
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0130-021-0001—For support of Legislative Analyst’s Office
........................
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0 | ||||||
Schedule:
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(1) |
0980-Support of the Legislative Analyst’s Office
........................
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(2) |
0985-Transferred from Item 0110-001-0001
........................
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(3) |
0990-Transferred from Item 0120-011-0001
........................
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Provisions:
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1. |
The funds appropriated in Schedule (1) are for the expenses of the Legislative Analyst’s Office and of the Joint Legislative
Budget Committee for any charges, expenses, or claims either may incur, available without regard to fiscal years, to be paid
on certification of the Chairperson of the Joint Legislative Budget Committee or
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2. |
Funds identified in Schedules (2) and (3) may be transferred from the Senate Operating Fund, by the Senate
Committee on Rules, and the Assembly Operating Fund, by the Assembly Committee on Rules.
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0160-001-0001—For support of Legislative Counsel Bureau
........................
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91,731,000 | ||||||
Schedule:
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|||||||
(1) |
0120-Support
........................
|
91,862,000 | |||||
(2) |
Reimbursements to 0120-Support
........................
|
−131,000 | |||||
Provisions:
|
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1. |
Of the amount appropriated in this item, $576,000 shall be provided to the California Law Revision Commission for reviewing
the California Penal Code.
|
0160-001-9740—For support of Legislative Counsel Bureau, payable from the Central Service Cost Recovery Fund
........................
|
18,397,000 | ||||||
Schedule:
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(1) |
0120-Support
........................
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18,397,000 |
0250-001-0001—For support of Judicial Branch
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Schedule:
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(1) |
0130-Supreme Court
........................
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50,379,000 | |||||
(2) |
0135-Courts of Appeal
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(3) |
0140-Judicial Council
........................
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(4) |
0155-Habeas Corpus Resource Center
........................
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15,767,000 | |||||
(5) |
Reimbursements
to 0140-Judicial Council
........................
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−6,082,000 | |||||
Provisions:
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1. |
Of the funds appropriated in this item, $5,800,000 is available for hiring the Attorney General or other outside counsel,
for prelitigation and litigation fees and costs, including any judgment, stipulated judgment, offer of judgment, or settlement.
This amount is for use in connection with (a) matters arising from the actions of appellate courts, appellate court bench
officers, or appellate court employees, (b) matters arising from the actions of the Judicial Council, council members, or
council employees or agents, (c)
matters arising from the actions of the Judicial Council or its employees, or (d) employment litigation arising from the
actions of trial courts, trial court bench officers, or trial court employees. Either the state or the Judicial Council must
be named as a defendant or alleged to be the responsible party. Any funds not used for this purpose shall revert to the General
Fund. The amount allocated shall be available for encumbrance or expenditure until June 30, 2021.
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2. |
Notwithstanding any other provision of law, upon approval and order of the Director of Finance, the amount appropriated in
this item shall be reduced by the amount transferred in Item 0250-011-0001 to provide adequate resources to the Judicial Branch
Workers’
Compensation Fund to pay workers’ compensation claims for judicial branch employees and justices, and administrative costs
pursuant to Section 68114.10 of the Government Code.
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3. |
Of the funds appropriated in Schedule (2), $68,644,000 is available for the Court Appointed Counsel Program and shall be used
solely for that program. Any funds for the program not expended by June 30, 2020, shall revert to the General Fund.
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4. |
Of the amount appropriated in this item, up to $325,000 is available to reimburse the California State Auditor for the costs
of audits incurred by the California State Auditor pursuant to subdivision (c) of Section 19210 of the Public Contract
Code.
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5. |
Of the amount appropriated in this item, $6,940,000 shall be available for encumbrance or expenditure until June 30, 2021,
to implement information technology recommendations from the Commission on the Future of California’s Court System.
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6. |
Of the amount appropriated in this item, $40,000,000 shall be expended to address deferred maintenance projects that represent
critical infrastructure deficiencies. The amount allocated shall be available for encumbrance or expenditure until June 30,
2022.
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7. | Of the funds appropriated in Schedule (3), $1,500,000 shall be available for administrative costs related to the management and claiming of federal reimbursements for court-appointed dependency counsel. To the extent these administrative costs are able to be reimbursed, any excess funding shall revert to the General Fund. |
0250-001-0044—For support of Judicial Branch, payable from the Motor Vehicle Account, State Transportation Fund
........................
|
216,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
216,000 |
0250-001-0159—For support of Judicial Branch, payable from the State Trial Court Improvement and Modernization Fund
........................
|
5,928,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
5,928,000 | |||||
Provisions:
|
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1. |
Notwithstanding any other provision of law, upon approval by the Administrative Director, the Controller shall increase this
item up to $18,673,000 for recovery of costs for administrative services provided to the trial courts by the Judicial Council.
|
0250-001-0327—For support of Judicial Branch, payable from the Court Interpreters’ Fund
........................
|
156,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
156,000 |
0250-001-0890—For support of Judicial Branch, payable from the Federal Trust Fund
........................
|
4,362,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
3,336,000 | |||||
(2) |
0155-Habeas Corpus Resource Center
........................
|
1,026,000 |
0250-001-0932—For support of Judicial Branch, payable from the Trial Court Trust Fund
........................
|
3,957,000 | ||||||
Schedule:
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(1) |
0140010-Judicial Council
........................
|
3,957,000 | |||||
Provisions:
|
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1. |
Upon approval of the Administrative Director, the Controller shall increase this item by an amount sufficient to allow for
the expenditure of any transfer to this item made pursuant to Provisions 7, 8, 12, and 14, of Item 0250-101-0932.
|
0250-001-3037—For support of Judicial Branch, payable from the State Court Facilities Construction Fund
........................
|
80,752,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
93,752,000 | |||||
(2) |
Reimbursements to 0140-Judicial Council
........................
|
−13,000,000 | |||||
Provisions:
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1. |
The Director of Finance may augment this item by an amount not to exceed available funding in the State Court Facilities Construction
Fund, after review of a
request submitted by the Judicial Council that demonstrates a need for additional resources associated with the rehabilitation
of court facilities. This request shall be submitted no later than 60 days prior to the effective date of the augmentation.
Any augmentation shall be authorized not sooner than 30 days after notification in writing to the chairpersons of the committees
in each house of the Legislature that consider appropriations, the chairpersons of the committees and appropriate subcommittees
that consider the State Budget, and the Chairperson of the Joint Legislative Budget Committee, or not sooner than whatever
lesser time the chairperson of the joint committee, or his or her designee, may determine.
|
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2. |
Notwithstanding any other provision of law, upon approval and order of the Director of Finance, the amount appropriated
in this item shall be reduced by the amount transferred in Item 0250-011-0001 to provide adequate resources to the Judicial
Branch Workers’ Compensation Fund to pay workers’ compensation claims for judicial branch employees and administrative costs
in accordance with Section 68114.10 of the Government Code.
|
0250-001-3060—For support of Judicial Branch, payable from the Appellate Court Trust Fund
........................
|
7,467,000 | ||||||
Schedule:
|
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(1) |
0130-Supreme Court
........................
|
1,163,000 | |||||
(2) |
0135-Courts of Appeal
........................
|
6,304,000 | |||||
Provisions:
|
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1. |
Upon approval of the Director of Finance, the amount available for expenditure in this item may be augmented by the amount
of any additional resources available in the Appellate Court Trust Fund, which is in addition to
the amount appropriated in this item. Any augmentation shall be authorized no sooner than 30 days after notification in
writing to the chairpersons of the committees in each house of the Legislature that consider appropriations, the chairpersons
of the committees and appropriate subcommittees that consider the State Budget, and the Chairperson of the Joint Legislative
Budget Committee, or not sooner than whatever lesser time the Chairperson of the Joint Legislative Budget Committee, or his
or her designee, may determine.
|
0250-001-3066—For support of Judicial Branch, payable from the Court Facilities Trust Fund
........................
|
138,233,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
147,233,000 | |||||
(2) |
Reimbursements to 0140-Judicial Council
........................
|
−9,000,000 | |||||
Provisions:
|
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1. |
Notwithstanding any other provision of law, the Director of Finance may authorize expenditures in excess of this item for
the operation, repair, and maintenance of
court facilities pursuant to Section 70352 of the Government Code.
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2. |
Of the amount appropriated in this item, $20,150,000 is available to support operations and maintenance of trial court facilities
constructed since 2007.
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3. |
Of the amount appropriated in this item, $6,000,000 is available to refresh, maintain, and replace trial court security equipment
and systems. The security equipment and systems must be upgraded or maintained in a way that mitigates the need for additional
security staffing.
|
0250-001-3085—For support of Judicial Branch, payable from the Mental Health Services Fund
........................
|
1,134,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
1,134,000 |
0250-001-3138—For support of Judicial Branch, payable from the Immediate and Critical Needs Account, State Court Facilities Construction
Fund
........................
|
25,000,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
25,000,000 |
0250-002-3138—For support of Judicial Branch, payable from the Immediate and Critical Needs Account, State Court Facilities Construction
Fund
........................
|
54,720,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
54,720,000 |
0250-003-0001—For support of Judicial Branch, for rental payments on lease-revenue bonds
........................
|
4,382,000 | ||||||
Schedule:
|
|||||||
(1) |
0135-Courts of Appeal
........................
|
4,382,000 | |||||
Provisions:
|
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1. |
The Controller shall transfer funds appropriated in this item for base rental as and when provided for in the schedule submitted
by the State Public Works Board or the Department of Finance. Notwithstanding the payment dates in any related Facility Lease
or Indenture, the schedule may provide for an earlier transfer of funds to ensure debt requirements are met and pay base rental
in full when due.
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2. |
The Controller shall transfer for additional rental no later than 30 days after enactment of this budget, $16,000 of the amount
appropriated in this item, to the Expense Account in the Public Buildings Construction Fund.
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3. |
This item may be adjusted pursuant to Section 4.30. Any adjustments to this item shall be reported to the Joint Legislative
Budget Committee pursuant to Section 4.30.
|
0250-003-3037—For support of Judicial Branch, for rental payments on lease-revenue bonds
........................
|
79,523,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
79,523,000 | |||||
Provisions:
|
|||||||
1. |
The Controller shall transfer funds appropriated in this item for base rental as and when provided for in the schedule submitted
by the State Public Works Board. Notwithstanding the payment dates in any related Facility Lease or Indenture, the schedule
may provide for an earlier transfer of funds to ensure debt requirements are met and pay base rental in full when due.
|
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2. |
The
Controller shall transfer for additional rental no later than 30 days after enactment of this budget, $327,000 of the
amount appropriated in this item, to the Expense Account in the Public Buildings Construction Fund.
|
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3. |
This item may be adjusted pursuant to Section 4.30. Any adjustments to this item shall be reported to the Joint Legislative
Budget Committee pursuant to Section 4.30.
|
0250-003-3138—For support of Judicial Branch, for rental payments on lease-revenue bonds
........................
|
96,228,000 | ||||||
Schedule:
|
|||||||
(1) |
0140-Judicial Council
........................
|
96,228,000 | |||||
Provisions:
|
|||||||
1. |
The Controller shall transfer funds appropriated in this item for base rental as and when provided for in the schedule submitted
by the State Public Works Board. Notwithstanding the payment dates in any related Facility Lease or Indenture, the schedule
may provide for an earlier transfer of funds to ensure debt requirements are met and pay base rental in full when due.
|
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2. |
The
Controller shall transfer for additional rental no later than 30 days after enactment of this budget, $459,000 of the
amount appropriated in this item, to the Expense Account in the Public Buildings Construction Fund.
|
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3. |
This item may be adjusted pursuant to Section 4.30. Any adjustments to this item shall be reported to the Joint Legislative
Budget Committee pursuant to Section 4.30.
|
0250-011-0001—For transfer, upon order of the Director of Finance, to the Judicial Branch Workers’ Compensation Fund
........................
|
1,000 | ||||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, upon approval and order of the Department of Finance, the Administrative
Director shall adjust the amount of this transfer to provide adequate resources to the Judicial Branch Workers’ Compensation
Fund to pay workers’ compensation claims for judicial branch employees and justices, and administrative costs pursuant to
Section 68114.10 of the Government Code.
|
0250-012-0001—For transfer by the Controller to the Court Facilities Trust Fund
........................
|
34,203,000 |
0250-014-3066—For transfer by the Controller from the Court Facilities Trust Fund to the Immediate and Critical Needs Account, State Court
Facilities Construction Fund
........................
|
(4,103,000) |
0250-101-0001—For local assistance, Judicial Branch
........................
|
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Schedule:
|
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(1) |
0150010-Support for Operation of Trial Courts
........................
|
83,551,000 | |||||||
(2) |
0150051-Child Support Commissioner Program (AB 1058)
........................
|
54,332,000 | |||||||
(3) |
0150055-California Collaborative and Drug Court Projects
........................
|
5,748,000 | |||||||
(4) |
0150075-Grants—Other
........................
|
1,586,000 | |||||||
(5) |
0150083-Equal Access Fund
........................
|
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(6) |
Reimbursements to 0150051-Child Support Commissioner Program (AB 1058)
........................
|
−54,332,000 | |||||||
(7) |
Reimbursements to 0150055-California Collaborative and Drug Court Projects
........................
|
−4,588,000 | |||||||
(8) |
Reimbursements to 0150075-Grants—Other
........................
|
−1,586,000 | |||||||
Provisions:
|
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1. |
In order to improve equal access and the fair administration
of justice, the funds appropriated in Schedule (5) are to be distributed by the Judicial Council through the Legal Services
Trust Fund Commission to qualified legal services projects and support centers as defined in Sections 6213 to 6215, inclusive,
of the Business and Professions Code, to be used for legal services in civil matters for indigent persons. The Judicial Council
shall approve awards made by the commission if the council determines that the awards comply with statutory and other relevant
guidelines.
|
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2. |
The amount appropriated in Schedule (1) is available for reimbursement of court costs related to the following activities:
(a) payment of service of process fees billed to the trial courts pursuant to Chapter 1009 of the Statutes of 2002, (b) payment
of the court costs payable under Sections 4750 to 4755, inclusive, and Section 6005 of the Penal Code, and (c) payment of
court costs of extraordinary homicide trials.
|
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|
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4. | Of the amount appropriated in Schedule (1), $75,000,000 shall be allocated to the Judicial Council for the implementation, operation, and evaluation of a pilot program for pretrial decision-making activities. These funds shall be distributed and used pursuant to Section 1320.5 of the Penal Code. The amount shall be available for encumbrance or expenditure until June 30, 2021. | ||||||||
5. | 13. Of the funds appropriated in Schedule (5), $20,000,000 shall be available for legal aid costs to assist with rental disputes between landlords and tenants, and any unexpended funds shall revert to the General Fund. |
0250-101-0890—For local assistance, Judicial Branch, payable from the Federal Trust Fund
........................
|
2,275,000 | ||||||
Schedule:
|
|||||||
(1) |
0150059-Federal Child Access and Visitation Grant
Program
........................
|
800,000 | |||||
(2) |
0150063-Federal Court Improvement Grant Program
........................
|
700,000 | |||||
(3) |
0150079-Federal Grants—Other
........................
|
775,000 |
0250-101-0932—For local assistance, Judicial Branch, payable from the Trial Court Trust Fund
........................
|
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Schedule:
|
|||||||
(1) |
0150010-Support for Operation of Trial Courts
........................
|
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(2) |
0150019-Compensation of Superior Court Judges
........................
|
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(3) |
0150028-Assigned Judges
........................
|
29,090,000 | |||||
(4) |
0150037-Court Interpreters
........................
|
||||||
(5) |
0150067-Court Appointed Special Advocate (CASA) program
........................
|
2,713,000 | |||||
(6) |
0150071-Model Self-Help Program
........................
|
957,000 | |||||
(7) |
0150083-Equal Access Fund
........................
|
5,482,000 | |||||
(8) |
0150087-Family Law Information Centers
........................
|
345,000 | |||||
(9) |
0150091-Civil Case Coordination
........................
|
832,000 | |||||
(10) |
0150095-Expenses on Behalf of the Trial Courts
........................
|
11,325,000 | |||||
(11) |
Reimbursements to 0150010-Support for Operation of Trial Courts
........................
|
−1,000 | |||||
Provisions:
|
|||||||
1. |
Of the funds appropriated in Schedule (1), $25,300,000 shall be available for support of services for self-represented litigants,
and any unexpended funds shall revert to the General Fund.
|
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2. |
The funds appropriated in Schedule (2) shall be made available for costs of the workers’ compensation program for trial court
judges.
|
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3. |
The amount appropriated in Schedule (3) shall be made available for all judicial assignments. Schedule (3) expenditures for
necessary support staff shall not exceed the staffing level that is necessary to support the equivalent of three judicial
officers
sitting on assignments. Prior to utilizing funds appropriated in Schedule (3), trial courts shall maximize the use of
judicial officers who may be available due to reductions in court services or court closures.
|
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4. |
The funds appropriated in Schedule (4) shall be for payments to contractual court interpreters, and certified or registered
court interpreters employed by the courts for services provided during court proceedings and other services related to pending
court proceedings, including services provided outside a courtroom, and the following court interpreter coordinators: 1.0
each in counties of the 1st through the 15th classes, 0.5 each in counties of the 16th through the 31st classes, and 0.25
each in counties of the 32nd through the 58th classes. For purposes of this provision, “court interpreter coordinators” may
be full- or
part-time court employees.
|
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The Judicial Council shall set statewide or regional rates and policies for payment of court interpreters, not to exceed the
rate paid to certified interpreters in the federal court system.
|
|||||||
The Judicial Council shall adopt appropriate rules and procedures for the administration of these funds. The Judicial Council
shall report to the Legislature and the Director of Finance annually regarding expenditures from Schedule (4).
|
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5. |
Upon order of the Director of Finance, the amount available for expenditure in this item may be augmented by the amount of
any additional resources available in the Trial Court Trust Fund, which is in addition to the amount appropriated in this
item. Any augmentation shall be approved in joint determination with the Chairperson of the Joint Legislative Budget Committee
and shall be authorized not sooner than 30 days after notification in writing to the chairpersons of the committees in each
house of the Legislature that consider appropriations, the chairpersons of the committees and appropriate subcommittees that
consider the State Budget, and the chairperson of the joint committee, or not sooner than whatever lesser time the chairperson
of the joint committee, or
|
||||||
6. |
Notwithstanding any other law, upon approval and order of the Director of Finance, the amount appropriated in this item shall
be reduced by the amount transferred in Item 0250-115-0932 to provide adequate resources to the Judicial Branch Workers’ Compensation
Fund to pay workers’ compensation claims for judicial branch employees and judges, and administrative costs pursuant to Section
68114.10 of the Government Code.
|
||||||
7. |
Upon approval by the Administrative Director, the Controller shall transfer up to $11,274,000 to Item 0250-001-0932 for recovery
of costs for administrative services provided to the trial courts by the Judicial Council.
|
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8. |
In order to improve equal access and the fair administration of justice, the funds appropriated in Schedule (7) are available
for distribution by the Judicial Council through the Legal Services Trust Fund Commission in support of the Equal Access Fund
Program to qualified legal services projects and support centers as defined in Sections 6213 to 6215, inclusive, of the Business
and Professions Code, to be used for legal services in civil matters for indigent persons. The Judicial
Council shall approve awards made by the commission if the council determines that the awards comply with statutory and
other relevant guidelines. Upon approval by the Administrative Director, the Controller shall transfer up to 5 percent of
the funding appropriated in Schedule (7) to Item 0250-001-0932 for administrative expenses. Ten percent of the funds remaining
after administrative costs shall be for joint projects of courts and legal services programs to make legal assistance available
to pro per litigants and 90 percent of the funds remaining after administrative costs shall be distributed consistent with
Sections 6216 to 6223, inclusive, of the Business and Professions Code. The Judicial Council may establish additional reporting
or quality control requirements consistent with Sections 6213 to 6223, inclusive, of the Business and Professions Code.
|
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9. |
Funds available for expenditure in Schedule (7) may be augmented by order of the Director of Finance by the amount of any
additional resources deposited for distribution to the Equal Access Fund Program in accordance with Sections 68085.3 and 68085.4
of the Government Code. Any augmentation under this provision shall be authorized not sooner than 30 days after notification
in writing to the chairpersons of the committees in each house of the Legislature that consider appropriations, the chairpersons
of the committees and appropriate subcommittees that consider the State Budget, and the Chairperson of the Joint Legislative
Budget Committee, or not sooner than whatever lesser time the chairperson of the joint committee, or
|
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10. |
Sixteen (16.0) subordinate judicial officer positions are authorized to be converted to judgeships in the 2019–20 fiscal year
in the manner and pursuant to the authority described in subparagraph (B) of paragraph (1) of subdivision (c) of Section 69615
of the Government Code, as described in the notice filed by the Judicial Council under subparagraph (B) of paragraph (3) of
subdivision (c) of Section 69615 of the Government Code.
|
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11. |
Notwithstanding any other law, and upon approval of the Director of Finance, the amount available for expenditure in Schedule
(1) may be increased by the amount of any additional resources collected for the recovery of costs for court
appointed dependency counsel services.
|
||||||
12. |
Upon approval of the Administrative Director, the Controller shall transfer up to $556,000 to Item 0250-001-0932 for administrative
services provided to the trial courts in support of the court appointed dependency counsel program.
|
||||||
13. |
Of the amounts appropriated in Schedule (1), $325,000 shall be allocated by the Judicial Council in order to reimburse the
California State Auditor’s Office for the costs of trial court audits incurred by the California State Auditor’s Office pursuant
to Section 19210 of the Public Contract Code.
|
||||||
14. |
Upon approval of the Administrative Director, the Controller shall transfer up to $500,000 of the funding appropriated in
Schedule (10) of this item to Schedule (1) of Item 0250-001-0932 for administrative services provided by the Judicial Council
to implement and administer the Civil Representation Pilot Program.
|
||||||
15. |
Upon approval of the Administrative Director, the amount available for expenditure in Schedule (10) may be augmented by the
amount of resources collected to support the implementation and administration of the Civil Representation Pilot Program.
|
||||||
16. |
Of the amount appropriated in this item, up to $540,000 is available to reimburse the Controller for the costs of audits incurred
by the Controller pursuant to subdivision (h) of Section 77206 of the Government Code.
|
||||||
17. |
Of the amount appropriated in Schedule (1), $13,901,000 is available to implement Chapter 993 of the Statutes of 2018. Any
unexpended funds shall revert to the General Fund.
|
||||||
18. |
Upon order of the Department of Finance, the amount available for expenditure in Schedule (1) may be augmented by an amount
sufficient to fund trial court employee benefit increases in 2019–20.
|
||||||
19. | Of the funds appropriated in this item, $30,417,000 is to fund 25 additional judgeships. The funds shall be allocated by the Judicial Council in a manner consistent with improving equal access to the trial courts and accounting for local trial court staffing needs. |
0250-101-3138—For local assistance, Judicial Branch, payable from the Immediate and Critical Needs Account, State Court Facilities Construction
Fund
........................
|
50,000,000 | ||||||
Schedule:
|
|||||||
(1) |
0150010-Support for Operation of Trial Courts
........................
|
50,000,000 |
0250-102-0001—For local assistance, Judicial Branch, augmentation for Court Employee Retirement, Compensation, and Benefits
........................
|
71,502,000 | ||||||
Schedule:
|
|||||||
(1) |
0150010-Support for
Operation of Trial Courts
........................
|
71,501,000 | |||||
(2) |
0150037-Court Interpreters
........................
|
1,000 | |||||
Provisions:
|
|||||||
1. |
Funding appropriated in this item shall be allocated, upon order of the Director of Finance, to trial courts to address cost
increases related to court
employee retirement, retiree health, and health benefits.
|
||||||
2. |
To the extent the funds appropriated in this item exceed the actual cost increases relative to the purposes for which the
funds are appropriated, any excess funds shall revert to the General Fund on June 30, 2020.
|
0250-102-0159—For local assistance, Judicial Branch, payable from the State Trial Court Improvement and Modernization Fund
........................
|
80,528,000 | ||||||
Schedule:
|
|||||||
(1) |
0150010-Support for
Operation of Trial Courts
........................
|
80,528,000 | |||||
Provisions:
|
|||||||
1. |
Upon approval of the Director of Finance, the amount available for expenditure in this item may be augmented by the amount
of any additional resources available in the State Trial Court Improvement and Modernization Fund, which is in addition to
the amount appropriated in this item. Any augmentation shall be authorized not sooner than 30 days after notification in writing
to the chairpersons of the committees in each house of the Legislature that consider the State Budget, the chairpersons of
the committees and appropriate
subcommittees in each house of the Legislature that consider appropriations, and the Chairperson of the Joint Legislative
Budget Committee, or not sooner than whatever lesser time after that notification the chairperson of the joint committee,
or his or her designee, may determine.
|
||||||
2. |
The Director of Finance may authorize a loan from the General Fund to the State Trial Court Improvement and Modernization
Fund for cashflow purposes in an amount not to exceed $35,000,000 subject to the following conditions: (a) the loan is to
meet cash needs resulting from a delay in receipt of revenues, (b) the loan is short term, and shall be repaid by October
31 of the fiscal year following that in which the loan was authorized, (c) interest charges may be waived pursuant to subdivision
(e) of Section 16314 of the Government Code, and (d) the
Director of Finance shall not approve the loan unless the approval is made in writing and filed with the Chairperson of
the Joint Legislative Budget Committee and the chairpersons of the committees in each house of the Legislature that consider
appropriations not later than 30 days prior to the effective date of the approval, or not sooner than whatever lesser time
the chairperson of the joint committee, or his or her designee, may determine.
|
||||||
3. |
Of the funds appropriated in this item, $5,000,000 shall be available for support of services for self-represented litigants,
and any unexpended funds shall revert to the General Fund.
|
||||||
4. |
Of the amount appropriated in
this item, $853,000 shall be available for encumbrance or expenditure until June 30, 2021, to implement information technology
recommendations from the Commission on the Future of California’s Court System.
|
0250-102-0932—For local assistance, Judicial Branch, payable from the Trial Court Trust Fund
........................
|
156,700,000 | ||||||
Schedule:
|
|||||||
(1) |
0150011-Court Appointed Dependency Counsel
........................
|
||||||
(2) | Reimbursements to 0150011-Court Appointed Dependency Counsel ........................ | −33,955,000 |
0250-111-0001—For transfer by the Controller to the Trial Court Trust Fund
........................
|
|||||||
Provisions:
|
|||||||
1. |
Upon order of the Department of Finance, the amount available for transfer in this item may be increased by an amount sufficient
to fund trial court employee benefit increases in 2019–20.
|
0250-111-0159—For transfer by the Controller from the State Trial Court Improvement and Modernization Fund to the Trial Court Trust Fund
........................
|
(594,000) |
0250-111-3037—For transfer by the Controller from the State Court Facilities Construction Fund to the Trial Court Trust Fund
........................
|
(5,486,000) |
0250-112-0001—For transfer by the Controller to the State Trial Court Improvement and Modernization Fund
........................
|
69,501,000 |
0250-113-0001—For transfer, upon order of the Director of Finance, to the Trial Court Trust Fund
........................
|
|||||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item shall be allocated by the Director of Finance if, in consultation with the Judicial Council,
a determination is made that revenues in the Trial Court Trust Fund are insufficient to support trial court operations. An
allocation shall not be made pursuant to this item prior to May 14, 2020.
|
0250-114-0001—For transfer by the Controller to the Trial Court Trust Fund
........................
|
156,700,000 |
0250-115-0932—For transfer, upon order of the Director of Finance, to the Judicial Branch Workers’ Compensation Fund
........................
|
1,000 | ||||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, upon approval and order of the Department of Finance, the Administrative
Director shall adjust the amount of this transfer to provide adequate resources to the Judicial Branch Workers’ Compensation
Fund to pay workers’ compensation claims for judicial branch employees and judges, and administrative costs pursuant to Section
68114.10 of the Government Code.
|
0250-301-0660—For capital outlay, Judicial Branch, payable from the Public Buildings Construction Fund
........................
|
36,916,000 | ||||||
Schedule: | |||||||
(1) | 0000079–Imperial County: New El Centro Courthouse ........................ | 17,152,000 | |||||
(a) | Construction ........................ | 17,152,000 | |||||
(2) | 0000101–Riverside County: New Indio Juvenile and Family Courthouse ........................ | 19,764,000 | |||||
(a) | Construction ........................ | 19,764,000 | |||||
Provisions: | |||||||
1. | The State Public Works Board may issue lease revenue bonds, notes, or bond anticipation notes pursuant to Chapter 5 (commencing with Section 15830) of Part 10b of Division 3 of Title 2 of the Government Code to finance the design and construction of the projects authorized by this item. | ||||||
2. | The Judicial Council and the State Public Works Board are authorized and directed to execute and deliver any and all leases, contracts, agreements, or other documents necessary or advisable to consummate the sale of bonds or otherwise effectuate the financing of the scheduled projects. | ||||||
3. | Notwithstanding any other provision of law, rental obligations for the lease revenue bonds authorized in this appropriation may be paid from any lawfully available fund source within the Judicial Council’s operating budget. |
0250-301-3138—For capital outlay, Judicial Branch, payable from the Immediate and Critical Needs Account, State Court Facilities Construction
Fund
........................
|
1,366,000 | ||||||
Schedule: | |||||||
(1) | 0000101–Riverside County: New Indio Juvenile and Family Courthouse ........................ | 1,366,000 | |||||
(a) | Working drawings ........................ | 1,366,000 |
0250-490—Reappropriation, Judicial Council. The balances of the appropriations provided in the following citations are reappropriated
for the purposes provided for in those appropriations and shall be available for encumbrance or expenditure until June 30,
2020.
|
|||||||
0668—Public Buildings Construction Fund Subaccount | |||||||
(1) | Item 0250-301-0668, Budget Act of 2013 (Chs. 20 and 354, Stats. 2013) | ||||||
(1) | 91.37.001-San Diego County: New San Diego Courthouse—Construction | ||||||
(2) | Item 0250-301-0668, Budget Act of 2012 (Chs. 21 and 29, Stats. 2012) | ||||||
(4) | 91.57.001-Yolo County: New Woodland Courthouse—Construction |
0280-001-0001—For support of Commission on Judicial Performance
........................
|
5,263,000 | ||||||
Schedule:
|
|||||||
(1) |
0180-Commission on Judicial Performance
........................
|
5,342,000 | |||||
(2) |
Reimbursements to 0180-Commission on Judicial Performance
........................
|
−79,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, upon approval and order of the Department of Finance, the amount appropriated
in this item shall be reduced
by the amount transferred in Item 0280-011-0001 to provide adequate resources to the Judicial Branch Workers’ Compensation
Fund to pay workers’ compensation claims for judicial branch employees and administrative costs pursuant to Section 68114.10
of the Government Code.
|
0280-011-0001—For transfer, upon order of the Director of Finance, to the Judicial Branch Workers’ Compensation Fund
........................
|
1,000 | ||||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, upon approval and order of the Department of Finance, the Commission on
Judicial Performance shall adjust the amount of this transfer to provide adequate resources to the Judicial Branch Workers’
Compensation Fund to pay workers’ compensation claims for judicial branch employees and administrative costs pursuant to Section
68114.10 of the Government Code.
|
0390-001-0001—For transfer by the Controller to the Judges’ Retirement Fund, for Supreme Court and Appellate Court Justices
........................
|
|||||||
Provisions:
|
|||||||
1. |
Upon order of the Department of Finance, the Controller shall transfer such funds as are necessary between this item and Item
0390-101-0001.
|
||||||
2. | Of the amount appropriated in this item, $40,000,000 shall be available for payment of the post judgment award in Robert M. Mallano, Individually, and on Behalf of a Class of Similarly Situated Persons v. John Chiang, Controller of the State of California (Superior Court of California, County of Los Angeles, Case No. BC-533770). | ||||||
3. | Any funds appropriated pursuant to Provision 2 of this item, in excess of the amount actually required, shall revert to the General Fund within 45 days after final payment is made. |
0390-101-0001—For transfer by the Controller to the Judges’ Retirement Fund for Superior Court and Municipal Court Judges
........................
|
|||||||
Provisions:
|
|||||||
1. |
Upon order of the Department of Finance, the Controller shall transfer such funds as are necessary between Item 0390-001-0001
and this item.
|
0500-001-0001—For support of Governor and of Governor’s Office
........................
|
21,189,000 | ||||||
Schedule:
|
|||||||
(1) |
0210-Governor’s Office
........................
|
20,398,000 | |||||
(a) |
Support
........................
|
(20,058,000) | |||||
(b) |
Governor’s Residence (Support)
........................
|
(300,000) | |||||
(c) |
Special Contingent Expenses
........................
|
(40,000) | |||||
(2) |
0215-Office of the First Partner
........................
|
791,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in Schedules (1)(b) and (1)(c) are exempt from the provisions of Sections 925.6, 12410, and 13320 of
the Government Code.
|
0500-001-9740—For support of Governor’s Office, payable from the Central Service Cost Recovery Fund
........................
|
3,385,000 | ||||||
Schedule:
|
|||||||
(1) |
0210-Governor’s Office
........................
|
3,385,000 |
0500-001-9750—For support of Governor’s Office, payable from the Immigrant Integration Fund
........................
|
1,000 | ||||||
Schedule:
|
|||||||
(1) |
0210-Governor’s Office
........................
|
1,000 | |||||
Provisions:
|
|||||||
1. |
Upon receipt of donations in accordance with Sections 65050 and 65051 of the Government Code, the Director of Finance may
authorize the augmentation of this item in excess of the amount appropriated consistent with the purposes of furthering immigrant
integration. The Director of Finance shall not approve any expenditure unless the approval is made in writing and filed with
the Chairperson of the Joint Legislative Budget Committee and the chairpersons of the committees in each house of the Legislature
that consider appropriations no later than 30 days prior
to the effective date of approval, or prior to whatever lesser time the Chairperson of the Joint Legislative Budget Committee,
or his or her designee, may determine.
|
0509-001-0001—For support of Governor’s Office of Business and Economic Development (GO-Biz)
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0220-GO-Biz
........................
|
||||||
(2) |
0225-California Business Investment Services
........................
|
||||||
(3) |
0230-Office of the Small Business Advocate
........................
|
||||||
(4) |
0235010-California Film Commission
........................
|
2,376,000 | |||||
(5) |
0235019-Tourism
........................
|
818,000 | |||||
(6) |
0235028-California Infrastructure and Economic Development Bank
........................
|
212,000 | |||||
(7) |
0235037-Small
Business Expansion
........................
|
492,000 | |||||
(8) |
Reimbursements to 0225-California Business Investment Services
........................
|
−50,000 | |||||
(9) |
Reimbursements to 0235019-Tourism
........................
|
−624,000 | |||||
(10) |
Reimbursements to 0235028-California Infrastructure and Economic Development Bank
........................
|
−212,000 | |||||
(11) |
Reimbursements to 0235037-Small Business Expansion
........................
|
−487,000 | |||||
Provisions:
|
|||||||
1. |
Of the amount appropriated in Schedule (3), $3,000,000 shall be used to draw down federal funds in the California Small Business
Development Center Program.
|
||||||
2. |
Of the amount appropriated in Schedule (3), $17,000,000 shall be used for the California Small Business Development Technical
Assistance Expansion Program. Notwithstanding any other law, this funding shall be available for encumbrance or expenditure
until June 30, 2022.
|
0509-001-0649—For support of Governor’s Office of Business and Economic Development (GO-Biz), payable from the California Infrastructure
and Economic Development Bank Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0235028-California Infrastructure and Economic Development Bank
........................
|
0509-001-0918—For support of Governor’s Office of Business and Economic Development (GO-Biz), payable from the Small Business Expansion
Fund
........................
|
152,000 | ||||||
Schedule:
|
|||||||
(1) |
0235037-Small Business Expansion
........................
|
152,000 |
0509-001-3083—For support of Governor’s Office of Business and Economic Development (GO-Biz), payable from the Welcome Center Fund
........................
|
111,000 | ||||||
Schedule:
|
|||||||
(1) |
0235019-Tourism
........................
|
1,000 | |||||
(2) |
0235046-Welcome Center Program
........................
|
110,000 | |||||
Provisions:
|
|||||||
1. |
Consistent with Section 13995.151 of the Government Code, the Office of Tourism has the flexibility to limit the number of
California Welcome Centers within a geographic area to
prevent excessive density, but it also has the flexibility to locate them within 50 miles of each other regardless of
whether they would be located in a rural or urban area.
|
0509-001-3095—For support of Governor’s Office of Business and Economic Development (GO-Biz), payable from the Film Promotion and Marketing
Fund
........................
|
10,000 | ||||||
Schedule:
|
|||||||
(1) |
0235010-California Film Commission
........................
|
10,000 |
0509-001-3237—For support of Governor’s Office of Business and Economic Development (GO-Biz), payable from the Cost of Implementation Account,
Air Pollution Control Fund
........................
|
1,002,000 | ||||||
Schedule:
|
|||||||
(1) |
0220-GO-Biz
........................
|
235,000 | |||||
(2) |
0225-California Business Investment Services
........................
|
767,000 |
0509-011-0001—For transfer, upon order of the Director of Finance, to the Small Business Expansion Fund
........................
|
861,000 | ||||||
Provisions:
|
|||||||
1. |
If the Small Business Expansion Fund described in Section 63089.5 of the Government Code incurs losses due to loan defaults
and
this results in outstanding guarantee liability exceeding five times the portion of funds on deposit in the Small Business
Expansion Fund, the Director of Finance may transfer an amount necessary from the General Fund to the Small Business Expansion
Fund to maintain the minimum reserves required for the Small Business Expansion Fund. The Director of Finance shall notify
the Joint Legislative Budget Committee within 30 days of making such a transfer. In no case shall a transfer or transfers
made pursuant to this provision exceed the total amount of $20,000,000. Any amount transferred pursuant to this provision
shall be repaid to the General Fund upon order of the Director of Finance when no longer needed to maintain a minimum required
reserve.
|
0511-001-0001—For support of Secretary of Government Operations
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0250-Administration of Government Operations Agency
........................
|
4,408,000 | |||||
(2) |
0255-State Planning and Policy Development
........................
|
||||||
(3) |
0256-Digital Innovation
........................
|
||||||
(4) |
Reimbursements to 0250-Administration of Government Operations Agency
........................
|
−2,807,000 | |||||
(4.5) | Reimbursements to 0255-State Planning and Policy Development ........................ | −1,000,000 | |||||
(5) |
Reimbursements to 0256-Digital Innovation
........................
|
−2,500,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in Schedule (2) is provided for the State Census and shall be available for encumbrance or expenditure
until June 30, 2021.
|
||||||
2. |
Of the amount appropriated in Schedule (3),
|
||||||
3. | The Director of Finance may augment the amount in Schedule (2) to provide additional resources to the California Complete Count - Census 2020 Office’s Statewide Outreach and Communications Strategy, which is designed to reach the state’s hardest-to-count residents and encourage and support their full participation in the upcoming 2020 United States Census. The Director of Finance shall not approve any augmentation unless the approval is made in writing to the Chairperson of the Joint Legislative Budget Committee and the chairpersons of the committees in each house of the Legislature that considers appropriations not later than 30 days prior to the effective date of the approval, or not sooner than whatever lesser time the chairperson of the joint committee, or the chairperson’s designee, may determine. Additional funding augmented to this schedule shall be available for encumbrance or expenditure until June 30, 2021. | ||||||
4. | The Governor may appoint and fix the salaries of assistants and other personnel as he deems necessary for the California Complete Count - Census 2020 Office, within the Government Operations Agency. All appointments made to the California Complete Count - Census 2020 Office shall end no later than June 30, 2021. |
0515-001-0001—For support of Secretary of Business, Consumer Services, and Housing
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
||||||
(2) |
Reimbursements to 0260-Support
........................
|
−2,745,000 | |||||
Provisions:
|
|||||||
1. |
Any amounts transferred to Schedule (1) of this item pursuant to Provision 1 of Item 0515-101-0001 shall be available for
encumbrance or expenditure until June 30, 2021.
|
0515-001-0067—For support of Secretary of Business, Consumer Services, and Housing, payable from the State Corporations Fund
........................
|
238,000 | ||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
238,000 |
0515-001-0240—For support of Secretary of Business, Consumer Services, and Housing Agency, payable from the Local Agency Deposit Security
Fund
........................
|
1,000 | ||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
1,000 |
0515-001-0298—For support of Secretary of Business, Consumer Services, and Housing, payable from the Financial Institutions Fund
........................
|
118,000 | ||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
118,000 |
0515-001-0299—For support of Secretary of Business, Consumer Services, and Housing, payable from the Credit Union Fund
........................
|
31,000 | ||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
31,000 |
0515-001-0317—For support of Secretary of Business, Consumer Services, and Housing, payable from the Real Estate Fund
........................
|
254,000 | ||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
254,000 |
0515-001-3036—For support of Secretary of Business, Consumer Services, and Housing, payable from the Alcohol Beverage Control Fund
........................
|
281,000 | ||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
281,000 |
0515-001-3153—For support of Secretary of Business, Consumer Services, and Housing, payable from the Horse Racing Fund
........................
|
41,000 | ||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
41,000 |
0515-101-0001—For local assistance, Secretary of Business, Consumer Services, and Housing
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0260-Support
........................
|
||||||
Provisions:
|
|||||||
1. |
Upon order of the Department of Finance, up to 5 percent of the funds appropriated in this item may be transferred to Schedule
(1) of Item 0515-001-0001 for the administration of planning and progress grants to address homelessness.
|
||||||
2. |
The amounts appropriated in this item shall be made available for encumbrance or expenditure until June 30, 2021.
|
0521-001-0044—For support of Secretary of Transportation, payable from the Motor Vehicle Account, State Transportation Fund
........................
|
3,206,000 | ||||||
Schedule:
|
|||||||
(1) |
0270-Administration of
Transportation Agency
........................
|
5,336,000 | |||||
(2) |
0275-California Traffic Safety Program
........................
|
538,000 | |||||
(3) |
Reimbursements to 0270-Administration of Transportation Agency
........................
|
−2,668,000 |
0521-001-0046—For support of Secretary of Transportation, payable from the Public Transportation Account, State Transportation Fund
........................
|
3,006,000 | ||||||
Schedule:
|
|||||||
(1) |
0270-Administration of Transportation Agency
........................
|
3,000,000 | |||||
(2) |
0276-Transit and Intercity Rail Capital Program
........................
|
6,000 |
0521-001-0890—For support of Secretary of Transportation, payable from the Federal Trust Fund
........................
|
6,113,000 | ||||||
Schedule:
|
|||||||
(1) |
0270-Administration of Transportation Agency
........................
|
200,000 | |||||
(2) |
0275-California Traffic Safety Program
........................
|
5,913,000 |
0521-001-3228—For support of Secretary of Transportation, payable from the Greenhouse Gas Reduction Fund
........................
|
71,000 | ||||||
Schedule:
|
|||||||
(1) |
0276-Transit and Intercity Rail Capital
Program
........................
|
71,000 | |||||
Provisions:
|
|||||||
1. |
Funds appropriated in this item shall be included in, and any unused funds revert to, the share of annual proceeds continuously
appropriated to the Transit and Intercity Rail Capital Program as specified in subparagraph (A) of paragraph (1) of subdivision
(b) of Section 39719 of the Health and Safety Code.
|
0521-002-0890—For support of Secretary of Transportation, payable from the Federal Trust Fund
........................
|
38,114,000 | ||||||
Schedule:
|
|||||||
(1) |
0275-California Traffic Safety Program
........................
|
38,114,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, $13,114,000 of the amount appropriated in this item but not encumbered or expended
by June 30,
|
||||||
2. |
Notwithstanding any other provision of law, funds appropriated in this item may be transferred to Item 0521-101-0890 upon
order of the Department of Finance.
|
0521-101-0046—For local assistance, Secretary of Transportation, payable from the Public Transportation Account, State Transportation Fund
........................
|
9,000,000 | ||||||
Schedule:
|
|||||||
(1) |
0276-Transit and Intercity Rail Capital Program
........................
|
9,000,000 | |||||
Provisions:
|
|||||||
1. |
Funds appropriated in Schedule (1) shall be used for the Transit and Intercity Rail Capital Program. These funds shall be
available for allocation by the California Transportation Commission until June 30, 2021, and available for encumbrance and
liquidation until June 30, 2025.
|
0521-101-0890—For local assistance, Secretary of Transportation, payable from the Federal Trust Fund
........................
|
87,201,000 | ||||||
Schedule:
|
|||||||
(1) |
0275-California Traffic Safety Program
........................
|
87,201,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, federal funds appropriated in this item but not encumbered or expended by June
30, 2020, may be expended in the 2020–21 fiscal year.
|
||||||
2. |
Notwithstanding any other provision of law, funds appropriated in this item may be transferred to Item 0521-002-0890 upon
order of the Department of Finance.
|
0530-001-0001—For support of Secretary of California Health and Human Services
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0280-Secretary of California Health and Human Services
........................
|
||||||
(2) |
Reimbursements to 0280-Secretary of California Health and Human Services
........................
|
−2,452,000 |
0530-001-3209—For support of Secretary of California Health and Human Services, payable from the Office of Patient Advocate Trust Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0295-Office of the Patient Advocate
........................
|
0530-001-9740—For support of Secretary of California Health and Human Services, payable from the Central Service Cost Recovery Fund
........................
|
2,598,000 | ||||||
Schedule:
|
|||||||
(1) |
0280-Secretary of
California Health and Human Services
........................
|
2,598,000 |
0530-001-9745—For support of Secretary of California Health and Human Services, payable from the California Health and Human Services Automation
Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0290-Office of Systems Integration
........................
|
||||||
(2) |
Reimbursements to 0290-Office of Systems Integration
........................
|
−539,000 | |||||
Provisions:
|
|||||||
1. |
The Department of Finance may authorize expenditure authority increases for the Office of Systems Integration (OSI) in excess
of the amount appropriated to address system changes to OSI managed information technology projects no sooner than either
30 days after notification in
writing of the necessity therefor to the chairpersons of the fiscal committees of each house of the Legislature and the
Chairperson of the Joint Legislative Budget Committee, or whatever lesser time after notification that the chairperson of
the joint committee, or
|
||||||
2. |
The Director of Finance may authorize the transfer of expenditure authority from the State Department of Health Care Services
to the Office of Systems Integration consistent with the plan for system changes to implement the federal Patient Protection
and Affordable Care Act (P.L. 111-148). Any such increases shall occur no sooner than 30 days after notification in writing
of the necessity therefor to the Joint Legislative Budget Committee, or not sooner than whatever lesser time after notification
the Chairperson of the Joint Legislative Budget Committee, or
|
||||||
3. | (a) |
Of the funds appropriated in this item, $165,317,000 is for the support of activities related to the California Healthcare
Eligibility, Enrollment, and Retention System project also known as CalHEERS. Expenditure of these funds is contingent upon
review and approval of a plan submitted to the Director of Finance.
|
|||||
(b) |
The Director of Finance may augment this item above the amount specified in subdivision (a) contingent upon review and approval
of a revised plan submitted to the Director of Finance.
|
||||||
4. |
Notwithstanding Provision 1, the Department of Finance is authorized to increase expenditure authority in this item to support
project management activities associated with the Child Welfare Services-New System project.
|
||||||
5. | Of the funds appropriated in this item, $5,462,000 is for the support of Phase II development and implementation activities for the Statewide Client Index component of the Medi-Cal Eligibility Data System Modernization project and will be authorized for expenditure upon the Department of Technology's project approval. The Department of Finance shall notify in writing the Chairperson of the Joint Legislative Budget Committee upon project approval. Expenditure shall be authorized no sooner than 30 calendar days after written notification to the Chairperson of the Joint Legislative Budget Committee, or whatever lesser time the Chairperson of the Joint Legislative Budget Committee, or the chairperson’s designee, may determine. The written notification shall include, from the project approval document, the total cost and schedule of the Medi-Cal Eligibility Data System Modernization project. |
0530-017-0001—For support of Secretary of California Health and Human Services
........................
|
836,000 | ||||||
Schedule:
|
|||||||
(1) |
0285-California Office of Health Information Integrity (CALOHII)
........................
|
1,793,000 | |||||
(2) |
Reimbursements to 0285-California Office of Health Information Integrity (CALOHII)
........................
|
−957,000 |
0540-001-0001—For support of Secretary of the Natural Resources Agency
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
0540-001-0140—For support of Secretary of the Natural Resources Agency, payable from the California Environmental License Plate Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
||||||
(2) |
Reimbursements to 0320-Administration of Natural Resources Agency
........................
|
0540-001-0183—For support of Secretary of the Natural Resources Agency, payable from the Environmental Enhancement and Mitigation Program
Fund
........................
|
349,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
349,000 |
0540-001-0200—For support of Secretary of the Natural Resources Agency, payable from the Fish and Game Preservation Fund
........................
|
59,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural
Resources Agency
........................
|
59,000 |
0540-001-0263—For support of Secretary of the Natural Resources Agency, payable from the Off-Highway Vehicle Trust Fund
........................
|
12,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural
Resources Agency
........................
|
12,000 |
0540-001-0392—For support of Secretary of the Natural Resources Agency, payable from the State Parks and Recreation Fund
........................
|
41,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural
Resources Agency
........................
|
41,000 |
0540-001-0516—For support of Secretary of the Natural Resources Agency, payable from the Harbors and Watercraft Revolving Fund
........................
|
5,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of
Natural Resources Agency
........................
|
5,000 |
0540-001-0890—For support of Secretary of the Natural Resources Agency, payable from the Federal Trust Fund
........................
|
1,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources
Agency
........................
|
1,000 |
0540-001-1018—For support of Secretary of the Natural Resources Agency, payable from the Lake Tahoe Science and Lake Improvement Account
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
0540-001-3046—For support of Secretary of the Natural Resources Agency, payable from the Oil, Gas, and Geothermal Administrative Fund
........................
|
59,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration
of Natural Resources Agency
........................
|
59,000 |
0540-001-3117—For support of Secretary of the Natural Resources Agency, payable from the Alternative and Renewable Fuel and Vehicle Technology
Fund
........................
|
131,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
131,000 |
0540-001-3212—For support of Secretary of the Natural Resources Agency, payable from the Timber Regulation and Forest Restoration Fund
........................
|
1,494,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
1,494,000 |
0540-001-3237—For support of Secretary of the Natural Resources Agency, payable from the Cost of Implementation Account, Air Pollution
Control Fund
........................
|
292,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
292,000 |
0540-001-6031—For support of Secretary of the Natural Resources Agency, payable from the Water Security, Clean Drinking Water, Coastal
and Beach Protection Fund of 2002
........................
|
283,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
283,000 |
0540-001-6051—For support of Secretary of the Natural Resources Agency, payable from the Safe Drinking Water, Water Quality and Supply,
Flood Control, River and Coastal Protection Fund of 2006
........................
|
3,282,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
3,282,000 |
0540-001-6076—For support of Secretary of the Natural Resources Agency, payable from the California Ocean Protection Trust Fund
........................
|
6,039,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of
Natural Resources Agency
........................
|
6,039,000 | |||||
Provisions:
|
|||||||
1. |
Any funds above $5,400,000 annually, of the Once-Through Cooling Interim Mitigation Fees deposited into the Ocean Protection
Trust Fund, shall be transferred by the Controller to the Coastal Trust Fund.
|
||||||
2. |
Of the amount appropriated in this item, $5,400,000 is available for expenditure for support or local assistance for the Marine
Protected Area
Mitigation Program, and shall be available for encumbrance or expenditure until June 30, 2022.
|
0540-001-6083—For support of Secretary of the Natural Resources Agency, payable from the Water Quality, Supply, and Infrastructure Improvement
Fund of 2014
........................
|
1,349,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
1,349,000 |
0540-001-6088—For support of Secretary of the Natural Resources Agency, payable from the California Drought, Water, Parks, Climate, Coastal
Protection, and Outdoor Access For All Fund
........................
|
1,747,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
1,747,000 | |||||
Provisions:
|
|||||||
1. |
Of the amounts appropriated in this item, $1,747,000 shall be available to support the following:
|
||||||
(a) |
$144,000 shall be available for trails and greenway investments, consistent with subdivision (a) of Section 80080 of the Public
Resources Code.
|
||||||
(b) |
$123,000 shall be available for river recreation, creek, and waterway improvements, consistent with paragraphs (4), (5), (7),
and (10) of subdivision (a) of Section 80100 of the Public Resources Code.
|
||||||
(c) |
$126,000 shall be available for the California River Parkways Program, consistent with paragraph (8) of subdivision (a) of
Section 80010 of the Public Resources Code.
|
||||||
(d) |
$149,000
shall be available for marine wildlife and healthy ocean and coastal ecosystems, consistent with subdivision (a) of Section
80120 of the Public Resources Code.
|
||||||
(e) |
$149,000 shall be available for projects that assist coastal communities, consistent with subdivision (a) of Section 80133
of the Public Resources Code.
|
||||||
(f) |
$104,000 shall be available for multibenefit green infrastructure investments, consistent with subdivision (b) of Section
80137 of the Public Resources Code.
|
||||||
(g) |
$510,000 shall be available for multibenefit flood projects, consistent with paragraph (3) of subdivision (a) of Section 80145
of the Public Resources Code.
|
||||||
(h) |
$442,000 shall be available for statewide bond costs.
|
0540-001-8058—For support of Secretary of the Natural Resources Agency, payable from the California Cultural and Historical Endowment Fund
........................
|
189,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
189,000 |
0540-002-0042—For transfer by the Controller from the State Highway Account, State Transportation Fund, to the Environmental Enhancement
and Mitigation Program Fund to be used as specified in Section 164.56 of the Streets and Highways Code
........................
|
(7,000,000) |
0540-101-0001—For local assistance, Secretary of the Natural Resources Agency
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
||||||
Provisions:
|
|||||||
1. |
|
||||||
2. | $2,000,000 shall be available for a grant to the Marine Mammal Center to conduct marine mammal rescue and research activities. | ||||||
3. | $10,000,000 shall be available for a grant to the University of California, Los Angeles to conduct statewide public research collaboration on conservation genomics. | ||||||
4. | $5,000,000 shall be available to support the Los Angeles Museum of the Holocaust. |
0540-101-0183—For local assistance, Secretary of the Natural Resources Agency, payable from the Environmental Enhancement and Mitigation
Program Fund
........................
|
6,700,000 | ||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
6,700,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, the funds appropriated in this item shall be available for encumbrance or expenditure
until June 30, 2024.
|
0540-101-6088—For local assistance, Secretary of the Natural Resources Agency, payable from the California Drought, Water, Parks, Climate,
Coastal Protection, and Outdoor Access For All Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0320-Administration of Natural Resources Agency
........................
|
||||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item are available for encumbrance or expenditure until June 30, 2022.
|
||||||
2. |
Of the funds appropriated in this item,
|
||||||
(a) |
$27,750,000 shall be available for trails and greenway investments, consistent with subdivision (a) of Section 80080 of the
Public Resources Code.
|
||||||
(b) |
$92,500,000 shall be available for multibenefit flood projects, consistent with paragraph (3) of subdivision (a) of Section
80145 of the Public Resources Code.
|
||||||
(c) |
$70,000,000 shall be available for various projects, consistent with Section 80114 of the Public Resources Code.
|
||||||
(d) | $1,240,000 shall be available for California River Recreation, Creek, and Waterway Improvements, consistent with paragraphs 4, 5, 7, and 10 of subdivision (a) of Section 80100 of the Public Resources Code. | ||||||
3. | On or before July 1 of each year until funding pursuant to subdivision (c) of Provision 2 is expended, the Natural Resources Agency shall provide a report to the chairpersons of the appropriate subcommittees that considers the state budget. That report shall include all of the following: (a) a list of the specific projects that the agency has approved for expenditure pursuant to subdivision (c) of Provision 2; (b) confirmation that use of this funding is consistent with the existing water quality standards and objectives, as they may be amended, or as implemented through the voluntary agreement process; and (c) an update on the status of voluntary agreements described in Section 80114 of the Public Resources Code. |
0540-490—Reappropriation, Secretary of the Natural Resources Agency. The balances of the appropriations provided in the following
citations are reappropriated for the purposes provided for in those appropriations and shall be available for encumbrance
or expenditure until June 30, 2022:
|
|||||||
6029—California Clean Water, Clean Air, Safe Neighborhood Parks, and Coastal Protection Fund | |||||||
(1) | Item 0540-101-6029, Budget Act of 2002 (Ch. 379, Stats. 2002), as reappropriated by Item 0540-492, Budget Act of 2004 (Ch. 208, Stats. 2004), as reverted by Item 0540-495, Budget Act of 2006 (Chs. 47 and 48, Stats. 2006), as reappropriated by Item 0540-490, Budget Act of 2007 (Chs. 171 and 172, Stats. 2007), as reappropriated by Item 0540-490, Budget Act of 2011 (Ch. 33, Stats. 2011), and as reappropriated by Item 0540-490, Budget Act of 2016 (Ch. 23, Stats. 2016) | ||||||
6031—Water Security, Clean Drinking Water, Coastal and Beach Protection Fund of 2002 | |||||||
(1) | Item 0540-101-6031, Budget Act of 2016 (Ch. 23, Stats. 2016) | ||||||
6051—Safe Drinking Water, Water Quality and Supply, Flood Control, River and Coastal Protection Fund of 2006 | |||||||
(1) | Item 0540-101-6051, Budget Act of 2009 (Ch. 1, 2009–10 3rd Ex. Sess., as revised by Ch. 1, 2009–10 4th Ex. Sess.), as reappropriated by Item 0540-490, Budget Act of 2011 (Ch. 33, Stats. 2011), as reappropriated by Item 0540-490, Budget Act of 2014 (Chs. 25 and 663, Stats. 2014), and as reappropriated by Item 0540-490, Budget Act of 2016 (Ch. 23, Stats. 2016) | ||||||
(2) | Item 0540-101-6051, Budget Act of 2012 (Chs. 21 and 29, Stats. 2012), as reappropriated by Item 0540-491, Budget Act of 2015 (Chs. 10 and 11, Stats. 2015) | ||||||
(3) | Item 0540-101-6051, Budget Act of 2016 (Ch. 23, Stats. 2016) |
0540-491—Reappropriation, Secretary of the Natural Resources Agency. Notwithstanding any other provision of law, the period to liquidate
encumbrances of the following citations is extended to June 30, 2025.
|
|||||||
6083—Water Quality, Supply, and Infrastructure Improvement Fund of 2014
|
|||||||
(1) |
Item 0540-001-6083, Budget Act of 2016 (Ch. 23, Stats. 2016)
|
0540-495—Reversion, Secretary of the Natural Resources Agency. As of June 30, 2019, the balances specified below, of the appropriations
provided in the following citations shall revert to the balances in the funds from which the appropriations were made.
|
|||||||
6088—California Drought, Water, Parks, Climate, Coastal Protection, and Outdoor Access For All Fund
|
|||||||
(1) |
Item
0540-001-6088, Budget Act of 2018 (Chs.
|
0552-001-0001—For support of Office of the Inspector General
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0330-Office of the Inspector General
........................
|
0555-001-0001—For support of Secretary for Environmental Protection
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
0555-001-0014—For support of Secretary for Environmental Protection, payable from the Hazardous Waste Control Account
........................
|
371,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
371,000 |
0555-001-0028—For support of Secretary for Environmental Protection, payable from the Unified Program Account
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
0555-001-0044—For support of Secretary for Environmental Protection, payable from the Motor Vehicle Account, State Transportation Fund
........................
|
2,144,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
4,272,000 | |||||
(2) |
Reimbursements to 0340-Support
........................
|
−2,128,000 |
0555-001-0106—For support of Secretary for Environmental Protection, payable from the Department of Pesticide Regulation Fund
........................
|
1,023,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
1,023,000 |
0555-001-0115—For support of Secretary for Environmental Protection, payable from the Air Pollution Control Fund
........................
|
1,354,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
1,354,000 |
0555-001-0193—For support of Secretary for Environmental Protection, payable from the Waste Discharge Permit Fund
........................
|
627,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
627,000 |
0555-001-0226—For support of Secretary for Environmental Protection, payable from the California Tire Recycling Management Fund
........................
|
133,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
133,000 |
0555-001-0235—For support of Secretary for Environmental Protection, payable from the Public Resources Account, Cigarette and Tobacco Products
Surtax Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
0555-001-0387—For support of Secretary for Environmental Protection, payable from the Integrated Waste Management Account, Integrated Waste
Management Fund
........................
|
279,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
279,000 |
0555-001-0439—For support of Secretary for Environmental Protection, payable from the Underground Storage Tank Cleanup Fund
........................
|
1,377,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
1,377,000 |
0555-001-0679—For support of Secretary for Environmental Protection, payable from the State Water Quality Control Fund
........................
|
201,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
201,000 |
0555-001-0890—For support of Secretary for Environmental Protection, payable from the Federal Trust Fund
........................
|
300,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
300,000 |
0555-001-3058—For support of Secretary for Environmental Protection, payable from the Water Rights Fund
........................
|
37,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
37,000 |
0555-001-3237—For support of Secretary for Environmental Protection, payable from the Cost of Implementation Account, Air Pollution Control
Fund
........................
|
1,208,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
1,208,000 |
0555-001-8013—For support of Secretary for Environmental Protection, payable from the Environmental Enforcement and Training Account
........................
|
2,132,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
2,132,000 |
0555-101-0115—For local assistance, Secretary for Environmental Protection, payable from the Air Pollution Control Fund
........................
|
750,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
750,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item includes revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
||||||
2. |
Notwithstanding any other provision of law, the amount appropriated in Schedule (1), shall be from penalty revenues that are
subject to separate accounting in accordance with Sections 38580, 39674, 39675, 42400
to 42410, inclusive, 43025 to 43031.5, inclusive, 43154, 43211, and 43212 of the Health and Safety Code. The funds specified
in this provision are hereby appropriated to provide environmental justice grants, pursuant to subdivisions (k) and (l) of
Section 71116 of the Public Resources Code.
|
0555-101-0133—For local assistance, Secretary for Environmental Protection, payable from the California Beverage Container Recycling Fund
........................
|
375,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
375,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item includes revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
||||||
2. |
Notwithstanding any other provision of law, the amount appropriated in Schedule (1), shall be from penalty revenues that are
subject to separate accounting. The funds
specified in this provision are hereby appropriated to provide environmental justice grants, pursuant to subdivisions
(k) and (l) of Section 71116 of the Public Resources Code.
|
0555-101-0193—For local assistance, Secretary for Environmental Protection, payable from the Waste Discharge Permit Fund
........................
|
375,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
375,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item includes revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
||||||
2. |
Notwithstanding any other provision of law, the amount appropriated in Schedule (1), and notwithstanding subdivision (c) of
Section 13264, subdivision (f) of Section 13268, subdivision (k) of Section 13350, and
paragraph (2) of subdivision (n) of Section 13385 of the Water Code shall be from the moneys deposited into, and separately
accounted for, the Waste Discharge Permit Fund pursuant to the balance of penalty revenues generated by the imposition of
liabilities pursuant to subdivision (c) of Section 13264, subdivision (f) of Section 13350, paragraph (2) of subdivision (n)
of Section 13385, and Section 13399.37 of the Water Code. The funds specified in this provision are hereby appropriated to
provide environmental justice grants, pursuant to subdivisions (k) and (l) of Section 71116 of the Public Resources Code.
|
0555-101-1006—For local assistance, Secretary for Environmental Protection, payable from the Rural CUPA Reimbursement Account
........................
|
835,000 | ||||||
Schedule:
|
|||||||
(1) |
0340-Support
........................
|
835,000 |
0555-111-0001—For transfer by the Controller to the Rural CUPA Reimbursement Account
........................
|
835,000 |
0559-001-0001—For support of Secretary of Labor and Workforce Development Agency
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0350-Office of the Secretary of Labor and Workforce Development
........................
|
||||||
(2) |
Reimbursements to 0350-Office of the Secretary of Labor and Workforce Development
........................
|
−2,609,000 |
0559-001-3078—For support of Secretary of Labor and Workforce Development Agency, payable from the Labor and Workforce Development Fund
........................
|
447,000 | ||||||
Schedule:
|
|||||||
(1) |
0350-Office of
the Secretary of Labor and Workforce Development
........................
|
447,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item includes revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
0650-001-0001—For support of Office of Planning and Research
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0360-State Planning and Policy Development
........................
|
14,748,000 | |||||
(2) |
0365-California Volunteers
........................
|
||||||
(3) |
0370-Strategic Growth Council
........................
|
||||||
(4) |
Reimbursements to 0360-State Planning and Policy Development
........................
|
−1,428,000 | |||||
(5) |
Reimbursements to 0365-California Volunteers
........................
|
−3,121,000 |
0650-001-0890—For support of Office of Planning and Research, payable from the Federal Trust Fund
........................
|
1,974,000 | ||||||
Schedule:
|
|||||||
(1) |
0360-State Planning and Policy Development
........................
|
6,000 | |||||
(2) |
0365-California Volunteers
........................
|
1,968,000 |
0650-001-3228—For support of Office of Planning and Research, payable from the Greenhouse Gas Reduction Fund
........................
|
|||||||||
Schedule:
|
|||||||||
(1) |
0370-Strategic Growth Council
........................
|
||||||||
Provisions:
|
|||||||||
1. |
Of the funds appropriated in this item, $1,231,000 shall be included in, and any unused funds revert to, the share of annual
proceeds continuously appropriated to the Strategic Growth Council as specified in subparagraph (C) of paragraph (1) of subdivision
(b) of Section 39719 of the Health and Safety Code.
|
||||||||
|
|||||||||
|
|||||||||
|
|||||||||
0650-001-9740—For support of Office of Planning and Research, payable from the Central Service Cost Recovery Fund
........................
|
538,000 | ||||||
Schedule:
|
|||||||
(1) |
0360-State Planning and Policy
Development
........................
|
538,000 |
0650-101-0001—For local assistance, Office of Planning and Research
........................
|
|||||||||
Schedule:
|
|||||||||
(1) | |||||||||
Provisions:
|
|||||||||
|
|||||||||
|
|||||||||
|
|||||||||
4. | Of the fund appropriated in this item, $5,000,000 shall be available to fund respite care for people with Alzheimers and other related dementias through the California Care Corps. The funds may be used for support or local assistance, and may be available for encumbrance or expenditure until June 30, 2026. Not more than 10 percent of the funds may be used for administrative costs. |
0650-101-0890—For local assistance, Office of Planning and Research, payable from the Federal Trust Fund
........................
|
26,000,000 | ||||||
Schedule:
|
|||||||
(1) |
0365-California Volunteers
........................
|
26,000,000 |
40,000,000 | |||||||
Schedule: | |||||||
(1) | 0370-Strategic Growth Council | 40,000,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in this item shall be used for the Transformative Climate Communities Program described in Part 4 (commencing with Section 75240) of Division 44 of the Public Resources Code. | ||||||
2. | The funds appropriated in this item shall be available for encumbrance or expenditure until June 30, 2025, for support or local assistance and shall be available for liquidation until June 30, 2028. Not more than 5 percent of the amount appropriated in this item may be used for administrative costs. |
0650-102-0001—For local assistance, Office of Planning and Research
........................
|
20,000,000 | ||||||
Schedule:
|
|||||||
(1) |
0365-California Volunteers
........................
|
20,000,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item shall be available for support or local assistance and shall be available for encumbrance
or expenditure until June 30, 2021.
|
0650-490—Reappropriation, Office of Planning and Research. Notwithstanding any other provision of law, the period to liquidate encumbrances
of the following citations is extended to June 30, 2021.
|
|||||||
3228—Greenhouse Gas Reduction Fund
|
|||||||
(1) |
Item 0650-002-3228, Budget Act of 2016 (Ch. 23, Stats. 2016), as added by Chapter 370 of the Statutes of 2016
|
0650-491—Reappropriation, Office of Planning and Research. The balances of the appropriations provided in the following citations
are reappropriated for the purposes provided for in those appropriations and shall be available for encumbrance or expenditure
until June 30, 2025:
|
|||||||
0001—General Fund
|
|||||||
(1) |
Item 0650-001-0001, Budget Act of 2016 (Ch. 23, Stats. 2016)
|
||||||
(2) |
Item 0650-001-0001, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017)
|
||||||
(3) | Item 0650-001-0001, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) | ||||||
Provisions: | |||||||
1. | These funds may only be expended on precision medicine if the administration of the program is performed by the University of California, San Francisco. |
0690-001-0001—For support of Office of Emergency Services
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0380-Emergency Management Services
........................
|
||||||
(2) |
0385-Special Programs and Grant Management
........................
|
||||||
(3) |
0395-Public Safety Communications
........................
|
10,790,000 | |||||
(4) |
9900100-Administration
........................
|
||||||
(5) |
9900200-Administration—Distributed
........................
|
||||||
(6) |
Reimbursements to 0380-Emergency Management Services
........................
|
−4,995,000 | |||||
(7) |
Reimbursements to 0385-Special Programs and Grant Management
........................
|
−20,000 | |||||
Provisions:
|
|||||||
1. |
Funds appropriated in this item may be reduced by the Director of Finance, after giving notice to the Chairperson of the Joint
Legislative Budget
Committee, by the amount of federal funds made available for the purposes of this item in excess of the federal funds
scheduled in Item 0690-001-0890.
|
||||||
2. |
Of the amount appropriated in this item, $2,000,000 shall be expended to address deferred maintenance projects that represent
critical infrastructure deficiencies. The amount allocated shall be available for encumbrance or expenditure until June 30,
2022.
|
0690-001-0022—For support of Office of Emergency Services, payable from the State Emergency Telephone Number Account
........................
|
20,127,000 | ||||||
Schedule:
|
|||||||
(1) |
0395-Public Safety
Communications
........................
|
20,127,000 |
0690-001-0028—For support of Office of Emergency Services, payable from the Unified Program Account
........................
|
910,000 | ||||||
Schedule:
|
|||||||
(1) |
0380-Emergency Management Services
........................
|
910,000 |
0690-001-0029—For support of Office of Emergency Services, payable from the Nuclear Planning Assessment Special Account
........................
|
1,210,000 | ||||||
Schedule:
|
|||||||
(1) |
0380-Emergency Management
Services
........................
|
1,210,000 | |||||
Provisions:
|
|||||||
1. |
Pursuant to subdivision (f) of Section 8610.5 of the Government Code, any unexpended funds from the appropriation in the prior
fiscal year are hereby appropriated in augmentation of this item.
|
0690-001-0890—For support of Office of Emergency Services, payable from the Federal Trust Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0380-Emergency Management Services
........................
|
22,702,000 | |||||
(2) |
0385-Special Programs and Grant Management
........................
|
||||||
Provisions:
|
|||||||
1. |
Any funds that may become available, in addition to the funds appropriated in this item, for disaster response and recovery
may be allocated by the Department of Finance subject to the conditions of Section 28.00, except that, notwithstanding subdivision
(e) of that section, the allocations may be made 30 days or less
after notification of the Legislature.
|
||||||
2. |
Notwithstanding any other provision of law, the funds appropriated in this item may be expended without regard to the fiscal
year in which the application for reimbursement was submitted to the Federal Emergency Management Agency.
|
0690-001-0903—For support of Office of Emergency Services, payable from the State Penalty Fund
........................
|
959,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant Management
........................
|
959,000 |
0690-001-3228—For support of Office of Emergency Services, payable from the Greenhouse Gas Reduction Fund
........................
|
1,140,000 | ||||||
Schedule:
|
|||||||
(1) |
0380-Emergency Management Services
........................
|
1,140,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item shall be used for the maintenance of fire engines and support of the California Fire and
Rescue Mutual Aid System.
|
0690-001-6061—For support of Office of Emergency Services, payable from the Transit System Safety, Security, and Disaster Response Account,
Highway Safety, Traffic Reduction, Air Quality, and Port Security Fund of 2006
........................
|
2,832,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant Management
........................
|
2,832,000 | |||||
Provisions:
|
|||||||
1. |
Upon approval of the Director of Finance, expenditure authority for this item may be increased by up to $200,000 to reimburse
the Department of Finance for bond audit costs related to the implementation of Proposition 1B. Any augmentation shall be
authorized no sooner than 30 days after notification in writing to the Chairperson of the Joint Legislative Budget Committee,
or not sooner than whatever lesser time the chairperson of the joint
committee, or his or her designee, may determine.
|
0690-001-8039—For support of Office of Emergency Services, payable from the Disaster Resistant Communities Fund
........................
|
207,000 | ||||||
Schedule:
|
|||||||
(1) |
0380-Emergency Management Services
........................
|
207,000 | |||||
Provisions:
|
|||||||
1. |
The Department of Finance may authorize the augmentation of the total amount available for expenditure under this item in
the amount of any donations from the private sector received by the Office of Emergency Services that are in excess of the
amount appropriated in this item. Any augmentation shall be accompanied by a spending plan submitted by the Office of Emergency
Services. The spending plan shall include, at a minimum, the source and level of donations received to date, a detailed description
of activities already completed and those activities
proposed, the source and amount of any additional donations expected to be received, and the identification of any impact
of the spending plan on other state funds. An approval of an augmentation of this item shall be effective not sooner than
30 days after the transmittal of the approval and spending plan to the Chairperson of the Joint Legislative Budget Committee,
or not sooner than whatever lesser time the chairperson of the joint committee, or his or her designee, may determine.
|
0690-001-9751—For support of Office of Emergency Services, payable from the Public Safety Communications Revolving Fund
........................
|
82,479,000 | ||||||
Schedule:
|
|||||||
(1) |
0395-Public Safety
Communications
........................
|
82,479,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, the Director of Finance may authorize a loan from the General Fund, in an amount
not to exceed 35 percent of expenditures appropriated in this item to the Office of Emergency Services, provided that:
|
||||||
(a) |
The loan is to meet cash needs resulting from the delay in receipt of payments for
services provided.
|
||||||
(b) |
The loan is for a short term and shall be repaid by October 31, 2020.
|
||||||
(c) |
Interest charges may be waived pursuant to subdivision (e) of Section 16314 of the Government Code.
|
||||||
(d) |
The Director of Finance shall not approve the loan unless the approval is made in writing and filed with the Chairperson of
the Joint Legislative Budget Committee and the chairpersons of the committees in
each house of the Legislature that consider appropriations not later than 30 days prior to the effective date of the approval,
or not later than whatever lesser time prior to that effective date that the chairperson of the joint committee, or his or
her designee, may determine.
|
0690-003-0001—For support of Office of Emergency Services, for rental payments on lease-revenue bonds
........................
|
5,458,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant Management
........................
|
5,458,000 | |||||
Provisions:
|
|||||||
1. |
The Controller shall transfer funds appropriated in this item for base rental as and when provided for in the schedule submitted
by the State Public Works Board. Notwithstanding the payment dates in any related Facility Lease or Indenture, the schedule
may provide for an earlier transfer of funds to ensure debt requirements are met and pay base rental in full when due.
|
||||||
2. |
The
Controller shall transfer for additional rental no later than 30 days after enactment of this budget, $35,000 of the amount
appropriated in this item, to the Expense Account in the Public Buildings Construction Fund.
|
||||||
3. |
This item may be adjusted pursuant to Section 4.30. Any adjustments to this item shall be reported to the Joint Legislative
Budget Committee pursuant to Section 4.30.
|
0690-004-0001—For support of Office of Emergency Services
........................
|
953,000 | ||||||
Schedule:
|
|||||||
(1) |
0380-Emergency Management Services
........................
|
953,000 |
0690-006-0001—For support of Office of Emergency Services
........................
|
20,000,000 | ||||||
Schedule: | |||||||
(1) | 0380-Emergency Management Services ........................ | 20,000,000 | |||||
Provisions: | |||||||
1. | Upon order of the Department of Finance, funding in this appropriation may be transferred to any other state entity for costs incurred related to activities performed as a result of being mission tasked by the Governor’s Office of Emergency Services during a declared disaster. | ||||||
2. | The Office of Emergency Services shall report to the budget committees of the Legislature and the Legislative Analyst’s Office on the requests approved by the Department of Finance for mission tasking resources. The information provided shall be organized by each state entity per declared disaster, and the costs incurred for the activities performed as a result of being mission tasked by the Governor’s Office of Emergency Services during a declared disaster. | ||||||
3. | The funds appropriated in this item, even if transferred to another item, shall be available for encumbrance or expenditure until June 30, 2022. |
0690-010-3034—For support of Office of Emergency Services, payable from the Antiterrorism Fund
........................
|
798,000 | ||||||
Schedule:
|
|||||||
(1) |
0380-Emergency Management Services
........................
|
680,000 | |||||
(2) |
0385-Special Programs and Grant Management
........................
|
118,000 |
0690-011-0001—For transfer by the Controller, upon order of the Department of Finance, to the State Emergency Telephone Number Account
........................
|
50,000,000 |
0690-101-0001—For local assistance, Office of Emergency Services
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant Management
........................
|
||||||
(2) |
0380-Emergency Management Services
........................
|
25,000,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other law, the Office of Emergency Services may provide advance payment of up to 25 percent of grant funds
awarded to community-based, nonprofit organizations, cities, school districts, counties, and other units of local government
that have demonstrated cashflow problems according to the criteria set forth by the Office of Emergency
Services.
|
||||||
2. |
Of the amount appropriated in Schedule (1), $10,000,000 shall be used for grants related to services for victims of human
trafficking.
|
||||||
3. |
Of the amount appropriated in Schedule (2), $25,000,000 is available to support activities directly related to regional response
and readiness. These activities include, but are not limited to, predeployment of
|
||||||
4. | No later than February 3, 2020, the Office of Emergency Services shall report to the appropriate budget subcommittees of the Legislature, the Assembly Committee on Governmental Organization, and the Legislative Analyst’s Office on the requests approved for prepositioning resources made by local agencies in the 2017–18 and 2018–19 fiscal years. Additionally, no later than February 1 of each year thereafter, the Office of Emergency Services shall report to the appropriate budget subcommittees of the Legislature, the Assembly Committee on Governmental Organization, and the Legislative Analyst’s Office on the requests approved for prepositioning resources made by local agencies in the previous fiscal year. The information provided shall be organized by mutual aid region and shall include, but not be limited to, all of the following for each request for prepositioning resources: | ||||||
(a) | The entity or operational area that requested resources; type of prepositioning event; risk factors (criteria) prompting the request, including a summary of red flag events; description of the resources requested; location where resources were placed; the start date/time and the end date/time of prepositioned resources; and the reimbursement amount associated with the response. | ||||||
(b) | An assessment, with input from local fire departments, on the effectiveness of the criteria the Office of Emergency Services uses to approve requests for prepositioning of mutual aid resources. | ||||||
(c) | A summary of the extent to which the Office of Emergency Services initiated the prepositioning of resources due to forecasts of inclement weather. | ||||||
(d) | If an emergency event happened, data describing the outcomes of the event. This could include, but is not limited to, the total number of acres affected, the number of structures affected, and the total number of deaths and injuries. Given California is subject to a variety of potential events, including, but not limited to, fires, floods, earthquakes, and tsunamis, the nature of this information may vary based on the type of the event. The information provided shall identify whether the event resulted in a federally or state-declared disaster. | ||||||
5. | Of the amount appropriated in Schedule (1), $10,000,000 shall be used to fund Internet Crimes Against Children Task Forces. This amount is available for encumbrance or expenditure until June 30, 2021. |
0690-101-0022—For local assistance, Office of Emergency Services, for reimbursement of local agencies, service suppliers, and communication
equipment companies for costs incurred pursuant to Sections 41137, 41137.1, 41138, and 41140 of the Revenue and Taxation Code
........................
|
144,271,000 | ||||||
Schedule:
|
|||||||
(1) |
0395-Public Safety Communications
........................
|
144,271,000 |
0690-101-0029—For local assistance, Office of Emergency Services, payable from the Nuclear Planning Assessment Special Account
........................
|
2,197,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs
and Grant Management
........................
|
2,197,000 | |||||
Provisions:
|
|||||||
1. |
Pursuant to subdivision (f) of Section 8610.5 of the Government Code, any unexpended funds from the appropriation in the prior
fiscal year are hereby appropriated in augmentation of this item.
|
0690-101-0890—For local assistance, Office of Emergency Services, payable from the Federal Trust Fund
........................
|
729,766,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant
Management
........................
|
729,766,000 | |||||
Provisions:
|
|||||||
1. |
Any federal funds that may become available in addition to the funds appropriated in this item for Program 0385 for disaster
assistance are exempt from Section 28.00.
|
0690-101-0903—For local assistance, Office of Emergency Services, payable from the State Penalty Fund
........................
|
8,513,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant Management
........................
|
8,513,000 |
0690-101-8093—For local assistance, Office of Emergency Services, payable from the California Sexual Violence Victim Services Fund
........................
|
250,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs
and Grant Management
........................
|
250,000 |
0690-101-8104—For local assistance, Office of Emergency Services, payable from the California Domestic Violence Victims Fund
........................
|
250,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and
Grant Management
........................
|
250,000 |
0690-102-0890—For local assistance, Office of Emergency Services, payable from the Federal Trust Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant Management
........................
|
0690-103-0001—For local assistance, Office of Emergency Services
........................
|
15,000,000 | ||||||
Schedule: | |||||||
(1) | 0385-Special Programs and Grant Management ........................ | 15,000,000 | |||||
Provisions: | |||||||
1. | The funding appropriated in this item is for the California Nonprofit Security Grant Program to help nonprofit organizations that are targets of hate-motivated violence and hate crimes. Up to 5 percent of the amount appropriated in this item may be used for administrative support costs. |
0690-104-0001—For local assistance, Office of Emergency Services
........................
|
75,000,000 | ||||||
Schedule: | |||||||
(1) | 0385-Special Programs and Grant Management ........................ | 75,000,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in this item are available for state operations or local assistance to prepare for and respond to Public Safety Power Shutdown events. | ||||||
2. | Upon order of the Department of Finance, funds in this item may be transferred to any other state entity, for state operations or local assistance, to assist in preparing for and responding to Public Safety Power Shutdown events. | ||||||
3. | The Office of Emergency Services shall report to the Legislature at its first budget subcommittee hearings for the 2020–21 budget on how the funding in this item has been allocated and spent to date; the criteria used to determine how to allocate this funding; and its coordination efforts with investor-owned utilities, the Public Utilities Commission, and other stakeholders to mitigate the consequences of Public Safety Power Shutdown events. | ||||||
4. | The funds appropriated in this item shall be available for encumbrance or expenditure until June 30, 2022. |
0690-112-0001—For local assistance, Office of Emergency Services, for disaster recovery costs
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant Management
........................
|
||||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item are for the state’s share of response and recovery costs for disasters.
|
||||||
2. |
Upon approval of the Director of Finance, authority may be established or increased to reimburse state and local agencies
for out-of-state disaster response and recovery costs, subject to the conditions of Section 28.00, except that notwithstanding
subdivision (e) of that section, the allocations may be made 30 days or less after notification of the Legislature.
|
0690-115-0001—For local assistance, Office of Emergency Services, for volunteer disaster service workers’ compensation
........................
|
1,687,000 | ||||||
Schedule:
|
|||||||
(1) |
0385-Special Programs and Grant
Management
........................
|
1,687,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item shall be used to pay approved volunteer disaster service workers’ compensation claims
and administrative expenditures related to the payment of those claims by the State Compensation Insurance Fund.
|
||||||
2. |
Notwithstanding any other provision of law, the Director of Finance may authorize expenditures in this item in excess of the
amount appropriated in this item for the purposes of paying unanticipated volunteer disaster service workers’ compensation
claims and administrative expenditures related to the payment of those claims. The Director of Finance shall not approve any
expenditure unless the approval is made in writing and filed with the Chairperson of the Joint Legislative Budget Committee
and the chairpersons of the committees in each house of the Legislature that consider appropriations no later than 30 days
prior to the effective date of approval, or prior to whatever lesser time the chairperson of the joint committee, or his or
her designee, may determine.
|
0690-301-0001—For capital outlay, Office of Emergency Services
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0000985-Sacramento: Fire Apparatus Maintenance Shop and General Purpose Warehouse
........................
|
2,200,000 | |||||
(a) |
Acquisition
........................
|
2,200,000 | |||||
(2) | 0000121-Relocation of Red Mountain Communications Site, Del Norte County ........................ | 1,517,000 | |||||
(a) | Acquisition ........................ | 1,517,000 | |||||
Provisions: | |||||||
1. | Notwithstanding any other provision of law, the Office of Emergency Services is authorized to use the funds appropriated in Schedule (2) to acquire a long-term leasehold interest in real property and is further authorized to execute any and all easements, agreements, or leases to secure the necessary real estate rights. Any such acquisition shall be subject to the Property Acquisition Law. |
0690-490—Reappropriation, Office of Emergency Services. Notwithstanding any other provision of law, the period to liquidate encumbrances
in the amount specified below of the following citations is extended until June 30, 2020:
|
|||||||
0001—General Fund | |||||||
(1) | Up to $9,914,000 in Item 0690-001-0001, Budget Act of 2016 (Ch. 23, Stats. 2016), appropriated for the Early Earthquake Warning System and the Fire Fleet Vehicle Acquisition |
0690-491—Reappropriation, Office of Emergency Services. The balances of the appropriations provided in the following citations are
reappropriated for the purposes provided in those appropriations and shall be available for encumbrance or expenditure until
June 30, 2020.
|
|||||||
0001—General Fund | |||||||
(1) | Item 0690-301-0001, Budget Act of 2015 (Chs. 10 and 11, Stats. 2015), as reappropriated by Item 0690-491, Budget Act of 2016 (Ch. 23, Stats. 2016), Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017), and Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), and as partially reverted by Item 0690-495, Budget Act of 2016 (Ch. 23, Stats. 2016) | ||||||
(1) | 0000121-Relocation of Red Mountain Communications Site, Del Norte County—Working Drawings |
0690-492—Reappropriation, Office of Emergency Services. Notwithstanding any other provision of law, including Section 8879.61 of the
Government Code, the period to liquidate allocations of the following citations is extended until June 30, 2021, except as
otherwise stated.
|
|||||||
6061—Transit System Safety, Security, and Disaster Response Account, Highway Safety, Traffic Reduction, Air Quality, and Port Security Fund of 2006 | |||||||
(1) | Item 0690-101-6061, Budget Act of 2007 (Chs. 171 and 172, Stats. 2007) | ||||||
(2) | Item 0690-101-6061, Budget Act of 2008 (Chs. 268 and 269, Stats. 2008) | ||||||
(3) | Item 0690-101-6061, Budget Act of 2009 (Ch. 1, 2009–10 3rd Ex. Sess., as revised by Ch. 1, 2009–10 4th Ex. Sess.), as reappropriated in Item 0690-490, Budget Act of 2012 (Chs. 21 and 29, Stats. 2012) | ||||||
(4) | Item 0690-101-6061, Budget Act of 2010 (Ch. 712, Stats. 2010) | ||||||
(5) | Item 0690-101-6061, Budget Act of 2011 (Ch. 33, Stats. 2011) | ||||||
(6) | Item 0690-101-6061, Budget Act of 2012 (Chs. 21 and 29, Stats. 2012) | ||||||
(7) | Item 0690-101-6061, Budget Act of 2013 (Chs. 20 and 354, Stats. 2013) | ||||||
(8) | Item 0690-101-6061, Budget Act of 2014 (Chs. 25 and 663, Stats. 2014) shall be available for liquidation until June 30, 2022 | ||||||
(9) | Item 0690-101-6061, Budget Act of 2015 (Chs. 10 and 11, Stats. 2015) shall be available for liquidation until June 30, 2022 | ||||||
(10) | Item 0690-101-6061, Budget Act of 2016 (Ch. 23, Stats. 2016) shall available for liquidation until June 30, 2022 |
0750-001-0001—For support of Office of the Lieutenant Governor
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0430-General Activities
........................
|
0820-001-0001—For support of Department of Justice
........................
|
|||||||
Schedule:
|
|||||||
(1) |
9900100-Administration
........................
|
||||||
(2) |
9900200-Administration—Distributed
........................
|
||||||
(3) |
0435-Division of Legal Services
........................
|
174,071,000 | |||||
(4) |
0440-Law Enforcement
........................
|
||||||
(5) |
0445-California Justice Information Services
........................
|
||||||
(6) |
Reimbursements to 0435-Division of Legal Services
........................
|
−1,242,000 | |||||
(7) |
Reimbursements to 0440-Law Enforcement
........................
|
−31,257,000 | |||||
(8) |
Reimbursements to 0445-California Justice Information Services
........................
|
||||||
Provisions:
|
|||||||
1. |
The Attorney General shall submit to the Legislature, the Director of Finance, and the Governor the quarterly and annual reports
that
|
||||||
2. |
Notwithstanding any other law,
the Department of Justice may purchase or lease vehicles of any type or class that, in the judgment of the Attorney General
or
|
||||||
3. |
Of the amount included in Schedule (3), $6,500,000 is available to address new legal workload related to various actions taken
at the federal level, and any litigation related to the CalSavers Retirement Savings Program.
|
||||||
4. |
Of the amount appropriated in Schedule (3) of this item, $2,069,000 shall be available for settlements and judgments related
to the Reproductive Freedom, Accountability, Comprehensive Care, and Transparency Act. Any unexpended funds shall revert to
the General Fund.
|
||||||
5. |
Of the amount appropriated in this item, $155,000 is available for
implementation of Chapter 988 of the Statutes of 2018 (SB 1421). This funding shall be made available, and only upon a
pro-rata basis, to the department upon its active processing of requests filed pursuant to SB 1421. On or before January 1,
2020, and June 30, 2020, the Department of Justice shall submit, to the budget committees of each house of the Legislature
and the Legislative Analyst’s Office a report containing various workload metrics related to its compliance with the requirements
of SB 1421, as specified below.
|
||||||
(a) | From the first day of the month that SB 1421 became operative, and each month thereafter: | ||||||
(1) | The number of requests submitted per month under the Public Records Act (Chapter 3.5 (commencing with Section 6250) of Division 7 of Title 1 of the Government Code) pursuant to SB 1421 by case type (weapon, use of force, sexual assault, or dishonesty). | ||||||
(2) | The number of incidents per month that are subject to SB 1421, by case type and case processing method (administrative, criminal, subject only interview, direct adverse action, or rejected). | ||||||
(b) | Commencing with July 2019, and each month thereafter: | ||||||
(1) | The average number of hours required for redaction per case subject to SB 1421 that were completed during that month. | ||||||
(2) | The average number of pages reviewed to redact material per case completed during that month. | ||||||
(3) | The average length of video reviewed as part of redaction efforts per case completed during that month. | ||||||
(c) | Commencing with July 2019, and each month thereafter, the following metrics shall be reported by case type and processing method, including a description of any administrative action, and whether the case involved the use of weapons or force: | ||||||
(1) | The average number of days and hours spent per case by the investigators. | ||||||
(2) | The average number of days and hours spent per case by the attorneys. | ||||||
6. |
Of the amount appropriated in this item, $1,520,000 shall be available for the development of a plan to replace the Juvenile
Court and Probation Statistical System pursuant to Section 13010.7 of the Penal Code. This amount shall be available for encumbrance
or expenditure until January 1, 2021.
|
0820-001-0012—For support of Department of Justice, payable from the Attorney General Antitrust Account
........................
|
4,864,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
4,822,000 | |||||
(2) |
0440-Law Enforcement
........................
|
28,000 | |||||
(3) |
0445-California Justice Information Services
........................
|
14,000 |
0820-001-0017—For support of Department of Justice, payable from the Fingerprint Fees Account, pursuant to subdivision (e) of Section 11105
of the Penal Code
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0445-California Justice Information Services
........................
|
||||||
Provisions:
|
|||||||
1. |
The Attorney General may augment the amount appropriated in the Fingerprint Fees Account up to an aggregate of 10 percent
above the amount approved in this act for the Division of Criminal Justice Information Services for unanticipated workload
associated with this fund. The Attorney General shall notify the chairpersons of the budget committees of both houses of the
Legislature, the Joint Legislative Budget Committee, and the Department of Finance within 15 days after the augmentation is
made as to the amount and justification of the augmentation.
|
0820-001-0032—For support of Department of Justice, payable from the Firearm Safety Account
........................
|
346,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
346,000 |
0820-001-0044—For support of Department of Justice, payable from the Motor Vehicle Account, State Transportation Fund
........................
|
27,933,000 | ||||||
Schedule:
|
|||||||
(1) |
0445-California Justice
Information Services
........................
|
27,933,000 |
0820-001-0142—For support of Department of Justice, payable from the Department of Justice Sexual Habitual Offender Fund
........................
|
2,662,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
934,000 | |||||
(2) |
0445-California Justice Information Services
........................
|
1,728,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item includes revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government
Code.
|
0820-001-0158—For support of Department of Justice, payable from the Travel Seller Fund
........................
|
1,451,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
1,438,000 | |||||
(2) |
0445-California Justice Information Services
........................
|
13,000 |
0820-001-0256—For support of Department of Justice, payable from the Sexual Predator Public Information Account
........................
|
177,000 | ||||||
Schedule:
|
|||||||
(1) |
0445-California Justice Information
Services
........................
|
177,000 |
0820-001-0367—For support of Department of Justice, payable from the Indian Gaming Special Distribution Fund
........................
|
21,944,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
2,292,000 | |||||
(2) |
0440-Law Enforcement
........................
|
19,289,000 | |||||
(3) |
0445-California Justice Information Services
........................
|
363,000 |
0820-001-0378—For support of Department of Justice, payable from the False Claims Act Fund
........................
|
16,118,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
14,667,000 | |||||
(2) |
0440-Law Enforcement
........................
|
896,000 | |||||
(3) |
0445-California Justice Information Services
........................
|
555,000 |
0820-001-0460—For support of Department of Justice, payable from the Dealers’ Record of Sale Special Account
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
||||||
(2) |
0445-California Justice Information Services
........................
|
||||||
(3) |
Reimbursements to 0440-Law Enforcement
........................
|
−344,000 | |||||
Provisions:
|
|||||||
1. |
The Attorney General may augment the amount appropriated in the Dealers’ Record of Sale Special Account up to an aggregate
of 10 percent above the amount approved in this act for the Division of Law Enforcement, Bureau of Firearms for unanticipated
workload associated with this fund. The Attorney General shall notify the chairpersons of the budget committees of both houses
of the Legislature, the Joint Legislative Budget Committee, and the Department of Finance within 15 days after the
augmentation is made as to the amount and justification of the augmentation.
|
0820-001-0566—For support of Department of Justice, payable from the Department of Justice Child Abuse Fund
........................
|
441,000 | ||||||
Schedule:
|
|||||||
(1) |
0445-California Justice Information
Services
........................
|
441,000 |
0820-001-0567—For support of Department of Justice, payable from the Gambling Control Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
459,000 | |||||
(2) |
0440-Law Enforcement
........................
|
||||||
(3) |
Reimbursements to 0440-Law Enforcement
........................
|
−100,000 |
0820-001-0569—For support of Department of Justice, payable from the Gambling Control Fines and Penalties Account
........................
|
269,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
241,000 | |||||
(2) |
0445-California Justice Information Services
........................
|
28,000 |
0820-001-0890—For support of Department of Justice, payable from the Federal Trust Fund
........................
|
43,863,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
33,829,000 | |||||
(2) |
0440-Law Enforcement
........................
|
6,264,000 | |||||
(3) |
0445-California Justice Information Services
........................
|
3,770,000 |
0820-001-0903—For support of Department of Justice, payable from the State Penalty Fund
........................
|
124,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
124,000 |
0820-001-0942—For support of Department of Justice, payable from the Federal Asset Forfeiture Account, Special Deposit Fund
........................
|
1,551,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
1,551,000 |
0820-001-1008—For support of Department of Justice, payable from the Firearms Safety and Enforcement Special Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
||||||
Provisions:
|
|||||||
1. |
The Attorney General may augment the amount appropriated in the Firearms Safety and Enforcement Special Fund up to an aggregate
of 10 percent above the amount approved in this act for the Division of Law Enforcement, Bureau of Firearms for unanticipated
workload associated with this fund. The Attorney General shall notify the chairpersons of the budget committees of both houses
of the Legislature, the Joint Legislative Budget Committee, and the Department of Finance within 15 days after the augmentation
is made as to the amount and justification of the augmentation.
|
0820-001-3016—For support of Department of Justice, payable from the Missing Persons DNA Data Base Fund
........................
|
3,595,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
3,595,000 |
0820-001-3053—For support of Department of Justice, payable from the Public Rights Law Enforcement Special Fund
........................
|
18,292,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
10,940,000 | |||||
(2) |
0440-Law Enforcement
........................
|
7,352,000 |
0820-001-3086—For support of Department of Justice, payable from the DNA Identification Fund
........................
|
55,924,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
59,513,000 | |||||
(2) |
0445-California Justice Information Services
........................
|
1,056,000 | |||||
(3) |
Reimbursements to 0440-Law Enforcement
........................
|
−4,645,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, to the extent the Department of Justice determines by September 1 that additional
revenue from penalty assessments is available for distribution, the Department of Finance may augment this item in Schedule
(1) 0440-Law Enforcement by an amount that is up to the difference between the actual revenue received for the 2018–19 fiscal
year and the amount that was estimated. The Department of Finance shall notify the chairpersons of the budget committees of
both houses of the Legislature, the Joint Legislative Budget Committee, and the Department of Justice within 15 days after
the augmentation is made, as to the amount augmented.
|
0820-001-3087—For support of Department of Justice, payable from the Unfair Competition Law Fund
........................
|
29,431,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
29,431,000 | |||||
Provisions: | |||||||
1. | Of the amount appropriated in this item, $1,846,000 shall be available to implement and enforce Chapter 976 of the Statutes of 2018 only after all legal prohibitions, including, but not limited to, court decisions, preventing its implementation or enforcement have expired or been removed. The Department of Justice shall notify the chairpersons of the budget committees of each house of the Legislature, the Joint Legislative Budget Committee, and the Department of Finance no later than 30 days before it plans to encumber or expend this amount. |
0820-001-3088—For support of Department of Justice, payable from the Registry of Charitable Trusts Fund
........................
|
6,017,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
5,688,000 | |||||
(2) |
0445-California Justice Information Services
........................
|
329,000 |
0820-001-3240—For support of Department of Justice, payable from the Secondhand Dealer and Pawnbroker Fund
........................
|
655,000 | ||||||
Schedule:
|
|||||||
(1) |
0445-California Justice Information
Services
........................
|
655,000 |
0820-001-3297—For support of Department of Justice, payable from the Major League Sporting Event Raffle Fund
........................
|
|||||||||
Schedule:
|
|||||||||
(1) |
0435-Division of Legal Services
........................
|
365,000 | |||||||
(2) |
0440-Law Enforcement
........................
|
||||||||
|
|||||||||
0820-001-9731—For support of Department of Justice, payable from the Legal Services Revolving Fund
........................
|
239,516,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
233,219,000 | |||||
(2) |
0440-Law Enforcement
........................
|
6,297,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding Section 28.00, the Attorney General may augment the amount appropriated in the Legal Services Revolving Fund
up to an aggregate of 15 percent above the amount approved
in this act for the Division of Legal Services in cases where the legal representation needs of client agencies are secured
by an interagency agreement or letter of commitment and the corresponding expenditure authority has not been provided in this
item. The augmentation may include a commensurate number of new positions. The Attorney General shall notify the chairpersons
of the budget committees of both houses of the Legislature, the Joint Legislative Budget Committee, and the Department of
Finance within 15 days after the augmentation is made as to the amount and justification of the augmentation, and the program
that has been augmented.
|
0820-001-9740—For support of Department of Justice, payable from the Central Service Cost Recovery Fund
........................
|
1,782,000 | ||||||
Schedule:
|
|||||||
(1) |
0435-Division of Legal Services
........................
|
1,782,000 |
0820-003-0001—For support of Department of Justice, for rental payments on lease-revenue bonds
........................
|
4,034,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
4,034,000 | |||||
Provisions:
|
|||||||
1. |
The Controller shall transfer funds appropriated in this item for base rental as and when provided for in the schedule submitted
by the State Public Works Board. Notwithstanding the payment dates in any related Facility Lease or Indenture, the schedule
may provide for an earlier transfer of funds to ensure debt requirements are met and pay base rental in full when due.
|
||||||
2. |
The
Controller shall transfer for additional rental no later than 30 days after enactment of this budget, $20,000 of the amount
appropriated in this item, to the Expense Account in the Public Buildings Construction Fund.
|
||||||
3. |
This item may be adjusted pursuant to Section 4.30. Any adjustments to this item shall be reported to the Joint Legislative
Budget Committee pursuant to Section 4.30.
|
0820-011-0942—For support of Department of Justice, payable from the State Asset Forfeiture Account, Special Deposit Fund
........................
|
568,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
568,000 |
0820-011-1008—For transfer by the Controller, upon order of the Director of Finance, from the Firearms Safety and Enforcement Special Fund
to the Dealers’ Record of Sale Special Account as a loan
........................
|
(866,000) | ||||||
Provisions:
|
|||||||
1. |
The Director of Finance may transfer
up to $866,000 as a loan to the Dealers’ Record of Sale Special Account, which shall be repaid by June 30, 2021. The Director
of Finance shall order the repayment of all or a portion of this loan if he or she determines that either of the following
circumstances exists: (a) the account from which the loan was made has a need for the moneys, or (b) there is no longer a
need for the moneys in the fund or account that received the loan. This loan shall be repaid with interest calculated at the
rate earned by the Pooled Money Investment Account at the time of the transfer.
|
0820-015-0001—For transfer by the Controller to the Legal Services Revolving Fund for legal services provided to small clients of the Department
of Justice
........................
|
1,500,000 | ||||||
Provisions:
|
|||||||
1. |
The Department of Justice shall provide a projection of 2019–20 legal
services hours for small clients to the Department of Finance no later than April 15, 2020. This information shall include
the total number of attorney and paralegal hours projected to be expended for each departmental client during the 2019–20
fiscal year.
|
||||||
2. |
There is hereby appropriated from each fund, other than the General Fund, an amount sufficient for payment of legal services
provided by the Department of Justice during the 2019–20 fiscal year. Upon receipt of the report required by Provision 1,
the Department of Finance shall determine which items of appropriation should be augmented to offset the General Fund appropriation
provided in this item.
|
||||||
3. |
The
Director of Finance shall augment these appropriations and order their transfer to the Legal Services Revolving Fund not
sooner than 30 days after providing written notification to the Joint Legislative Budget Committee. Any excess expenditure
authority in this item resulting from the transfers in this provision shall revert to the General Fund on June 30, 2020.
|
0820-101-0001—For local assistance, Department of Justice
........................
|
3,000,000 | ||||||
Schedule: | |||||||
(1) | 0440-Law Enforcement ........................ | 3,000,000 | |||||
Provisions: | |||||||
1. | Of the amount appropriated in this item, $3,000,000 shall be available as follows: | ||||||
(a) | $250,000 shall be provided to the County of Santa Cruz. | ||||||
(b) | $750,000 shall be provided to the County of Ventura. | ||||||
(c) | $1,000,000 shall be provided to the County of Alameda. | ||||||
(d) | $1,000,000 shall be provided to the County of San Diego. | ||||||
2. | The funding provided in Provision 1 shall be used to support local law enforcement agencies investigating, locating, apprehending, and prosecuting individuals who are in possession of firearms, despite being prohibited from doing so, within their jurisdiction. The funding provided to these counties shall support a local law enforcement taskforce that consists of officers or agents from police departments, sheriffs’ offices, bureaus of investigations within district attorneys’ offices, or county probation offices. These funds may not be used to support state and federal law enforcement agencies who choose to participate with these taskforces. | ||||||
3. | No later than 15 months after receiving a grant, the counties referenced in Provision 1 shall submit a report to the Department of Justice and the Joint Legislative Budget Committee detailing how the funds were used and assessing the effectiveness of the taskforce. At a minimum, the report shall include: (a) the number of individuals in the Armed and Prohibited Persons System (APPS) in the taskforce’s jurisdiction before and after receiving the grant; (b) the number of individuals in the taskforce’s jurisdiction cleared from the APPS; (c) the number of individuals in the taskforce’s jurisdiction added to the APPS; (d) the degree to which the backlog in the APPS in the taskforce’s jurisdiction has been reduced or eliminated; (e) the number of firearms recovered due to the enforcement activities of the taskforce; (f) the number of contacts and attempted contacts with individuals in the APPS during the taskforce’s enforcement efforts; (g) information regarding collaboration with the Department of Justice; and (h) improvements that could be made to the APPS to expedite investigations and promote collaboration across jurisdictions. This report shall be submitted in compliance with Section 9795 of the Government Code. | ||||||
4. | The amount appropriated in this item shall be available for encumbrance or expenditure until June 30, 2021. |
0820-101-0460—For local assistance, Department of Justice, payable from the Dealers’ Record of Sale Special Account
........................
|
28,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
28,000 |
0820-101-0641—For local assistance, Department of Justice, payable from the Domestic Violence Restraining Order Reimbursement Fund
........................
|
1,018,000 | ||||||
Schedule:
|
|||||||
(1) |
0445-California
Justice Information Services
........................
|
1,018,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item shall be expended to reimburse local law enforcement or other criminal justice agencies
pursuant to Chapter 707 of the Statutes of 1998.
|
0820-101-0903—For local assistance, Department of Justice, payable from the State Penalty Fund
........................
|
2,354,000 | ||||||
Schedule:
|
|||||||
(1) |
0440-Law Enforcement
........................
|
2,354,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item shall be allocated to support the California Witness Relocation and Assistance Program
(CalWRAP). Any funds not expended for this specific purpose shall revert to the State Penalty Fund.
|
0840-001-0001—For support of the Controller
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
||||||
(2) |
Reimbursements to 0500-State Controller’s Office
........................
|
−63,537,000 | |||||
Provisions:
|
|||||||
1. |
The Controller may, with the concurrence of the Director of Finance and the Chairperson of the Joint Legislative Budget Committee,
bill affected state departments for activities required by Section
|
||||||
A billing shall not be sent to affected departments sooner than 30 days after the chairperson of the joint committee has been
notified by the director that
|
|||||||
2. |
Of the moneys appropriated to the Controller in this act, the Controller shall not expend more than $500,000 to
conduct posteligibility fraud audits of the Supplemental Security Income/State Supplementary Payment Program.
|
||||||
3. |
The Commission on State Mandates shall provide, in applicable parameters and guidelines, as follows:
|
||||||
(a) |
If a local agency or school district contracts with an independent contractor for the preparation and submission of reimbursement
claims, the costs reimbursable by the state for that purpose shall not exceed the lesser of (1) 10 percent of the amount of
the claims prepared and submitted by the independent contractor or (2) the actual costs that would necessarily have been incurred
for that purpose if performed by
employees of the local agency or school district.
|
||||||
(b) |
The maximum amount of reimbursement provided in subdivision (a) may be exceeded only if the local agency or school district
establishes, by appropriate documentation, that the preparation and submission of these claims could not have been accomplished
without incurring the additional costs claimed by the local agency or school district.
|
||||||
4. |
The funds appropriated to the Controller in this act shall not be expended for any performance review or performance audit
except pursuant to specific statutory authority. It is the intent of the Legislature that audits conducted by the
Controller, or under the direction of the Controller, shall be fiscal audits that focus on claims and disbursements, as
provided for in Section 12410 of the Government Code. Any report, audit, analysis, or evaluation issued by the Controller
for the current fiscal year shall cite the specific statutory or constitutional provision authorizing the preparation and
release of the report, audit, analysis, or evaluation.
|
||||||
5. |
The Controller shall publish and provide
|
||||||
6. |
The Controller shall provide to the Department of Finance, the Chairperson of the Joint Legislative Budget Committee, and
the chairpersons of the fiscal committees of each house of the Legislature a report that provides the following details by
mandate: the level of claims requested, the amount reduced by the initial desk audit, the amount paid, the amount recouped,
and the results of a final audit and subsequent funding adjustments. The report is due on June 30 of the current fiscal year,
and will cover the fourth quarter of the past fiscal year and the first three quarters of the current fiscal year.
|
||||||
7. |
The Controller shall obtain actuarial valuation services to comply with governmental accounting and reporting standards for
other postemployment benefits (OPEB). In addition to all other items required under the accounting and reporting standards,
the report shall include an identification and explanation of any significant differences in actuarial assumptions or methodology
from any relevant similar types of assumptions or methodology used by the Public Employees’ Retirement System to estimate
state pension obligations. To avoid duplication of effort and promote efficiency and cost-effectiveness, the Controller and
the Department of Finance shall coordinate in obtaining additional actuarial valuation services related to OPEB plan liabilities
and assets attributable to each of the state’s collective bargaining units or other state entities or groups. This provision
does not obligate the state to change the
practice of funding health and dental benefits for annuitants currently required under state law.
|
||||||
8. |
The funds appropriated to the Controller in this act shall not be expended on additional actuarial valuations, beyond the
annual actuarial valuations, for other postemployment benefits, prior to obtaining concurrence in writing from the Department
of Finance. The additional actuarial valuations shall only be performed to the extent resources exist, or if funds are provided
by the requesting agency.
|
||||||
9. |
The Controller shall provide the Chairperson of the Joint Legislative Budget Committee and the chairpersons of the fiscal
committees in each house of the
Legislature a report on the California State Payroll System specifying the dollars expended on the program in the previous
fiscal year and over the life of the program and any known savings that have occurred in the prior fiscal year by August 30,
2019.
|
||||||
10. |
The Controller shall publish and provide
|
||||||
11. |
In the event new postage rates are adopted by the United States Postal Service, but not in time for inclusion in the May Revision
prior to enactment of this Budget Act and the Controller notifies the Department of Finance with its estimates of the increased
postage costs within 15 calendar days of the adoption of new rates, the Director of Finance may authorize expenditures in
excess of the amount appropriated to the Controller in this act by an amount necessary to fund the postage increase. This
authorization shall occur not less than 15 days after the Department of Finance notifies the Chairperson of the Joint Legislative
Budget Committee.
|
||||||
12. |
Of the amount appropriated in this item, $326,000 shall be used to reimburse the Department of Justice for legal services.
In addition to the amount above, upon order of the Director of Finance, any non-General Fund Budget Act item for support of
the Controller may be augmented to reimburse the Department of Justice for legal services. An augmentation shall not be made
sooner than 30 days after the Joint Legislative Budget Committee has been notified in writing.
|
||||||
13. |
The Department of Finance may reduce the amounts authorized under this item upon (a) successful completion of modifications
by the Controller to the payroll system, and/or by the Public Employees’ Retirement System (CalPERS) to the retirement system
(my|CalPERS), that significantly reduces the number of records that the
my|CalPERS system rejects; and/or (b) once the Controller has eliminated the backlog of Payroll Contribution Report and
Retirement Enrollment Report discrepancies between the payroll and retirement systems, which in turn reduces the Controller
workload related to the CalPERS Pension System Resumption. This adjustment shall be in coordination with the Controller and
CalPERS. An adjustment shall not be made pursuant to this provision prior to a 30-day notification in writing to the Chairperson
of the Joint Legislative Budget Committee and the chairpersons of the committees of each house of the Legislature that consider
appropriations.
|
||||||
14. |
The Controller shall provide the Department of Finance and the Legislative Analyst’s Office a report on the SCO FI$Cal implementation
verifying the progress or completion of predetermined FI$Cal
milestones outlined in SPR7, the dollars expended on the program in the previous quarter and over the life of the program,
and any known savings that have occurred in the prior fiscal year, to be submitted on a quarterly basis beginning on July
15, 2019, until completion of SPR7.
|
||||||
15. | Of the amount appropriated in this item and in Item 0840-001-9740, up to $41,000 in the 2019–20 fiscal year is available for the California State Payroll System project for Prosci Manager and Prosci Practitioner training for SCO staff. Any funds for the contract not encumbered by June 30, 2020, shall revert to the General Fund. | ||||||
16. | Of the amount appropriated in this item and in Item 0840-001-9740, in the 2019–20 fiscal year and until the 2021–22 fiscal year, for the California State Payroll system project, the amounts set forth below are available. Any funds not encumbered by June 30, 2020, for the purposes set forth in this provision shall revert to the General Fund. | ||||||
(a) | Up to $343,000 is available to reimburse CalHR interagency agreement costs. | ||||||
(b) | Up to $496,000 is available for data conversion vendor costs. | ||||||
(c) | Up to $310,000 is available for Independent Verification and Validation vendor costs and shall be used solely for that purpose. | ||||||
(d) | Up to $145,000 is available to reimburse CDT consulting costs. | ||||||
(e) | Up to $75,000 is available for Requirements Management Tool costs. | ||||||
17. | Of the amount appropriated in this item up to $131,000 is available to reimburse CalPERS interagency agreement costs to resolve data translation errors between the legacy systems and the myCalPERS system. Any funds for the agreement not encumbered by June 30, 2020, shall revert to the General Fund. | ||||||
18. | Of the amount appropriated in this item, up to $2,700,000 is available for the state’s share of costs in the settlement of Nancy Baird, et al. v. Betty T. Yee, et al. (2016). | ||||||
19. | Of the amount appropriated in this item, up to $6,800,000 is available for the state’s share of costs in the settlement of Janis D. McLean v. State of California (2014) 228 Cal. App. 4th 1500. |
0840-001-0061—For support of the Controller, payable from the Motor Vehicle Fuel Account, Transportation Tax Fund
........................
|
4,869,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
4,869,000 |
0840-001-0062—For support of the Controller, payable from the Highway Users Tax Account, Transportation Tax Fund
........................
|
1,382,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
1,382,000 |
0840-001-0330—For support of the Controller, payable from the Local Revenue Fund
........................
|
695,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
695,000 |
0840-001-0890—For support of the Controller, payable from the Federal Trust Fund
........................
|
1,383,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
1,383,000 |
0840-001-0903—For support of the Controller, payable from the State Penalty Fund
........................
|
1,554,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
1,554,000 |
0840-001-0970—For support of the Controller, payable from the Unclaimed Property Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
||||||
Provisions:
|
|||||||
1. |
The funding provided in this item shall cover costs for personal services and related operating expenses and equipment (including
legal costs that are not related to enforcing the recovery of property and system-related costs) for the Unclaimed Property
Program. Continuous appropriations from the Unclaimed Property Fund are allowed for other program costs authorized under subdivision
(b) of Section 1564 and Section 1325 of the Code of Civil Procedure. These continuous appropriations shall not be used to
cover spending authorized under this item.
|
||||||
2. | (a) |
Notwithstanding subdivision (b) of Section 1531 of the Code of Civil Procedure, the Controller may publish notice in any manner
that the Controller determines reasonable, provided that (1) none of the moneys used for this purpose is redirected from funding
for the Controller’s audit activities, (2) no photograph is used in the publication of notice, and (3) no elected official’s
name is used in the publication of notice.
|
|||||
(b) |
No funds appropriated in this act may be expended by the Controller to provide general information to the public, other than
holders (as defined in subdivision (e) of Section 1501 of the Code of Civil Procedure) of unclaimed property, concerning the
Unclaimed Property Program or possible existence of unclaimed property held by the Controller, except for
informational announcements to the news media, through the exchange of information on the internet, or no more than $66,000
per year to inform the public about this program in activities already organized by the Controller for other purposes. This
restriction does not apply to sending individual notices to property owners (as required by the Code of Civil Procedure).
|
0840-001-0988—For support of the Controller, payable from various other unallocated nongovernmental cost funds (Retail Sales Tax Fund)
........................
|
291,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State
Controller’s Office
........................
|
291,000 |
0840-001-3268—For support of the Controller, payable from the Senior Citizens and Disabled Citizens Property Tax Postponement Fund
........................
|
2,239,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State
Controller’s Office
........................
|
2,239,000 | |||||
Provisions:
|
|||||||
1. |
The funding provided in this item shall cover costs for personal services and related operating expenses and equipment for
administration of the Property Tax Postponement Program. The continuous appropriation pursuant to Section 16180 of the Government
Code from the Senior Citizens and Disabled Citizens Property Tax Postponement Fund is allowed for property tax payments to
counties and other direct program costs, such as the cost of title searches and appraisals incurred by the Controller covering
real property held in the name
of an account, or legal costs associated with the enforcement and administration of the Property Tax Postponement Program.
No moneys from the fund, beyond those appropriated in this item, shall be used for personal services and related operating
expenses and equipment.
|
0840-001-3290—For support of the Controller, payable from the Road Maintenance and Rehabilitation Account, State Transportation Fund
........................
|
1,162,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State
Controller’s Office
........................
|
1,162,000 |
0840-001-6057—For support of the Controller, payable from the 2006 State School Facilities Fund
........................
|
1,145,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
1,145,000 |
0840-001-6086—For support of the Controller, payable from the 2016 State School Facilities Fund
........................
|
43,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
43,000 |
0840-001-9740—For support of the Controller, payable from the Central Service Cost Recovery Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
0840-101-0979—For allocation by the Controller from the California Firefighters’ Memorial Fund
........................
|
500,000 | ||||||
Schedule:
|
|||||||
(1) |
0500-State Controller’s Office
........................
|
500,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item are to be allocated as follows:
|
||||||
(a) |
To the Franchise Tax Board and the Controller for reimbursement of costs incurred in connection with duties under Article
9 (commencing with Section 18801) of Chapter 3 of Part 10.2 of Division 2 of the Revenue and Taxation Code.
|
||||||
(b) |
To the California Fire Foundation the balance in the fund for the construction of a memorial as authorized in that article.
|
0845-001-0001—For support of Department of Insurance
........................
|
6,320,000 | ||||||
Schedule:
|
|||||||
(1) |
0525-Consumer Protection
........................
|
986,000 | |||||
(2) |
0530-Fraud Control
........................
|
5,334,000 |
0845-001-0217—For support of Department of Insurance, payable from the Insurance Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0520-Regulation of Insurance Companies and Insurance Producers
........................
|
||||||
(2) |
0525-Consumer Protection
........................
|
59,561,000 | |||||
(3) |
0530-Fraud Control
........................
|
62,051,000 | |||||
(4) |
0535-General Fund Tax Collection and
Compliance
........................
|
1,340,000 | |||||
(5) |
9900100-Administration
........................
|
35,681,000 | |||||
(6) |
9900200-Administration—Distributed
........................
|
−35,681,000 | |||||
(7) |
Reimbursements to 0520-Regulation of Insurance Companies and Insurance Producers
........................
|
−250,000 | |||||
(8) |
Reimbursements to 0530-Fraud Control
........................
|
−122,000 | |||||
Provisions:
|
|||||||
1. |
Of the funds appropriated in Schedule (1) of this item, the Controller shall transfer one-half of $4,867,000 upon passage
of the Budget Act and the remaining one-half on January 1, 2020, to the California Department of Aging for support of the
Health Insurance Counseling and Advocacy Program.
|
||||||
2. |
Of the amount appropriated in Schedule (2) of this item, the entire cost of all examinations, analyses, adoption of any regulations,
implementation, and enforcement related to mental health parity laws shall be recovered through assessments or examination
fees imposed on health insurers.
|
0845-001-0890—For support of Department of Insurance, payable from the Federal Trust Fund
........................
|
810,000 | ||||||
Schedule:
|
|||||||
(1) |
0520-Regulation of Insurance Companies and Insurance
Producers
........................
|
792,000 | |||||
(2) |
0530-Fraud Control
........................
|
18,000 |
0845-002-0001—For support of Department of Insurance
........................
|
2,636,000 | ||||||
Schedule:
|
|||||||
(1) |
0525-Consumer Protection
........................
|
1,386,000 | |||||
(2) |
0530-Fraud Control
........................
|
1,250,000 |
0845-101-0001—For local assistance, Department of Insurance
........................
|
1,500,000 | ||||||
Schedule:
|
|||||||
(1) |
0530-Fraud Control
........................
|
1,500,000 |
0845-101-0217—For local assistance, Department of Insurance, payable from the Insurance Fund
........................
|
72,106,000 | ||||||
Schedule:
|
|||||||
(1) |
0525-Consumer Protection
........................
|
750,000 | |||||
(2) |
0530-Fraud Control
........................
|
71,356,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, to the extent that the Department of Insurance determines by November 1 that additional
revenue from fraud assessments is available for
distribution, the Department of Finance may augment this item in Schedule (2) 0530-Fraud Control by up to 10 percent not
sooner than 30 days after notification in writing is provided to the chairpersons of the fiscal committees in each house of
the Legislature and the Chairperson of the Joint Legislative Budget Committee.
|
0845-401—Of the amount loaned pursuant to Provision 1 of Item 0845-011-0001, Budget Act of 2013 (Chs. 20 and 354, Stats. 2013) $635,000
is not required to be repaid.
|
0855-001-0367—For support of California Gambling Control Commission, payable from the Indian Gaming Special Distribution Fund
........................
|
3,158,000 | ||||||
Schedule:
|
|||||||
(1) |
0560-California Gambling
Control Commission
........................
|
3,158,000 |
0855-001-0567—For support of California Gambling Control Commission, payable from the Gambling Control Fund
........................
|
4,330,000 | ||||||
Schedule:
|
|||||||
(1) |
0560-California Gambling Control
Commission
........................
|
4,330,000 |
0855-101-0366—For local assistance, California Gambling Control Commission, payable from the Indian Gaming Revenue Sharing Trust Fund
........................
|
96,500,000 | ||||||
Schedule:
|
|||||||
(1) |
0560-California
Gambling Control Commission
........................
|
96,500,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item are for distribution to eligible recipient Indian tribes pursuant to Section 12012.90
of the Government Code.
|
||||||
2. |
Notwithstanding any other provision of law, the Director of Finance may authorize expenditures for purposes of this item in
excess of the amount appropriated in this item. The Director of Finance may
not approve any expenditure unless the approval is made in writing and filed with the Chairperson of the Joint Legislative
Budget Committee and the chairpersons of the committees in each house of the Legislature that consider appropriations not
later than 30 days prior to the effective date of approval, or prior to whatever lesser time the chairperson of the joint
committee, or his or her designee, may determine.
|
||||||
3. |
As part of any request to augment this item, the California Gambling Control Commission shall provide the Chairperson of the
Joint Legislative Budget Committee and the chairpersons of the committees in each house of the Legislature that consider appropriations
a report identifying (a) the methodology for determining eligible recipient Indian tribes, (b) a list of the eligible recipient
Indian tribes identified based on the
commission’s methodology, (c) a trust fund condition report including the amount of revenue received from each compact
tribe, and (d) the amount of funds to be distributed to each eligible recipient Indian tribe. Upon receiving additional expenditure
authority for distributing funds under the trust fund, the commission shall submit that information to the chairpersons of
the committees on a quarterly basis concurrent with the distribution of the funds to the eligible recipient Indian tribes.
|
0855-101-8089—For local assistance, California Gambling Control Commission, payable from the Tribal Nation Grant Fund
........................
|
39,318,000 | ||||||
Schedule:
|
|||||||
(1) |
0560-California Gambling
Control Commission
........................
|
39,318,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, the Director of Finance may augment this item up to the total amount transferred
from the Indian Gaming Revenue Sharing Trust Fund in the 2019–20 fiscal year. The Director of Finance shall notify the Joint
Legislative Budget Committee in writing of any augmentations to this item pursuant to this provision.
|
0855-111-0366—For transfer by the Controller, upon order of the Department of Finance, from the Indian Gaming Revenue Sharing Trust Fund
to the Tribal Nation Grant Fund
........................
|
(39,318,000) | ||||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, and upon approval
of the Department of Finance, the amount available for transfer may be increased to an amount sufficient to transfer excess
Indian Gaming Revenue Sharing Trust Fund revenues to the Tribal Nation Grant Fund as determined by the California Gambling
Control Commission, pursuant to Section 12019.35 of the Government Code.
|
0855-111-0367—For transfer by the Controller, upon order of the Director of Finance, from the Indian Gaming Special Distribution Fund,
to the Indian Gaming Revenue Sharing Trust Fund
........................
|
(1,000) | ||||||
Provisions:
|
|||||||
1. |
The amount of any transfer ordered by the Director
of Finance pursuant to this item shall be the minimum amount necessary to allow the Indian Gaming Revenue Sharing Trust
Fund to distribute the quarterly payments described in Section 12012.90 of the Government Code and meet its other expenditure
requirements. Any remaining portion of the amount authorized to be transferred pursuant to this item shall remain in the Indian
Gaming Special Distribution Fund.
|
||||||
2. |
Notwithstanding any other provision of law, and upon approval of the Director of Finance, the amount available for transfer
may be increased in an amount sufficient to allow the Indian Gaming Revenue Sharing Trust Fund to distribute the quarterly
payments described in Section 12012.90 of the Government Code.
|
0860-002-0001—For support of State Board of Equalization
........................
|
29,494,000 | ||||||
Schedule:
|
|||||||
(1) |
0570-Administration of the Board of Equalization
........................
|
29,951,000 | |||||
(2) |
Reimbursements to 0570-Administration of the Board of Equalization
........................
|
−457,000 | |||||
Provisions:
|
|||||||
1. |
It is the intent of the Legislature that all funds appropriated to the State Board of Equalization for processing tax returns,
auditing, and collecting owed tax amounts shall
be used in a manner consistent with the Board’s authorized budget and with the documents that were presented to the Legislature
for its review in support of that budget. The State Board of Equalization shall not reduce expenditures or redirect funding
or personnel resources away from direct auditing or collection activities without prior approval of the Director of Finance.
The director shall not approve any such reduction or redirection sooner than 30 days after providing notification to the Joint
Legislative Budget Committee. Such a position shall not be transferred from the organizational unit to which it was assigned
in the 2019–20 Governor’s Budget and the Salaries and Wages Supplement, as revised by legislative actions, without the approval
of the Director of Finance. Furthermore, the Board shall expeditiously fill budgeted positions consistent with the funding
provided in this act.
|
||||||
2. |
The funds appropriated in this item are for the support and operation of the State Board of Equalization.
|
||||||
3. |
All acquisitions or procurements made by or on behalf of Board Members or Board Members’ staff, including the renting or leasing
of office space, shall be processed by the Executive Director through the Department of General Services. The Department of
General Services shall have the final decisionmaking authority for all acquisition or procurements made by or on behalf of
Board Members or Board Members’ staff.
|
0870-001-0001—For support of Office of Tax Appeals
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0620100-Executive Division
........................
|
2,278,000 | |||||
(2) |
0620200-Administration Division
........................
|
||||||
(3) |
0620300-Hearings Division
........................
|
||||||
(4) |
0620400-Foundations Division
........................
|
0890-001-0001—For support of Secretary of State
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0700-Filings and Registrations
........................
|
||||||
(2) |
0705-Elections
........................
|
||||||
(3) |
0710-Archives
........................
|
||||||
(4) |
0715-Department of Justice Legal Services
........................
|
633,000 | |||||
(5) |
9900100-Administration
........................
|
||||||
(6) |
9900200-Administration—Distributed
........................
|
||||||
(7) | Reimbursements to 0710—Archives ........................ | −225,000 | |||||
Provisions:
|
|||||||
1. |
The Secretary of State shall not expend any special handling fees authorized by Chapter 999 of the Statutes of 1999 that are
collected in excess of the cost of administering those special handling fees unless specifically authorized by the Legislature.
|
||||||
2. |
Of the funds appropriated in this item, $10,468,000 is available for the following election-related activities:
|
||||||
(a) |
Parallel Monitoring.
|
||||||
(b) |
Printing and Mailing of Voter Information Guides.
|
||||||
(c) |
Printing and Mailing of Voter Registration Cards.
|
||||||
(d) |
Election Night Reporting.
|
||||||
Any unexpended funds pursuant to this provision shall revert to the General Fund.
|
|||||||
3. |
Of the amount appropriated in this item, $2,000,000 shall be used to establish and operate the Office of Elections Cybersecurity.
Activities performed by the Office of Elections Cybersecurity are intended to be specific to elections and shall be designed
so as to minimize overlap and in coordination with statewide cybersecurity efforts performed by the California Cybersecurity
Integration Center.
|
0890-001-0228—For support of Secretary of State, payable from the Secretary of State’s Business Fees Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0700-Filings and Registrations
........................
|
||||||
Provisions:
|
|||||||
1. |
The Secretary of State shall report to the Department of Finance and the Joint Legislative Budget Committee on the performance
of its Business Programs Division (BPD). The report shall include a summary of performance over the preceding quarter, including
the average processing time, the number of filings processed, the number of expedited filings, the total outstanding filings,
a summary of the number of staff in the BPD, the number of vacant positions and vacancy rate, the hours of overtime worked,
and the number of temporary workers and the hours they worked.
|
0890-001-0890—For support of Secretary of State, payable from the Federal Trust Fund
........................
|
10,709,000 | ||||||
Schedule:
|
|||||||
(1) |
0705-Elections
........................
|
10,709,000 | |||||
Provisions:
|
|||||||
1. |
Funds shall be expended for the purposes approved in the Help America Vote Act of 2002 (42 U.S.C. Sec. 15301 et seq.) spending
plan. The amounts spent on each activity shall not exceed the maximum specified in the spending plan.
|
||||||
2. |
Notwithstanding any other provision of law, any funds not needed for an activity authorized in the Help America Vote Act of
2002 (42 U.S.C. Sec. 15301 et seq.) spending plan shall not be
redirected to other activities and are not authorized for expenditure.
|
||||||
3. |
The Secretary of State shall forward to the Department of Finance, the budget, appropriations, and policy committees in each
house of the Legislature that oversee elections, and the Legislative Analyst, each year prior to January 15, until the Statewide
Voter Database is fully implemented, a report on the status of all of the following:
|
||||||
(a) |
Poll Monitoring.
|
||||||
(b) |
Expected General Fund exposure for completion of Help America Vote Act of 2002 (42 U.S.C. Sec. 15301 et seq.) compliance,
including expected costs of administration.
|
||||||
(c) |
Completion of the VoteCal database, including information on the costs associated with the use of contractors and consultants,
the names of the contractors and consultants used, and the purposes for which contractors and consultants were used.
|
||||||
4. |
The Department of Finance may authorize an increase in the appropriation of this item, up to the total amount of the program
reserve. Any such approval shall be accompanied by the approval of an
amended spending plan submitted by the Secretary of State providing detailed justification for the increased expenses.
An approval of an augmentation or of spending plan amendments shall not be effective sooner than 30 days following the transmittal
of the approval to the Chairperson of the Joint Legislative Budget Committee, or not sooner than whatever lesser time the
chairperson of the joint committee, or his or her designee, may determine.
|
||||||
5. |
Notwithstanding any other provision of law, any primary vendor contract for the development of a new statewide voter registration
database shall be subject to the notification and other requirements under Section 11.00. The validity of any such contract
shall be contingent upon the appropriation of funds in future budget acts.
|
||||||
6. |
Upon notification and approval of a spending plan pursuant to Provision 4, the Department of Finance may authorize the transfer
of amounts from this item to Item 0890-101-0890 in order to realign the budget in a manner that is consistent with the approved
plan.
|
||||||
7. |
County contracts funded by Help America Vote Act of 2002 (42 U.S.C. Sec. 15301 et seq.) federal funds will be available pursuant
to Section 16304.1 of the Government Code.
|
0890-001-0942—For support of Secretary of State, payable from the Voting Systems, Security Measures, and Election Administration Account,
Special Deposit Fund
........................
|
463,000 | ||||||
Schedule:
|
|||||||
(1) |
0705-Elections
........................
|
463,000 |
0890-001-3244—For support of Secretary of State, payable from the Political Disclosure, Accountability, Transparency, and Access Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0705-Elections
........................
|
0890-001-3254—For support of Secretary of State, payable from the Business Programs Modernization Fund
........................
|
2,000,000 | ||||||
Schedule: | |||||||
(1) | 0700-Filings and Registration ........................ | 2,000,000 |
0890-101-0001—For local assistance, Secretary of State
........................
|
88,765,000 | ||||||
Schedule: | |||||||
(1) | 0705-Elections ........................ | 88,765,000 | |||||
(2) | 9900100-Administration ........................ | 1,500,000 | |||||
(3) | 9900200-Administration—Distributed ........................ | −1,500,000 | |||||
Provisions: | |||||||
1. | Of the amount appropriated in this item, $87,265,000 shall be available for reimbursement to counties for voting system replacement costs and shall be available for encumbrance or expenditure until June 30, 2020. Any unexpended funds pursuant to this provision shall revert to the General Fund. |
0890-101-0890—For local assistance, Secretary of State, payable from the Federal Trust Fund
........................
|
19,964,000 | ||||||
Schedule:
|
|||||||
(1) |
0705-Elections
........................
|
19,964,000 | |||||
Provisions:
|
|||||||
1. |
The Department of Finance may authorize an increase in the appropriation of this item, up to the total amount of the program
reserve. Any such approval shall be accompanied by the approval of an amended spending plan submitted by the Secretary of
State providing detailed justification for the increased expenses. An approval of an augmentation or of spending plan amendments
shall not be effective sooner than 30 days following the transmittal of the approval to the Chairperson of the Joint Legislative
Budget Committee or not sooner than whatever lesser time the chairperson of the joint
committee, or his or her designee, may determine.
|
||||||
2. |
Upon notification and approval of a spending plan pursuant to Provision 1, the Department of Finance may authorize the transfer
of amounts from this item to Item 0890-001-0890 in order to realign the budget in a manner that is consistent with the approved
plan.
|
||||||
3. |
County contracts funded by Help America Vote Act of 2002 (42 U.S.C. Sec. 15301 et seq.) federal funds will be available pursuant
to Section 16304.1 of the Government Code.
|
0911-001-0001—For support of Citizens Redistricting Initiative
........................
|
|||||||||
Schedule:
|
|||||||||
|
|||||||||
(1) | 0731-Citizens Redistricting Commission ........................ | 12,514,000 | |||||||
(2) | 0732-Post-Redistricting Process ........................ | 4,297,000 | |||||||
Provisions:
|
|||||||||
1. |
If the Citizens Redistricting Commission is required to convene during the 2019–20 fiscal year for the purpose of (a) defending
any action regarding a certified final map pursuant to subdivision (a) of Section 3 of Article XXI of the California Constitution,
(b) responding to Chapter 271 of the Statutes of 2012 pursuant to paragraph (1) of subdivision (c) of Section 8251 of the
Government Code, (c)
filling any vacancy, whether created by removal, resignation, or absence, in a commission position pursuant to Section
8252.5 of the Government Code, or (d) responding to any litigation involving issues unrelated to a certified final map, the
commission shall submit a written request to the Director of Finance for an augmentation of the amount available for expenditure
under this item to provide funding for the associated expenses of the commission’s meeting. The Director of Finance shall
provide notification in writing of any augmentation granted under this provision to the Chairperson of the Joint Legislative
Budget Committee and the chairpersons of the committees in each house of the Legislature that consider the State Budget
|
||||||||
|
|||||||||
3. | The amount appropriated in this item shall be available for encumbrance or expenditure until June 30, 2022. | ||||||||
4. | Of the amount provided in Schedule (1), $5,200,000 is available to the California State Auditor to administer the Citizens Redistricting Commission pursuant to Chapter 3.2 (commencing with Section 8251) of Division 1 of Title 2 of the Government Code. | ||||||||
5. | Of the amount provided in Schedule (1), $1,313,000 is available no earlier than August 15, 2020, and upon notification to the Department of Finance and the Joint Legislative Budget Committee for operational costs pursuant to Chapter 271 of the Statutes of 2012. The Department of Finance shall provide the amount in Schedule (1) no sooner than 30 days after the notification in writing to the Joint Legislative Budget Committee, or any lesser time determined by the chairperson of the joint committee. | ||||||||
6. | Of the amount provided in Schedule (1), $2,065,000 is available no earlier than August 15, 2020, and upon notification to the Department of Finance and the Joint Legislative Budget Committee for outreach efforts pursuant to paragraph (7) of subdivision (a) of Section 8253 of the Government Code. The Department of Finance shall provide the amount in Schedule (1) no sooner than 30 days after the notification in writing to the Joint Legislative Budget Committee, or any lesser time determined by the chairperson of the joint committee. | ||||||||
7. | The amount provided in Schedule (2) is available no earlier than August 15, 2021, and upon notification to the Department of Finance and the Joint Legislative Budget Committee for any litigation related to the adoption of the final set of maps. The Department of Finance shall provide the amount in Schedule (2) no sooner than 30 days after the notification in writing to the Joint Legislative Budget Committee, or any lesser time determined by the chairperson of the joint committee. | ||||||||
8. | Only the amount provided in Schedule (1) shall count towards the future minimum calculation pursuant to subdivision (a) of Section 8253.6 of the Government Code before adjustment by the California Consumer Price Index. Any unexpended funds from this appropriation shall revert back to the General Fund and shall not be counted towards the future minimum calculation before adjustment by the California Consumer Price Index. |
0950-001-0001—For support of Treasurer
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0740-State Treasurer’s Office
........................
|
33,778,000 | |||||
(2) |
Reimbursements to 0740-State Treasurer’s Office
........................
|
||||||
Provisions:
|
|||||||
1. |
The Director of Finance may authorize a loan from the General Fund, in an amount not to exceed the level of reimbursements
appropriated in Schedule (2) to the Treasurer, provided that:
|
||||||
(a) |
The loan is to meet cash needs resulting from a delay in receipt of reimbursements.
|
||||||
(b) |
The loan is short term, and is repaid within six months.
|
||||||
(c) |
Interest charges may be waived pursuant to subdivision (e) of Section 16314 of the Government Code.
|
||||||
(d) |
The Director of Finance shall not approve the loan unless the approval is made in writing and filed with the Chairperson of
the Joint Legislative Budget Committee and the chairpersons of the committees in each house of the Legislature that consider
appropriations not later than 30 days before the effective date of the approval, or not later than whatever lesser time the
chairperson of the joint committee,
or
|
||||||
(e) |
At the end of the six-month term of the loan, the Treasurer shall notify the Chairperson of the Joint Legislative Budget Committee
whether the Treasurer has repaid the loan pursuant to subdivision (b).
|
||||||
2. |
Notwithstanding any other provision of law, upon certification by the Treasurer, the Department of Finance may authorize expenditures
of up to $1,700,000 in excess of the amount
appropriated in this item for the payment of expenses incurred on general obligation bond, lease-revenue bond, and revenue
anticipation note sales that have been canceled. Prior to expenditure from the General Fund, the Treasurer shall determine
if any bond funds are authorized and available for the payment of expenses, and apply those funds to such payment. The Department
of Finance shall provide notification in writing to the chairpersons of the fiscal committees of each house of the Legislature
and the Chairperson of the Joint Legislative Budget Committee no more than 30 days after that authorization.
|
||||||
3. | No later than March 1, 2020, the State Treasurer’s Office (STO) shall provide the fiscal committees of the Legislature and the Legislative Analyst’s Office a report related to its funding realignment proposal. The report shall include: (1) the identification of any positions and activities that have received additional General Fund support as a result of the funding realignment provided in the 2019–20 fiscal year, (2) the amount of additional General Fund moneys provided to support each of those positions and activities in the 2019–20 fiscal year, and (3) the rationale for supporting each of these positions and activities from the General Fund rather than the Central Services Costs Recovery Fund or reimbursements. The report shall also include an evaluation of the workload at STO, including: (1) an estimate of the amount of workload associated with processing Women, Infants, and Children (WIC) vouchers in the 2018–19 fiscal year, and how that workload has changed due to the loss of the WIC contract in mid-2019; (2) an estimate of the amount of annual workload associated with completing special projects and the identification of the specific special projects undertaken in the 2019–20 fiscal year; and (3) an analysis of any efficiencies that can be achieved in STO’s operations. |
0950-001-9740—For support of Treasurer, payable from the Central Service Cost Recovery Fund
........................
|
3,344,000 | ||||||
Schedule:
|
|||||||
(1) |
0740-State Treasurer’s Office
........................
|
3,344,000 |
0954-001-0001—For support of Scholarshare Investment Board
........................
|
239,000 | ||||||
Schedule:
|
|||||||
(1) |
0785-Governor’s Scholarship Program
........................
|
239,000 |
0954-001-0564—For support of Scholarshare Investment Board, payable from the Scholarshare Administrative Fund
........................
|
2,671,000 | ||||||
Schedule:
|
|||||||
(1) |
0780-Golden State Scholarshare Trust
Program
........................
|
2,671,000 | |||||
Provisions:
|
|||||||
1. |
The Director of Finance may authorize an augmentation of this item not sooner than 30 days after notification is provided
to the chairpersons of the fiscal committees in both houses of the Legislature.
|
0956-001-0171—For support of California Debt and Investment Advisory Commission, payable from the California Debt and Investment Advisory
Commission Fund
........................
|
3,657,000 | ||||||
Schedule:
|
|||||||
(1) |
0800-California Debt and Investment Advisory Commission
........................
|
3,837,000 | |||||
(2) |
Reimbursements to 0800-California Debt and Investment Advisory Commission
........................
|
−180,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, the
Director of Finance may authorize expenditures for the California Debt and Investment Advisory Commission in excess of
the amount appropriated not sooner than 30 days after notification in writing of the necessity therefor is provided to the
chairpersons of the fiscal committees in each house of the Legislature and the Chairperson of the Joint Legislative Budget
Committee, or not sooner than whatever lesser time the chairperson of the joint committee, or his or her designee, may in
each instance determine.
|
0959-001-0169—For support of California Debt Limit Allocation Committee, payable from the California Debt Limit Allocation Committee Fund
........................
|
1,598,000 | ||||||
Schedule:
|
|||||||
(1) |
0810-California Debt Limit Allocation Committee
........................
|
1,598,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other law, the Director of Finance may authorize expenditures for the California Debt Limit Allocation
Committee in excess of the amount appropriated not sooner than 30 days after notification in writing of the necessity therefor
is provided to the chairpersons of the fiscal committees in each house of the Legislature and the Chairperson of the Joint
Legislative Budget Committee, or not sooner than whatever lesser time the chairperson of the committee, or his
or her designee, may in each instance determine.
|
0968-001-0448—For support of California Tax Credit Allocation Committee, payable from the Occupancy Compliance Monitoring Account, Tax
Credit Allocation Fee Account
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0840-California Tax Credit Allocation Committee
........................
|
||||||
(2) |
Reimbursements to 0840-California Tax Credit Allocation Committee
........................
|
−140,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, the Director of Finance may authorize expenditures for the California Tax Credit
Allocation Committee in excess of the amount appropriated not sooner than 30 days after notification in writing of the necessity
therefor is provided to the chairpersons of the fiscal committees of each house of the Legislature and the Chairperson
of the Joint Legislative Budget Committee, or not sooner than whatever lesser time the chairperson of the joint committee,
or
|
0968-001-0457—For support of California Tax Credit Allocation Committee, payable from the Tax Credit Allocation Fee Account
........................
|
|||||||
Schedule:
|
|||||||
(1) |
0840-California Tax Credit Allocation Committee
........................
|
||||||
(2) |
Reimbursements to 0840-California Tax Credit Allocation Committee
........................
|
−15,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other law, the Director of Finance may authorize expenditures for the California Tax Credit Allocation
Committee in excess of the amount appropriated not sooner than 30 days after notification in writing of the necessity therefor
is
provided to the chairpersons of the fiscal committees in each house of the Legislature and the Chairperson of the Joint
Legislative Budget Committee, or not sooner than whatever lesser time the chairperson of the joint committee, or
|
0971-001-0465—For support of California Alternative Energy and Advanced Transportation Financing Authority, payable from the Energy Resources
Programs Account
........................
|
507,000 | ||||||
Schedule:
|
|||||||
(1) |
0850-California Alternative Energy and Advanced Transportation Financing Authority
........................
|
507,000 |
0971-001-9332—For support of California Alternative Energy and Advanced Transportation Financing Authority, payable from the California
Alternative Energy Authority Fund
........................
|
1,672,000 | ||||||
Schedule:
|
|||||||
(1) |
0850-California Alternative Energy and Advanced Transportation Financing Authority
........................
|
4,644,000 | |||||
(2) |
Reimbursements to 0850-California Alternative Energy and Advanced Transportation Financing Authority
........................
|
−2,972,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other law, the Director of Finance may authorize expenditures for the California Alternative Energy and
Advanced Transportation Financing Authority in excess of the amount appropriated not sooner than 30 days after notification
in writing of the necessity therefor is provided to the chairpersons of the fiscal committees in each house of the Legislature
and the Chairperson of the Joint Legislative Budget Committee, or not sooner than whatever lesser time the chairperson of
the joint committee, or his or her designee, may in each instance determine.
|
||||||
2. |
Notwithstanding any other law, the Director of Finance may authorize expenditures for the California Alternative Energy and
Advanced Transportation Financing Authority in excess of the amount appropriated by a cumulative total through June 30,
2021, not to exceed $4,600,000, not sooner than 30 days after notification in writing of the necessity therefor is provided
to the chairpersons of the fiscal committees in each house of the Legislature and the Chairperson of the Joint Legislative
Budget Committee, or not sooner than whatever lesser time the chairperson of the joint committee, or his or her designee,
may in each instance determine.
|
0977-001-6046—For support of California Health Facilities Financing Authority, payable from the Children’s Hospital Fund
........................
|
362,000 | ||||||
Schedule:
|
|||||||
(1) |
0880-Children’s Hospital
Program
........................
|
362,000 |
0977-101-3085—For local assistance, California Health Facilities Financing Authority, payable from the Mental Health Services Fund
........................
|
4,000,000 | ||||||
Schedule:
|
|||||||
(1) |
0890-Mental Health
Wellness Grants
........................
|
4,000,000 |
0977-490—Reappropriation, California Health Facilities Financing Authority. Notwithstanding any other law, the balances of the appropriations
provided in the following citations are reappropriated to fund crisis residential treatment, crisis stabilization, mobile
crisis support teams, and family respite care approved by the California Health Facilities Financing Authority and shall be
available for encumbrance or expenditure until June 30, 2024:
|
|||||||
0001—General Fund | |||||||
(1) | Item 0977-101-0001, Budget Act of 2013 (Chs. 20 and 354, Stats. 2013), as reappropriated by Item 0977-490, Budget Act of 2016 (Ch. 23, Stats. 2016) and Item 0977-491, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017) appropriated in Program 50-Mental Health Wellness Grants. | ||||||
3085—Mental Health Services Fund | |||||||
(1) | $10,815,000 in Item 0977-101-3085, Budget Act of 2016 (Ch. 23, Stats. 2016) appropriated in Program 0890-Mental Health Wellness Grants. | ||||||
(2) | $16,452,000 in Item 0977-101-3085, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017) appropriated in Program 0890-Mental Health Wellness Grants. |
0981-001-8101—For support of California ABLE Act Board, payable from the California ABLE Administrative Fund
........................
|
1,070,000 | ||||||
Schedule:
|
|||||||
(1) |
0895-California ABLE Act Board
........................
|
1,070,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other provision of law, the Director of Finance may authorize expenditures for the California ABLE Act
Board in excess of the amount appropriated, up to the balance available in the fund, not sooner than 30 days after notification
in writing of the necessity therefor is provided to the chairpersons of the fiscal committees in each house of the Legislature
and the Chairperson of the Joint Legislative Budget Committee, or not sooner than whatever lesser time the chairperson of
the joint committee, or his or her designee, may in each instance determine.
|
0981-011-0001—For transfer by the Controller, upon order of the Department of Finance, to the California ABLE Administrative Fund
........................
|
(1,070,000) | ||||||
Provisions:
|
|||||||
1. |
The Department of Finance may transfer up to $1,070,000 as a loan to the California ABLE
Administrative Fund to implement the California ABLE Act Program. This loan shall be repaid once sufficient revenue is
available, but no later than June 30, 2024, with interest calculated at the rate earned by the Pooled Money Investment Account
at the time of the transfer.
|
0985-001-0001—For support of California School Finance Authority
........................
|
583,000 | ||||||
Schedule:
|
|||||||
(1) |
0930-Charter School Facility Grant Program
........................
|
461,000 | |||||
(2) |
0935-Charter School Revolving Loan Fund Program
........................
|
122,000 |
0985-001-0890—For support of California School Finance Authority, payable from the Federal Trust Fund
........................
|
456,000 | ||||||
Schedule:
|
|||||||
(1) |
0925-State Charter School Facilities Incentive
Grants Program
........................
|
456,000 |
0985-001-9734—For support of California School Finance Authority, payable from the 2004 Charter School Facilities Account, 2004 State School
Facilities Fund
........................
|
713,000 | ||||||
Schedule:
|
|||||||
(1) |
0920-Charter School Facilities Program
........................
|
713,000 |
0985-001-9735—For support of California School Finance Authority, payable from the 2006 Charter School Facilities Account, 2006 State School
Facilities Fund
........................
|
566,000 | ||||||
Schedule:
|
|||||||
(1) |
0920-Charter School Facilities Program
........................
|
566,000 |
0985-101-0890—For local assistance, California School Finance Authority, payable from the Federal Trust Fund
........................
|
20,000,000 | ||||||
Schedule:
|
|||||||
(1) |
0925-State Charter School Facilities
Incentive Grants Program
........................
|
20,000,000 | |||||
Provisions:
|
|||||||
1. |
No charter school receiving funds under the program authorized under this provision shall receive funding in excess of 75
percent of annual lease costs through this program or in combination with any other source of funding provided in this or
any other act.
|
0985-220-0001—For local assistance, California School Finance Authority (Proposition 98), as set forth in Section 47614.5 of the Education
Code
........................
|
136,786,000 | ||||||
Schedule:
|
|||||||
(1) |
0930-Charter School Facility Grant Program
........................
|
136,786,000 |
0989-001-3263—For support of California Educational Facilities Authority, payable from the College Access Tax Credit Fund
........................
|
79,000 | ||||||
Schedule:
|
|||||||
(1) |
0955-College Access Tax Credit
Program
........................
|
79,000 |
1045-001-3288—For support of Cannabis Control Appeals Panel, payable from the Cannabis Control Fund
........................
|
2,648,000 | ||||||
Schedule:
|
|||||||
(1) |
1045-Cannabis Appeals Panel
........................
|
2,648,000 |
1111-001-0069—For support of State Board of Barbering and Cosmetology, payable from the Barbering and Cosmetology Contingent Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1125-State Board of Barbering and Cosmetology
........................
|
||||||
(2) |
Reimbursements to 1125-State Board of Barbering and Cosmetology
........................
|
−57,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0093—For support of Contractors’ State License Board, payable from the Construction Management Education Account
........................
|
100,000 | ||||||
Schedule:
|
|||||||
(1) |
1130050-CSLB—Construction
Management Education Account
........................
|
100,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0108—For support of Acupuncture Board, payable from the Acupuncture Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1155-Acupuncture Board
........................
|
||||||
(2) |
Reimbursements to 1155-Acupuncture Board
........................
|
−23,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0152—For support of State Board of Chiropractic Examiners, payable from the State Board of Chiropractic |
|||||||
Schedule:
|
|||||||
(1) |
1120-Board of Chiropractic Examiners
........................
|
||||||
(2) |
Reimbursements to 1120-Board of Chiropractic Examiners
........................
|
−44,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0175—For support of State Board of Optometry, Registered Dispensing Opticians, payable from the Dispensing Opticians Fund
........................
|
538,000 | ||||||
Schedule:
|
|||||||
(1) |
1196020-Registered
Dispensing Opticians
........................
|
539,000 | |||||
(2) |
Reimbursements to 1196020-Registered Dispensing Opticians
........................
|
−1,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as
specified in Section 13332.18 of the Government Code.
|
1111-001-0210—For support of Medical Board of California, Outpatient Setting, payable from the Outpatient Setting Fund of the Medical Board
of California
........................
|
26,000 | ||||||
Schedule:
|
|||||||
(1) |
1150029-Outpatient Setting
........................
|
26,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0264—For support of Osteopathic Medical Board of California, payable from the Contingent Fund of the Osteopathic Medical Board
of California
........................
|
2,997,000 | ||||||
Schedule:
|
|||||||
(1) |
1200010-Osteopathic Medical Board of California
........................
|
3,064,000 | |||||
(2) |
1200019-Osteopathic Medical Board of California—Distributed
........................
|
−14,000 | |||||
(3) |
Reimbursements to 1200010-Osteopathic Medical Board of California
........................
|
−53,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0280—For support of Physician Assistant Board, payable from the Physician Assistant Fund
........................
|
2,083,000 | ||||||
Schedule:
|
|||||||
(1) |
1165-Physician Assistant Board
........................
|
2,133,000 | |||||
(2) |
Reimbursements to 1165-Physician Assistant Board
........................
|
−50,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the
Government Code.
|
1111-001-0295—For support of Podiatric Medical Board of California, payable from the Board of Podiatric Medicine Fund
........................
|
1,497,000 | ||||||
Schedule:
|
|||||||
(1) |
1170-Podiatric Medical Board of
California
........................
|
1,501,000 | |||||
(2) |
Reimbursements to 1170-Podiatric Medical Board of California
........................
|
−4,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in
Section 13332.18 of the Government Code.
|
1111-001-0310—For support of Board of Psychology, payable from the Psychology Fund
........................
|
5,231,000 | ||||||
Schedule:
|
|||||||
(1) |
1175-Board of Psychology
........................
|
5,282,000 | |||||
(2) |
Reimbursements to 1175-Board of Psychology
........................
|
−51,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0319—For support of Respiratory Care Board of California, payable from the Respiratory Care Fund
........................
|
3,712,000 | ||||||
Schedule:
|
|||||||
(1) |
1180-Respiratory Care Board of
California
........................
|
3,778,000 | |||||
(2) |
Reimbursements to 1180-Respiratory Care Board of California
........................
|
−66,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in
Section 13332.18 of the Government Code.
|
1111-001-0326—For support of State Athletic Commission, payable from the Athletic Commission Fund
........................
|
1,728,000 | ||||||
Schedule:
|
|||||||
(1) |
1110010-State Athletic Commission—Support
........................
|
1,728,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
||||||
2. |
Provided that sufficient funds are available and upon request by the Department of Consumer Affairs, the Department of Finance
may augment this item by up to $200,000 not sooner than 30 days after
notification in writing is provided to the chairpersons of the fiscal committees in each house of the Legislature and
the Chairperson of the Joint Legislative Budget Committee. This augmentation shall only be provided for additional funding
needed for Athletic Inspectors at sporting events or for Athletic Inspector training.
|
1111-001-0376—For support of Speech-Language Pathology and Audiology and Hearing Aid Dispensers Board, payable from the Speech-Language
Pathology and Audiology and Hearing Aid Dispensers Fund
........................
|
2,237,000 | ||||||
Schedule:
|
|||||||
(1) |
1185-Speech-Language Pathology and Audiology and Hearing Aid Dispensers Board
........................
|
2,270,000 | |||||
(2) |
Reimbursements to 1185-Speech-Language Pathology and Audiology and Hearing Aid Dispensers Board
........................
|
−33,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0399—For support of Structural Pest Control Board, payable from the Structural Pest Control Education and Enforcement Fund
........................
|
378,000 | ||||||
Schedule:
|
|||||||
(1) |
1230020-Structural
Pest Control Board—Education and Enforcement
........................
|
378,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0492—For support of State Athletic Commission, payable from the State Athletic Commission Neurological Examination Account
........................
|
56,000 | ||||||
Schedule:
|
|||||||
(1) |
1110020-State
Athletic Commission—Neurological
........................
|
56,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
||||||
2. |
Provided that sufficient funds are available and upon request by the Department of Consumer Affairs, the Department of Finance
may augment this item by up to $50,000 not
sooner than 30 days after notification in writing is provided to the chairpersons of the fiscal committees in each house
of the Legislature and the Chairperson of the Joint Legislative Budget Committee. This augmentation shall only be provided
for additional funding needed for Athletic Inspectors at sporting events to conduct neurological examinations or for Athletic
Inspector training.
|
1111-001-0704—For support of California Board of Accountancy, payable from the Accountancy Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1100-California Board of Accountancy
........................
|
||||||
(2) |
Reimbursements to 1100-California Board of Accountancy
........................
|
−296,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0706—For support of California Architects Board, payable from the California Architects Board Fund
........................
|
3,897,000 | ||||||
Schedule:
|
|||||||
(1) |
1105013-California Architects
Board—Distributed
........................
|
−26,000 | |||||
(2) |
1105019-California Architects Board
........................
|
3,928,000 | |||||
(3) |
Reimbursements to 1105019-California Architects Board
........................
|
−5,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0735—For support of Contractors’ State License Board, payable from the Contractors’ License Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1130010-Contractors’ State License Board
........................
|
||||||
(2) |
Reimbursements to 1130010-Contractors’ State License Board
........................
|
−353,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0741—For support of Dental Board of California, payable from the State Dentistry Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1135010-Dental Board of California
........................
|
||||||
(2) |
Reimbursements to 1135010-Dental Board of California
........................
|
−267,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0755—For support of Medical Board of California, payable from the Licensed Midwifery Fund
........................
|
120,000 | ||||||
Schedule:
|
|||||||
(1) |
1150038-Licensed Midwifery Program
........................
|
120,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0757—For support of California Architects Board, payable from the California Architects Board-Landscape Architects Fund
........................
|
1,051,000 | ||||||
Schedule:
|
|||||||
(1) |
1105020-Landscape
Architects Technical Committee
........................
|
1,052,000 | |||||
(2) |
Reimbursements to 1105020-Landscape Architects Technical Committee
........................
|
−1,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and
penalties imposed as specified in Section 13332.18 of the Government Code.
|
1111-001-0758—For support of Medical Board of California, payable from the Contingent Fund of the Medical Board of California
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1150019-Medical Board of California—Support
........................
|
||||||
(2) |
1150013-Medical Board of California—Distributed
........................
|
−945,000 | |||||
(3) |
Reimbursements to 1150019-Medical Board of California—Support
........................
|
−384,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0759—For support of Physical Therapy Board of California, payable from the Physical Therapy Fund
........................
|
5,215,000 | ||||||
Schedule:
|
|||||||
(1) |
1160-Physical Therapy Board of
California
........................
|
5,314,000 | |||||
(2) |
Reimbursements to 1160-Physical Therapy Board of California
........................
|
−99,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in
Section 13332.18 of the Government Code.
|
1111-001-0761—For support of Board of Registered Nursing, payable from the Board of Registered Nursing Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1220-Board of Registered Nursing
........................
|
||||||
(2) |
Reimbursements to 1220-Board of Registered Nursing
........................
|
−1,014,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0763—For support of State Board of Optometry, payable from the Optometry Fund
........................
|
2,161,000 | ||||||
Schedule:
|
|||||||
(1) |
1196010-State Board of Optometry—Support
........................
|
2,253,000 | |||||
(2) |
Reimbursements to 1196010-State Board of Optometry—Support
........................
|
−92,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18
of the Government Code.
|
1111-001-0767—For support of California State Board of Pharmacy, payable from the Pharmacy Board Contingent Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1210-California State Board of Pharmacy
........................
|
||||||
(2) |
Reimbursements to 1210-California State Board of Pharmacy
........................
|
−251,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0770—For support of Board for Professional Engineers, Land Surveyors, and Geologists, payable from the Professional Engineer’s,
Land Surveyor’s, and Geologist’s Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1215014-Board for Professional Engineers, Land Surveyors, and Geologists
........................
|
||||||
(2) |
Reimbursements to 1215014-Board for Professional Engineers, Land Surveyors, and Geologists
........................
|
−17,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0771—For support of Court Reporters Board of California, payable from the Court Reporters’ Fund
........................
|
1,116,000 | ||||||
Schedule:
|
|||||||
(1) |
1225010-Court Reporters Board of
California—Support
........................
|
1,134,000 | |||||
(2) |
Reimbursements to 1225010-Court Reporters Board of California—Support
........................
|
−18,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties
imposed as specified in Section 13332.18 of the Government Code.
|
1111-001-0773—For support of Board of Behavioral Sciences, payable from the Behavioral Sciences Fund, Professions and Vocations Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1115-Board of Behavioral Sciences
........................
|
||||||
(2) |
Reimbursements to 1115-Board of Behavioral Sciences
........................
|
−50,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0775—For support of Structural Pest Control Board, payable from the Structural Pest Control Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1230010-Structural Pest Control Board
........................
|
||||||
(2) |
Reimbursements to 1230010-Structural Pest Control Board
........................
|
−1,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the Government Code.
|
1111-001-0777—For support of Veterinary Medical Board, payable from the Veterinary Medical Board Contingent Fund
........................
|
5,237,000 | ||||||
Schedule:
|
|||||||
(1) |
1235-Veterinary Medical Board
........................
|
5,263,000 | |||||
(2) |
Reimbursements to 1235-Veterinary Medical Board
........................
|
−26,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item may include revenues derived from the assessment of fines and penalties imposed as specified
in Section 13332.18 of the
Government Code.
|
1111-001-0779—For support of Board of Vocational Nursing and Psychiatric Technicians of the State of California, payable from the Vocational
Nursing and Psychiatric Technicians Fund
........................
|
|||||||
Schedule:
|
|||||||
(1) |
1240019-Board of Vocational Nursing and Psychiatric Technicians
........................
|
||||||
(2) |
Reimbursements to 1240019-Board of Vocational Nursing and Psychiatric Technicians
........................
|