Assembly Bill No. 157 |
CHAPTER 994 |
0250-001-0001—For support of Judicial Branch
........................
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598,182,000 | ||||||
Schedule:
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(1) |
0130-Supreme Court
........................
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54,929,000 | |||||
(2) |
0135-Courts of Appeal
........................
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278,860,000 | |||||
(3) |
0140-Judicial Council
........................
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257,593,000 | |||||
(4) |
0155-Habeas Corpus Resource Center
........................
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19,068,000 | |||||
(5) |
Reimbursements to 0140-Judicial Council
........................
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−12,068,000 | |||||
(6) |
Reimbursements to 0135-Courts of Appeal
........................
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−200,000 | |||||
Provisions:
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1. |
Of the funds appropriated in this item, $5,800,000 is available for the defense and indemnity of the Judicial Council, the
appellate courts, the trial courts, and the officers, judicial officers, and employees of these entities, including government
claims, litigation-related matters, labor- and employment-related matters, and matters requiring specialized legal advice.
The funds may be used for prelitigation and litigation fees, and costs from the Attorney General or other outside legal counsel,
fees for legal advice in specialized areas of law, and any judgment, stipulated judgment, offer of judgment, or settlement.
This amount is for use in connection with the following matters: (a) matters arising from the actions of appellate courts,
appellate court judicial officers, appellate
court employees, or court contractors, (b) matters arising from the actions of the Judicial Council, council members,
council employees or agents, or Judicial Council contractors, and (c) matters arising from the actions of trial courts, trial
court judicial officers, trial court employees, or court contractors. The Judicial Council, an appellate court, or trial court,
or an officer, judicial officer, or employee of these entities, must be named as a defendant or alleged to be the responsible
party, or be the responsible party pursuant to a contractual provision, memorandum of understanding, or intrabranch agreement.
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, 2026.
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2. |
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
0250-011-0001 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), $76,944,000 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, 2025, 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 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.
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6. |
Of the amount appropriated in Schedule (3), $1,050,000 shall be retained by the Judicial Council for costs associated with
implementing,
supporting, and evaluating pretrial programs in courts, including, but not limited to:
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(a) |
Providing technical assistance to courts on practices and programs related to pretrial decisionmaking.
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(b) |
Providing judicial education.
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(c) |
Evaluating pretrial programs and practices through this program.
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(d) |
Providing administrative services on programs related to pretrial decisionmaking.
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7. |
Of the amount appropriated in Schedule (3), $1,173,000 shall be distributed by the Judicial Council to the Legal Services
Trust Fund Commission of the State Bar of California for administrative costs related to allocating resources for legal services
to implement the Community Assistance, Recovery, and Empowerment Act (Part 8 (commencing with Section 5970) of Division 5
of the Welfare and Institutions Code). The commission shall coordinate with the Judicial Council to ensure that the commission
collects and reports the data necessary for the Judicial Council to comply with all Community Assistance, Recovery, and Empowerment
Act reporting
requirements.
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(a) |
The Legal Services Trust Fund Commission shall be responsible for collecting outcome data from each county’s public defender
office, qualified legal services projects, and support centers. The State Bar of California shall annually provide to the
Judicial Council a report that includes funding allocations, annual expenditures, and program outcomes by service area and
service provider. Data shall be reported using the reporting framework developed by the Legal Services Trust Commission in
consultation with the Judicial Council to ensure that data reporting is consistent and comparable across Judicial Council
and Legal Services Trust Fund data. The Judicial Council shall include this report in the annual report pursuant to Section
5985 of the Welfare and Institutions Code.
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8. | Notwithstanding Provision 16 of Item 0250-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), of the amount appropriated in Provision 11 of Item 0250-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), up to $4,000,000 shall be retained by the Judicial Council for costs associated with supporting, conducting oversight, collecting data, and evaluating the firearms relinquishment program. The Judicial Council shall contract with the University of California Firearm Violence Research Center at the University of California, Davis, to conduct the evaluation of the firearm relinquishment program and submit a report to the Legislature, pursuant to Section 9795 of the Government Code, no later than September 30, 2026. Any funds unspent for this purpose may be allocated to the courts that receive funding from the Judicial Council pursuant to Provision 12 of Item 0250-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for the uses specified in Provision 13 of Item 0250-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). |
0250-493—Reappropriation, Judicial Council. The amounts specified in the following citations are reappropriated for the purposes provided
for in those appropriations and shall be available for encumbrance or expenditure until December 31, 2026:
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0001—General Fund | |||||||
(1) | Up to $10,800,000 in Item 0250-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for court-based firearm relinquishment programs. |
0250-494—Reappropriation, Judicial Branch. The balances of the appropriations provided, or the specified dollar amount, if provided,
in the following citation is reappropriated for the purposes and subject to the limitations, unless otherwise specified, provided
for in the appropriation. The balance of the appropriation provided shall be available for encumbrance or expenditure until
June 30, 2025:
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0660—Public Buildings Construction Fund | |||||||
(1) | Up to $1,831,000 in Item 0250-301-0660, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019) as follows: | ||||||
(1) | Project 0000079-Imperial County: New El Centro Courthouse | ||||||
(a) | Construction |
0509-001-0001—For support of Governor’s Office of Business and Economic Development (GO-Biz)
........................
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75,477,000 | ||||||
Schedule:
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|||||||
(1) |
0220-GO-Biz
........................
|
15,644,000 | |||||
(2) |
0225-California Business Investment Services
........................
|
6,338,000 | |||||
(3) |
0230-Office of the Small Business Advocate
........................
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49,572,000 | |||||
(4) |
0235010-California Film Commission
........................
|
3,789,000 | |||||
(5) |
0235019-Tourism
........................
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894,000 | |||||
(6) |
0235028-California Infrastructure and Economic Development Bank
........................
|
212,000 | |||||
(7) |
0235037-Small Business Expansion
........................
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492,000 | |||||
(8) |
Reimbursements to 0220-Go-Biz
........................
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−19,000 | |||||
(9) |
Reimbursements to 0225-California Business Investment Services
........................
|
−50,000 | |||||
(10) |
Reimbursements to 0230-Office of the Small Business Advocate
........................
|
−26,000 | |||||
(11) |
Reimbursements to 0235019-Tourism
........................
|
−670,000 | |||||
(12) |
Reimbursements to 0235028-California—Infrastructure and Economic Development Bank
........................
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−212,000 | |||||
(13) |
Reimbursements to 0235037-Small Business Expansion
........................
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−487,000 | |||||
Provisions:
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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.
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2. |
Of the amount appropriated in Schedule (3), $23,000,000 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, 2027.
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3. | Of the amount appropriated in Schedule (1), $500,000 shall be available to contract with the Ad Council to conduct outreach efforts, including, but not limited to, supporting a media campaign established by the Building and Reinforcing Inclusive, Diverse, Gender-Supportive Equity (BRIDGE) Project in accordance with Section 12100.170 of the Government Code. Any contract awarded pursuant to this section shall be exempt from the Public Contract Code. |
0509-113-0001—For transfer by the Controller to the California Infrastructure and Economic Development Bank Fund
........................
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25,000,000 | ||||||
Provisions:
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1. |
Of the amount appropriated in this item, $25,000,000 is allocated for the support of the Recapitalization of the Infrastructure
State Revolving Fund.
|
0559-001-3078—For support of Secretary of Labor and Workforce Development, payable from the Labor and Workforce Development Fund
........................
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7,272,000 | ||||||
Schedule:
|
|||||||
(1) |
0350-Office of the Secretary of Labor and Workforce Development
........................
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7,272,000 | |||||
Provisions:
|
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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.
|
0559-002-0001—For support of Secretary of Labor and Workforce Development
........................
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1,000,000 | ||||||
Schedule: | |||||||
(1) | 0350-Office of the Secretary of Labor and Workforce Development ........................ | 1,000,000 |
0650-101-0001—For local assistance, Governor’s Office of Land Use and Climate Innovation
........................
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15,000,000 | ||||||
Schedule: | |||||||
(1) | 0360-State Planning and Policy Development ........................ | 15,000,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in this item shall be available for state operations or local assistance for the ICARP Extreme Heat and Community Resilience Grant Program. These funds shall be available for encumbrance or expenditure until June 30, 2029, and liquidation through June 30, 2031. |
0650-101-3371—For local assistance, Governor’s Office of Land Use and Climate Innovation, payable from the Aliso Canyon Recovery Account
........................
|
14,000,000 | ||||||
Schedule: | |||||||
(1) | 0360-State Planning and Policy Development ........................ | 14,000,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in this item shall be available for state operations, not more than 10 percent, or local assistance for the ICARP Extreme Heat and Community Resilience Grant Program. These funds shall be available for encumbrance or expenditure until June 30, 2027, and liquidation through June 30, 2030. | ||||||
2. | The funds appropriated in this item shall be for use in the “Aliso Canyon Disaster Area” in the City of Los Angeles communities of Porter Ranch, Granada Hills, Northridge, Chatsworth, North Hills, Canoga Park, Reseda, Winnetka, West Hills, Van Nuys, and Lake Balboa. |
0650-490—Reappropriation, Governor’s Office of Land Use and Climate Innovation. The amount specified in the following citations are
reappropriated for the purposes provided for in those appropriations and shall be available as specified below:
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0001—General Fund | |||||||
(1) | Up to $1,200,000 of the amount described in Provision (8) of Item 0650-001-0001 of Section 2.00 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), for the Climate Adaptation and Resilience Planning Grants Program, available for encumbrance or expenditure until June 30, 2028. | ||||||
(2) | Up to $130,000 of the amount appropriated in Schedule (1) of Item 0650-001-0001 of Section 2.00 of the Budget Act of 2023 (Ch. 12, 38, and 189, Stats. 2023) for forestry sector market development, available for encumbrance or expenditure until June 30, 2025. | ||||||
(3) | Up to $2,000,000 of the amount appropriated in Schedule (1) in Item 0650-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023), for the General Plan Guidelines update, available for encumbrance until June 30, 2025, and liquidation until June 30, 2027. |
0650-495—Reversion, Governor’s Office of Land Use and Climate Innovation. Notwithstanding any other law, as of June 30, 2024, 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.
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0001—General Fund
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(1) |
$8,800,000 of the amount appropriated for the California Volunteers Experience Corps in
Item 0650-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022).
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(2) |
$9,800,000 of the amount appropriated for the Regional Climate Collaboratives in Item 0650-101-0001, Budget Act of 2022 (Chs.
43, 45, and 249, Stats. 2022).
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(3) |
$8,000,000 of the amount appropriated for the Office of Community Partnerships and Strategic Communications in Item 0650-101-0001,
Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022).
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(4) |
$5,000,000 of the
amount appropriated for Climate Adaptation and Resilience Planning Grants in Item 0650-101-0001, Budget Act of 2023
(Chs. 12, 38, and 189, Stats. 2023).
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(5) |
$25,000,000 of the amount appropriated for the Regional Climate Resilience Program in Item 0650-101-0001, Budget Act of 2023
(Chs. 12, 38, and 189, Stats. 2023).
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(6) |
$110,100,000 of the amount appropriated for the Extreme Heat and Community Resilience Program in Item 0650-101-0001, Budget
Act of 2023 (Chs. 12, 38, and 189, Stats. 2023).
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(7) |
$10,000,000 of the amount appropriated for Climate Adaptation and Resilience Planning Grants in Item 0650-101-0001, Budget
Act of 2022 (Chs. 43, 45, and 249, Stats. 2022).
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(8) |
$14,000,000 of the amount appropriated for the Extreme Heat and Public Awareness Campaign in Item 0650-101-0001, Budget Act
of 2023 (Chs. 12, 38, and 189, Stats. 2023).
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(9) |
Up to $9,900,000 in Item 0650-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) appropriated for the Golden
State Awards program.
|
0680-001-0001—For support of Governor’s Office of Service and Community Engagement
........................
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107,997,000 | ||||||
Schedule: | |||||||
(1) | 0372-California Volunteers ........................ | 95,825,000 | |||||
(2) | 0373-Office of Community Partnerships and Strategic Communications ........................ | 15,400,000 | |||||
(3) | Reimbursements to 0372-California Volunteers ........................ | −3,228,000 | |||||
Provisions: | |||||||
1. | The California Volunteers’ database shall be subject to all state privacy and use policies, as required by the Department of Technology. | ||||||
2. | Of the amount appropriated in Schedule (1), $82,600,000 shall be available for the California Volunteers Youth Corps. | ||||||
(a) | It is the intent of the Administration that the Youth Corps program, including its fellowship program, prioritize the recruitment of, and outreach to, students described in Chapter 513 of the Statutes of 2019 (AB 540), and immigrant youth with federal work authorization, including Deferred Action for Childhood Arrivals (DACA) beneficiaries, and this section is therefore enacted pursuant to subdivision (d) of Section 1621 of Title 8 of the United States Code. For purposes of implementing this initiative, no entity or person shall seek information that is unnecessary to determine eligibility, including immigration or citizenship status. | ||||||
(b) | Of the amount allocated in this provision, $2,000,000 shall be available for California’s tribal communities to apply through a competitive process. | ||||||
(c) | Of the amount remaining after the allocation described in subprovision (b), a share proportional to funding provided in Provision 1 of Item 0650-163-8506, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021) shall be provided to the 13 largest cities in California. Funding shall be proportional to each city’s population as a percent of the total population of the 13 largest cities, as estimated by the Department of Finance. | ||||||
(d) | Of the amount remaining after the allocation described in subprovision (b), a share proportional to funding provided in Provision 2 of Item 0650-163-8506, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021) shall be distributed, via a competitive grant process, to all cities and counties that are not funded pursuant to subprovision (c), without regard to total population size. |
0680-101-0001—For support of Governor’s Office of Service and Community Engagement
........................
|
5,300,000 | ||||||
Schedule: | |||||||
(1) | 0372-California Volunteers ........................ | 5,000,000 | |||||
(2) | 0373-Office of Community Partnerships and Strategic Communications ........................ | 300,000 | |||||
Provisions: | |||||||
1. | Of the amount appropriated in Schedule (2), the Office of Community Partnerships and Strategic Communications shall award $300,000 to the nonprofit organization Self-Help for the Elderly, to support the provision of culturally and linguistically competent community engagement and public awareness services regarding extreme heat, water conservation, Individual Taxpayer Identification Numbers, and mental health to immigrants, limited-English proficient individuals, seniors, and people with disabilities. Funds under this provision shall be available for encumbrance or expenditure until June 30, 2026. | ||||||
2. | Of the amount appropriated in Schedule (1), $5,000,000 is appropriated for the California Student Success Coach Grant Program. |
0690-101-0001—For local assistance, Office of Emergency Services
........................
|
108,000,000 | ||||||
Schedule:
|
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(1) |
0380-Emergency Management Services
........................
|
61,204,000 | |||||
(2) |
0385-Special Programs and Grant Management
........................
|
46,796,000 | |||||
Provisions:
|
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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.
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2. |
Of the amount appropriated in Schedule (2), $17,000,000 shall be used for grants related to services for
victims of human trafficking.
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3. |
Of the amount appropriated in Schedule (1), $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 the Office of Emergency Services’ fire and
rescue and local government resources that are part of the California Fire and Rescue Mutual Aid System or additional resources
upon the authority and approval of the Office of Emergency Services to meet the requirements for state resources called up
for predisaster and disaster response. Prepositioning shall be based upon predesignated criteria and a predicted scale of
the emergency event and shall be consistent with this state’s current procedures under the mutual aid system.
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4. |
No later than February 1 of each year, 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:
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(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 and time and the end date
and time of prepositioned resources; and the reimbursement amount associated with the response.
|
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(b) |
An assessment, with input from local fire departments, of the effectiveness of the criteria the Office of Emergency Services
uses to approve requests for prepositioning of mutual aid resources.
|
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(c) |
A summary of the extent to which the Office of Emergency Services initiated the prepositioning of resources due to forecasts
of inclement weather.
|
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(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. Because 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 federal- or state-declared disaster.
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5. | (a) |
Of the funds appropriated in Schedule (1), $12,500,000 shall be used for the Listos
California Grant program. The Listos California Grant program shall be managed by the Office of Diversity, Equity, and
Inclusion within the Executive Office of the Office of Emergency Services. The grants shall be used to provide accessible
and culturally competent outreach and resources with assessment and criteria for allocation of funds prioritized for, but
not limited to, geographic areas of greatest all hazard risk and vulnerability as highlighted in and demonstrated by the California
State Hazard Mitigation Plan; underresourced communities as defined in Section 39711 of the Health and Safety Code, subdivision
(d) of Section 39713 of the Health and Safety Code, or subdivision (g) of Section 75005 of the Public Resources Code. The
grants shall be administered consistent with the emergency management system described in Section 8607 of the Government Code,
including, but not limited to, being informed by community-based and nongovernmental organizations and local emergency service
networks, including
county emergency officials. The Office of Diversity, Equity, and Inclusion shall provide eligible organizations within
the identified geographic areas an opportunity to apply to the Listos California Grant program. The Office of Emergency Services
shall report to the appropriate budget committees of the Legislature, the Senate Committee on Governmental Organization, the
Assembly Committee on Emergency Management, and the Legislative Analyst’s Office on the expenditure of these funds on or before
February 1, 2026, including the following:
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(1) |
How funds were allocated.
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(2) |
What methods of outreach the Office of Equity used to inform eligible entities of the funding.
|
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(3) |
The entity or community that received the funding.
|
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(4) |
A description of projects funded.
|
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(b) |
This provision does not diminish or otherwise impact any of the Office of Emergency Services’ responsibilities under the
California Emergency Services Act (Chapter 7 (commencing with Section 8550) of Division 1 of Title 2 of the Government
Code), including, but not limited to, Sections 8550, 8569, 8570, 8570.3 of, and subdivision (e) of Section 8585 of, the Government
Code.
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6. |
Of the amount appropriated in Schedule (1), $23,704,000 will be available to support California’s Law Enforcement Mutual Aid
System. Notwithstanding any other law, the Office of Emergency Services may provide advance payment to local law enforcement
agencies to cover costs when formally deployed through the Law Enforcement Mutual Aid System in support of a response to conditions
that threaten public safety. For any activities that, subsequent to receiving this funding, become eligible for state or federal
disaster funding, those payments will be remitted back to the General
Fund.
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10. |
Of the amount appropriated in Schedule (2), $5,000,000 shall be used to fund Internet Crimes Against Children Task Forces.
No more than 5 percent of this amount may be used for administrative support costs. This amount is available for encumbrance
or expenditure until June 30, 2027.
|
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11. | Of the amount appropriated in Schedule (2), $1,000,000 shall be provided to the Trinity County Fire Chiefs Association for fire, rescue, and emergency medical services equipment and related expenses in Trinity County, including, but not limited to, radios, medical equipment, and extrication equipment. | ||||||
12. | Of the amount appropriated in Schedule (2), $2,000,000 shall be provided to the City of Hayward for Fire Department station upgrades. |
2240-105-0001—For local assistance, Department of Housing and Community Development
........................
|
5,500,000 | ||||||
Schedule: | |||||||
(1) | 1665-Division of Financial Assistance ........................ | 5,500,000 | |||||
Provisions: | |||||||
1. | Of the amount appropriated in Schedule (1), $2,500,000 shall be awarded to the City of Santa Rosa for the Casa Roseland Affordable Housing Project. | ||||||
2. | Of the amount appropriated in Schedule (1), $2,000,000 shall be awarded to the San Gabriel Valley Council of Governments to address housing, homelessness, and workforce development. | ||||||
3. | Of the amount appropriated in Schedule (1), $1,000,000 shall be awarded to City of Vista for the Vista Emergency Shelter project. |
2660-101-0001—For local assistance, Department of Transportation
........................
|
20,749,000 | ||||||
Schedule: | |||||||
(1) | 1835020-Local Assistance ........................ | 14,999,000 | |||||
Provisions: | |||||||
1. | Funds appropriated in this item shall be available for encumbrance and liquidation until June 30, 2030. | ||||||
2. | Funds appropriated in this item may be transferred to Item 2660-301-0001. These transfers shall require the prior approval of the Department of Finance. | ||||||
3, | Of the amount appropriated in this item, $4,000,000 is for Sonoma-Marin Area Rail Transit (SMART) District for freight rail operations and capital, and deferred maintenance. | ||||||
4. | Of the amount appropriated in this item, $7,999,000 is for Crescent City, in the County of Del Norte, for the Pebble Beach Bank Stabilization Project. | ||||||
5. | Of the amount appropriated in this item, $5,000,000 is for bike lanes connecting disadvantaged communities to higher education facilities and job centers. | ||||||
6. | Of the amount appropriated in this item, $3,750,000 is for Sonoma County for the Geyserville ADA Street Safety Project. | ||||||
7. | Notwithstanding any other law, the Department of Transportation may provide the funding appropriated in this item as an advance lump sum payment, and the funding may be used to pay for costs incurred prior to the passage of the Budget Act of 2024. |
3125-492—Reappropriation, California Tahoe Conservancy. 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
as specified below:
|
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0890—Federal Trust Fund | |||||||
(1) | Item 3125-301-0890, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023), until June 30, 2028 | ||||||
(1) | 0008795-Sunset Stables Reach 6, Upper Truckee River Restoration Project ........................ | 150,000 | |||||
a. | Preliminary plans ........................ | 150,000 | |||||
6029—California Clean Water, Clean Air, Safe Neighborhood Parks, and Coastal Protection Fund | |||||||
(1) | Item 3125-301-6029, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), until June 30, 2025 | ||||||
(0.5) | 0001386-Upper Truckee River and Marsh Restoration ........................ | 52,000 | |||||
b. | Construction ........................ | 52,000 | |||||
6051—Safe Drinking Water, Water Quality and Supply, Flood Control, River and Coastal Protection Fund of 2006 | |||||||
(1) | Item 3125-301-6051, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), until June 30, 2026 | ||||||
(0.5) | 0001386-Upper Truckee River and Marsh Restoration ........................ | 1,410,000 | |||||
b. | Construction ........................ | 1,410,000 | |||||
(2) | Item 3125-301-6051, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), until June 30, 2025 | ||||||
(2 | 0001389-Conceptual Feasibility Planning ........................ | 500,000 | |||||
a. | Study ........................ | 500,000 |
3340-490—Reappropriation, California Conservation Corps. 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 3340-301-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), and as reappropriated by Item 3340-490, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) | ||||||
(2) | 0001376 – Residential Center, Los Pinos: New Residential Center | ||||||
a. | Working Drawings |
3360-001-3117—For support of State Energy Resources Conservation and Development Commission
........................
|
17,104,000 | ||||||
Schedule:
|
|||||||
(1) |
2390010-Transportation Technology and Fuels
........................
|
23,246,000 | |||||
(2) | Reimbursements to 2390010-Transportation Technology and Fuels ........................ | −6,142,000 | |||||
Provisions:
|
|||||||
1. |
Funds appropriated in this item shall be available for encumbrance or expenditure until June 30, 2028.
|
||||||
2. |
Notwithstanding Section 16304.1 of the Government Code, funds appropriated in this item shall be available for liquidation
until June 30,
2032.
|
3360-101-3117—For local assistance, State Energy Resources Conservation and Development Commission, payable from the Alternative and Renewable
Fuel and Vehicle Technology Fund
........................
|
95,200,000 | ||||||
Schedule:
|
|||||||
(1) |
2390010-Transportation Technology and Fuels
........................
|
150,477,000 | |||||
(2) | Reimbursements to 2390010-Transportation Technology and Fuels ........................ | −55,277,000 | |||||
Provisions:
|
|||||||
1. |
Funds appropriated in this item shall be available for encumbrance or expenditure until June 30, 2028.
|
||||||
2. | Notwithstanding Section 16304.1 of the Government Code, funds appropriated in this item shall be available for liquidation until June 30, 2032. |
3360-496—Reversion, State Energy Resources Conservation and Development Commission. As of June 30, 2023, 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.
|
|||||||
0001—General Fund | |||||||
(1) | $1,000,000 of the amount appropriated for the Climate Innovation Program in subprovision (a) of Provision 2 of Item 3360-007-0001 of the Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) | ||||||
(2) | $53,912,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for the deployment of zero-emission drayage trucks in subprovision (a) of Provision 4 of Item 3360-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(3) | $2,838,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for the deployment of zero-emission drayage trucks in subprovision (a) of Provision 4 of Item 3360-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(4) | $4,800,000 of the amount appropriated for the Drayage Trucks & Infrastructure Grant program in Section 36 of Chapter 574 of the Statutes of 2022 (AB 211)(Technical Item 3360-501-0001). | ||||||
(5) | $91,200,000 of the amount appropriated for the Drayage Trucks & Infrastructure Grant program in Section 36 of Chapter 574 of the Statutes of 2022 (AB 211)(Technical Item 3360-601-0001). | ||||||
(6) | $4,250,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for the deployment of zero-emission drayage trucks in subprovision (a) of Provision 3 of Item 3360-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) | ||||||
(7) | $80,750,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for the deployment of zero-emission drayage trucks in subprovision (a) of Provision 3 of Item 3360-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) | ||||||
(8) | $125,780,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for zero-emission light-duty vehicles and medium- and heavy-duty vehicles (ZEV Fueling Infrastructure Grant Program) in subprovision (e) of Provision 4 of Item 3360-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(9) | $6,620,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for zero-emission light-duty vehicles and medium- and heavy-duty vehicles (ZEV Fueling Infrastructure Grant Program) in subprovision (e) of Provision 3 of Item 3360-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(10) | $204,250,000 of the amount appropriated to support charging infrastructure for zero-emission light-duty vehicles (ZEV Fueling Infrastructure Grant Program) in Section 36 of Chapter 574 of the Statutes of 2022 (AB 211)(Technical Item 3360-601-0001). | ||||||
(11) | $10,750,000 of the amount appropriated to support charging infrastructure for zero-emission light-duty vehicles (ZEV Fueling Infrastructure Grant Program) in Section 36 of Chapter 574 of the Statutes of 2022 (AB 211)(Technical Item 3360-501-0001). | ||||||
(12) | $750,000 of the amount appropriated to support the deployment of charging infrastructure for light-duty electric vehicles (ZEV Fueling Infrastructure Grant Program) in Item 3360-004-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(13) | $14,250,000 of the amount appropriated to support the deployment of charging infrastructure for light-duty electric vehicles (ZEV Fueling Infrastructure Grant Program) in Item 3360-104-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(14) | $95,000,000 of the amount appropriated for the Demand Side Grid Support program in subprovision (a) of Provision 1 in Item 3360-008-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(15) | $166,500,000 of the amount appropriated for the Demand Side Grid Support Program for support in Section 18 of Chapter 61 of the Statutes of 2022 (AB 205)(Technical Item 3360-501-0001). | ||||||
(16) | $4,950,000 of the amount appropriated for the Clean Trucks Buses, and Offroad Equipment program for support in Section 36 of Chapter 574 of the Statutes of 2022 (AB 211)(Technical Item 3360-501-0001). | ||||||
(17) | $94,050,000 of the amount appropriated for the Clean Trucks Buses, and Offroad Equipment program of local assistance in Section 36 of Chapter 574 of the Statutes of 2022 (AB 211)(Technical Item 3360-601-0001). | ||||||
(18) | $104,595,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for zero-emission light-duty vehicles and medium- and heavy-duty vehicles (Clean Trucks, Buses, and Offroad Equipment program) in subprovision (e) of Provision 4 of Item 3360-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(19) | $5,505,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for zero-emission light-duty vehicles and medium- and heavy-duty vehicles (Clean Trucks, Buses, and Offroad Equipment program) in subprovision (e) of Provision 3 of Item 3360-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(20) | $27,075,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for the deployment of zero-emission transit buses in subprovision (b) of Provision 3 of Item 3360-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(21) | $1,425,000 of the amount appropriated to support charging and hydrogen refueling infrastructure for the deployment of zero-emission transit buses in subprovision (b) of Provision 3 of Item 3360-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(22) | $34,300,000 of the amount appropriated for the Distributed Electricity Backup Assets Program for support in Provision 1 of Item 3360-008-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(23) | $308,700,000 of the amount appropriated for the Distributed Electricity Backup Assets Program for local assistance in Item 3360-108-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(24) | $4,100,000 of the amount appropriated in Program 2390028—Renewable Energy Program for the Energy Data Infrastructure & Analysis Program in Provision 1 of Item 3360-005-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(25) | $5,500,000 of the amount appropriated in Program 2390019—Research and Development Program for the Clean Hydrogen Program for support in subprovision (b) of Provision 1 of Item 3360-002-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022. | ||||||
(26) | $58,500,000 of the amount appropriated in Program 2390019—Research and Development Program for the Clean Hydrogen Program for support in subprovision (b) of Provision 1 of Item 3360-102-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(27) | $2,500,000 of the amount appropriated for the Carbon Removal Grant Program for support in subprovision (b) of Provision 2 of Item 3360-007-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(28) | $31,500,000 of the amount appropriated for the Carbon Removal Grant Program for local assistance in subprovision (b) of Provision 1 of Item 3360-107-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(29) | $1,000,000 of the amount appropriated for the Equitable At-Home Charging grant program in Section 36 of Chapter 574 of the Statutes of 2022 (AB 211)(Technical Item 3360-501-0001). | ||||||
(30) | $19,000,000 of the amount appropriated for the Equitable At-Home Charging grant program in Section 36 of Chapter 574 of the Statutes of 2022 (AB 211)(Technical Item 3360-601-0001). | ||||||
3228—Greenhouse Gas Reduction Fund | |||||||
(1) | $25,200,000 of the amount appropriated to provide incentives for the Industrial Grid Support and Decarbonization Program in Provision 3 of Item 3360-101-3228, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(2) | $2,800,000 of the amount appropriated to provide incentives for the Industrial Grid Support and Decarbonization Program in Provision 1 of Item 3360-001-3228, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(3) | $2,000,000 of the amount appropriated to support a program to provide incentives for the Food Production Investment Program in subprovision (b) of Provision 3 of Item 3360-001-3228, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(4) | $18,000,000 of the amount appropriated to provide incentives for the Food Production Investment Program in subprovision (b) of Provision 4 of Item 3360-101-3228, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). |
3480-002-3046—For support of Department of Conservation, payable from the Oil, Gas, and Geothermal Administrative Fund
........................
|
12,500,000 | ||||||
Schedule:
|
|||||||
(1) |
2425-Geologic Energy Management Division
........................
|
12,500,000 | |||||
Provisions:
|
|||||||
1. |
The amounts appropriated in this item shall be available for the purposes of plugging and abandoning wells, decommissioning
facilities, and site remediation, pursuant to paragraph (2) of subdivision (a) of Section 3258 of the Public Resources
Code.
|
||||||
2. | Of the amount appropriated in this item, $7,500,000 is available pursuant to subparagraph (A) of paragraph (2) of subdivision (a) of Section 3258 of the Public Resources Code and shall be available for encumbrance or expenditure until June 30, 2026. |
3480-491—Reappropriation, Department of Conservation. The balances of the appropriations provided below, including any balances transferred,
are reappropriated for the purposes provided for in the original appropriation and shall be available for encumbrance or expenditure
until June 30, 2026:
|
|||||||
0001—General Fund
|
|||||||
(1) |
Item 3480-101-0001, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), as reappropriated by Item 3480-494 of the
Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) and by Item 3480-491 of the Budget Act of 2023 (Chs. 12, 38,
and 189, Stats. 2023).
|
||||||
(3) |
Technical Item 3480-501-0001, transferred by Executive Order E 22/23-78, pursuant to Control Section 19.54, Budget Act of
2021 (Chs. 21, 69, and 240, Stats. 2021) and Sections 35, 36, and 37 of Chapter 574, Statutes of 2022.
|
||||||
(4) | Item 3480-102-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as reappropriated by Item 3480-491 of the Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) excluding the amount reverted by Item 3480-495. | ||||||
(5) | Technical Item 3480-592-0001, the amount transferred pursuant to Item 3480-102-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as reappropriated by Item 3480-491 of the Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). |
3480-495—Reversion, Department of Conservation. As of June 30, 2024, 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.
|
|||||||
0001—General Fund
|
|||||||
(2) |
Item 3480-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). $50,000,000 of the amount appropriated for Oil
Well Abandonment and Remediation pursuant to
Provision 1, in Program 2425-Geologic Energy Management Division.
|
||||||
(3) |
Item 3480-101-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). $20,000,000 of the amount appropriated for regional
forest and fire capacity pursuant to Provision 2, in Program 2430-Land Resource Protection.
|
||||||
(4) |
Item 3480-102-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as reappropriated by Item 3480-494 of Budget Act
of 2022 (Chs. 43, 45, and 249, Stats. 2022). $3,747,000 of the amount appropriated for Multi-Benefit Land Repurposing pursuant
to Provision 1, in Program 2430-Land Resource Protection.
|
||||||
(5) |
Technical Item 3480-601-0001, transferred by Executive Order E 22/23-78, pursuant to Control Section 19.54 of the Budget Act
of 2021 (Chs. 21, 69, and 240, Stats. 2021) and Sections 35, 36, and 37 of Chapter 574 of the Statutes of 2022. $1,940,000
of the amount transferred.
|
||||||
(6) |
Item 3480-103-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). $1,000,000 of the amount appropriated for implementation
of projects consistent with the State’s Natural and Working Lands Climate Smart Strategy and Pathways to 30x30 Strategy pursuant
to Provision 1 in Program 2430-Land Resource Protection.
|
||||||
(7) |
Item 3480-103-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). $6,000,000 of the amount appropriated for implementation
of projects consistent with the State’s Natural and Working Lands Climate Smart Strategy and Pathways to 30x30 Strategy pursuant
to Provision 1 in Program 2430-Land Resource Protection.
|
||||||
(8) | Technical Item 3480-501-0001, transferred by Executive Order E 22/23-78, pursuant to Section 19.54 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021) and Sections 35, 36, and 37 of Chapter 574 of the Statutes of 2022. $103,000 of the amount transferred. |
3540-101-3371—For local assistance, Department of Forestry and Fire Protection, payable from the Aliso Canyon Recovery Account
........................
|
15,000,000 | ||||||
Schedule: | |||||||
(1) | 2470-Resource Management ........................ | 15,000,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in this item shall be available for encumbrance or expenditure until June 30, 2027, and liquidation until June 30, 2030, for support or local assistance. Not more than 10 percent of the amount appropriated in this item may be used for administrative support costs. | ||||||
2. | The funds appropriated in this item shall be available for school greening activities for local educational agencies that are located in the “Aliso Canyon Disaster Area” in the City of Los Angeles communities of Porter Ranch, Granada Hills, Northridge, Chatsworth, North Hills, Canoga Park, Reseda, Winnetka, West Hills, Van Nuys, and Lake Balboa. |
3540-490—Reappropriation, Department of Forestry and Fire Protection. 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 as specified below:
|
|||||||
0001—General Fund | |||||||
(1) | Item 3540-301-0001, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Item 3540-490, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023), and as partially reverted by Item 3540-495, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), shall be available for encumbrance or expenditure until June 30, 2025. | ||||||
(16) | 0005192 - Fresno Air Attack Base: Infrastructure Improvements | ||||||
(a) | Preliminary plans | ||||||
(b) | Working drawings | ||||||
(17) | 0005193 – Ramona Air Attack Base: Infrastructure Improvements | ||||||
(a) | Preliminary plans | ||||||
(b) | Working drawings | ||||||
(18) | 0005212 – Paso Robles Air Attack Base: Infrastructure Improvements | ||||||
(a) | Preliminary plans | ||||||
(1) | Item 3540-301-0001, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), and as partially reverted by Item 3540-495, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), shall be available for encumbrance or expenditure until June 30, 2027. | ||||||
(4) | 0003210-Perris Emergency Command Center: Remodel Facility | ||||||
(a) | Construction | ||||||
(2) | Item 3540-301-0001, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), as reappropriated by Item 3540-490, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), and Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023), shall be available for encumbrance or expenditure until June 30, 2025. | ||||||
(14) | 0005212 – Paso Robles Air Attack Base: Infrastructure Improvements | ||||||
(a) | Working drawings | ||||||
(15) | 0006678 – Chico Air Attack Base: Infrastructure Improvements | ||||||
(a) | Preliminary plans | ||||||
(b) | Working drawings | ||||||
(3) | Item 3540-301-0001, Budget Act of 2021 (Chs. 21, 69, 240, Stats. 2021), shall be available for encumbrance or expenditure until June 30, 2025. | ||||||
(9) | 0003213 - Alhambra Valley Fire Station: Relocate Facility | ||||||
(a) | Acquisition | ||||||
(10) | 0005014 - Elsinore Fire Station: Relocate Facility | ||||||
(a) | Acquisition | ||||||
(17) | 0006679 - Intermountain Conservation Camp: Replace Facility | ||||||
(a) | Acquisition | ||||||
(19) | 0006682 - Kneeland Helitack Base: Relocate Facility | ||||||
(a) | Acquisition | ||||||
(21) | ) 0008424 - Boggs Mountain Helitack Base: Relocate Facility | ||||||
(a) | Acquisition | ||||||
(23) | 0008988 - Riverside Unit Headquarters: Relocate Facility | ||||||
(a) | Acquisition | ||||||
(3) | Item 3540-301-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as reappropriated by Item 3540-490, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), and Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023), shall be available for encumbrance or expenditure until June 30, 2025. | ||||||
(2) | 0000176-Higgins Corner Fire Station: Replace Facility | ||||||
(a) | Preliminary plans | ||||||
(5) | 0001378-Butte Fire Center: Replace Facility | ||||||
(a) | Working drawings | ||||||
(7) | 0001380-Macdoel Fire Station: Relocate Facility | ||||||
(a) | Preliminary plans | ||||||
(8) | 0003211-Prado Helitack Base: Replace Facility | ||||||
(a) | Working drawings | ||||||
(12) | 0005020-Hemet Ryan Air Attack Base: Replace Facility | ||||||
(a) | Working drawings | ||||||
(15) | 0005192-Fresno Air Attack Base: Infrastructure Improvements | ||||||
(a) | Construction | ||||||
(16) | 0005193-Ramona Air Attack Base: Infrastructure Improvement | ||||||
(a) | Construction | ||||||
(18) | 0006681-Howard Forest Helitack Base: Replace Facility | ||||||
(a) | Preliminary plans | ||||||
(4) | Item 3540-301-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), and as reappropriated by Item 3540-490, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023), shall be available for encumbrance or expenditure until June 30, 2025. | ||||||
(1) | 0000176-Higgins Corner Fire Station: Replace Facility | ||||||
(a) | Working drawings | ||||||
(5) | 0000971-Shasta Trinity Unit Headquarters/Northern Operations: Relocate Facilities | ||||||
(a) | Working drawings | ||||||
(6) | 0001380-Macdoel Fire Station: Relocate Facility | ||||||
(a) | Working drawings | ||||||
(6.5) | 0003210-Perris Emergency Command Center: Remodel Facility | ||||||
(a) | Working drawings | ||||||
(8) | 0005032-Hollister Air Attack Base/Bear Valley Helitack Base: Relocate Facility | ||||||
(a) | Preliminary plans | ||||||
(13) | 0006681-Howard Forest Helitack Base: Replace Facility | ||||||
(a) | Working drawings | ||||||
(14) | 0008987-Columbia Helitack Base: Replace Facility | ||||||
(a) | Preliminary plans | ||||||
(15) | 0008989-L.A. Moran Reforestation Center Improvements | ||||||
(a) | Preliminary plans | ||||||
(19) | 0009701-Self-Generating Power Projects in Tehama-Glenn and Fresno-Kings Units | ||||||
(a) | Preliminary plans | ||||||
(5) | Item 3540-301-0001, Budget Act 2023 (Chs. 12, 38, 189, Stats. 2023), shall be available for encumbrance or expenditure until June 30, 2025. | ||||||
(1) | 0009701-Self-Generating Power Projects in Tehama-Glenn and Fresno-Kings Units | ||||||
(a) | Working drawings | ||||||
(2) | 0008989-L.A. Moran Reforestation Center Improvements | ||||||
(a) | Working drawings | ||||||
(4) | 0011022-Rohnerville Air Attack Base: Replace Fuel System | ||||||
(a) | Preliminary plans | ||||||
(b) | Working drawings | ||||||
(8) | 0005023-Growlersburg Conservation Camp: Replace Facility | ||||||
(a) | Working drawing | ||||||
0660—Public Building Construction Fund | |||||||
(6) | Item 3540-301-0660, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017), as reappropriated by Item 3540-490, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), shall be available for encumbrance or expenditure until June 30, 2027. | ||||||
(1) | 0000165 - Badger Forest Fire Station: Replace Facility | ||||||
(a) | Construction |
3600-102-0001—For local assistance, Department of Fish and Wildlife
........................
|
1,000,000 | ||||||
Schedule: | |||||||
(1) | 2590-Biodiversity Conservation Program ........................ | 1,000,000 | |||||
Provisions: | |||||||
1. | The amounts appropriated in this item shall be utilized for the California Winter Rice Habitat Incentive Program. | ||||||
2. | The amounts appropriated in this item shall be available for encumbrance or expenditure until June 30, 2026. | ||||||
3. | Up to 5 percent of the amounts appropriated in this item may be used for administrative costs. |
3640-101-0001—For local assistance, Wildlife Conservation Board
........................
|
10,200,000 | ||||||
Schedule: | |||||||
(1) | 2710—Wildlife Conservation Board ........................ | 10,200,000 | |||||
Provisions: | |||||||
1. | The amounts appropriated in this item are available for encumbrance or expenditure until June 30, 2026. | ||||||
2. | Up to 5 percent of the amount appropriated in this item may be used for administrative costs. | ||||||
3. | Of the amounts appropriated in this item, as part of the performance criteria phase, $200,000 shall be available for a grant to a non-profit organization to prepare a study to develop recommendations for the conservation and enhancement of the Sonoma Valley Wildlife Corridor, Sonoma Creek and other public trust resources of the former Sonoma Developmental Center property in Glen Ellen, CA. The study shall include (1) a baseline of current habitat conditions and wildlife use of the property, (2) designation of areas most appropriate for limited development and public use to protect sensitive wildlife habitat, and (3) design guidelines that recommend avoidance, minimization and mitigation measures for the any known development plans for the property. The study shall consider the possible direct and cumulative impacts on wildlife and habitat from the redevelopment plans for the core campus submitted to Sonoma County, the proposed siting of a new regional headquarters and fire station for CalFire, and addition of portions of the property to Jack London State Historic Park. | ||||||
4. | Of the funds appropriated in this item, $10,000,000 shall be available for Point Reyes for conservation projects that will enhance coastal wetland resilience, restore tule elk habitat and native vegetation, and improve public access in Point Reyes National Seashore. |
3790-101-0001—For local assistance, Department of Parks and Recreation
........................
|
11,765,000 | ||||||
Schedule:
|
|||||||
(1) |
2855047-Local Grants
........................
|
11,765,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in Schedule (1) shall be available for the following:
|
||||||
(a) |
$3,000,000 shall be available for a grant to the California Museum.
|
||||||
(b) | $165,000 shall be available for the YMCA of Metropolitan Los Angeles, North Valley YMCA renovations. | ||||||
(c) | $1,000,000 shall be available for the City of Los Banos, Colorado Ballpark renovation and ADA upgrades. | ||||||
(d) | $2,000,000 shall be available for the City of Long Beach for improvements to Hudson Park. | ||||||
(e) | $1,000,000 shall be available for the South Fullerton Community Recreation Center rehabilitation project. | ||||||
(f) | $4,600,000 shall be available for the City of Sacramento for the Sacramento Riverfront Safety and Pedestrian Access Restoration Project. |
3790-491—Reappropriation, Department of Parks and Recreation. Unless otherwise specified, 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 as specified below:
|
|||||||
0001—General Fund | |||||||
(1) | Up to $9,013,000 from Provision 1(a) of Item 3790-004-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), until June 30, 2027. Notwithstanding any other law, this funding is reappropriated to support the Next Generation Recreation Sales and Reservations Management solution. | ||||||
(2) | Up to $14,000,000 of Item 3790-003-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023), until June 30, 2027. Notwithstanding any other law, this funding is reappropriated for costs associated with the 2023–24 Winter Storm Damage: Statewide Repairs and Adaptation project. | ||||||
(3) | Item 3790-006-001, Budget Act of 2022 (Chs 43, 45, and 249, Stats. 2022), until June 30, 2028. The Department of Parks and Recreation is exempted from any applicable provision of law requiring competitive bidding and the supervision or approval of another department or agency of state government, with the exception of the Department of General Services, for the procurement of or contracting with vendors for forest health, fire prevention, fuels reduction, vegetation management, or environmental review, up to the amount appropriated in these items. | ||||||
(4) | Item 3790-006-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023), until June 30, 2028. The Department of Parks and Recreation is exempted from any applicable provision of law requiring competitive bidding and the supervision or approval of another department or agency of state government, with the exception of the Department of General Services, for the procurement of or contracting with vendors for forest health, fire prevention, fuels reduction, vegetation management, or environmental review, up to the amount appropriated in these items. | ||||||
(5) | Up to $42,183,000 from subprovision (a) of Provision 1 of Item 3790-004-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), until June 30, 2028, as partially reverted by Item 3790-495 of this Budget Act, for deferred maintenance projects. | ||||||
(6) | Up to $8,074,000 from subprovision (c) of Provision 1 of Item 3790-004-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), until June 30, 2028. | ||||||
(7) | Up to $4,561,000 of paragraph (12) of subdivision (f) of Section 19.57, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as allocated to Item 3790-004-0001 for deferred maintenance projects, until June 30, 2028. |
3790-492—Reappropriation, Department of Parks and Recreation. Notwithstanding any other law, the period to liquidate encumbrances
of the following citations is extended to June 30, 2025:
|
|||||||
0001—General Fund | |||||||
(1) | Up to $1,517,000 of the amount appropriated in item 3790-101-0001, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reappropriated by Item 3790-493, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(2) | Up to $1,705,000 of the amount appropriated in item 3790-101-0001, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reappropriated by Item 3790-493, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(3) | Item 3790-101-0001, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by 3790-493, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(4) | Item 3790-001-0001, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019) , as reappropriated by 3790-490, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
0392—State Parks and Recreation Fund | |||||||
(1) | Item 3790-002-0392, Budget Act of 2019 (Chs. 23, and 55, Stats. 2019), as reappropriated by 3790-490, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(2) | Item 3790-002-0392, Budget Act of 2020 (Chs. 6, and 7, Stats. 2020). |
3790-496—Reversion, Department of Parks and Recreation. As of June 30, 2024, the unencumbered balances of the appropriations provided
in the following citations shall revert to the fund balances of the funds from which the appropriations were made:
|
|||||||
6051—Safe Drinking Water, Water Quality and Supply, Flood Control, River and Coastal Protection Fund of 2006 | |||||||
(1) | Item 3790-301-6051, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Item 3790-491, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), Item 3790-491, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), 3790-491, Budget Act of 2022 (Chs.43, 45, and 249, Stats. 2022). | ||||||
(3) | 0001451-Lake Oroville SRA: Bidwell Canyon Gold Flat Campground | ||||||
(a) | Construction |
3835-491—Reappropriation, Baldwin Hills and Urban Watersheds Conservancy. 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:
|
|||||||
6029—California Clean Water, Clean Air, and Coastal Protection Fund | |||||||
(1) | Item 3835-301-6029, Budget Act of 2015 (Chs. 10 and 11, Stats. 2015), as reappropriated by Item 3835-490, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reappropriated by Item 3835-490, Budget Act of 2021 (Ch. 21, 69, and 240, Stats. 2021). |
3855-102-6088—For local assistance, Sierra Nevada Conservancy, payable from the California Drought, Water, Parks, Climate, Coastal Protection,
and Outdoor Access For All Fund
........................
|
5,000,000 | ||||||
Schedule: | |||||||
(1) | 3220-Sierra Nevada Conservancy ........................ | 5,000,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in this item shall be available for a grant to the 40 Acre Conservation League for purposes consistent with paragraph (9) of subdivision (b) of Section 80110 or subdivision (c) of Section 80135 of the Public Resources Code and Sierra Nevada Conservancy grant guidelines. Except for any portion of this funding that is proposed to be used specifically for the acquisition of fee title or a conservation easement in real property, no funding from this appropriation shall be awarded until 40 Acre Conservation League has completed acquisition of the project property. | ||||||
2. | The funds appropriated in this item shall be available for encumbrance or expenditure until June 30, 2026. |
3860-101-3228—For local assistance, Department of Water Resources, payable from the Greenhouse Gas Reduction Fund
........................
|
109,335,000 | ||||||
Schedule: | |||||||
(1) | 3230-Continuing Formation of the California Water Plan ........................ | 109,335,000 | |||||
Provisions: | |||||||
1. | The amounts appropriated in this item may be transferred to the Water Resources Revolving Fund for direct expenditure in such amounts as needed to meet operational needs. | ||||||
2. | The funds appropriated in Schedule (1) shall be available for local assistance or state operations. | ||||||
3. | Up to 5 percent of the amount appropriated in this item may be used for administrative costs. | ||||||
4. | The funds appropriated in this item shall be available for encumbrance or expenditure until June 30, 2026. | ||||||
5. | The funds appropriated in this item shall not be subject to the provisions of subdivision (b) of Section 15.14. |
3860-301-3228—For capital outlay, Department of Water Resources, payable from the Greenhouse Gas Reduction Fund
........................
|
186,000,000 | ||||||
Schedule: | |||||||
(1) | 0000743-Urban Flood Risk Reduction ........................ | 1,000 | |||||
(a) | Construction ........................ | 1,000 | |||||
(2) | 0000745-Systemwide Flood Risk Reduction ........................ | 125,999,000 | |||||
(a) | Construction ........................ | 125,999,000 | |||||
(3) | 0000958-Salton Sea Management Plan ........................ | 60,000,000 | |||||
(a) | Construction ........................ | 60,000,000 | |||||
Provisions: | |||||||
1. | Notwithstanding existing law, the funds appropriated in this item shall be available for encumbrance or expenditure until June 30, 2029. | ||||||
2. | Eligible uses for the funds appropriated in Schedule (1)(a) and (2)(a) include multibenefit flood management projects, which may include land acquisitions and easements, that reduce risks to public safety and provide improvement to wildlife habitat. To the extent feasible, preference shall be given to natural infrastructure projects and projects that improve climate resiliency. | ||||||
3. | Notwithstanding Section 26.00, funds may be transferred, upon approval of the Department of Finance, between Schedule (1) and (2). | ||||||
4. | The funds appropriated in this item shall not be subject to the provisions of subdivision (b) of Section 15.14. |
3860-490—Reappropriation, Department of Water Resources. The amounts specified 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, 2026:
|
|||||||
0001—General Fund | |||||||
(1) | Up to $9,815,000 in Schedule (2) of Item 3860-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021) as amended by Chapter 44 of the Statutes of 2022 for the State Power Augmentation Program. | ||||||
(2) | Up to $100,384,000 in Schedule (3) of Item 3860-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(3) | Up to $10,744,000 in Schedules (1)(a), (b), and (c) of Item 3860-101- 0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(4) | Up to $9,000 in Schedule (2) of Item 3860-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(5) | Up to $10,878,000 in Schedule (2) of Item 3860-301-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(6) | Up to $14,270,000 in Schedule (2) of Item 3860-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for the State Power Augmentation Program. | ||||||
(7) | Up to $12,450,000 in subparagraph (A) of paragraph (4) of subsection (a) of Section 35 of Chapter 574 of the Statutes of 2022. | ||||||
(8) | Up to $9,731,000 in Schedule (2) of Item 3860-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for the State Power Augmentation Program. | ||||||
(9) | Up to $41,742,000 in Item 3860-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(10) | Up to $2,278,000 of Item 3860-101-0001, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), as reappropriated by Item 3860-490, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). |
3860-491—Reappropriation, Department of Water Resources. Notwithstanding any other law, the period to liquidate encumbrances of the
following citations is extended until June 30, 2026:
|
|||||||
0001—General Fund | |||||||
(1) | Up to $20,000 in Schedule (1) of Item 3860-001-0001, Budget Act of 2014 (Chs. 25 and 663, Stats. 2014), as reappropriated by Item 3860-490, Budget Act of 2015 (Chs. 10 and 11, Stats. 2015), as reappropriated by Item 3860-491, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017), as reappropriated by Item 3860-494, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reappropriated by Item 3860-494, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Item 3860-491, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(2) | Up to $2,090,000 in Schedule (3) of Item 3860-001-0001, Budget Act of 2019 (Chs. 23 and 55, Stats 2019), as reappropriated by Item 3860-491, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as reappropriated by Item 3860-491, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(3) | Up to $1,125,000 in Schedule (1) of Item 3860-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(4) | Up to $3,674,000 in Schedule (3) of Item 3860-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(5) | Up to $98,000 in Schedule (4) of Item 3860-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(6) | Up to $4,951,000 of subdivision (e) of Section 19.56, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), for Alameda County Flood Control, City of Corcoran, and San Joaquin Area Flood Control Agency. | ||||||
0140—California Environmental License Plate Fund | |||||||
(1) | Item 3860-001-0140, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
0465—Energy Resources Programs Account | |||||||
(1) | Item 3860-001-0465, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
3057—Dam Safety Fund | |||||||
(1) | Item 3860-001-3057, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(2) | Item 3860-004-3057, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
3100—Department of Water Resources Electric Power Fund | |||||||
(1) | Item 3860-001-3100, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
9749—CalConserve Water Use Efficiency Revolving Fund | |||||||
(1) | Section 21 of Chapter 27 of the Statutes of 2015, as reappropriated by Item 3860-491, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reappropriated by Item 3860-490, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020). |
3860-495—Reversion, Department of Water Resources. Notwithstanding any other law, as of June 30, 2024, 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.
|
|||||||
0001—General Fund
|
|||||||
(2) |
$50,000,000 of the amount allocated for dam safety in Schedule (3) of Item 3860-101-0001, Budget Act of 2023 (Chs. 12, 38,
and 189,
Stats. 2023).
|
||||||
(3) | $21,586,000 of the amount allocated for the Save Our Water program in Schedule (1) of Item 3860-001-3398, Budget Act of 2022 (Chs. 43, 45, 249, Stats. 2022). | ||||||
(4) | $6,835,000 of the amount allocated for the Salton Sea in Schedule (1)(a) of Item 3860-102-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(5) | $10,999,000 of the amount allocated for the water tank program in Schedule (1) of Item 3860-001-3398, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(6) | $27,000,000 of the amount allocated for Systemwide Flood Risk Reduction of subschedule (a) of Schedule (2) of Item 3860-301-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(7) | $60,000,000 of the amount allocated for Systemwide Flood Risk Reduction of subschedule (b) of Schedule (2) of Item 3860-301-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(8) | $39,000,000 of the amount allocated for Systemwide Flood Risk Reduction in Schedule (2)(a) of Item 3860-301-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(9) | $1,312,000 of the amount allocated for drought proofing conveyance and Sustainable Groundwater Management Act implementation in Section 35 of Chapter 574 of the Statutes of 2022. | ||||||
(10) | $29,517,000 of the amount allocated for habitat restoration in Schedule (1)(h) of Item 3860-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(11) | $72,983,000 of the amount allocated for habitat restoration in Provision 7 of Item 3860-101-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(12) | $31,500,000 of the amount allocated for the Clean Energy Reliability Investment: Plan Central Procurement Function in Schedule (2) of Item 3860-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(13) | $3,400,000 of the amount allocated for Data, Research, and Communications in Schedule (3) of Item 3860-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(14) | $7,300,000 of the amount allocated for Small Supplier Water Conservation Assistance Program in Item 3860-101-3398, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). |
3860-496—Reversion, Department of Water Resources. As of June 30, 2024, 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.
|
|||||||
6051—Safe Drinking Water, Water Quality and Supply, Flood Control, River and Coastal Protection Fund of 2006 | |||||||
(1) | $14,299,000 in Item 3860-101-6051, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020). | ||||||
6083—Water Quality, Supply, and Infrastructure Improvement Fund of 2014 | |||||||
(1) | $394,842 in Schedule (1) of Item 3860-004-6083, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017), as reappropriated by Item 3860-490, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Control Section 20.00, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(2) | $1,858,244 in Schedule (2) of Item 3860-001-6083, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Control Section 20.00, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(3) | $2,956,955 in Schedule (2) of Item 3860-001-6083, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as reappropriated by Control Section 20.00, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(4) | $6,500,000 of the amount allocated for the San Joaquin River Restoration Program in Schedule (2) of Item 3860-301-6083, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
6088—California Drought, Water, Parks, Climate, Coastal Protection, and Outdoor Access for All Fund | |||||||
(1) | $10,000,000 of the amount appropriated for the Butte Slough Outfall Gates project in Item 3860-301-6088 in Schedule (2)(a) from the Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Control Section 20.00, Budget Act of 2022 (Chs. 43, 45, and 249, Stats, 2022). | ||||||
(2) | $5,000,000 of the amount appropriated for the Butte Slough Outfall Gates project in Item 3860-301-6088 in Schedule (2)(b) from the Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Control Section 20.00, Budget Act of 2022 (Chs. 43, 45, and 249, Stats, 2022). | ||||||
(3) | $1,220,000 of the amount appropriated for the Urban Streams Restoration Program in Schedule (1) of Item 3860-101-6088 from the Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Section 20.00, Budget Act of 2022 (Chs., 43, 45, and 249, Stats. 2022.) |
3900-001-0115—For support of State Air Resources Board, payable from the Air Pollution Control Fund
........................
|
86,258,000 | ||||||
Schedule:
|
|||||||
(1) |
3500-Mobile Source
........................
|
45,490,000 | |||||
(2) |
3505-Stationary Source
........................
|
33,889,000 | |||||
(3) |
3510-Climate Change
........................
|
1,419,000 | |||||
(4) |
3530-Community Air Protection
........................
|
5,010,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in Schedule (1) and Schedule (2) includes revenues derived from the assessment of fines and penalties
imposed as specified in Section 13332.18 of the Government Code.
|
3900-001-3359—For support of State Air Resources Board, payable from the Certification and Compliance Fund
........................
|
45,998,000 | ||||||
Schedule:
|
|||||||
(1) |
3500-Mobile Source
........................
|
45,998,000 |
3900-101-0001—For local assistance, State Air Resources Board
........................
|
2,000,000 | ||||||
Schedule: | |||||||
(1) | 3500-Mobile Source ........................ | 2,000,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in Schedule (1) shall be used for the Funding Agricultural Replacement Measures for Emission Reductions Program. | ||||||
2. | Not more than 5 percent of the amounts appropriated in this item may be used for administrative costs. The funds in this item shall be available for encumbrance or expenditure until June 30, 2027, and shall be available for liquidation until June 30, 2029. |
3900-102-3228—For local assistance, State Air Resources Board, payable from the Greenhouse Gas Reduction Fund
........................
|
53,000,000 | ||||||
Schedule: | |||||||
(1) | 3500-Mobile Source ........................ | 53,000,000 | |||||
Provisions: | |||||||
1. | Of the amount specified in Schedule (1), $53,000,000 is allocated for emerging opportunities within zero-emission vehicles, zero-emission vehicle components, and zero-emission vehicle charging or refueling equipment, established under Section 39719.2 of the Health and Safety Code and shall be available for local assistance or state operations. | ||||||
2. | Not more than 5 percent of the amounts appropriated in this item may be used for administrative costs. The funds in this item shall be available for encumbrance or expenditure until June 30, 2026, and shall be available for liquidation until June 30, 2030. |
3900-490—Reappropriation, State Air Resources Board. The amount specified 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:
|
|||||||
3228—Greenhouse Gas Reduction Fund | |||||||
(1) | Up to $36,000,000 of the amount authorized by Provision 1(b) of Item 3900-101-3228 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
3237—Cost of Implementation Account, Air Pollution Control Fund | |||||||
(1) | Up to $1,000,000 of the amount appropriated in Schedule (1) of Item 3900-002-3237 of the Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) related to the Low Carbon Fuel Standard Registration and Reporting Tool project. | ||||||
(2) | Up to $1,800,000 of the amount appropriated in Schedule (1) of Item 3900-002-3237 of the Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) related to the Low Carbon Fuel Standard Registration and Reporting Tool project. | ||||||
(3) | Up to $2,000,000 of the amount appropriated in Schedule (1) of Item 3900-001-3237 of the Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) related to the implementation of Chapter 352 of the Statutes of 2022 (AB 2446). | ||||||
(4) | Up to $850,000 of the amount appropriated in Schedule (1) of Item 3900-001-3237 of the Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) related to the implementation of Chapter 359 of the Statutes of 2022 (SB 905). |
3900-491—Reappropriation, State Air Resources Board. Notwithstanding any other law, the period to liquidate encumbrances of the following
citations is extended to June 30, 2025.
|
|||||||
3228—Greenhouse Gas Reduction Fund | |||||||
(1) | Up to $692,000 in Provision 2 of Item 3900-101-3228 of the Budget Act of 2016 (Ch. 23, Stats. 2016) as added by Chapter 370 of the Statutes of 2016, as reappropriated by Item 3900-491 of the Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) and the Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Items 3900-490 and 3900-492, of the Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), and reappropriated by Item 3900-491 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(2) | Up to $957,000 in Provision 3 of Item 3900-101-3228 of the Budget Act of 2016 (Ch. 23, Stats. 2016) as added by Chapter 370 of the Statutes of 2016, as reappropriated by Item 3900-491 of the Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) and the Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), as reappropriated by Items 3900-490 and 3900-492 of the Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), and reappropriated by Item 3900-491 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(3) | Up to $654,000 of Provision 2(b) of Item 3900-101-3228 of the Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reappropriated by Item 3900-491 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(4) | Up to $10,124,000 of Provision 2(c) of Item 3900-101-3228 of the Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reappropriated by Item 3900-491 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(5) | Item 3900-101-3228, Budget Act of 2019 (Chapter 23, and 55, Stats. 2019), as reappropriated by Item 3900-490, Budget Act of 2021 (Ch. 21, 69, and 240, Stats. 2021). | ||||||
(6) | Up to $115,000 from Item 3900-101-3228, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017), as reappropriated by Item 3900-490, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), Item 3900-490, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020), Item 3900-492, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), and Item 3900-490, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. of 2023). |
3900-492—Reappropriation, State Air Resources Board. 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.
|
|||||||
6054—California Ports Infrastructure, Security, and Air Quality Improvement Account, Highway Safety, Traffic Reduction, Air Quality, and Port Security Fund of 2006: | |||||||
(1) | Item 3900-101-6054, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reappropriated by Item 3900-493 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). |
3900-493—Reappropriation, State Air Resources Board. 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,
2027.
|
|||||||
0668—Public Buildings Construction Fund | |||||||
(1) | Item 3900-301-0668, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017), as reappropriated by Item 3900-493, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020) | ||||||
(1) | 0000691-ARB Southern California Consolidation Project | ||||||
(a) | Design-build |
3930-001-0106—For support of Department of Pesticide Regulation, payable from the Department of Pesticide Regulation Fund
........................
|
99,093,000 | ||||||
Schedule:
|
|||||||
(1) |
3540-Pesticide Programs
........................
|
99,703,000 | |||||
(2) |
Reimbursements to 3540-Pesticide Programs
........................
|
−610,000 | |||||
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. |
Of the funds available
in this item,
$1,900,000 is available to fund pest management research and alliance grants and shall be available for encumbrance
or expenditure until June 30, 2027.
|
||||||
4. | The amount appropriated in Schedule (1) for an agreement with the Department of Food and Agriculture to perform analytical chemistry testing shall be adjusted annually, as necessary, for state-negotiated employee compensation and benefit adjustments. | ||||||
3930-102-0106—For support of Department of Pesticide Regulation, payable from the Department of Pesticide Regulation Fund
........................
|
500,000 | ||||||
Schedule:
|
|||||||
(1) |
3540-Pesticide Programs
........................
|
500,000 | |||||
Provisions:
|
|||||||
1. |
The funds in this item shall be available to reimburse counties for community engagement activities and shall be available
for encumbrance or expenditure until June 30, 2026.
|
||||||
3970-001-0890—For support of Department of Resources Recycling and Recovery, payable from the Federal Trust Fund
........................
|
371,000 | ||||||
Schedule: | |||||||
(1) | 3700-Waste Reduction and Management ........................ | 371,000 |
3970-493—Reappropriation, Department of Resources Recycling and Recovery. 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, 2026:
|
|||||||
3408—California Circular Economy Fund | |||||||
(1) | Item 3970-001-3408, Budget Act of 2022 (Chs. 43, 45 and 249, Stats. 2022). |
4120-001-0001—For support of Emergency Medical Services Authority
........................
|
17,078,000 | ||||||
Schedule:
|
|||||||
(1) |
3820-Emergency Medical Services Authority
........................
|
30,128,000 | |||||
(2) |
Reimbursements to 3820-Emergency Medical Services Authority
........................
|
−13,050,000 |
4140-001-0001—For support of Department of Health Care Access and Information
........................
|
39,186,000 | ||||||
Schedule:
|
|||||||
(1) |
3831-Health Care Quality and Affordability
........................
|
30,350,000 | |||||
(2) |
3835-Health Care Workforce
........................
|
3,148,000 | |||||
(3) |
3855-Health Care Information and Quality Analysis
........................
|
4,743,000 | |||||
(4) |
3860-Administration
........................
|
5,688,000 | |||||
(5) |
Reimbursements to 3855-Health Care Information and Quality Analysis
........................
|
−4,743,000 | |||||
Provisions:
|
|||||||
1. |
The Department of Finance may authorize the transfer of
expenditure authority between this item and Item 4140-101-0001 to effectively administer the healthcare workforce programs
funded in these items.
|
||||||
2. |
Of the funds appropriated in Schedule (1), $700,000 is available to implement the CalRx Biosimilar Insulin Initiative.
|
||||||
3. |
Of the funds appropriated in Schedule (2), $100,000 is available to conduct evaluations for the Abortion Practical Support
Fund, pursuant to Ch. 566, Stats. 2022.
|
4140-495—Reversion, Department of Health Care Access and Information. As of June 30, 2024, 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.
|
|||||||
0001—General Fund
|
|||||||
(1) |
$50,000,000 in Provision 8 of Item 4140-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022).
|
||||||
(2) |
$7,000,000 in Provision 15(a) of Item 4140-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022).
|
||||||
(3) | $681,000 in Item 4140-001-0001, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), appropriated in Program 3835- Health Care Workforce related to the Song Brown and Workforce Education Training programs. | ||||||
(4) | $146,000 in Provision 1 of Item 4140-001-0001, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), related to the Song Brown program. | ||||||
(5) | $264,000 in Provision 1 of Item 4140-101-0001, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), related to the Song Brown program. | ||||||
(6) | $3,660,000 in Provision 4 of Item 4140-101-0001, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), related to the Mental Health Workforce Development Program. | ||||||
(7) | $1,186,000 in Provision 9 of Item 4140-101-0001, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), related to the Workforce Education Training program. | ||||||
(8) | $60,000,000 in Provision 7 of Item 4140-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), related to the Children and Youth Behavioral Health Initiative. | ||||||
(9) | $30,000,000 in Provision 13 of Item 4140-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), related to the Masters of Social Work program. | ||||||
(10) | $5,000,000 in Provision 14 of Item 4140-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), related to the Psychiatry Graduate Medical Education program. | ||||||
(11) | $6,525,000 in Provision 15(b) of Item 4140-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), related to the Psychiatry Local Behavioral Health program. | ||||||
(12) | $2,400,000 in Provision 3 of Item 4140-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), related to the Song Brown Residencies program. | ||||||
(13) | $67,250,000 in Provision 10 of Item 4140-101-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(14) | $2,200,000 in Provision 1 in Schedule (2) and $550,000 in Schedule (4) of Item 4140-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
3085—Mental Health Services Fund
|
|||||||
(1) |
$51,900,000 in Provision 1 of Item 4140-101-3085, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023).
|
||||||
(2) |
$48,500,000 in Provision 2 of Item 4140-101-3085, Budget Act of 2023
(Chs. 12, 38, and 189, Stats. 2023).
|
||||||
(3) |
$52,000,000 in Provision 3 of Item 4140-101-3085, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023).
|
||||||
(4) |
$30,000,000 in Provision 4 of Item 4140-101-3085, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023).
|
||||||
(5) |
$14,000,000 in Provision 5 of Item 4140-101-3085, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023).
|
||||||
3397—Opioid Settlements Fund
|
|||||||
(1) |
$5,000,000 in Provision 1 of Item 4140-101-3397, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023).
|
4260-101-0001—For local assistance, State Department of Health Care Services, California Medical Assistance Program, payable from the Health
Care Deposit Fund after transfer from the General Fund
........................
|
33,500,679,000 | ||||||
Schedule:
|
|||||||
(1) | 3960014-Eligibility (County Administration) ........................ | 0 | |||||
(2) |
3960015-County and Other Local Assistance Administration
........................
|
1,569,652,000 | |||||
(3) |
3960022-Benefits (Medical Care and Services)
........................
|
34,411,452,000 | |||||
(4) |
Reimbursements to 3960015-County and Other Local
Assistance Administration
........................
|
−45,317,000 | |||||
(5) |
Reimbursements to 3960022-Benefits (Medical Care and Services)
........................
|
−2,435,108,000 | |||||
Provisions:
|
|||||||
1. |
The aggregate principal amount of disproportionate share hospital general obligation debt that may be
issued in the current fiscal year pursuant to subparagraph (A) of paragraph (2) of subdivision (f) of Section 14085.5
of the Welfare and Institutions Code shall be $0.
|
||||||
2. |
Notwithstanding any other law, both the federal and nonfederal shares of any moneys recovered for previously paid health care
services, provided pursuant to Chapter 7 (commencing with Section 14000) of Part 3 of Division 9 of the Welfare and Institutions
Code, are hereby appropriated and shall be expended as soon as practicable for medical care and services as defined in the
Welfare and Institutions Code.
|
||||||
3. |
Notwithstanding any other law, accounts receivable for recoveries as described in
Provision 2 shall have no effect upon the positive balance of the General Fund or the Health Care Deposit Fund. Notwithstanding
any other law, moneys recovered as described in this item that are required to be transferred from the Health Care Deposit
Fund to the General Fund shall be credited by the Controller to the General Fund without regard to the appropriation from
which it was drawn.
|
||||||
4. |
Without regard to fiscal year, the General Fund shall make one or more loans available not to exceed a cumulative total of
$45,000,000 to be transferred as needed to the Health Care Deposit Fund to meet cash needs. All moneys so transferred shall
be repaid as soon as sufficient reimbursements have been collected to meet immediate cash needs and in installments as reimbursements
accumulate if the loan is outstanding for more than one
year.
|
||||||
5. |
Notwithstanding any other law, the State Department of Health Care Services may give public notice relative to proposing or
amending any rule or regulation or administrative directive that could result in increased costs in the Medi-Cal program only
after approval by the Department of Finance. Additionally, any rule or regulation adopted by the State Department of Health
Care Services and any communication that increases costs in the Medi-Cal program shall be effective only after the date upon
which it is approved by the Department of Finance.
|
||||||
6. |
Change orders to the medical or the dental fiscal intermediary contract for amounts exceeding a total cost
of $250,000 shall be approved by the Department of Finance not sooner than 30 days after written notification of the
change order is provided to the chairpersons of the fiscal and policy committees in each house of the Legislature and to the
Chairperson of the Joint Legislative Budget Committee, or not sooner than whatever lesser time after that notification as
the chairperson of the joint committee, or the chairperson’s designee, may determine. The semiannual estimates of Medi-Cal
expenditures provided to the Legislature in January and May may constitute the notification required by this provision.
|
||||||
7. |
Recoveries of advances made to counties in prior years pursuant to Section 14153 of the Welfare and Institutions Code are
reappropriated to the Health Care Deposit Fund for reimbursement of those counties where allowable costs exceeded
the amounts advanced. Recoveries in excess of the amounts required to fully reimburse allowable costs shall be transferred
to the General Fund. When a projected deficiency exists in the California Medical Assistance Program, these funds, subject
to notification to the Chairperson of the Joint Legislative Budget Committee, are appropriated and shall be expended as soon
as practicable for the state’s share of payments for medical care and services and county and other local assistance administration.
|
||||||
8. |
The Department of Finance may transfer funds representing all or any portion of any estimated savings that are a result of
improvements in the Medi-Cal claims processing procedures from the Medi-Cal services budget or the support budget of the State
Department of Health Care Services (Item 4260-001-0001) to the fiscal intermediary budget
item for purposes of making improvements to the Medi-Cal claims system.
|
||||||
9. |
Notwithstanding any other law, the Department of Finance may authorize the transfer of expenditure authority between schedules
within this item and between this item and Items 4260-102-0001, 4260-111-0001, 4260-114-0001, and 4260-117-0001 in order to
effectively administer the programs funded in these items. The Department of Finance may revise reimbursement authority in
this item in order to effectively administer the programs funded in those items. The Department of Finance shall notify the
Legislature within 10 days of authorizing such a transfer unless prior notification of the transfer has been included in the
Medi-Cal estimates submitted pursuant to Section 14100.5 of the Welfare and Institutions Code. The 10-day notification to
the Legislature shall
include the reasons for the transfer, the fiscal assumptions used in calculating the transfer amount, and any potential
fiscal effects on the program from which funds are being transferred or for which funds are being reduced.
|
||||||
10. |
If a federal grant that provides 75 percent federal financial participation to allow individuals in nursing homes to voluntarily
move into a community setting and still receive the same amount of funding for services is awarded to the State Department
of Health Care Services during the current fiscal year, then, notwithstanding any other law, the department may count expenditures
from the appropriation made to this item as state matching funds for that grant.
|
||||||
11. |
Notwithstanding any other law, the Department of Finance may authorize an increase to this appropriation to address costs
resulting from adverse court rulings. The Department of Finance shall provide a 30-day notice of any proposed increase to
the Legislature. The notification shall include the specifics of any cases with adverse rulings and the overall fiscal impact.
Submission of the semiannual Medi-Cal estimate provided to the Legislature in January and May shall be considered meeting
the notification requirement of this provision if the required information is included in the estimate.
|
||||||
12. |
To the extent practicable and consistent with existing procedures, the State Department of Health Care Services, in its sole
discretion, shall seek favorable terms from the federal government regarding the
repayment of federal funds for state-only populations in order to minimize the annual impact on the General Fund in
any individual fiscal year.
|
||||||
13. | (a) |
Of the funds appropriated in this item, $132,500,000 is available to implement the Behavioral Health Bridge Housing Program
to award competitive grants to qualified counties and tribal entities to address the immediate housing and treatment needs
of people experiencing unsheltered homelessness who have serious behavioral health conditions.
|
|||||
(b) |
The State Department of Health Care Services shall determine the methodology and distribution of the grant
funds appropriated for the Behavioral Health Bridge Housing Program.
|
||||||
(c) |
An entity shall expend the funds to supplement, and not supplant, existing funds provided for the housing and treatment needs
of people experiencing unsheltered homelessness who have serious behavioral health conditions to receive grant funds.
|
||||||
(d) |
The Behavioral Health Bridge Housing Program shall be implemented only if, and to the extent that, the State Department of
Health Care Services determines that federal financial participation under the Medi-Cal program is not jeopardized.
|
||||||
(e) |
Notwithstanding Chapter 3.5 (commencing with Section 11340) of Part 1 of Division 3 of Title 2 of the Government Code, the
State Department of Health Care Services may implement, interpret, or make specific this provision, in whole or in part, by
means of information notices or other similar instructions, without taking any further regulatory action.
|
||||||
(f) |
For purposes of implementing the Behavioral Health Bridge Housing Program, the State Department of Health Care Services may
enter into exclusive or nonexclusive contracts, or amend existing contracts, on a bid or negotiated basis. Contracts entered
into or amended pursuant to this provision
shall be exempt from Chapter 6 (commencing with Section 14825) of Part 5.5 of Division 3 of Title 2 of the Government
Code, Section 19130 of the Government Code, Part 2 (commencing with Section 10100) of Division 2 of the Public Contract Code,
and the State Administrative Manual, and shall be exempt from review or approval of any division of the Department of General
Services.
|
||||||
16. |
Notwithstanding any other law, the Department of Finance may adjust amounts in this item, Item 4260-111-0001, or any other
related item resulting from the State Department of Health Care Services obtaining federal approval to claim federal financial
participation for expenditures associated with Designated State Health Programs as part of the CalAIM Demonstration. Within
30 days of making any adjustment pursuant to this provision, the Department of Finance
shall report the adjustment in writing to the Joint Legislative Budget Committee. Submission of the semiannual Medi-Cal
estimate provided to the Legislature in January and May shall be considered meeting the reporting requirement of this provision
if the required information is included in the estimate.
|
||||||
17. | (a) |
The nonfederal share amounts received by the department as monetary sanctions collected in the 2024–25 state fiscal year pursuant
to subdivision (g) of Section 14197.7 of the Welfare and Institutions Code shall, pursuant to paragraph (1) of subdivision
(q) of Section 14197.7 of the Welfare and Institutions Code, be deposited into the General Fund.
|
|||||
(b) |
This item shall be augmented by the amount deposited into the General Fund pursuant to subprovision (a), which shall be available
for encumbrance or expenditure until June 30, 2026, for the department to award grants to qualifying, non-profit legal aid
programs and organizations that serve Medi-Cal managed care enrollees in the County of Los Angeles or other impacted counties,
as necessary.
|
||||||
(c) |
The department shall determine the eligibility criteria, methodology, and distribution of funds appropriated in this provision.
|
||||||
(d) |
The department may
enter into exclusive or nonexclusive contracts, or amend existing contracts, on a bid or negotiated basis for purposes
of implementing this provision. Contracts entered into or amended pursuant to this provision shall be exempt from Chapter
6 (commencing with Section 14825) of Part 5.5 of Division 3 of Title 2 of the Government Code, Section 19130 of the Government
Code, Part 2 (commencing with Section 10100) of Division 2 of the Public Contract Code, and from the State Administrative
and State Contracting manuals, and shall be exempt from the review or approval of any division of the Department of General
Services.
|
||||||
19. | (a) |
Of the funds appropriated in Schedule (2), up to $10,000,000 is available for the Hearing Aid Coverage for Children Program
for the purpose of providing medically necessary hearing
aids and related services to eligible persons as described in subprovision (b).
|
|||||
(b) |
A person is eligible for the program described in this provision if they meet all of the following criteria:
|
||||||
(1) |
(A) The person is under 18 years of age; or
|
||||||
(B) |
effective January 1, 2023, the person is under 21
years of age.
|
||||||
(2) |
The person’s household income does not exceed 600 percent of the federal poverty level.
|
||||||
(3) |
The person is not eligible for the Medi-Cal program or the California Children’s Services Program.
|
||||||
(4) |
The person does not have health insurance coverage for hearing aids.
|
||||||
(c) |
For purposes of paragraph (4) of subprovision (b), a person is deemed to have no health insurance coverage if any of the following
apply:
|
||||||
(1) |
The person has no health insurance coverage.
|
||||||
(2) |
The person has health insurance coverage that excludes coverage for hearing aids.
|
||||||
(3) |
Effective January 1, 2023, the person has health insurance coverage that has a coverage limit of $1,500 or less for hearing
aids.
|
||||||
(d) |
The State Department of Health Care Services shall specify the benefits and services provided to eligible persons under the
program described in this provision. This shall include hearing aids, including bone conduction devices, when medically necessary.
|
||||||
(e) |
The State Department of Health Care Services shall develop processes to
ensure, to the extent practicable, health insurance coverage for hearing aids and related services covered pursuant
to this provision is used before the Hearing Aid Coverage for Children Program is billed.
|
||||||
(f) |
The State Department of Health Care Services may contract with public and private entities in order to implement this provision.
Contracts entered into or amended pursuant to this provision shall be exempt from Chapter 1 (commencing with Section 14600)
of Part 5.5 of Division 3 of Title 2 of the Government Code, Chapter 6 (commencing with Section 14825) of Part 5.5 of Division
3 of Title 2 of the Government Code, Article 4 (commencing with Section 19130) of Chapter 5 of Part 2 of Division 5 of Title
2 of the Government Code, Part 2 (commencing with Section 10100) of Division 2 of the Public Contract
Code, the State Contracting Manual and the State Administrative Manual, and shall be exempt from the review or approval
of any division of the State Department of General Services.
|
||||||
Notwithstanding Chapter 3.5 (commencing with Section 11340) of Part 1 of Division 3 of Title 2 of the Government Code, the
State Department of Health Care Services may implement, interpret, or make specific this provision, in whole or in part, by
means of provider bulletin or similar instructions, without taking any further regulatory action.
|
|||||||
20. | Of the amounts appropriated in Schedule (2), $16,870,000 is available for encumbrance or expenditure for the State Department of Health Care Services to support the development of a video series to provide parents with resources and skills to support their children’s mental health and to develop next generation digital supports for remote mental health assessment and intervention as a component of the Children and Youth Behavioral Health Initiative. | ||||||
21. | (a) | Of the amounts available in this item, $33,895,000 is available to reimburse counties for the cost of administering the Health Care Program for Children in Foster Care (HCPCFC) and California Children’s Services Compliance Monitoring and Oversight Program as described in subprovision (b). | |||||
(b) | (1) | For state fiscal year 2024–25, the State Department of Health Care Services shall authorize a county to deviate from the department’s established allocation staffing methodology governing the use of county HCPCFC administrative budget and California Children’s Services Compliance Monitoring and Oversight Program for the purposes of extending flexibility to the county regarding appropriate staffing necessary to implement and operationalize the HCPCFC program manual requirements and readiness activities for California Children’s Services Compliance Monitoring and Oversight Program. | |||||
(2) | To be eligible to deviate from the State Department of Health Care Services’ allocation staffing methodology as described in this subprovision, the county shall, by October 1, 2024, provide a report to the department articulating the proposed use of funds to support HCPCFC and California Children’s Services Compliance Monitoring and Oversight Program activities, including direct and indirect administrative costs. The report shall be approved through the county’s Board of Supervisors prior to submission to the State Department of Health Care Services, and the county shall provide proof of such approval. Any county that seeks authorization pursuant to this subprovision must submit reports detailing the use of funds in a form and manner required by the department. | ||||||
(3) | The State Department of Health Care Services shall report at time of budget committees on the number of counties that requested to deviate from the department’s methodology and a summary of the magnitude and nature of those requests. | ||||||
(4) | If a county deviating from the State Department of Health Care Services’ methodology is the subject of quality of care concerns or fails to meet performance measures for the applicable program during state fiscal year 2024–25, the department may revoke its authorization. | ||||||
(c) | Authority under this provision shall be granted only if, and to the extent that, the State Department of Health Care Services determines that federal financial participation under the Medi-Cal program is not jeopardized. | ||||||
(d) | Notwithstanding Chapter 3.5 (commencing with Section 11340) of Part 1 of Division 3 of Title 2 of the Government Code, the State Department of Health Care Services may implement, interpret, or make specific this provision, in whole or in part, by means of information notices or other similar instructions, without taking any further regulatory action. | ||||||
23. | Of the amount available in this item, $1,000,000 shall be for Hope the Mission for mobile mental health equipment and vehicles. | ||||||
24. | Of the amount available in this item, $25,000,000 shall be for the State Department of Health Care Services to make a direct payment to Martin Luther King. Jr. Community Hospital in South Los Angeles to support the hospital in 2024–25. | ||||||
25. | Of the amount available in this item, $5,000,000 shall be made available for one-time direct payment to Los Angeles County to support the development of an interim housing project at Metropolitan State Hospital. | ||||||
26. | Of the amount available in this item, $500,000 shall be made available for one-time direct payment to Humboldt County to support the Mad River Behavioral Health Crisis Triage Center. |
4260-101-3428—For local assistance, State Department of Health Care Services, payable from the Managed Care Enrollment Fund
........................
|
12,371,600,000 | ||||||
Schedule:
|
|||||||
(1) |
3960022-Benefits (Medical Care and Services)
........................
|
12,371,600,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item are available for expenditure pursuant to subdivision (d) of Section 14199.82 and subdivision
(c) of Section 14105.200 of the Welfare and Institutions Code.
|
||||||
2. |
To effectively administer the Medi-Cal program, the Department of Finance may decrease or increase the expenditure authority
in this item to conform the appropriation to revised revenue estimates pursuant to subdivision (d) of Section 14199.82 of
the Welfare and Institutions Code or to conform the appropriation to revised expenditure estimates pursuant to
subdivision (c) of Section 14105.200 of the Welfare and Institutions Code.
|
||||||
3. |
The Department of Finance shall notify the Joint Legislative Budget Committee within 10 days of authorizing a revision to
this item. Submission of the semiannual Medi-Cal estimate provided to the Legislature in January and May shall be considered
meeting the notification requirement of this provision if the required information is included in the estimate.
|
4260-101-3431—For local assistance, State Department of Health Care Services, payable from the Medi-Cal Provider Payment Reserve Fund
........................
|
424,000,000 | ||||||
Schedule:
|
|||||||
(1) |
3960022-Benefits (Medical Care and Services)
........................
|
424,000,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other law, upon order of the Department of Finance, funds appropriated in this item may be increased or
decreased, or transferred to any other item, or transferred to any new item the Department of Finance creates, in accordance
with the final budget agreement between the Governor and the Legislature on the use of these funds.
|
||||||
2. |
To effectively administer the Medi-Cal program, the Department of Finance may decrease or increase the expenditure authority
in this item to conform the
appropriation to revised revenue estimates pursuant to subdivision (d) of Section 14199.82 of the Welfare and Institutions
Code or to conform the appropriation to revised expenditure estimates pursuant to subdivision (c) of Section 14105.200 of
the Welfare and Institutions Code.
|
||||||
3. |
The Department of Finance shall notify the Joint Legislative Budget Committee within 10 days of authorizing a revision to
this item. Submission of the semiannual Medi-Cal estimate provided to the Legislature in January and May shall be considered
meeting the notification requirement of this provision if the required information is included in the estimate.
|
4260-117-0890—For local assistance, State Department of Health Care Services, payable from the Federal Trust Fund, for implementation of
the federal Health Insurance Portability and Accountability Act of 1996
........................
|
18,420,000 | ||||||
Schedule:
|
|||||||
(1) |
3960015-County and Other Local Assistance Administration
........................
|
18,420,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding any other law, the Department of Finance may authorize the transfer of expenditure authority between this
item and Items 4260-101-0890, 4260-102-0890, 4260-106-0890, 4260-111-0890, and 4260-114-0890 in order to effectively administer
the programs
funded in these items. The Department of Finance shall notify the Legislature within 10 days of authorizing such a transfer
unless prior notification of the transfer has been included in the Medi-Cal estimates submitted pursuant to Section 14100.5
of the Welfare and Institutions Code. The 10-day notification to the Legislature shall include the reasons for the transfer,
the fiscal assumptions used in calculating the transfer amount, and any potential fiscal effects on the program from which
funds are being transferred or for which funds are being reduced.
|
||||||
2. | (a) |
The Department of Finance is authorized to approve expenditures payable from the Federal Trust Fund (Item 4260-117-0890) in
those amounts made necessary by changes in either caseload or payments.
|
|||||
(b) |
If the Department of Finance determines that the estimate of expenditures will exceed the expenditures authorized for this
item, the department shall so report to the Legislature. At the time the report is made, the amount of the appropriation made
in this item shall be increased by the amount of the excess unless and until otherwise provided by law.
|
4260-118-3428—For transfer by the Controller, upon order of the Department of Finance, from the Managed Care Enrollment Fund to the Medi-Cal
Provider Payment Reserve Fund
........................
|
(569,376,000) | ||||||
Provisions:
|
|||||||
1. |
To effectively administer the Medi-Cal program, the Department of Finance may decrease or increase the expenditure authority
in this item to conform the appropriation to revised revenue estimates pursuant to subdivision (d) of Section 14199.82 of
the Welfare and Institutions Code or to conform the appropriation to revised expenditure estimates pursuant to subdivision
(c) of Section 14105.200 of the Welfare and Institutions Code.
|
||||||
2. |
The Department of Finance may direct the Controller to make one or more
transfers on a schedule determined by the Department of Finance. The Department of Finance may delegate the scheduling
of transfers to the State Department of Health Care Services. The authority to make transfers pursuant to this item shall
be available without regard to fiscal year.
|
||||||
3. |
The Department of Finance shall notify the Joint Legislative Budget Committee within 10 days of authorizing a revision to
this item. Submission of the semiannual Medi-Cal estimate provided to the Legislature in January and May shall be considered
meeting the notification requirement of this provision if the required information is included in the estimate.
|
4260-490—Reappropriation, State Department of Health Care Services. The amount specified in the following citation is reappropriated
for the purpose provided for in this appropriation and shall be available for encumbrance or expenditure until June 30, 2025.
|
|||||||
0001—General Fund
|
|||||||
(1) |
Up to $19,773,000 in Provision 20 of Item 4260-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021).
|
||||||
(2) | Up to $70,000,000 of the amount appropriated in Schedule (3), Provision 16(b) of Item 4260-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), for the Children and Youth Behavioral Health Initiative. | ||||||
(3) | Up to $62,380,000 of the amount appropriated in Schedule (3), Provision 19 of Item 4260-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), justice-involved initiatives within the Medi-Cal Providing Access and Transforming Health (PATH) supports in Schedule (2) of that Item. |
4265-001-0001—For support of State Department of Public Health
........................
|
411,593,000 | ||||||
Schedule:
|
|||||||
(1) |
4040-Public Health Emergency Preparedness
........................
|
26,423,000 | |||||
(2) |
4045-Public and Environmental Health
........................
|
637,129,000 | |||||
(3) |
4050-Licensing and Certification
........................
|
28,407,000 | |||||
(4) |
9900100-Administration
........................
|
103,990,000 | |||||
(5) |
9900200-Administration—Distributed
........................
|
−103,990,000 | |||||
(5.5) | Reimbursements to 4040-Public Health Emergency Preparedness ........................ | −9,200,000 | |||||
(6) |
Reimbursements to 4045-Public and Environmental Health
........................
|
−255,473,000 | |||||
(7) |
Reimbursements to 4050-Licensing and Certification
........................
|
−15,693,000 | |||||
Provisions:
|
|||||||
1. |
Except as otherwise prohibited by law, the State Department of
Public Health shall promulgate emergency regulations to adjust the public health fees set by regulation to an amount
such that, if the new fees were effective throughout the 2024–25 fiscal year, the estimated revenues would be sufficient to
offset at least 95 percent of the approved program level intended to be supported by those fees. The General Fund fees of
the department that are subject to the annual fee adjustment pursuant to subdivision (a) of Section 100425 of the Health and
Safety Code shall be increased by 20.3 percent. The special fund fees of the department that are subject to the annual fee
adjustment pursuant to subdivision (a) of Section 100425 of the Health and Safety Code may be increased by 20.3 percent only
if the fund condition statement for a fund projects a reserve less than 10 percent of estimated expenditures and the revenues
projected for the 2024–25 fiscal year are less than the appropriation contained in this act.
|
||||||
2. |
Notwithstanding subdivision (b) of Section 100450 of the Health and Safety Code, departmental fees that are subject to the
annual fee adjustment pursuant to subdivision (a) of Section 100450 of the Health and Safety Code shall not be increased for
the 2024–25 fiscal year. This adjustment shall not be applied to fees established by subdivisions (f), (g), (m), and (s) of
Section 1300 of the Business and Professions Code.
|
||||||
3. |
The State Department of Public Health shall limit expenditures in this item to implement the Uniform Anatomical Gift Act (Chapter
3.5 (commencing with Section 7150) of Part 1 of Division 7 of the Health and Safety Code) to the amount of actual fees collected
from tissue banks.
|
||||||
4. |
Notwithstanding any other law, and upon approval of the Director of Finance, the amount appropriated in Schedule (1) shall
be increased to adjust for federal reimbursement from the Federal Emergency Management Agency for wildfires and related emergencies.
The Department of Finance shall notify the Legislature within 10 days of authorizing an augmentation pursuant to this provision.
The notification to the Legislature shall describe the reason for the augmentation.
|
||||||
5. | (a) |
Of the funds appropriated in Schedule (2), $1,000,000 shall be available for the State Department of Public Health to implement
and oversee a grant program for specified local health
jurisdictions for sexually transmitted disease prevention and control activities.
|
|||||
(b) |
The department shall monitor activities in funded local health jurisdictions to assess the effectiveness of sexually transmitted
disease prevention and control activities.
|
||||||
(c) |
Notwithstanding any other law, contracts or grants awarded pursuant to this provision shall be exempt from the Public Contract
Code and the State Contracting Manual, and shall not be subject to the approval of the Department of General Services.
|
||||||
6. | (a) |
Of the funds appropriated in Schedule (2), $200,000 shall be available for encumbrance or expenditure until June 30, 2028,
for the State Department of Public Health to establish demonstration projects to allow for innovative, evidence-informed approaches
to improve the health and well-being of the most vulnerable and underserved Californians living with or at risk for hepatitis
B virus (HBV) infection.
|
|||||
(b) |
The demonstration projects shall be informed, in part, by a landscape analysis to be conducted by the State Department of
Public Health of existing HBV outreach, screening, and linkage to and retention in care efforts statewide. The landscape analysis
shall include an assessment of
current efforts and needs to serve the most vulnerable and underserved Californians living with or at risk for HBV infection.
|
||||||
(c) |
The department shall establish a process to request applications, and award funding on a competitive basis, for eligible entities
to operate a demonstration project pursuant to this provision.
|
||||||
(d) |
The demonstration projects shall include an evaluation component and the department shall develop a plan for disseminating
lessons learned to strengthen new and existing programs.
|
||||||
7. | (a) | Of the funds appropriated in Schedule (2), $3,500,000 is available for encumbrance or expenditure until June 30, 2026, to support the Youth Suicide Reporting and Crisis Response Pilot Program. | |||||
(b) | Contracts entered into or amended pursuant to this provision shall be exempt from Chapter 6 (commencing with Section 14825) of Part 5.5 of Division 3 of Title 2 of the Government Code, Part 2 (commencing with Section 10100) of Division 2 of the Public Contract Code, and the State Administrative Manual, and shall be exempt from the review or approval of any division of the Department of General Services. | ||||||
8. | (a) |
Of the amount appropriated in Schedule (2), $3,200,000 shall be available for encumbrance or expenditure until June 30, 2027,
to support a Public Health Workforce Development and Engagement Program aimed at supporting worker upskilling to improve retention
of the public health workforce and help incumbent workers develop their skills to meet future public health demands. The State
Department of Public Health may use up to $160,000 of the funding in this provision to administer the program.
|
|||||
(b) | (1) |
“Eligible employee” means a full or part-time employee within a local health department who has been employed by that entity
for a minimum of one year.
|
|||||
(2) |
“Eligible educational pursuits” includes any of the following: (A) educational programs at regionally accredited institutions
in the public health field, such as nursing, microbiology, public health, public administration, epidemiology, lab science,
and community health; (B) industry-recognized training programs related to the public health field; (C) continuing education
units required to maintain an individual’s license or certification; or (D) earn and learn programs, as defined in subdivision
(q) of Section 14005 of the Unemployment Insurance Code, in the public health field.
|
||||||
(c) |
The State
Department of Public Health shall use funds to award grants to local health departments for education and training opportunities
for incumbent employees within the governmental public health workforce. Eligible uses of funding shall include any of the
following:
|
||||||
(1) |
Providing stipends to eligible employees to offset the loss of compensation for up to 12 hours per workweek for eligible educational
pursuits. Stipends shall be up to $600 per week per eligible employee for up to 12 weeks per year.
|
||||||
(2) |
Hiring additional employees to support the goals
of the program, such as covering employees while they participate in eligible educational pursuits.
|
||||||
(3) |
Reimbursement for educational costs for eligible employees, such as tuition, registration fees, or other related educational
expenses when participating in eligible educational pursuits.
|
||||||
(d) |
The State Department of Public Health shall solicit applications from local health departments to participate in the program.
|
||||||
(e) |
Applications shall include all of the following: (1) the proposed use of the funds; (2) the total amount requested; and (3)
any other information required by the department for the purpose of implementing this program.
|
||||||
(f) |
No later than July 1, 2026, the State Department of Public Health shall, in accordance with Section 9795 of the Government
Code, submit to the Legislature a report regarding the uses and outcomes of funds appropriated for the program. The report
shall include, at a minimum, all of the following information: (1) the amount of funding provided to local health departments;
(2) the total number of applicants that apply for funding; (3) the number of individuals participating in eligible educational
pursuits; (4) a summary of the types of
credentials and skills attained through the program; (5) the number of workers hired to cover for employees attaining
educational opportunities; and (6) an evaluation of the effectiveness of the program.
|
||||||
9. | (a) |
Of the amount appropriated in Schedule (2), $8,000,000 shall be available for encumbrance or expenditure until June 30, 2027,
to support a Public Health Pathways Training Corps aimed at providing fellowships for early-career public health professionals
and internships for students from diverse backgrounds and disproportionately affected communities to conduct communicable
disease prevention and control, community engagement, emergency response, and other public health activities at local health
department host sites. The State Department of Public Health may use up to $400,000 of the funding in
this provision to administer the program.
|
|||||
(b) |
The department shall annually accept applications for the program and strive to maximize participation in the program, and
place program participants in diverse local health departments throughout the state, including in the rural and Central Valley
jurisdictions.
|
||||||
(c) |
No later than July 1, 2026, the department shall, in accordance with Section 9795 of the Government Code, submit to the Legislature
a report on the program that includes all of the following: (1) the number of applicants; (2) the number of individuals accepted
into the program each year; (3) job
attainment results following participation in the program, including, but not limited to, the percentage of individuals
employed in governmental public health, the percentage employed in the private sector, the percentage employed by hospitals,
and the percentage employed in other fields; and (4) the demographics of applicants and program participants.
|
||||||
10. | (a) |
Of the amount appropriated in Schedule (2), $2,794,000 shall be available for encumbrance or expenditure until June 30, 2027,
to increase the number of Public Health Microbiologist Trainees in California. The State Department of Public Health may use
up to $160,000 of the funding in this provision to administer the program.
|
|||||
(b) |
Upon approval from the Department of Finance, any amount of the funds appropriated in Schedule (2) for the purposes described
in this provision may be transferred to Item 4265-111-0001.
|
||||||
11. | (a) |
Of the amount appropriated in Schedule (2), $2,678,000 shall be available for encumbrance or expenditure until June 30, 2027,
to support increased funding for the LabAspire Fellowship Program, which trains and prepares qualified professionals to direct
local California Public Health Laboratories. The State Department of Public Health may use up to $160,000 of the funding in
this provision to administer the program.
|
|||||
(b) |
Upon approval from the Department of Finance, any amount of the funds appropriated in Schedule (2) for the purposes described
in this provision may be transferred to Item 4265-111-0001.
|
||||||
12. |
Of the amount appropriated in Schedule (2), $3,200,000 shall be available for encumbrance or expenditure until June 30, 2027,
to increase the number of fellows in the California Epidemiologic Investigation Service Training Program, which prepares epidemiologists
for public health leadership positions throughout California. The State Department of Public Health may use up to $160,000
of the funding in this provision to administer the program.
|
||||||
14. | (a) |
Of the amount appropriated in Schedule (2), $34,700,000 shall be available for the Children and Youth Behavioral Health Initiative.
|
|||||
(b) |
Notwithstanding any other law, contracts entered into or amended pursuant to this provision are exempt from the personal services
contracting requirements of Article 4 (commencing with Section 19130) of Chapter 5 of Part 2 of Division 5 of Title 2 of the
Government Code, from Part 2 (commencing with Section 10100) of Division 2 of the Public Contract Code, the State Administrative
Manual, and the State Contracting Manual, and are further exempt from the review or approval of the Department of General
Services, including as specified in Chapter 6
(commencing with Section 14825) of Part 5.5 of Division 3 of Title 2 of the Government Code.
|
4265-495—Reversion, State Department of Public Health. As of June 30, 2024, the balances, as specified below, of the appropriations
provided in the following citations shall revert to the fund balances of the funds from which the appropriations were made:
|
|||||||
0001—General Fund
|
|||||||
(4) |
$7,500,000 of the amount appropriated in Provision 26 of Item 4265-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats.
2022) to support a youth
suicide reporting and crisis response pilot program.
|
||||||
(5) |
$6,000,000 of the amount appropriated in Provision 8 of Item 4265-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats.
2023) to support a youth suicide reporting and crisis response pilot program.
|
||||||
(6) | $4,000,000 of the amount appropriated in Schedule (1) of Item 4265-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for the purposes stated in Provision 12. | ||||||
(7) | $12,500,000 of the amount appropriated in Schedule (2) of Item 4265-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for the purposes stated in Provision 12. | ||||||
(8) | $2,000,000 of the amount appropriated in Schedule (3) of Item 4265-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for the purposes stated in Provision 12. | ||||||
(9) | $28,800,000 of the amount specified in Provision 14 of Item 4265-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for the Children and Youth Behavioral Health Initiative Public Education and Change Campaign. | ||||||
(10) | $3,000,000 of the amount appropriated in Schedule (1) of Item 4265-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for public health efforts. | ||||||
(11) | $15,500,000 of the amount appropriated in Schedule (2) of Item 4265-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for public health efforts. | ||||||
(12) | $4,500,000 of the amount appropriated in Schedule (3) of Item 4265-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for public health efforts. |
5180-001-0001—For support of State Department of Social Services
........................
|
361,495,000 | ||||||
Schedule:
|
|||||||
(1) |
4270-Welfare Programs
........................
|
88,056,000 | |||||
(2) |
4275-Social Services and Licensing
........................
|
272,980,000 | |||||
(3) |
4285-Disability Evaluation and Other Services
........................
|
69,587,000 | |||||
(4) |
Reimbursements to 4270-Welfare Programs
........................
|
−1,779,000 | |||||
(5) |
Reimbursements to 4275-Social Services and Licensing
........................
|
−29,942,000 | |||||
(6) |
Reimbursements to 4285-Disability Evaluation and Other Services
........................
|
−37,407,000 | |||||
Provisions:
|
|||||||
1. |
The Department of Finance may authorize the transfer of
funds from Schedule (2) of this item to Schedule (1), Program 4275019, of Item 5180-151-0001, Children and Adult Services
and Licensing, in order to allow counties to perform the facilities evaluation function.
|
||||||
2. |
The Department of Finance may authorize the transfer of funds from Schedule (2) of this item to Schedule (1), Program 4275019,
of Item 5180-151-0001, Children and Adult Services and Licensing, in order to allow counties to perform the adoptions program
function.
|
||||||
3. |
Nonfederal funds appropriated in this item that have been budgeted to meet the state’s Temporary Assistance for Needy Families
maintenance-of-effort requirement established pursuant to the
federal Personal Responsibility and Work Opportunity Reconciliation Act of 1996 (P.L. 104-193) shall not be expended
in any way that would cause their disqualification as a federally allowable maintenance-of-effort expenditure.
|
||||||
4. |
Notwithstanding paragraph (4) of subdivision (b) of Section 1778 of the Health and Safety Code, the State Department of Social
Services may use no more than 20 percent of the fees collected pursuant to Chapter 10 (commencing with Section 1770) of Division
2 of the Health and Safety Code for overhead costs, facilities operation, and indirect department costs.
|
||||||
5. |
Upon request of the State Department of Social Services and the State
Department of Health Care Services, the Director of Finance may authorize the transfer of amounts from Item 4260-101-0001,
State Department of Health Care Services, to this item to fund the cost of the administrative hearing process associated with
changes in aid or service payments in the Medi-Cal program. The Department of Finance shall report to the Legislature the
amount to be transferred pursuant to this provision. The transfer shall be authorized at the time the report is made.
|
||||||
6. |
Provision 1 of Items 5180-001-0270 and 5180-001-0279 also apply to this item.
|
||||||
7. |
Notwithstanding any other law, upon approval of the Department of Finance, expenditure and
position authority may be transferred between schedules within or between the following items for the State Department
of Education and the State Department of Social Services: Items 6100-001-0001, 5180-001-0001, and reimbursements. Of the amount
appropriated in Schedule (1), up to $6,000,000 shall be available for this purpose upon approval of the Department of Finance.
The aggregate amount of General Fund appropriation increases provided under this item during the fiscal year may not exceed
the aggregate amount of General Fund appropriation decreases. This provision supports the continuity of care in the programs
transitioned from the State Department of Education to the State Department of Social Services.
|
||||||
8. |
The State Department of Social Services may contract with a vendor to provide direct deposit to child care contractors.
Contracts awarded pursuant to this section shall allow for advance payment. The department is hereby authorized to provide
advance payment in order to implement direct deposit to child care contractors. Contracts awarded pursuant to this section
shall be exempt from the personal services contracting requirements of Article 4 (commencing with Section 19130) of Chapter
5 of Part 2 of Division 5 of Title 2 of the Government Code. For purposes of this provision, the State Department of Social
Services is exempt from the requirements of Part 2 (commencing with Section 10100) of Division 2 of the Public Contract Code
and from the requirements of Article 6 (commencing with Section 999) of Chapter 6 of Division 4 of the Military and Veterans
Code.
|
||||||
9. |
The Department of Finance is authorized to approve expenditures in excess of the amounts
appropriated in this item, upon notification from the State Department of Social Services, to cover costs associated
with increased fair hearing requests due to Medi-Cal redeterminations.
|
||||||
10. |
For the funds appropriated in this item for Child and Family Services Acute Review and Response, the State Department of Social
Services shall report annually on January 10 to the policy and fiscal committees of the Legislature on key metrics, including,
but not limited to, shelter stays for children under six years of age and overstays for youth at short-term residential therapeutic
program placements.
|
||||||
11. |
The Department of Social Services shall provide quarterly updates
to legislative staff, including the Legislative Analyst’s Office, on the status of the Care Provider Management Bureau
background check system Guardian backlog, beginning August 1, 2024.
|
||||||
12. | The Department of Finance may increase expenditure authority in this item up to $250,000 to comply with the federal Able-Bodied Adult Without Dependents (ABAWD) rule. | ||||||
13. | Notwithstanding any other law, upon selection of the State of California for participation in the Pilot Projects for Promoting Accountability by Measuring Work Outcomes program pursuant to Section 302 of the federal Fiscal Responsibility Act of 2023 (Public Law 118-5; 42 U.S.C. Sec. 611(e)), the Department of Finance may augment this item for costs associated with participation in the pilot no 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. | ||||||
14 | (a) | Of the funds appropriated in Schedule (2), $275,000 shall be available for the State Department of Social Services to provide the analysis, including cost analysis, required by subdivision (c) of Section 16567 of the Welfare and Institutions Code. | |||||
(b) | Contracts entered into or amended pursuant to this provision shall be exempt from the personal services contracting requirements of Article 4 (commencing with Section 19130) of Chapter 5 of Part 2 of Division 5 of Title 2 of the Government Code, from Part 2 (commencing with Section 10100) of Division 2 of the Public Contract Code, , and the State Contracting Manual, and are not subject to the approval of the Department of General Services, including the requirements of Chapter 6 (commencing with Section 14825) of Part 5.5 of Division 3 of Title 2 of the Government Code. | ||||||
(c) | These funds shall be available for encumbrance or expenditure until June 30, 2026. |
5180-101-0001—For local assistance, State Department of Social Services
........................
|
4,798,898,000 | ||||||
Schedule:
|
|||||||
(1) |
4270010-CalWORKs
........................
|
833,174,000 | |||||
(2) |
4270019-Other Assistance Payments
........................
|
716,112,000 | |||||
(3) |
4270020-Child Care
........................
|
3,240,251,000 | |||||
(4) |
Reimbursements to 4270010-CalWORKs
........................
|
0 | |||||
(5) |
Reimbursements to 4270019-Other Assistance Payments
........................
|
−40,200,000 | |||||
Provisions:
|
|||||||
1. | (a) |
Funds appropriated in this item shall not be encumbered unless every rule or regulation adopted and every all-county letter
issued by the State Department of Social Services that adds to the costs of any program is approved by the Department of Finance
as to the availability of funds before it becomes effective. In making the determination as to availability of funds to meet
the expenditures of a rule, regulation, or all-county letter that would increase the costs of a program, the Department of
Finance shall consider the amount of the proposed increase on an annualized basis, the effect the change would have on the
expenditure limitations for the program set forth in this act, the extent to which the rule, regulation, or all-county letter
constitutes a deviation from the premises under which the expenditure
limitations were prepared, and any additional factors relating to the fiscal integrity of the program or the state’s
fiscal situation.
|
|||||
(b) |
Notwithstanding Sections 28.00 and 28.50, the availability of funds contained in this item for rules, regulations, or all-county
letters that add to program costs funded from the General Fund in excess of $500,000 on an annual basis, including those that
are the result of a federal regulation, but excluding those that are (1) specifically required as a result of the enactment
of a federal or state law or (2) included in the appropriation made by this act, shall not be approved by the Department of
Finance sooner than 30 days after notification in writing to the chairpersons of the committees in each house of the Legislature
that consider appropriations and the
Chairperson of the Joint Legislative Budget Committee, or sooner than such lesser time after notification as the chairperson
of the joint committee, or the chairperson’s designee, may in each instance determine.
|
||||||
2. |
Notwithstanding Chapter 1 (commencing with Section 18000) of Part 6 of Division 9 of the Welfare and Institutions Code, a
loan not to exceed $500,000,000 shall be made available from the General Fund, from funds not otherwise appropriated, to:
(a) cover the costs of a program or programs when the federal funds have not been received or funds in any subaccount within
the Local Revenue Fund have not been deposited prior to the usual time for the state to transmit payment to the counties or
(b) ensure cash disbursement needs in this item are met when abatements have not yet posted in time for disbursement. For
this purpose,
the Department of Finance may authorize an augmentation to this item to ensure cash disbursement requirements are met.
This loan from the General Fund shall be repaid when the federal funds or the funds for any subaccounts within the Local Revenue
Fund for the program or programs becomes available.
|
||||||
3. |
The Department of Finance may authorize the transfer of amounts from this item to Item 5180-001-0001 in order to fund the
costs of the administrative hearing process associated with the CalWORKs program.
|
||||||
4. | (a) |
The Department of Finance is authorized to approve expenditures in those amounts made necessary by changes in either
caseload or payments, including, but not limited to, the timing of federal payments, or any rule or regulation adopted
and any all-county letter issued as a result of the enactment of a federal or state law, the adoption of a federal regulation,
or a court action, during the 2024–25 fiscal year that are within or in excess of amounts appropriated in this act for that
year.
|
|||||
(b) |
If the Department of Finance determines that the estimate of expenditures will exceed the expenditures authorized for this
item, the department shall so report to the Legislature. At the time the report is made, the amount of the appropriation made
in this item shall be increased by the amount of the excess unless and until otherwise provided by law.
|
||||||
5. |
Nonfederal funds appropriated in this item which have been budgeted to meet the state’s Temporary Assistance for Needy Families
maintenance-of-effort requirement established pursuant to the federal Personal Responsibility and Work Opportunity Reconciliation
Act of 1996 (P.L. 104-193) shall not be expended in any way that would cause their disqualification as a federally allowable
maintenance-of-effort expenditure.
|
||||||
6. |
In the event of a declared disaster and upon county request, the State Department of Social Services may act in the place
of any county and assume direct responsibility for the administration of eligibility and grant determination. The Department
of Finance may authorize the transfer of funds from this item and Item
5180-101-0890 to Items 5180-001-0001 and 5180-001-0890, for this purpose.
|
||||||
7. |
Pursuant to the Electronic Benefits Transfer (EBT) Act (Chapter 3 (commencing with Section 10065) of Part 1 of Division 9
of the Welfare and Institutions Code) and in accordance with the EBT System regulations (Manual of Policies and Procedures
Section 16-401.15), in the event a county fails to reimburse the EBT contractor for settlement of EBT transactions made against
the county’s cash assistance programs, the state is required to pay the contractor. The State Department of Social Services
may use funds from this item to reimburse the EBT contractor for settlement on behalf of the county. The county shall be required
to reimburse the department for the county’s settlement via direct payment or administrative offset.
|
||||||
8. |
The Department of Finance is authorized to approve expenditures for the California Food Assistance Program in those amounts
made necessary by changes in the CalFresh Program Standard Utility Allowance, including changes that result from midyear Standard
Utility Allowance adjustments requested by the state and any adjustments necessary to maintain parity with federal program
changes. If the Department of Finance determines that the estimate of expenditures will exceed the expenditure authority of
this item, the department shall so report to the Legislature. At the time the report is made, the amount of the appropriation
made in this item shall be increased by the amount of the excess unless and until otherwise provided by law.
|
||||||
9. |
The Department of Finance is authorized to approve expenditures in excess of the amounts appropriated in Schedule (2), upon
notification from the State Department of Social Services, to replenish the State Emergency Food Bank Reserve.
|
||||||
10. |
Notwithstanding any other law, upon approval of the Department of Finance, expenditure authority may be transferred between
schedules within or between the following items for the State Department of Education and the State Department of Social Services:
Items 6100-194-0001, 5180-101-0001, and reimbursements. The aggregate amount of General Fund appropriation increases provided
under this section during the fiscal year may not exceed the aggregate amount of General Fund appropriation decreases. This
provision supports the continuity of
care in the programs transitioned from the State Department of Education to the State Department of Social Services.
|
||||||
11. |
Notwithstanding any other law, the Department of Finance may authorize a cash loan from the General Fund for cashflow purposes,
in an amount not to exceed $20,000,000, under the following conditions:
|
||||||
(a) |
The loan shall meet cash needs resulting from a delay in the receipt of reimbursements from the General Child Care program
(CCTR) funds.
|
||||||
(b) |
The loan shall be used for a short-term need and shall be repaid within 90 days of the loan origination date.
|
||||||
(c) |
Interest charges may be waived pursuant to Section 16314 of the Government Code.
|
||||||
12. |
Of the funds appropriated in Schedule (3), $1,415,438,000 shall be allocated for Alternative Payment Program, General Child
Care and Migrant Child Care slots to expand childcare access, with a priority for General Child Care slots serving children
who are 0 to 3 years of age. It is the intent of the Legislature that $71,624,000 allocated in Schedule (3) of Item 5180-101-0890
of Section 2.00 of the
Budget Act of 2023 (Chs. 12, 38, 189, Stats. 2023) be allocated for new General Child Care slots, effective October
1, 2024.
|
||||||
13. | (a) |
Funds allocated for Resource and Referral, California Child Care Initiative, Quality Improvement, and Local Planning Councils
shall be allocated to meet federal requirements to improve the quality of childcare and shall be used in accordance with the
approved California State Plan for the federal Child Care and Development Fund that is developed pursuant to the requirements
of Section 10211.5 of the Welfare and Institutions Code.
|
|||||
(b) |
Notwithstanding any other law, funds
in accounts payable are available for alternative payment programs for actual and allowable costs incurred for additional
services, pursuant to Section 10228.1 of the Welfare and Institutions Code. The State Department of Social Services shall
give priority for the allocation of these funds for accounts payable.
|
||||||
(c) | (1) |
The State Department of Social Services shall conduct monthly analyses of CalWORKs Stage 2 and Stage 3 caseloads and expenditures
and adjust agency contract maximum reimbursement amounts and allocations as necessary to ensure funds are distributed proportionally
to need.
|
|||||
(2) |
Notwithstanding any other law or any other provision of this act, the Department of Finance may augment the appropriation
for CalWORKs Stage 3 if the estimate of expenditures, as determined by the Department of Finance, will exceed the expenditures
authorized in Schedule (3). The Department of Finance shall report any augmentation pursuant to this paragraph to the Joint
Legislative Budget Committee. At the time the report is made, the amount of the appropriation made in Schedule (3) shall be
increased by the amount of the augmentation.
|
||||||
(3) |
An augmentation may be authorized not sooner than 30 days after notification in writing of the necessity to exceed the limitations
is provided to the Joint Legislative Budget Committee, or
whatever lesser time the chairperson of the joint committee may determine. Any request made by the State Department
of Social Services to augment the CalWORKs Stage 3 appropriation shall be approved only in order to cover increases in costs
that are consistent with assumptions of this act. This provision shall not be construed to treat Stage 3 as an entitlement.
|
||||||
(d) |
Notwithstanding any other law, the funds in Schedule (3) are reserved exclusively for continuing childcare for the following
families:
|
||||||
(1) |
Former CalWORKs families who are working, have left cash aid, and have
exhausted their two-year eligibility for transitional services in either Stage 1 or Stage 2 pursuant to subdivision
(c) of Section 10371 or Section 10372 of the Welfare and Institutions Code, respectively, but still meet eligibility requirements
for receipt of subsidized childcare services.
|
||||||
(2) |
Families who received lump-sum diversion payments or diversion services under Section 11266.5 of the Welfare and Institutions
Code and have spent two years in Stage 2 off of cash aid, but still meet eligibility requirements for receipt of subsidized
childcare services.
|
||||||
(e) |
Notwithstanding any other law, each local planning council receiving funds appropriated in Schedule (3) shall meet the requirements
of Section 10486 of the Welfare and Institutions Code to the extent feasible and to the extent data is readily accessible.
|
||||||
(f) | (1) |
Notwithstanding any other law, families shall be disenrolled from subsidized childcare services consistent with the priorities
for services specified in subdivision (b) of Section 10271 of the Welfare and Institutions Code. Families shall be disenrolled
in the following order:
|
|||||
(A) |
Families with the highest income below 85 percent of the State Median Income (SMI) adjusted for family size.
|
||||||
(B) |
Of families with the same income level, those that have been receiving childcare services for the longest period of time.
|
||||||
(C) |
Of families with the same income level, those that have a child with exceptional needs.
|
||||||
(D) |
Families with children who are receiving child protective services or are at risk of being neglected or abused, regardless
of family income.
|
||||||
(2) |
Notwithstanding any other law, the implementation of paragraph (1) of this subdivision is not subject to the appeal and resolution
procedures for agencies that contract with the State Department of Social Services for the provision of childcare services
or the due process requirements afforded to families that are denied services specified in Chapter 19 (commencing with Section
18000) of Division 1 of Title 5 of the California Code of Regulations.
|
||||||
(3) |
The reimbursement for meals served in childcare centers and homes shall be $0.2160 per meal.
|
||||||
14. |
Of the amount appropriated in
Schedule (3), up to $8,768,000 shall be available for the child nutrition program state match for the program.
|
||||||
20. |
The Department of Finance is authorized to approve expenditures in excess of the amounts appropriated in Schedule (3) for
Accounts Payable, upon notification from the State Department of Social Services, to reimburse for actual and allowable costs
incurred to Child Care and Development Programs, as defined in Section 10213.5 of the Welfare and Institutions Code.
|
||||||
21. |
Upon approval of the Department of Finance, the amount in Schedule (3) may be increased by up to $100,000,000, to restore
the balance of the Child Care Providers United—California
(CCPU) Workers Health Care Fund within 90 days of receiving the Annual Report from CCPU detailing the distribution of
funds from the prior year and any remaining balance, as pursuant to the agreement, dated June 30, 2023, entered into by the
Governor and CCPU.
|
||||||
22. |
Upon approval of the Department of Finance, the amount in Schedule (3) may be increased by up to $80,000,000, to restore the
balance of the Child Care Providers United—California (CCPU) Retirement Trust within 90 days of receiving the Annual Report
from CCPU detailing the distribution of funds from the prior year and any remaining balance, as pursuant to the agreement,
dated June 30, 2023, entered into by the Governor and CCPU.
|
||||||
23. |
Upon approval of the Department of Finance, the amount in Schedule (3) may be increased by up to $15,000,000, to restore the
balance of the Joint Child Care Providers United—State of California Training Partnership Fund within 90 days of receiving
the Annual Report from CCPU detailing the distribution of funds from the prior year and any remaining balance, as pursuant
to the agreement, dated June 30, 2023, entered into by the Governor and CCPU.
|
||||||
25. | It is the intent of the Legislature to provide a total of $33,666,000 to the Emergency Child Care Bridge Program for Foster Children for vouchers. Funds appropriated in Schedule (2) to the Emergency Child Care Bridge Program for Foster Children for vouchers shall be appropriately adjusted on a one-time basis by the Department of Finance based on the actual 2023–24 fiscal year reappropriation authorized under Item 5180-494. The Department of Finance shall notify the Chairperson of the Joint Legislative Budget Committee and fiscal committees of each house of the Legislature of any adjustments to funding levels made pursuant to this provision within 10 days. | ||||||
26. | (a) |
Of the amount appropriated in Schedule (2), $10,000,000 shall be available to continue the California Fruit and Vegetable
EBT Pilot Project pursuant to Section 10072.3 of the Welfare and Institutions Code.
|
|||||
(b) | The Department of Finance may authorize the transfer of funds from Schedule (2) of this item to Program 4270037-County Administration and Automation Projects, in Schedule (1) of Item 5180-141-0001, to support costs to restart the automation. | ||||||
27. | Of the amount appropriated in Schedule (2), $500,000 shall be available for the Madera Food Bank Warehouse Expansion Project. | ||||||
28. | (a) | Of the funds appropriated in Schedule (2), $9,000,000 shall be available to the State Department of Social Services to provide allocations to the following organizations for diaper and wipe distribution to low income families with infants or toddlers: | |||||
(1) | Community Action Partnership of Orange County | ||||||
(2) | Community Partnership of San Bernardino County | ||||||
(3) | Central California Food Bank | ||||||
(4) | Help a Mother Out (located in the San Francisco Bay Area) | ||||||
(5) | Los Angeles Regional Food Bank | ||||||
(6) | Redwood Empire Food Bank | ||||||
(7) | Sacramento Food Bank and Family Services | ||||||
(8) | Jacobs and Cushman San Diego Food Bank | ||||||
(9) | Food Share Ventura County | ||||||
(10) | Second Harvest Food Bank of Santa Cruz | ||||||
(11) | Food Bank of Contra Costa and Solano | ||||||
(b) | The department shall determine the best method for allocation to ensure the funds are used for the purposes specified in this provision. Self-attestation by the receiving entity is an acceptable method of verification of the use of funds, if determined by the department. | ||||||
(c) | These funds shall be available for encumbrance or expenditure until June 30, 2026, and liquidation until June 30, 2028. | ||||||
(d) | Notwithstanding any other law, the department may provide the allocation as an advance lump sum payment. | ||||||
(e) | Notwithstanding any other law, allocations pursuant to this section are exempt from the personal services contracting requirements of Article 4 (commencing with Section 19130) of Chapter 5 of Part 2 of Division 5 of Title 2 of the Government Code, from Part 2 (commencing with Section 10100) of Division 2 of the Public Contract Code, and the State Contracting Manual, and are not subject to the approval of the Department of General Services, including the requirements of Chapter 6 (commencing with Section 14825) of Part 5.5 of Division 3 of the Title 2 of the Government Code. | ||||||
29. | (a) | Notwithstanding any other law, upon selection of the State of California for participation in the Pilot Projects for Promoting Accountability by Measuring Work Outcomes program pursuant to Section 302 of the federal Fiscal Responsibility Act of 2023 (Public Law 118-5; 42 U.S.C. Sec. 611(e)), the Department of Finance may augment this item for costs associated with participation in the pilot no 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. | |||||
(b) | The Department of Finance may authorize the transfer of funds from Schedule (1) of this item to Program 4270037-County Administration and Automation Projects, in Schedule (1) of Item 5180-141-0001. | ||||||
30. | The Department of Finance may increase expenditure authority in this item for increased costs related to the reimbursement of stolen food and cash benefits. |
5180-101-0890—For local assistance, State Department of Social Services, payable from the Federal Trust Fund
........................
|
8,349,970,000 | ||||||
Schedule:
|
|||||||
(1) |
4270010-CalWORKs
........................
|
3,700,843,000 | |||||
(2) |
4270019-Other Assistance Payments
........................
|
2,783,469,000 | |||||
(3) |
4270020-Child Care
........................
|
1,865,658,000 | |||||
Provisions:
|
|||||||
1. |
Provisions 1,
4, 6, and 7 of Item 5180-101-0001 also apply to this item.
|
||||||
2. |
The Department of Finance may authorize the transfer of amounts from this item to Item 5180-001-0890 in order to fund the
costs of the administrative hearing process associated with the CalWORKs program.
|
||||||
3. |
Upon request of the State Department of Social Services, the Department of Finance may increase or decrease the expenditure
authority in this item to offset any increases or decreases in collections deposited in the Child Support Collections Recovery
Fund and appropriated in Item 5180-101-8004. The Department of Finance shall provide notification of the adjustment to the
Joint Legislative Budget
Committee within 10 working days from the date of the department’s approval of the adjustment.
|
||||||
4. |
Upon request by the Department of Finance, the Controller shall transfer funds between this item and Item 5180-151-0890 as
needed to reflect the estimated expenditure amounts for counties receiving funds provided by the federal Families First Transition
Act. The Department of Finance shall report to the Legislature the amount to be transferred pursuant to this provision. The
transfer shall be authorized at the time the report is made.
|
||||||
5. |
Notwithstanding any other law, upon approval of the Department of Finance, expenditure authority may be transferred between
schedules within or between the following items for the State Department of Education and the State Department of Social
Services: Items 6100-201-0890 and 5180-101-0890, and reimbursements. The aggregate amount of appropriation increases provided
under this section during the fiscal year may not exceed the aggregate amount of appropriation decreases. This provision supports
the continuity of care in the programs transitioned from the State Department of Education to the State Department of Social
Services.
|
||||||
6. | (b) |
Funds shall be allocated to meet federal requirements to improve the quality of childcare and shall be used in accordance
with the approved California state plan for the federal Child Care and Development Fund that is developed pursuant to the
requirements of Section 10211.5 of the Welfare and
Institutions Code.
|
|||||
(c) |
Funds appropriated in this item shall not be expended to develop or support new information technology projects unless approved
by the Department of Finance and not sooner than 30 days after notification to the chairperson of the Joint Legislative Budget
Committee.
|
||||||
7. | Notwithstanding any other law or any other provision of this act, upon request of the Department of Social Services, the Department of Finance shall increase Schedule (3) to include an increase in the federal Child Care Development Fund award for federal fiscal year 2024. It is the intent of the Legislature that of the total adjustment pursuant to this provision, (1) $10,382,000 shall be allocated for activities to improve the quality of child care services, increase access to high-quality child care, and activities related to the quality of care for infants and toddlers and (2) $39,618,000 shall be allocated for new General Child Care slots, effective October 1, 2024, to expand child care and development services, as described in subdivision (b) of Section 10267.5 of the Welfare and Institutions Code. The Department of Finance shall provide notification of the adjustment to the Chairperson of the Joint Legislative Budget Committee and fiscal committees of each house of the Legislature within 10 working days from the date of the department’s approval of the adjustment. |
5180-141-0001—For local assistance, State Department of Social Services
........................
|
1,351,309,000 | ||||||
Schedule:
|
|||||||
(1) |
4270037-County Administration and Automation Projects
........................
|
1,572,387,000 | |||||
(2) |
Reimbursements to 4270037-County Administration and Automation Projects
........................
|
−221,078,000 | |||||
Provisions:
|
|||||||
1. |
Notwithstanding Chapter 1 (commencing with Section 18000) of Part 6 of Division 9 of the Welfare and Institutions Code, a
loan not to exceed $140,000,000 shall be made available from the General
Fund, from funds not otherwise appropriated, to cover the federal or reimbursable share, or both, of costs of a program
or programs when the federal funds or reimbursements have not been received by this state prior to the usual time for transmitting
state payments for the federal or reimbursable share of costs. This loan from the General Fund shall be repaid when the federal
share of costs or the reimbursements for the program or programs become available.
|
||||||
2. |
In the event of a declared disaster and upon county request, the State Department of Social Services may act in the place
of any county and assume direct responsibility for the administration of eligibility and grant determination. The Department
of Finance may authorize the transfer of funds from this item and Item 5180-141-0890 to Items 5180-001-0001 and 5180-001-0890,
for
this purpose.
|
||||||
3. |
Provision 1 of Item 5180-101-0001 also applies to this item.
|
||||||
4. |
Pursuant to public assistance caseload estimates reflected in the annual Governor’s Budget, the Department of Finance may
approve expenditures in those amounts made necessary by a court action or changes in caseload that are in excess of amounts
appropriated in this act. If the Department of Finance determines that the estimate of expenditures will exceed the expenditures
authorized for this item, the department shall so report to the Legislature. At the time the report is made, the amount of
the appropriation made by this item shall be increased by the amount of the excess unless
and until otherwise provided by law.
|
||||||
5. |
Nonfederal funds appropriated in this item which have been budgeted to meet the state’s Temporary Assistance for Needy Families
maintenance-of-effort requirement established pursuant to the federal Personal Responsibility and Work Opportunity Reconciliation
Act of 1996 (P.L. 104-193) shall not be expended in any way that would cause their disqualification as a federally allowable
maintenance-of-effort expenditure.
|
||||||
6. |
This item may be increased by order of the Department of Finance to address system changes necessary to implement the requirements
of the federal Patient Protection and Affordable Care Act (P.L. 111-148). The
Director of Finance shall provide notification in writing to the Joint Legislative Budget Committee of any expenditure
approved under this provision not less than 30 days prior to the effective date of the approval.
|
||||||
7. |
The Department of Finance may increase expenditure authority in this item for the State Department of Social Services in order
to fund the administrative costs to prepare for and respond to a declaration of a major disaster by the President of the United
States and to maximize the amount of assistance requested and received through the federal Disaster Supplemental Nutrition
Assistance Program and other federally funded nutrition assistance programs.
|
||||||
8. |
The Department of Finance may increase expenditure authority in this item for the costs associated with an updated project
schedule, clarified requirements, and negotiated vendor costs for the California Statewide Automated Welfare System project,
upon notification from the Office of Systems Integration. Any such increase shall be authorized not less than 30 days following
written notification to the Chairperson of the Joint Legislative Budget Committee, or a lesser period if requested by the
department and approved by the chairperson or the chairperson’s designee.
|
||||||
9. | (a) |
Of the funds appropriated in Schedule (1), $88,113,000 is for the support of activities related to the Child Welfare Services-California
Automated Response and Engagement System (CWS-CARES) project.
Expenditure of these funds is contingent upon approval of project documents by the Department of Finance and the Department
of Technology. This amount may be augmented up to a maximum of $26,035,000, upon approval by the Department of Finance, in
consultation with the Department of Technology. In providing approval, the Department of Finance shall consider verified satisfactory
progress toward milestones associated with the CWS-CARES Product Roadmap, product adoption, and the roadmap change management
process. Satisfactory progress shall be defined as: (1) the completion of planned product milestones including all planned
data conversion, hardening, and testing without significant deviation from the baseline project cost, schedule, and scope
in the most recent Special Project Report; (2) incorporation of relevant end user feedback into product design, development,
and implementation, to the extent possible, without significant increases in the total CWS-CARES project cost, schedule, and
scope; and (3)
demonstrable progress made towards user adoption that is consistent with the project’s strategic plan for user engagement,
communication, and adoption, including clearly defined processes that measure and report on stakeholder engagements with the
project (such as, for example, stakeholder impact assessments). Such an augmentation shall be aligned with planned project
activities and shall not be used to increase total project costs. Any such augmentation shall be authorized no less than 30
calendar days following written notification to the Chairperson of the Joint Legislative Budget Committee, or a lesser period
if requested by the Department of Finance and approved by the Chairperson of the Joint Legislative Budget Committee, or the
chairperson’s designee. The Department of Finance’s written notification shall include, at a minimum, its consideration of
verified satisfactory progress as defined above.
|
|||||
(b) |
The Department of Finance may authorize the transfer of funds appropriated for the CWS-CARES project in Schedule (1) to Item
5180-001-0001, for project-related activities, including, but not limited to, necessary personal services expenditures, interagency
agreements, and contracts.
|
||||||
(c) |
Of the amount appropriated in this item, $100,000 is available to fund reimbursements to Indian tribes, as defined in subdivision
(a) of Section 224.1 of the Welfare and Institutions Code, or the tribe’s designee, for costs associated with participating
with the Department of Social Services to guide the development of an automated system used for Child Welfare Services. Notwithstanding
any other law, the
amount and manner of reimbursements shall be determined by the Department of Social Services in written directives.
|
||||||
10. |
Of the amount appropriated in Schedule (1), up to $2,000,000 shall be available for the Department of Social Services for
the purpose of updating public benefit program forms, notices, or reports necessary to maintain compliance with federal regulation
or state law.
|
||||||
11. |
The Department of Finance may authorize the transfer of amounts in this item to Item 5180-001-0001 in order to fund the costs
of administration and implementation of the SUN Bucks California program established pursuant to Section 1762 of Title 42
of the United States
Code.
|
||||||
12. | No later than January 1, 2027, the Department of Social Services shall provide a written update to the fiscal committees of the Legislature, the Legislative Analyst’s Office, and the Department of Finance detailing (a) the use, purposes, and cost components pursuant to this reappropriation, as have been completed and as planned for the balance of the 2024–25 fiscal year, and (b) continuing automation activities past the 2024–25 fiscal year to implement the California Food Assistance Program expansion on October 1, 2027. | ||||||
14. | The Department of Finance may increase expenditure authority in this item up to $2,400,000 to participate in the Pilot Projects for Promoting Accountability by Measuring Work Outcomes program pursuant to Section 302 of the federal Fiscal Responsibility Act of 2023 (Public Law 118-5; 42 U.S.C. Sec. 611(e)). | ||||||
15. | The Department of Finance may increase expenditure authority in this item for increased costs related to the reimbursement of stolen food and cash benefits. |
5180-151-0001—For local assistance, State Department of Social Services
........................
|
560,360,000 | ||||||
Schedule:
|
|||||||
(1) |
4275019-Children and Adult Services and Licensing
........................
|
847,079,000 | |||||
(2) |
4275028-Special Programs
........................
|
112,945,000 | |||||
(3) |
Reimbursements to 4275019-Children and Adult Services and Licensing
........................
|
−389,664,000 | |||||
(4) |
Reimbursements to 4275028-Special Programs
........................
|
−10,000,000 | |||||
Provisions:
|
|||||||
1. |
Provision 1 of Item 5180-101-0001 also applies to this item.
|
||||||
2. |
Notwithstanding Chapter 1 (commencing with Section 18000) of Part 6 of Division 9 of the Welfare and Institutions Code and
pursuant to Section 30029.8 of the Government Code, a
loan not to exceed $50,000,000 shall be made available from the General Fund, from funds not otherwise appropriated,
to cover the federal share or reimbursable share, or both, of costs of a program or programs when the federal funds or reimbursements
have not been received by the state prior to the usual time for transmitting state payments for the federal or reimbursable
share of costs. The loan from the General Fund shall be repaid when the federal or reimbursable share of costs for the program
or programs becomes available.
|
||||||
3. |
The Department of Finance may authorize the establishment of positions and transfer of amounts from this item to Item 5180-001-0001,
in order to allow the state to perform the facilities evaluation function of the Community Care Licensing Division in the
event the counties fail to perform that
function.
|
||||||
4. |
Nonfederal funds appropriated in this item that have been budgeted to meet the state’s Temporary Assistance for Needy Families
maintenance-of-effort requirement established pursuant to the federal Personal Responsibility and Work Opportunity Reconciliation
Act of 1996 (P.L. 104-193) shall not be expended in any way that would cause their disqualification as a federally allowable
maintenance-of-effort expenditure.
|
||||||
5. |
The Department of Finance may authorize the establishment of positions and transfer of amounts from this item to Item 5180-001-0001
in order to allow the state to perform the adoptions function in the event that a county notifies the
State Department of Social Services that it intends to cease performing that function.
|
||||||
6. |
Funds appropriated in this item for the Commercially Sexually Exploited Children Program required by Chapter 5.2 (commencing
with Section 16524.6) of Part 4 of Division 9 of the Welfare and Institutions Code shall be appropriately reduced by the Department
of Finance to the extent any activities for which funding is included are also required by the federal Preventing Sex Trafficking
and Strengthening Families Act (P.L. 113-183).
|
||||||
7. |
Of the total amount appropriated in this item, up to $4,000,000 shall be available for a county-optional block grant program,
for allocation
to local agencies to fund activities the Commission on State Mandates identified as reimbursable state mandates in the
Interagency Child Abuse and Neglect Investigation Reports (CSM-00-TC-22) mandate. A local agency that receives funding according
to this item shall not be eligible to submit claims to the Controller for reimbursement under Section 17560 of the Government
Code for any costs related to the reimbursable state-mandated activities identified in CSM-00-TC-22 incurred in the same fiscal
year during which the local agency received funding according to this item. The State Department of Social Services, in consultation
with the California State Association of Counties, shall develop an allocation methodology for the purpose of distributing
these funds to participating counties. Block grant funding apportioned according to this item is subject to annual financial
and compliance audits.
|
||||||
8. |
Of the amount appropriated in this item, $7,000,000 shall be available for contracts under the authority of Chapter 5.6 (commencing
with Section 13300) of Part 3 of Division 9 of the Welfare and Institutions Code with organizations qualified pursuant to
that chapter, to provide legal services to persons on California State University campuses. Use of these funds shall be reported
in updates provided to the Legislature on the State Department of Social Services’ immigration programs.
|
||||||
9. | (a) |
Of the funds appropriated in Schedule (1), $87,000 shall be available to eligible federally recognized Indian tribes or tribal
agencies to purchase Live Scan machines and receive ongoing reimbursements for fingerprinting costs, other maintenance and
operation items, or related activities necessary to enable the tribes or tribal agencies to complete background checks
for the purpose of approving tribally approved homes for the placement of Indian children into foster or adoptive care pursuant
to Section 10553.12 of the Welfare and Institutions Code.
|
|||||
(b) |
The funding in subdivision (a) shall be available to the tribes or tribal agencies currently approved by the Department of
Justice to receive state and federal level summary criminal history information pursuant to Section 11105.08 of the Penal
Code.
|
||||||
(c) |
Of the funding in subdivision (a), the amount
that each tribe or tribal agency can utilize for the purposes specified in subdivision (a) will be determined in consultation
with, and subject to review and approval by, the State Department of Social Services.
|
||||||
10. |
Of the funds appropriated in Schedule (1), $18,146,000 shall be available to support enhanced care planning and assessment
services, exceptional care and supervision needs for a child in a licensed setting, or other exceptional community, educational,
or family supports that have been identified by a qualified individual or a child and family team, as necessary to meet the
needs of a child in the least restrictive setting. The State Department of Social Services shall allocate funds through contracts
with community-based providers or entities or through local assistance allocations to counties that support new or expanded
programs, services, and practices that ensure the provision of the high-quality continuum of care that is designed to
support foster children in the least restrictive setting, consistent with a child’s permanency plan.
|
||||||
11. |
Of the funds appropriated in Schedule (1), $4,145,000 shall be available for the State Department of Social Services to provide
funding to support legal counsel to represent an Indian tribe in California juvenile court proceedings contingent upon the
enactment of statutory changes detailing objectives, implementation design and timelines, data collection, and outcome measurements
for these activities.
|
||||||
12. |
Of the funds appropriated in Schedule
(1), $4,777,000 shall be available for the State Department of Social Services to provide financial assistance with
recruiting and approving homes for the purpose of foster or adoptive placement of an Indian child contingent upon the enactment
of statutory changes detailing objectives, implementation design and timelines, data collection, and outcome measurements
for these activities. The department shall seek federal approvals or waivers necessary to claim federal reimbursement under
Title IV-E of the federal Social Security Act (42 U.S.C. Sec. 670 et seq.) in order to maximize funding for the purpose described
in this section.
|
||||||
13. | Of the amount appropriated in Schedule (1), it is the intent of the Legislature to provide a total of $13,482,000 to the Emergency Child Care Bridge program for child care navigator services, trauma-informed training, and county administration. Funds appropriated in Schedule (1) to the Emergency Child Care Bridge program for child care navigator services, trauma-informed training, and county administration shall be appropriately adjusted on a one-time basis by the Department of Finance based on actual 2023–24 reappropriation authorized under Item 5180-494. The Department of Finance shall notify the Chairperson of the Joint Legislative Budget Committee and fiscal committees of each House of the Legislature of any adjustments to funding levels made pursuant to this provision within 10 days. | ||||||
14. | (a) | Of the funds appropriated in Schedule (2), $5,000,000 shall be available for the California Guaranteed Income Pilot Program pursuant to Chapter 16 (commencing with Section 18997) of Part 6 of Division 9 of the Welfare and Institutions Code to provide grant funding to one or more eligible entities. The funding shall be prioritized for one or more eligible entities serving adults 60 years of age or older residing in California and either eligible for or receiving a means-tested benefit. | |||||
(b) | Eligible entity means either an entity as defined in subdivision (g) of Section 18997 of the Welfare and Institutions Code or a quasi-governmental agency. | ||||||
(c) | Eligible entities funded pursuant to this provision shall not be subject to the requirements of paragraph (1) of subdivision (b) of Section 18997 of the Welfare and Institutions Code. | ||||||
(d) | The requirements set forth in subdivision (e) of Section 18997 of the Welfare and Institutions Code shall not apply to this provision. | ||||||
(e) | Notwithstanding any other law, the funds appropriated for these purposes shall be available for encumbrance or expenditure until June 30, 2030. | ||||||
(f) | The State Department of Social Services shall determine the methodology of distribution of the funds appropriated in this provision to the eligible entities it deems qualified. | ||||||
(g) | For purposes of implementing this provision, the State Department of Social Services may enter into exclusive or nonexclusive contracts, or amend existing contracts, on a bid or a negotiated basis. | ||||||
(h) | By June 30, 2030, a report shall be submitted to the Legislature pursuant to Section 9795 of the Government Code pertaining to implementation of this provision. | ||||||
(i) | Upon order of the Department of Finance, funds appropriated in Schedule (2) for the purposes described in this provision may be transferred to Item 5180-001-0001 to implement and administer the California Guaranteed Income Pilot Program. | ||||||
15. | Of the amount appropriated in Schedule (2), $250,000 shall be available to the State Department of Social Services to provide an allocation to the City of San Francisco for the Center for Immigrant Protection to provide supportive services and programming for the transgender immigrant community. | ||||||
16. | The $55,000,000 described in Provision 30 of Item 5180-151-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) is revised to be $52,300,000 for capitalized operating subsidy reserves for existing licensed residential adult and senior care facilities that serve at least one qualified resident, pursuant to paragraph (2) of subdivision (c) and subdivisions (j) and (k) of Section 18999.97 of the Welfare and Institutions Code, in order to avoid the closure of facilities and to increase the acceptance of new qualified residents. |
5180-151-0890—For local assistance, State Department of Social Services, payable from the Federal Trust Fund
........................
|
1,721,257,000 | ||||||
Schedule:
|
|||||||
(1) |
4275019-Children and Adult Services and Licensing
........................
|
1,719,007,000 | |||||
(2) |
4275028-Special Programs
........................
|
2,250,000 | |||||
Provisions:
|
|||||||
1. |
Provisions 1, 3, and 5 of Item 5180-151-0001 also apply to this item.
|
||||||
2. |
Upon request by the Department of Finance, the Controller shall transfer funds between this item and Item 5180-101-0890 as
needed to reflect the estimated expenditure amounts for counties receiving funds provided by the federal Family First
Transition Act (Sec. 602, P.L. 116-94). The Department of Finance shall report to the Legislature the amount to be transferred
pursuant to this provision. The transfer shall be authorized at the time the report is made.
|
5180-490—Reappropriation, State Department of Social Services. The amounts specified in the following citations are reappropriated
for the purposes provided for those appropriations and shall be available for encumbrance or expenditure until June 30, 2027:
|
|||||||
0001—General Fund | |||||||
(1) | Up to $40,000,000 of the amount appropriated in Schedule (1) of Item 5180-151-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for the Bringing Families Home Program. | ||||||
(2) | Up to $10,000,000 of the amount appropriated in Schedule (2) of Item 5180-151-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for legal services for, but not limited to, unaccompanied undocumented minors and other minors in removal proceedings, and current or past beneficiaries of federal temporary protected status. |
5180-492—Reappropriation, State Department of Social Services. The amount specified in the following citations are reappropriated
for the purposes provided in those appropriations and shall be available for encumbrance or expenditure until June 30, 2026:
|
|||||||
0001—General Fund
|
|||||||
(1) |
Up to $40,000,000 of the amount appropriated in Schedule (1) of Item 5180-151-0001, Budget Act of 2022 (Chs. 43, 45, and 249,
Stats. 2022) for the
Bringing Families Home Program.
|
||||||
(2) | Up to $92,500,000 of the amount appropriated in Schedule (1) of Item 5180-151-0001 of the Budget Act of 2022 (Chs. 43, 45. 249, Stats. 2022) for the Home Safe Program. | ||||||
(3) | Up to $100,000,000 of the amount appropriated in Schedule (2) of Item 5180-151-0001 of the Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) for the Housing and Disability Advocacy Program. | ||||||
(4) | Up to $5,000,000 of the amount appropriated in Schedule (2) of Item 5180-001-0001, Budget Act of 2021 (Chs. 21, 69, 240, Stats. 2021), to support planning efforts of the Facility Management System Project. | ||||||
(5) | Up to $3,000,000 of the amount appropriated in Schedule (2) of Item 5180-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022), to support planning efforts of the Facility Management System Project. | ||||||
(6) | Up to $62,000,000 of the amount appropriated in Schedule (2) of Item 5180-151-0001, Budget Act of 2022 (Chs. 43 and 45, and 249, Stats. 2022) for the Rapid Response Program. | ||||||
(7) | Schedule (2) of Item 5180-151-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for the Rapid Response Program. This reappropriation shall include any funding that was transferred to 5180-001-0001 pursuant to Provision 19 of Item 5180-151-0001, Budget Act of 2023 (Chs. 12,38, and 189, Stats. 2023), for the Rapid Response Program. |
5180-494—Reappropriation, State Department of Social Services. The amounts specified 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) |
Up to $190,000,000 of the amount appropriated in Schedule (1) of Item 5180-101-0001, Budget Act of 2021 (Chs. 21, 69, and
240, Stats. 2021) for
the CalWORKs Housing Support Program.
|
||||||
(2) |
Up to $92,500,000 of the amount appropriated in Schedule (1) of Item 5180-151-0001, Budget Act of 2021 (Chs. 21, 69, and 240,
Stats. 2021) for the Bringing Families Home Program.
|
||||||
(3) |
Up to $92,500,000 of the amount appropriated in Schedule (1) of Item 5180-151-0001, Budget Act of 2021 (Chs. 21, 69, and 240,
Stats. 2021) for the Home Safe Program.
|
||||||
(4) |
Up to $150,000,000 of the amount appropriated in Schedule (2) of Item 5180-151-0001, Budget Act
of 2021 (Chs. 21, 69, and 240, Stats. 2021) for the Housing and Disability Advocacy Program.
|
||||||
(6) | Up to $2,657,000 of the amount appropriated in Schedule (1) of Item 5180-151-0001, Budget Act of 2023 (Chs.12, 38, and 189, Stats. 2023), for Behavioral Health Community-Based Organized Networks of Equitable Care and Treatment. | ||||||
(7) | Schedule (1) of Item 5180-141-0001, Budget Act of 2023 (Chs.12, 38, and 189, Stats. 2023), for the California Food Assistance Program Expansion. | ||||||
(8) | Schedule (2) of Item 5180-101-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for the Emergency Child Care Bridge Program. | ||||||
(9) | Schedule (1) of Item 5180-151-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for the Emergency Child Care Bridge Program. |
5225-015-0001—For support of Department of Corrections and Rehabilitation
........................
|
1,800,000 | ||||||
Schedule: | |||||||
(1) | 4540-Adult Corrections and Rehabilitation Operations—Inmate Support ........................ | 1,800,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in this item shall be available for the Department of Corrections and Rehabilitation to provide release clothing and transportation for incarcerated individuals upon release, if the incarcerated person does not have clothing or transportation otherwise available. The Department shall not deduct costs for clothing or transportation upon release from the release funds specified in Section 2713.1 of the Penal Code or from other funds belonging to the incarcerated person, nor shall it otherwise be the responsibility of the incarcerated person to pay for those items or services. The Department shall not deduct money from the funds provided to incarcerated persons upon their release pursuant to Section 2713.1 of the Penal Code, except for the reasons described in that section. |
5225-017-0001—For support of Department of Corrections and Rehabilitation
........................
|
2,200,000 | ||||||
Schedule: | |||||||
(1) | 4590-Rehabilitative Programs-Cognitive Behavioral Therapy and Reentry Services ........................ | 2,200,000 | |||||
Provisions: | |||||||
1. | The funds appropriated in this item shall available for state operations or local assistance and shall be available for expenditure or encumbrance until December 1, 2026. | ||||||
2. | The funds appropriated in this item shall be distributed equally to Rehabilitative Investment Grants for Healing and Transformation (RIGHT) 2.0 grantees that received grant funding pursuant to Item 5225-017-0001, Budget Act of 2023 (Chapters 12, 38, and 189 of the Statutes of 2023). These funds shall be available to supplement the programs and activities each grantee is required to provide under the RIGHT 2.0 Grant Program as described in Provision 1 of Item 5225-017-0001, Budget Act of 2023. | ||||||
3. | Funds that are not used in the manner proposed by the recipient shall be reverted to the General Fund by June 30, 2026. | ||||||
4. | Each grant recipient shall submit to the Department of Corrections and Rehabilitation a report that details the expenditures of this additional grant amount by December 1, 2027. This reporting may be combined with the reporting required by Provision 9 of Item 5225-017-0001, Budget Act of 2023. The department may require all funded organizations provide an annual reporting detailing the use of the funds by each recipient. | ||||||
5. | The Department of Corrections shall submit a report to the budget committees of each house of the Legislature no later than April 1, 2028, detailing how these additional funds were distributed and how they were spent by recipients. This report may be combined with the report required pursuant to Provision 10 of Item 5225-017-0001, Budget Act of 2023. The report shall include copies of all reports submitted by all organizations receiving these additional funds. |
5225-494—Reappropriation, Department of Corrections and Rehabilitation. The balances of the appropriations provided in Provision 7
of Item 5225-002-0001, Budget Act of 2023 (Chapters 12, 38, 189, and 862, Stats. 2023) are reappropriated for pending settlement
costs and shall be available for encumbrance or expenditure to pay these costs until June 30, 2025. Notwithstanding Section
26.00, upon order of the Department of Finance, funds may be transferred between Schedules (1) and (4) of that item for this
purpose. The California Correctional Health Care Services shall provide a written report to the chairpersons of the fiscal
committees of each house of the Legislature and the Chairperson of the Joint Legislative
Budget Committee that details any funds expended for this purpose. The report must be submitted by the California Correctional
Health Care Services within 30 days of the date of payment of the settlement costs.
|
6100-113-0001—For local assistance, State Department of Education (Proposition 98), for purposes of California’s pupil testing program
........................
|
108,078,000 | ||||||
Schedule:
|
|||||||
(1) |
5205200-Assessment Review and Reporting
........................
|
1,588,000 | |||||
(2) |
5205204-English Language Development Assessment
........................
|
6,764,000 | |||||
(3) |
5205208-California Student Assessment System
........................
|
75,829,000 | |||||
(4) |
5205218-Assessment Apportionments
........................
|
23,897,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item shall be for the pupil testing programs authorized by Chapter 3 (commencing with Section
48400) of Part 27 of Division 4 of Title 2 of the Education Code and Chapter 5 (commencing with Section 60600), Chapter 6
(commencing with Section 60800), and Chapter 7 (commencing with Section 60810) of Part 33 of Division 4 of Title 2 of the
Education
Code.
|
||||||
2. |
The funds appropriated in Schedule (3) are provided for contract costs for the implementation of the statewide pupil assessment
system established pursuant to Chapter 489 of the Statutes of 2013, as approved by the State Board of Education, including
funding for the Lexile® and Quantile® measures of learning and access to the Lexile® and Quantile® Hubs, and are contingent
upon the Department of Finance’s review of the related contract, during contract negotiations, prior to its execution.
|
||||||
3. |
The funds appropriated in Schedule (2) shall be available for approved contract costs for the development of, transition to,
and administration of the English
Language Proficiency Assessments for California, which include initial identification and annual assessments aligned
to the state English language development standards in accordance with Chapter 478 of the Statutes of 2013, and are contingent
upon the submittal of the related contract by the State Department of Education and the Department of Finance.
|
||||||
4. |
Funds provided to local educational agencies from Schedules (2), (3), and (4) shall first be used to offset any state-mandated
reimbursable costs within the meaning of Section 17556 of the Government Code that otherwise may be claimed through the state
mandates reimbursement process for the California Assessment of Student Performance and Progress, the English Language Proficiency
Assessments for California, and the statewide pupil assessment system established pursuant to Chapter
489 of the Statutes of 2013. Local educational agencies receiving funding from these schedules shall reduce their estimated
and actual mandate reimbursement claims by the amount of funding provided to them from these schedules.
|
||||||
5. |
Notwithstanding Section 28.50, the Department of Finance may adjust Schedules (5) and (6) to reflect changes in actual reimbursements
from the contractor for the California High School Proficiency Examination.
|
||||||
6. |
Federal funds provided in Item 6100-113-0890 for statewide testing purposes shall be fully expended before General Fund resources
provided in this item are expended for the same purposes.
|
||||||
7. |
The funds appropriated in Schedule (4) shall be used to pay approved apportionment costs from the current and prior test administrations
for the California Assessment of Student Performance and Progress, the English Language Proficiency Assessments for California,
and the statewide pupil assessment system established pursuant to Chapter 489 of the Statutes of 2013 and the grade 2 diagnostic
assessments pursuant to Section 60644 of the Education Code.
|
||||||
8. |
The Department of Finance, State Department of Education, Legislative Analyst’s Office and legislative staff, and the vendor
or vendors of the state’s California Assessment of Student Performance and Progress and English Language
Proficiency Assessments for California contract shall meet on an annual basis every October and April to review detailed
fiscal information regarding the current components and costs of the contract. The group also shall explore ways to make annual
improvements to the state’s assessment system or achieve related savings.
|
||||||
9. | For the 2024–25 fiscal year, the sum of $292,000 is available on a one-time basis for Schedule (2) to support English Language Development Assessment, pursuant to Provision 3 of Item 6100-488. |
6100-113-0890—For local assistance, State Department of Education—Title I, Part B, State Assessment Grant, payable from the Federal Trust
Fund
........................
|
18,012,000 | ||||||
Schedule:
|
|||||||
(1) |
5205200-Assessment Review and Reporting
........................
|
848,000 | |||||
(2) |
5205204-English Language Development Assessment
........................
|
16,621,000 | |||||
(3) |
5205208-California Student Assessment System
........................
|
543,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in Schedule (3) are provided for contract costs for the implementation of the statewide pupil assessment
system established pursuant to Chapter 489 of the Statutes of 2013, as approved by the State Board of Education, including
funding for the Lexile® and Quantile® measures of learning and access to the Lexile® and Quantile® Hubs, and are contingent
upon the Department of Finance’s review of the related contract during contract negotiations and prior to its execution.
|
||||||
2. |
The funds appropriated in Schedule (2) shall be available for approved contract costs for the development of, transition to,
and administration of the English Language Proficiency Assessments for California, which include initial identification and
annual assessments aligned to the
state English language development standards in accordance with Chapter 478 of the Statutes of 2013, and are contingent
upon the submittal of the related contract by the State Department of Education and the Department of Finance. Ongoing funding
for the English Language Proficiency Assessments for California shall be contingent upon an appropriation in the annual Budget
Act.
|
||||||
3. |
Funds appropriated in Schedule (1) are for providing local educational agencies information regarding federal requirements
associated with assessments.
|
||||||
4. |
Funds provided to local educational agencies from Schedules (2) and (3) shall first be used to offset any state-mandated
reimbursable costs, within the meaning of subdivision (e) of Section 17556 of the Government Code, that otherwise may
be claimed through the state mandates reimbursement process for the statewide pupil assessment system established pursuant
to Chapter 489 of the Statutes of 2013, the California Assessment of Student Performance and Progress, and the English Language
Proficiency Assessments for California. Local educational agencies receiving funding from these schedules shall reduce their
estimated and actual mandate reimbursement claims by the amount of funding provided to them from these schedules.
|
||||||
5. |
Federal funds provided in this item for statewide testing purposes shall be fully expended before General Fund resources provided
in Item 6100-113-0001 are expended for the same purposes.
|
||||||
6. |
The Department of Finance, State Department of Education, Legislative Analyst’s Office and legislative staff, and the vendor
or vendors of the state’s California Assessment of Student Performance and Progress and English Language Proficiency Assessments
for California contract shall meet on an annual basis every October and April to review detailed fiscal information regarding
the current components and costs of the contract. The group also shall explore ways to make annual improvements to the state’s
assessment system or to achieve related savings.
|
6100-134-0890—For local assistance, State Department of Education, payable from the Federal Trust Fund
........................
|
2,380,668,000 | ||||||
Schedule:
|
|||||||
(1) |
5200103-Statewide System of School Support
........................
|
5,000,000 | |||||
(2) |
5200135-Title I, Elementary and Secondary Education Act
........................
|
2,213,905,000 | |||||
(3) |
5200120-Title IV, Student Support and Academic Enrichment
........................
|
161,763,000 | |||||
Provisions:
|
|||||||
1. |
In administering the accountability system required by this item, the State Department of Education shall align the forms,
processes, and procedures required of local educational agencies so that duplication of effort is minimized at the local level.
|
||||||
2. |
The State Department of Education shall provide to the Legislature, the Legislative Analyst’s Office, and the Department of
Finance a letter by April 15, of each year, reporting expenditures and anticipated savings for each schedule, based on available
information.
|
||||||
3. |
The funds appropriated in this item shall be considered
offsetting revenues within the meaning of subdivision (e) of Section 17556 of the Government Code for any reimbursable
mandated cost claim for activities that result from implementation of the California State Plan for the federal Every Student
Succeeds Act (P.L. 114-95). Local educational agencies accepting funding from this item shall reduce any estimated and actual
mandate reimbursement claims by the amount of funding provided to them from this item.
|
||||||
4. |
The State Department of Education shall submit an expenditure plan prior to the expenditure of funds to the Department of
Finance and the Joint Legislative Budget Committee that includes the use of federal funds pursuant to the California State
Plan for the federal Every Student Succeeds Act (P.L. 114-95).
|
||||||
5. |
As a condition of receipt of funds appropriated in this item, the local educational agency’s plan for use of federal funds
required pursuant to Section 1112 of Part A of Title I of the federal Elementary and Secondary Education Act of 1965 (20 U.S.C.
Sec. 6312) shall be approved by the State Board of Education. Approval of such plans shall be contingent on the local educational
agency’s demonstration that its planned use of the federal funds will supplement and enhance local priorities or initiatives
funded with state funds, as reflected in the local educational agency’s local control and accountability plan.
|
||||||
6. |
Of the funds appropriated in Schedule (2), no less than
$144,468,000 is available for purposes of providing grants to local educational agencies with schools identified as
requiring support, consistent with the California State Plan for the federal Every Student Succeeds Act (P.L. 114-95). The
State Department of Education shall develop and administer a process for providing grants from these funds on a formula basis
to local educational agencies with schools identified as requiring support. Local educational agencies shall use the funds
for the development of strategies to improve pupil performance at schools identified as requiring support that are aligned
to goals, actions, and services identified in the local educational agency’s local control and accountability plan. Such funds
shall not be expended to hire additional permanent staff.
|
||||||
7. |
The
funds appropriated in Schedule (1) shall be allocated to county offices of education for the purposes of supporting
development and implementation of comprehensive support and improvement (CSI) plans in coordination with the statewide system
support for local educational agencies established in the California State Plan for the federal Every Student Succeeds Act
(P.L. 114-95). The State Department of Education shall develop, in consultation with the Executive Director of the State Board
of Education and with the approval of the Department of Finance, the method of allocation for these funds, which shall be
based on a formula that considers the number of schools within a county that are identified for additional support consistent
with the California State Plan for the federal Every Student Succeeds Act (P.L. 114-95).
|
||||||
8. |
The funds
appropriated in Schedule (3) are available on a one-time basis, and shall be used in accordance with Part A of Title
IV of the federal Every Student Succeeds Act (P.L. 114-95).
|
||||||
9. |
The funds appropriated in Schedule (3) shall be allocated to local educational agencies pursuant to Section 4105 of the federal
Elementary and Secondary Education Act of 1965 (20 U.S.C. Sec. 7115), as reauthorized by the federal Every Student Succeeds
Act (P.L. 114-95).
|
||||||
10. |
For purposes of performing the calculation to ensure that no less than 95 percent of the state’s reserve is being allocated
as grants to local educational agencies, pursuant to Section 1003 of the federal Every
Student Succeeds Act (P.L. 114-95), the amount appropriated in Schedule (1) and the amount specified in Provision 6
shall be added together.
|
||||||
11. |
Of the funds appropriated in Schedule (2), $5,000,000 shall be allocated to county offices of education for the purposes of
review and approval of comprehensive support and improvement (CSI) plans through the CSI prompts in the local control and
accountability plan. The method of allocation shall be the same as the one developed and approved pursuant to Provision 7.
|
||||||
12. | Of the funds appropriated in Schedule (2), $67,000,000 is provided in one-time federal Every Student Succeeds Act (P.L. 114-95), Title I, carryover funds to support the existing program. | ||||||
13. | Of the funds appropriated in Schedule (3), $15,350,000 is provided in one-time federal Every Student Succeeds Act (P.L. 114-95), Title IV, carryover funds to support the existing program. |
6100-161-0890—For local assistance, State Department of Education, payable from the Federal Trust Fund, Special Education Programs for
Exceptional Children
........................
|
1,471,378,000 | ||||||
Schedule:
|
|||||||
(1) |
5200203-Local Agency Entitlements, IDEA Special Education
........................
|
1,333,447,000 | |||||
(2) |
5200209-State Level Activities, IDEA Special Education
........................
|
81,325,000 | |||||
(3) |
5200211-Preschool Grant Program, IDEA Special Education
........................
|
40,152,000 | |||||
(4) |
5200213-State Improvement Grant, IDEA Special Education
........................
|
2,324,000 | |||||
(5) |
5200215-Family Empowerment Centers, IDEA Special Education
........................
|
14,032,000 | |||||
(6) |
5205231-Supplemental Grants: Newborn Hearing Screening Grants
........................
|
98,000 | |||||
Provisions:
|
|||||||
1. |
In accordance with federal law, the funds appropriated in Schedule (1) shall be distributed to local and state agencies on
the basis of the federal Individuals with Disabilities Education Act (20 U.S.C. Sec. 1400 et seq.) permanent formula.
|
||||||
2. |
Of the funds appropriated in Schedule (2), up to $1,950,000 shall be used to develop and test procedures, materials, and training
for alternative dispute resolution in special education.
|
||||||
3. |
Of the funds appropriated in Schedule (3) for the Preschool Grant Program, $1,228,000 shall be used for in-service training
and shall include a parent training component and may, in addition, include a staff training program. These funds may be used
to provide training in alternative dispute resolution and the local mediation of disputes. This program shall include state
sponsored and local components.
|
||||||
4. |
Of the funds appropriated in this item, $2,120,000 is available for local assistance grants to monitor local educational agency
compliance with state and federal laws and regulations governing special education. This funding level is to be used to continue
the
facilitated reviews and, to the extent consistent with State Performance Plan/Annual Performance Report Indicators developed
by the State Department of Education, these activities shall focus on local educational agencies identified by the United
States Department of Education’s Office of Special Education Programs. Of this amount, no less than $1,400,000 shall be used
for the Supporting Inclusive Practices Grant.
|
||||||
5. |
The funds appropriated in Schedule (5) shall be used for the purposes of Family Empowerment Centers on Disability pursuant
to Chapter 44 of the Statutes of 2021.
|
||||||
6. |
Of the funds appropriated in Schedule (2), $69,000,000 shall be available only for
the purpose of providing educationally related mental health services, including out-of-home residential services for
emotionally disturbed pupils, required by an individualized education program pursuant to the federal Individuals with Disabilities
Education Act (20 U.S.C. Sec. 1400 et seq.) and as described in Section 56363 of the Education Code. The Superintendent of
Public Instruction shall allocate these funds to local educational agencies beginning in the 2024–25 fiscal year based upon
an equal rate per pupil using the methodology specified in Section 56836.07 of the Education Code.
|
||||||
7. |
The funds appropriated in Schedule (4) are provided for scientifically based professional development as part of the State
Personnel Development grant. Of the funds appropriated in Schedule (4), $234,000 is available in one-time carryover
funds.
|
||||||
8. |
Of the funds appropriated in Schedule (2), up to $3,894,000 shall be available for transfer to the state special schools for
student transportation allowances.
|
||||||
9. |
Of the funds appropriated in Schedule (2), up to $3,861,000 in federal Individuals with Disabilities Education Act (20 U.S.C.
Sec. 1400 et seq.) funds shall be available for the State Department of Education to provide accessible instructional materials
to local educational agencies.
|
||||||
10. |
Of the funds appropriated in
Schedule (2), up to $500,000 is provided to develop resources and provide technical assistance to local educational
agencies for implementation of the State Systemic Improvement Plan.
|
||||||
11. |
Of the funds appropriated in Schedule (3), no less than $500,000 shall be used for the Supporting Inclusive Practices Grant.
|
||||||
12. | Of the funds appropriated in Schedule (1), $6,000,000 in one-time carryover is available to support the existing program. |
6100-294-0890—For local assistance, State Department of Education, payable from the Federal Trust Fund
........................
|
3,631,000 | ||||||
Schedule:
|
|||||||
(1) |
5210052-Early Head Start—Child Care Partnership Grant
........................
|
3,631,000 | |||||
Provisions: | |||||||
1. | Of the funds appropriated in Schedule (1), $3,631,000 is available annually through the 2028–29 fiscal year to support local Early Head Start services under the Early Head Start-Child Care Partnerships Grant. |
6100-488—Reappropriation, State Department of Education. Notwithstanding any other law, the balances from the following appropriations
are available for reappropriation for the purposes specified in the provisions below:
|
|||||||
0001—General Fund
|
|||||||
(1) |
$220,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the K-12 Mandated Programs
Block Grant in Schedule (1) of Item 6100-296-0001,
Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021).
|
||||||
(2) |
$22,248,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the 21st Century
Community Learning Centers Program in Schedule (2) of Item 6100-149-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats.
2022).
|
||||||
(3) | $204,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the California American Indian Education Centers in Schedule (1) of Item 6100-151-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(4) | $26,800,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the Child Nutrition Programs in Schedule (1) of Item 6100-203-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). | ||||||
(5) | $18,823,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the Special Education Program for Individuals with Exceptional Needs in Chapter 44 of the Statutes of 2021. | ||||||
(6) | $1,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the American Indian Early Childhood Education Program in Schedule (1) of Item 6100-150-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(7) | $500,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the Special Education Program for Individuals with Exceptional Needs in Schedule (1) of Item 6100-161-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(8) | $490,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the K-12 Mandated Programs Block Grant in Schedule (1) of Item 6100-296-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). | ||||||
(9) | $19,037,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the Career Technical Education Incentive Grant Program in Schedule (1) of Item 6100-168-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(10) | $150,000,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the Inclusive Early Education Expansion Program in Schedule (3) of Item 6100-196-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). | ||||||
(11) | $1,000,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the Reading Difficulties Risk Screener Selection Panel in Chapter 48 of the Statutes of 2023. | ||||||
(12) | $5,072,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the California Community College Strong Workforce Program in Schedule (16) of Item 6870-101-0001, Budget Act of 2020 (Chs. 6 and 7, Stats. 2020). | ||||||
(13) | $292,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for the Adults in Correctional Facilities Program in Schedule (1) of Item 6100-158-0001, Budget Act of 2023 (Chapter 12, 38, and 189, Stats 2023). | ||||||
Provisions:
|
|||||||
1. |
The sum of $239,395,000 is hereby appropriated to the Superintendent of Public Instruction for allocation to school districts
and charter schools in the 2024–25 fiscal year pursuant to Section 42238.02 of the Education Code pursuant to the provisions
provided in the 2024 Education Omnibus trailer bill for this purpose.
|
||||||
2. | (a) | The sum of $5,000,000 is hereby appropriated to the Superintendent of Public Instruction for allocation to the Marin County Office of Education to contract with the California Teachers Collaborative for Holocaust and Genocide Education to continue its work to do both of the following: | |||||
(1) | Develop and provide curriculum resources related to genocide and Holocaust education. | ||||||
(2) | Provide professional development, including educator trainings,on genocide and Holocaust education. | ||||||
(b) | The funds allocated pursuant to this provision are available for encumbrance and expenditure until June 30, 2029. | ||||||
(c) | Of the amount appropriated in subprovision (a), no more than 5 percent shall be available for reimbursement to the Marin County Office of Education for administrative activities. | ||||||
3. | The sum of $292,000 is hereby appropriated to the Superintendent of Public Instruction for costs associated with administering the English Language Development Assessment, pursuant to Provision 9 of Item 6100-113-0001. |
6120-217-0001—For local assistance, California State Library
........................
|
750,000 | ||||||
Schedule: | |||||||
(1) | 5312-Library Development Services ........................ | 750,000 | |||||
Provisions: | |||||||
1. | Of the funds appropriated in this item, $750,000 shall be available on a one-time basis to support competitive grants for the preservation and public accessibility of lesbian, gay, bisexual, transgender, and queer archives statewide. |
6120-488 —Reappropriation, California State Library. Notwithstanding any other law, the balances from the following appropriation is
available for reappropriation for the purposes specified in Provision 1.
|
|||||||
0001—General Fund | |||||||
(1) | $68,200,000 or whatever greater or lesser amount of the unexpended balance of the amount appropriated for costs associated with the Statewide Imagination Library in Schedule (1) of Item 6120-161-0001, Budget Act of 2022, (Chs. 43, 45, and 249, Stats. 2022). | ||||||
Provisions: | |||||||
1. | Notwithstanding any other law, at least 90 percent of the funds reappropriated in this item up to $68,200,000 shall be allocated no later than 45 days after this bill becomes law on a one-time basis to the Dollywood Foundation for the purposes of developing a California iteration of Dolly Parton’s Imagination Library. The California Library Strong Reader Partnership may establish an advisory group to advise the Dollywood Foundation in its development of the California iteration of Dolly Parton’s Imagination Library. | ||||||
(a) | The State Librarian may establish reporting requirements that the Foundation must comply with through January 1, 2028, and shall report to the Legislature by January 1, 2028, on the implementation of the program, including, but not limited to, the following information: | ||||||
(1) | How many children are enrolled in the Statewide Imagination Library program and how many books have been sent to enrolled children. | ||||||
(2) | How many local programs exist, where they are located, and which entity or organization serves as the local partner. |
6360-490—Reappropriation, Commission on Teacher Credentialing. 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 until June
30, 2025:
|
|||||||
0001—General Fund | |||||||
(1) | Provision 2 of item 6360-001-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021) | ||||||
0408—Test Development and Administration Account, Teacher Credentials Fund | |||||||
(1) | Provision 5 of item 6360-001-0408 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as transferred to 6360-001-0407 pursuant to Provision 9 of item 6360-001-0407 of the Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) |
6440-001-0001—For support of University of California
........................
|
4,863,436,000 | ||||||
Schedule:
|
|||||||
(1) |
5440-Support
........................
|
4,863,436,000 | |||||
Provisions:
|
|||||||
1. |
This appropriation is exempt from Sections 6.00 and 31.00.
|
||||||
2. | (a) |
The Regents of the University of California shall implement measures to reduce the university’s cost structure.
|
|||||
(b) |
The Legislature finds and declares that many state employees hold positions with comparable scope of responsibilities, complexity,
breadth of job functions, experience requirements, and other relevant factors to those employees designated to be in the Senior
Management Group pursuant to existing Regents Policy.
|
||||||
(c) | (1) |
Therefore, at a minimum, the Regents shall, when considering compensation for any employee designated to be in the Senior
Management Group, use a market reference zone that includes state employees.
|
|||||
(2) |
At a minimum, the Regents shall include in a market reference zone all comparable positions from the lists included in subdivision
(l) of Section 8 of Article III of the California Constitution and Article 1 (commencing with Section 11550) of Chapter 6
of Part 1 of Division 3 of Title 2 of the Government Code.
|
||||||
2.1. |
Notwithstanding any other law, the Director of Finance may reduce funds appropriated in this item by an amount equal to the
estimated Cal Grant and Middle Class Scholarship Program cost increases caused by a 2024–25 academic year increase in systemwide
tuition. No reduction may be authorized pursuant to this provision sooner than 30 days after the Director of Finance provides
notice of the intended reduction to the Chairperson of the Joint Legislative Budget Committee.
|
||||||
3. | (a) |
The Controller shall transfer funds from this appropriation upon receipt of a report from the Department of Finance indicating
the amount of debt service anticipated to become due and payable in the fiscal year associated with state general
obligation bonds issued for university projects.
|
|||||
(b) |
The Controller shall return funds to this appropriation upon receipt of a report from the Department of Finance.
|
||||||
4. |
Payments made by the state to the University of California for each month from July through April shall not exceed one-twelfth
of the amount appropriated in this item, less the amount that is expected to be transferred pursuant to Provision 3. Transfers
of funds pursuant to Provision 3 shall not be considered payments made by the state to the university.
|
||||||
5. | (a) |
Of the funds appropriated in this item, $15,800,000 shall be available to support meal donation programs, food pantries serving
students, CalFresh enrollment, and other means of directly providing nutrition assistance to students. All monetary assistance
provided to students pursuant to this subprovision shall be distributed to the student by the campus financial aid office.
The funds described in this subprovision may also be used for any of the following:
|
|||||
(1) |
To assist homeless and housing-insecure students in securing stable housing.
|
||||||
(2) |
To supply students with personal hygiene products.
|
||||||
(3) |
To establish basic-needs centers as a centralized location on campus where students experiencing basic-needs insecurity can
be identified, supported, and linked to on- and off-campus resources to support timely program completion. Campus basic-needs
centers may use funds for operations of the center.
|
||||||
(4) |
To designate or hire dedicated basic-needs coordinators for the basic-needs
centers who will serve as a single point of contact for students.
|
||||||
(b) |
The University of California shall report to the Department of Finance and relevant policy and fiscal committees of the Legislature
by February 1 of each year regarding the use of funds specified in subdivision (a) and Provision 7. The report shall include,
but not necessarily be limited to, all of the following information for the preceding fiscal year and estimates of all of
the following for the current fiscal year:
|
||||||
(1) |
The amount of funds distributed to campuses, and identification of which campuses
received funds.
|
||||||
(2) |
For each campus, a programmatic budget summarizing how the funds were spent. The budget shall include any other funding used
to supplement the General Fund.
|
||||||
(3) |
A description of the types of programs in which each campus invested.
|
||||||
(4) |
A list of campuses that accept or plan to accept electronic
benefits transfer.
|
||||||
(5) |
A list of campuses that participate or plan to participate in the CalFresh Restaurant Meals Program.
|
||||||
(5.5) |
The number of students who first started receiving CalFresh benefits in the preceding year as well as the total number of
students in the preceding year receiving CalFresh.
|
||||||
(5.8) |
The
number of campuses that have a data-sharing agreement with the relevant county operating the CalFresh program with the
purpose of identifying new, continuing, and returning students who are potentially eligible for CalFresh benefits, or efforts
underway to enact such an agreement.
|
||||||
(6) |
A list of campuses that offer or plan to offer emergency housing or assistance with long-term housing arrangements.
|
||||||
(7) |
A description of how campuses leveraged or coordinated with other state or local resources to address housing and food insecurity,
and student
mental health.
|
||||||
(7.1) |
The number of students receiving mental health services on campus, disaggregated by race, ethnicity, gender, age group, and
type of service received.
|
||||||
(7.2) |
The average wait time for initial routine mental health counseling appointments.
|
||||||
(7.3) |
The average number of campus mental health counseling
appointments per student.
|
||||||
(7.4) |
The number of students referred to off-campus providers for mental health services.
|
||||||
(7.5) |
The number of student mental health staff by provider type and the counselor-to-student ratio.
|
||||||
(7.6) |
Total spending on student mental health services, by fund source, including spending covered by
insurance providers.
|
||||||
(8) |
An analysis describing how funds reduced food insecurity and homelessness among students, increased student mental health,
and, if feasible, how funds impacted student outcomes such as persistence or completion.
|
||||||
(9) |
Other findings and best practices implemented by campuses.
|
||||||
6. |
Of the funds appropriated in this item, $21,300,000 shall be available to
increase student mental health resources.
|
||||||
7. | (a) |
Of the funds appropriated in this item, $3,700,000 shall be available to support rapid rehousing efforts assisting homeless
and housing-insecure students. All monetary assistance to students shall be distributed to the student by the campus financial
aid office.
|
|||||
(b) |
Campuses shall establish ongoing partnerships with community organizations that have a tradition of helping populations experiencing
homelessness to provide wraparound services and rental subsidies for students. Funds appropriated in this item may be used
for, but authorized uses are not
limited to, the following activities:
|
||||||
(1) |
Connecting students with community case managers who have knowledge and expertise in accessing safety net resources.
|
||||||
(2) |
Establishing ongoing emergency housing procedures, including on-campus and off-campus resources.
|
||||||
(3) |
Providing emergency grants that are necessary to
secure housing or to prevent the imminent loss of housing.
|
||||||
(c) |
Funding shall be allocated to campuses based on demonstrated need.
|
||||||
(d) |
The terms “homeless” and “housing insecure” shall be defined as students who lack a fixed, regular, and adequate nighttime
residence. This includes students who are:
|
||||||
(1) |
Sharing the housing of other persons due to loss of housing, economic
hardship, or a similar reason.
|
||||||
(2) |
Living in motels, hotels, trailer parks, or camping grounds due to the lack of alternative adequate accommodations.
|
||||||
(3) |
Living in emergency or transitional shelters.
|
||||||
(4) |
Abandoned in hospitals.
|
||||||
(5) |
Living in a primary nighttime residence that is a public or private place not designed for or ordinarily used as a regular
sleeping accommodation for human beings.
|
||||||
(6) |
Living in cars, parks, public spaces, abandoned buildings, substandard housing, bus or train stations, or similar settings.
|
||||||
(e) |
The University of California shall submit a report to the Director of Finance and, in conformity with Section 9795 of the
Government Code, to the Legislature by February 1 of each year regarding the use of these funds, for the preceding fiscal
year and estimates for the current fiscal year, for information including the number of coordinators hired, number of students
served by campus, distribution of funds by campus, a description of the types of programs funded, and other relevant outcomes,
such as the number of students that were able to secure permanent housing, and whether students receiving support remained
enrolled at the institution or graduated. This report may be submitted jointly with other basics needs reporting due to the
Legislature.
|
||||||
11. | (a) |
Of the funds appropriated in this item, $12,900,000 shall be available to support and expand existing UC Programs in Medical
Education and to establish a new UC Program
in Medical Education focused on Native American communities. These funds may also be available to establish additional
UC Programs in Medical Education that are state priorities. The University of California is encouraged to use these funds
to support UC Programs in Medical Education that would serve underrepresented areas of the state.
|
|||||
(b) |
One-third of the funds appropriated in this provision shall be used to augment need-based financial aid for UC Programs in
Medical Education students.
|
||||||
(c) |
The University of California shall report the following information about UC Programs in Medical Education
program outcomes to the Department of Finance and the Legislature annually by March 1, until March 1, 2027:
|
||||||
(1) |
Enrollment numbers and student demographics in each program.
|
||||||
(2) |
A summary of each program’s current curriculum.
|
||||||
(3) |
Graduation and residency placement rates for each program.
|
||||||
(4) |
To the extent feasible, postgraduate data on where each program’s graduates currently practice and the extent to which they
serve the populations and communities targeted by the program in which they participated.
|
||||||
12. |
Of the funds appropriated in this item, $1,823,000 shall be used for legal services for undocumented and immigrant students,
faculty, and staff.
|
||||||
13. |
Of the funds appropriated in this item, $3,000,000 shall be used for the University of
California Firearm Violence Research Center. It is the intent of the Legislature that these funds be directly allocated
by the University of California to the University of California Firearm Violence Research Center, and that the University
of California and the University of California, Davis, campus shall not assess administrative costs or charges against these
funds.
|
||||||
14. |
Of the funds appropriated in this item, $1,000,000 shall be used for the Institute on Global Conflict and Cooperation.
|
||||||
15. |
Of the funds appropriated in this item, $4,000,000 shall be used by the University of California to provide summer-term financial
aid to any student who is eligible for
state financial aid and is a California resident, including students receiving an exemption for nonresident tuition
pursuant to Section 68130.5 of the Education Code. These funds shall be used to supplement and not supplant existing funds
provided by the University of California for summer-term financial aid. The Legislature finds and declares that this provision
is a state law within the meaning of subsection (d) of Section 1621 of Title 8 of the United States Code.
|
||||||
16. |
Of the funds appropriated in this item, $6,000,000 shall be available on an ongoing basis to support foster youth programs
pursuant to Section 92663 of the Education Code.
|
||||||
17. |
By November 1
each year, the University of California shall report key information regarding UCPath to the Department of Finance and
the Joint Legislative Budget Committee. At a minimum, the report shall include UCPath’s staffing levels, funding by source,
and spending by function. The funding source data shall summarize fund sources used by campuses to cover any campus assessment.
The report shall include actual data for the prior fiscal year, budgeted data for the current fiscal year, and projected data
for the coming fiscal year. The report shall include any cost savings resulting from the UCPath project at the campus level.
|
||||||
18. |
To provide for legislative oversight, the Office of the President of the University of California shall report to the Legislature
and the Department of Finance, by September 30 each year, all of the following information
for the preceding fiscal year and estimates of all of the following for the current fiscal year:
|
||||||
(a) |
The amount of any campus assessments charged to support the Office of the President of the University of California, reflecting
amounts contributed by each campus and the fund source or sources from which those amounts were paid.
|
||||||
(b) |
The total budget of the Office of the President of the University of California.
|
||||||
(c) |
A categorized list of actual and planned budgetary expenditures for the Office of the President of the University of California.
|
||||||
(d) |
Factors contributing to any year-over-year change in the budget of the Office of the President of the University of California.
|
||||||
(e) |
The amount of the budget of the Office of the President of the University of California that either passes through to recipients
across the state or supports fee-for-service activities aligned with the university’s mission.
|
||||||
(f) |
Information on reserves and fund balances held by the Office of the President of the University of California.
|
||||||
19. |
Of the funds appropriated in this item, $650,000 shall be available to support the integration of Association of Independent
California Colleges and Universities members onto the ASSIST platform.
|
||||||
20. |
Of the funds appropriated in this item, $1,000,000 shall be available on an ongoing basis to support the California Vectorborne
Disease Surveillance Gateway.
|
||||||
21. |
Of the funds appropriated in this item, $4,000,000 shall be available to the University of California on an ongoing basis
for disbursement to all undergraduate-serving University of California campuses, after consultation with Underground Scholars
directors and coordinators, to establish and sustain Underground Scholars programs as a centralized location on campus where
incarcerated, formerly incarcerated, and system-impacted students can be provided with recruitment programs, retention services,
advocacy, and wellness programs to support admission to the University of California system and timely program completion.
Campuses shall share best practices for program operations annually with other University of California campuses for purposes
of developing spending plans to serve incarcerated, formerly incarcerated, and system-impacted students. Each undergraduate-serving
University of California campus shall
have one or more dedicated Underground Scholars directors and coordinators who will serve as a point of contact for
students.
|
||||||
22. |
Of the funds appropriated in this item, $5,000,000 shall be available on an ongoing basis for the University of California
to establish and operate student services programs on each campus to serve undocumented students.
|
||||||
23. |
Of the funds appropriated in this item, $22,500,000 shall be available on an ongoing basis to support Student Academic Preparation
and Educational Partnerships programs.
|
||||||
24. |
Of the funds appropriated in this item, $75,000 shall be available on an ongoing basis to support the University of California,
Los Angeles Anderson School of Management to include climate change economic impacts by California region in the UCLA Anderson
Forecast economic forecasting model for California.
|
||||||
25. |
Of the funds appropriated in this item, $21,000,000 shall be available to the University of California to support UC Medical
School Projects at UC Merced and UC Riverside.
|
||||||
26. |
Of the funds appropriated in this item, $13,000,000 shall be available on an ongoing basis to support research, education,
and public engagement
on labor issues in California. The funds shall be allocated as follows:
|
||||||
(a) |
$3,000,000 to the University of California, Berkeley Labor Center.
|
||||||
(b) |
$3,000,000 to the University of California, Los Angeles Labor Center.
|
||||||
(c) |
$3,000,000 to the University of California, Merced Community and Labor Center.
|
||||||
(d) |
$500,000 to the University of California, Berkeley Labor Occupational Health Program.
|
||||||
(e) |
$500,000 to the University of California, Los Angeles Labor Occupational Safety and Health Program.
|
||||||
(f) |
$3,000,000 to be allocated to support a multicampus initiative as determined by a five-member committee comprising the directors
of the centers specified in subprovisions (a), (b), and (c), or their designees, as well as two members appointed by the California
Federation of Labor. The committee shall
allocate these funds based on proposals submitted by the University of California’s Davis, Irvine, Riverside, San Diego,
Santa Barbara, and Santa Cruz campuses. The committee shall determine the criteria and timeline to submit proposals, as well
as how to allocate funds among eligible proposals.
|
||||||
27. |
Of the funds appropriated in this item, $50,701,000 ongoing General Fund shall be allocated to support approved UC Higher
Education Student Housing Grant Program projects.
|
||||||
28. |
Of the funds appropriated in this item, $33,300,000 ongoing General Fund shall be allocated to support UC Merced and UC Riverside
Campus Expansion Project and the UC Berkeley Clean Energy
Campus Project.
|
||||||
29. |
Of the funds appropriated in this item, $2,000,000 ongoing General Fund shall be allocated to support the UC Riverside School
of Medicine.
|
||||||
30. | Of the funds appropriated in this item, $227,831,000 shall be available to support operational costs. | ||||||
(a) | To maximize transparency and accountability, the University of California shall report to the Department of Finance and the budget committees of the Legislature by December 31, 2025, its actual net expenditure increases for 2024–25 in each expenditure category identified in its initial budget plan for that year, as reflected in its 2024–25 Budget Plan for Current Operations. | ||||||
(b) | It is the intent of the Legislature to defer a base increase of $240,773,000 from 2025–26 to 2026–27. In 2026–27, it is the intent of the Legislature to provide a one time back payment of this amount, along with an ongoing base increase of this amount. | ||||||
(c) | It is the intent of the Legislature to defer a base increase of $240,773,000 from 2026–27 to 2027–28. In 2027–28, it is the intent of the Legislature to provide a one-time back payment of this deferred amount, along with an ongoing base increase of this amount. | ||||||
30.5 | (a) | Of the finds appropriated in this item, $31,000,000 is for supporting the replacement of an additional 902 nonresident undergraduate full-time equivalent students in 2024–25 with an equal number of resident undergraduate full-time equivalent students at the Berkeley, Los Angeles, and San Diego campuses, pursuant to Provision 43 of Item 6440-001-0001 of the Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), as well as Chapter 16 (commencing with Section 93000) of Part 57 of Division 9 of Title 3 of the Education Code. This funding amount offsets the associated decrease in nonresident tuition and fee revenue as well as the higher financial aid costs for the additional resident students. | |||||
(b) | If the actual reduction in nonresident undergraduate enrollment in 2024–25 at these campuses is fewer than 902 full-time equivalent students, the Director of Finance shall reduce funding for the University of California by the portion of the appropriation in this subdivision that is attributable to each student under the target reduction level, as specified in Section 93000 of the Education Code. | ||||||
(c) | It is the intent of the Legislature to defer nonresident reduction plan funding of $31,000,000 from 2025–26 to 2026–27. In 2026–27, it is the intent of the Legislature to provide a one time back payment of this 2025–26 deferred amount, along with an ongoing increase of this amount. | ||||||
(d) | It is the intent of the Legislature to defer nonresident reduction plan funding of $31,000,000 from 2026–27 to 2027–28. In 2027–28, it is the intent of the Legislature to provide a one-time back payment of this 2027–28 deferred amount, along with an ongoing increase of this amount. | ||||||
31. | (a) |
It is the intent of the Legislature that the University of California shall increase resident undergraduate enrollment by
2,927 full-time equivalent (FTE) students in 2024–25 over the estimated 2023‒24 baseline level of 203,661 FTE students to
a total enrollment of 206,588.
|
|||||
(b) |
If the University of California enrolls fewer resident undergraduate FTE students than specified in subdivision (a), the Director
of Finance may reduce funding proportional to each student under the specified level. Funding shall be reduced at the 2024–25
state marginal cost rate of $11,640 per FTE student. If the University of California enrolls more resident undergraduate FTE
students than specified in subdivision (a), those additional students will be counted towards the 2025–26 target.
|
||||||
(c) |
It is the expectation of the Legislature that UC increase resident undergraduate enrollment increase by 2,947 FTE students
in 2025–26,
for a total level of 209,535 resident undergraduate FTE students in 2025–26.
|
||||||
(d) | It is the intent of the Legislature that the University of California also increase resident undergraduate enrollment by 2,968 FTE students in 2026–27, for a total level of 212,503 resident undergraduate FTE students in 2026–27. | ||||||
(e) |
The systemwide growth identified in this provision is inclusive of the additional 902 resident undergraduate FTE students
resulting from the replacement of nonresident undergraduate FTE students identified in Provision 30 of this item.
|
||||||
32. |
Of the funds appropriated in this item, $1,500,000 shall be available on an ongoing basis to support students with disabilities.
This funding shall supplement, not supplant, core funds the University of California spends to support these students. The
University of California shall allocate these funds to campuses based
upon their number of students with disabilities. Campuses shall use these funds to improve services for these students,
with a focus on increasing the number of professional staff serving them, thereby reducing their associated caseload.
|
||||||
33. |
Of the funds appropriated in this item, $3,000,000 ongoing General Fund shall be available to support the University of California,
Los Angeles Ralph J. Bunche Center for African American Studies.
|
||||||
34. | It is the intent of the Legislature that the University of California foster freedom of expression and the free exchange of ideas that comply with state and federal law and campus policies while also protecting student, staff, and faculty safety and access to educational opportunities. Each campus of the university shall prepare a campus climate notification by the beginning of the Fall 2024 term. The University of California Office of the President will develop a systemwide framework to provide for consistency with campus implementation and enforcement. | ||||||
(a) | Each campus shall provide notification of the following to students before the start of each academic year: | ||||||
(1) | The campus’s time, place, and manner policy, which identifies the allowable parameters of free speech activities and the campus. | ||||||
(2) | The Student Code of Conduct, which identifies acceptable student behavior, and relevant state and federal laws, which delineate legal and illegal activities. | ||||||
(3) | The systemwide Nondiscrimination Policy, which ensures compliance with Title VI and Title VII of the Civil Rights Act of 1964. | ||||||
(4) | The process by which the campus will resolve any complaint of a violation of relevant institutional policies, state law, or federal law, including complaints against individuals not affiliated with the campus. | ||||||
(5) | The range of consequences possible for students, faculty, or staff who violate relevant institutional policies, state law, or federal law, including, but not limited to, discrimination based on shared ancestry under Title VI of the Civil Rights Act of 1964. | ||||||
(6) | How the campus may respond to activities that threaten the safety of students, faculty, or staff, and disrupt their ability to access the campus or buildings, the educational process, or activities on campus. The notification will include strategies consistent with current law for how the university intends to ensure students can safely access buildings and activities on campus. | ||||||
(7) | How the campus intends to foster healthy discourse and bring together campus community members, and viewpoints that are ideologically different, in order to best promote the educational mission of the institution and the exchange of ideas in a safe and peaceful manner. | ||||||
(8) | Identify educational programs and activities for faculty, staff, and students to support the balance between free speech activities, educational mission, and student safety. | ||||||
(9) | A list of the resources available on campus for faculty, staff, and students to receive mental health and trauma support. | ||||||
(b) | The Office of the President of the University of California shall submit a report to the Legislature by October 1, 2024, describing the campus climate notifications and any and all efforts to ensure consistent enforcement of institutional policies, and state and federal law, that protect safety and access to educational opportunities and campus spaces and buildings. Of the funds appropriated in this item, $25,000,000 shall be released only if the Director of Finance certifies that the University of California campuses have completed campus climate notifications and the University of California Office of the President has submitted a report by October 1, 2024. |
6440-005-0001—For support of University of California
........................
|
122,296,000 | ||||||
Schedule:
|
|||||||
(1) |
5440-Support
........................
|
122,296,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item shall be for the University of California, Division of Agriculture and Natural Resources.
These funds shall be used to supplement and not supplant other existing funds provided to the division by the University of
California.
|
||||||
2. |
Of the funds appropriated in this item, $2,400,000 shall be available on a one-time basis to support the University of California
Nutrition Policy Institute in the University of California, Division of Agriculture and Natural Resources for School Meals
for All Research. Furthermore, it is the intent of the Legislature that $1,300,000 shall be available in 2025–26
for this purpose.
|
6645-490—Reappropriation, Health Benefits for California State University Annuitants. The amounts specified 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, 2026:
|
|||||||
0001—General Fund | |||||||
(1) | Up to $17,500,000 in Item 6645-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) |
6870-101-0001—For local assistance, Board of Governors of the California Community Colleges (Proposition 98)
........................
|
6,149,214,000 | ||||||
Schedule:
|
|||||||
(1) |
5670015-Apportionments
........................
|
3,904,892,000 | |||||
(2) |
5670019-Apprenticeship
........................
|
64,690,000 | |||||
(3) |
5670023-Apprenticeship Training and Instruction
........................
|
60,850,000 | |||||
(4) |
5675040-Student Equity and Achievement Program
........................
|
523,981,000 | |||||
(5) |
5675019-Student Financial Aid Administration
........................
|
100,416,000 | |||||
(6) |
5675027-Disabled Students
........................
|
174,669,000 | |||||
(7) |
5675031-Student Services for CalWORKs Recipients
........................
|
55,642,000 | |||||
(8) |
5675035-Foster Care Education Program
........................
|
6,154,000 | |||||
(9) |
5675045-Legal Services
........................
|
10,000,000 | |||||
(10) |
5675061-Academic Senate for the Community Colleges
........................
|
1,796,000 | |||||
(11) |
5675069-Equal Employment Opportunity
........................
|
12,767,000 | |||||
(12) |
5675073-Part-Time Faculty Health Insurance
........................
|
200,490,000 | |||||
(13) |
5675077-Part-Time Faculty Compensation
........................
|
26,542,000 | |||||
(14) |
5675081-Part-Time Faculty Office Hours
........................
|
23,626,000 | |||||
(15) |
5670035-Expand the Delivery of Courses through Technology
........................
|
23,000,000 | |||||
(16) |
5675119-Economic Development
........................
|
313,329,000 | |||||
(17) |
5675123-Transfer Education and Articulation
........................
|
2,079,000 | |||||
(18) |
5675023-Extended Opportunity Programs and Services
........................
|
218,878,000 | |||||
(19) |
5675115-Fund for Student Success
........................
|
272,711,000 | |||||
(20) |
5675150-Campus Childcare Tax Bailout
........................
|
4,321,000 | |||||
(21) |
5675156-Nursing Program Support
........................
|
13,378,000 | |||||
(22) |
5675109-Institutional Effectiveness
........................
|
27,500,000 | |||||
(23) |
5675098-Integrated Technology
........................
|
89,503,000 | |||||
(24) |
5675042-Community College Summer Assistance Program
........................
|
10,000,000 | |||||
(25) |
5675117-AANHPI Student Achievement Program
........................
|
8,000,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item are for transfer by the Controller during the 2024–25 fiscal year to Section B of the
State School Fund.
|
||||||
1.5. | (a) | The funds appropriated in Schedule (1) reflect a deferral of $243,693,000 to the 2025–26 fiscal year. | |||||
(b) | (1) | To implement the monthly deferral schedule for community college districts pursuant to the higher education omnibus trailer bill identified in Section 39.00 as providing for appropriations related to this act, the Chancellor’s Office of the California Community Colleges may transfer to Schedule (1) of this item appropriations from schedules within this item that provide categorical program funding and that are being deferred. | |||||
(2) | If exercising the authority described in paragraph (1), the Chancellor’s Office of the California Community Colleges shall first defer appropriations from apportionments in Schedule (1) before transferring appropriations from schedules within this item that provide categorical program funding. | ||||||
(c) | The transfers authorized by this provision shall be implemented through notification to appropriate staff of the Controller and the Department of Finance | ||||||
2. | (a) |
The funds appropriated in Schedule (1) shall be allocated using the budget formula established pursuant to Section 84750.4
of the Education Code. The budget formula shall be adjusted to reflect the following:
|
|||||
(1) |
Of the funds appropriated in Schedule (1), $28,094,000 shall be used to increase statewide growth of full-time equivalent
students (FTES) by 0.50 percent.
|
||||||
(2) |
Of the funds appropriated in Schedule (1), $100,216,000 shall be used to reflect a cost-of-living adjustment of 1.07 percent.
|
||||||
(3) |
Notwithstanding paragraph (1), the Chancellor’s Office of the California Community Colleges may allocate unused growth funding
to backfill any unanticipated shortfalls in the total amount of funding appropriated and support the budget formula established
pursuant to Section 84750.4 of the Education Code.
|
||||||
(b) |
Funds allocated to a community college district from funds appropriated in Schedule (1) shall directly offset any mandated
costs claimed for the Minimum Conditions for State Aid (02-TC-25 and 02-TC-31) program or any costs of complying with Section
84754.5 of the Education Code.
|
||||||
(c) |
Of the funds appropriated in Schedule (1):
|
||||||
(1) |
Up to $100,000 is for a maintenance allowance, pursuant to Section 54200 of Title 5 of the California Code of Regulations.
|
||||||
(2) |
Up to $500,000 is to reimburse colleges for the costs of federal aid repayments related to assessed fees for fee waiver recipients.
This reimbursement only applies to students who
completely withdraw from college before the census date pursuant to Section 58508 of Title 5 of the California Code
of Regulations.
|
||||||
(d) |
Of the funds appropriated in Schedule (1), $91,207,000 shall be allocated to support the California College Promise pursuant
to Article 3 (commencing with Section 76396) of Chapter 2 of Part 47 of Division 7 of Title 3 of the Education Code.
|
||||||
(e) | (1) |
Of the funds appropriated in Schedule (1), $50,000,000 shall be used to hire new full-time faculty for community college districts
to increase their percentage of full-time faculty toward
meeting the 75 percent full-time faculty target. The Chancellor’s Office of the California Community Colleges shall
consult with representatives from the Department of Finance, the Legislature, and the Legislative Analyst’s Office before
distributing these funds to community college districts.
|
|||||
(2) |
Of the funds appropriated in Schedule (1), $100,000,000 shall be used to hire new full-time faculty for participating community
college districts to increase their percentage of full-time faculty toward meeting the 75 percent full-time faculty target.
The Chancellor’s Office of the California Community Colleges shall consult with representatives from the Department of Finance,
the Legislature, and the Legislative Analyst’s Office before distributing these funds to community college
districts. It is the intent of the Legislature that the funding available pursuant to this paragraph be used to increase
a district’s hiring of full-time faculty above the level that the district would have otherwise employed each year.
|
||||||
3. | (a) | (1) |
The funds appropriated in Schedule (2) shall be available pursuant to Article 3 (commencing with Section 79140) of Chapter
9 of Part 48 of Division 7 of Title 3 of the Education Code. Funds appropriated pursuant to this subdivision shall be available
for encumbrance or expenditure until June 30, 2027.
|
||||
(2) |
Pursuant to Section 79149.3 of the Education Code, the reimbursement rate shall be $10.05 per hour.
|
||||||
(b) |
Of the funds appropriated in Schedule (2), $30,000,000 shall be used for the California Apprenticeship Initiative pursuant
to Section 79148.1 of the Education Code. Funds appropriated pursuant to this subdivision shall be available for encumbrance
or expenditure until June 30, 2030.
|
||||||
4. | (a) |
The funds appropriated in Schedule (3) shall be available pursuant to Article 8 (commencing with Section 8150) of Chapter
1 of Part 6 of Division 1 of Title 1 of the Education Code. Funds
appropriated pursuant to this subdivision shall be available for encumbrance or expenditure until June 30, 2027.
|
|||||
(b) |
Pursuant to Section 8152 of the Education Code, the reimbursement rate shall be $10.05 per hour.
|
||||||
(c) | Of the funds appropriated in Schedule (3), $1,133,000 is provided on a one-time basis to reimburse local educational agencies for eligible related and supplemental instruction hours from the 2021–22 and 2022–23 fiscal years. | ||||||
5. |
The funds
appropriated in Schedule (4) shall be apportioned to community college districts pursuant to Section 78222 of the Education
Code.
|
||||||
6. | (a) |
Of the funds appropriated in Schedule (5):
|
|||||
(1) |
Not less than $12,390,000 is available to provide $0.91 per unit reimbursement to community college districts for the provision
of California College Promise Grants pursuant to paragraph (2) of subdivision (m) of Section 76300 of the Education Code.
|
||||||
(2) |
Not less than $12,526,000 is available for the Board Financial Assistance Program to provide reimbursement of 2 percent of
total waiver value to community college districts for the provision of California College Promise Grants pursuant to paragraph
(2) of subdivision (m) of Section 76300 of the Education Code.
|
||||||
(3) |
(A) $5,300,000 shall be allocated to a community college district to conduct a statewide outreach, marketing, and paid media
campaign to promote the following messages: (i) many types of financial aid are available year-round to cover fees and help
with college costs, such as books, housing, and other educational costs; (ii) students can contact
their local community college financial aid office to get one-on-one assistance with completing and submitting financial
aid applications and forms; and (iii) a community college education can improve the lives of students and their families by
providing financial aid, as well as career training and guaranteed transfer opportunities to get into a rewarding, good-paying
career. The campaign should target efforts to reach ethnically diverse, low-income students in primarily underresourced communities
who must overcome barriers in accessing postsecondary education. The Chancellor’s Office of the California Community Colleges
shall apprise the Student Aid Commission of ongoing outreach and marketing efforts.
|
||||||
(B) |
Of the amount identified in subparagraph
(A), $2,500,000 shall be allocated to: (i) expand outreach for students from non-English speaking households and bilingual
households; (ii) tie financial aid messaging to enrollment messaging where applicable to encourage current and potential students
to enroll or continue their education at a California Community College and apply for financial aid; and (iii) marketing and
outreach aimed at increasing current and potential student awareness of the California College Promise Grant and other types
of financial aid available for California Community College students. Bilingual efforts shall target areas of the state that
meet at least one of the following conditions: (i) have concentrations of non-English speaking and bilingual households, or
(ii) have underserved populations, a history of declining community college attendance, or both.
|
||||||
(4) |
Not more than $45,200,000 shall be for direct contact with potential and current financial aid applicants. Each California
Community College campus shall receive a minimum allocation of $50,000. The remainder of the funding shall be allocated to
campuses based upon a formula reflecting full-time equivalent students (FTES) weighted by a measure of low-income populations
demonstrated by the California College Promise Grant program participation within a district.
|
||||||
(5) |
Funds allocated to a community college district pursuant to paragraphs (1) and (2) shall supplement, not supplant, the level
of funds allocated for the administration of student financial aid programs during the 2001–02 or 2006–07
fiscal year, whichever is greater.
|
||||||
(6) |
Funding allocated to a community college district pursuant to paragraphs (1) and (2) shall directly offset any costs claimed
by that district for any of the following mandates: Enrollment Fee Collection (99-TC-13), Enrollment Fee Waivers (00-TC-15),
Cal Grants (02-TC-28), and Tuition Fee Waivers (02-TC-21).
|
||||||
(7) |
Notwithstanding subdivision (m) of Section 76300 of the Education Code or any other law, the amount of funds appropriated
for the purpose of administering fee waivers for the 2024–25 fiscal year shall
be determined in this act.
|
||||||
(8) |
Not more than $5,000,000 shall be for ongoing maintenance, subscription, and training costs for financial aid technology advancements
and innovations that streamline the financial aid verification process and enable colleges to more efficiently process state
and federal financial aid grants. It is the intent of the Legislature that system improvements supported by this funding have
the effect of reducing the manual processing of financial aid applications, thereby enabling financial aid program staff to
provide additional technical assistance and guidance to students seeking financial aid. The Chancellor’s Office of the California
Community Colleges shall determine the methodology for allocating these funds to community college
districts.
|
||||||
(9) | $20,000,000 is provided on a one-time basis to immediately support financial aid offices with increased workload due to Free Application for Federal Student Aid (FAFSA) delays and to assist students in completing the FAFSA. Each community college campus shall receive a minimum allocation of $50,000. The remainder of the funding shall be allocated to campuses based upon a formula reflecting full-time equivalent students weighted by a measure of low-income populations demonstrated by Pell Grant program participation within a district. | ||||||
7. | (a) |
The funds appropriated in Schedule (6) shall be
used to assist districts in funding the excess direct instructional cost of providing special support services or instruction,
or both, to disabled students enrolled at community colleges and for state hospital programs, as mandated by federal law.
|
|||||
(b) |
Of the amount appropriated in Schedule (6):
|
||||||
(1) |
At least $3,945,000 shall be used to address deficiencies identified by the United States Department of Education Office for
Civil Rights.
|
||||||
(2) |
At least $943,000 shall be used to support the High Tech Centers for activities, including, but not limited to, training of
district employees, staff, and students in the use of specialized computer equipment for the disabled.
|
||||||
(3) |
At least $9,600,000 shall be allocated to community college districts for sign language interpreter services, real-time captioning
equipment, or other communication accommodations for hearing-impaired students. A community college district is required to
spend $1 from local or other resources for every $4 received pursuant to this paragraph.
|
||||||
8. | (a) |
The funds appropriated in Schedule (7) shall be allocated pursuant to Article 5 (commencing with Section 79200) of Chapter
9 of Part 48 of Division 7 of Title 3 of the Education Code.
|
|||||
(b) |
Of the amount appropriated in Schedule (7):
|
||||||
(1) |
$11,246,000 shall be
for childcare, except that a community college district may request that the Chancellor of the California Community
Colleges approve the use of funds for other purposes.
|
||||||
(2) |
No less than $5,997,000 shall be used to provide direct workstudy wage reimbursement for students served under this program,
and $752,000 is available for campus job development and placement
services.
|
||||||
9. |
The funds appropriated in Schedule (8) shall be allocated to community college districts to provide foster and relative or
kinship care education and training pursuant to Article 8 (commencing with Section 79420) of Chapter 9 of Part 48 of Division
7 of Title 3 of the Education Code. A community college district shall ensure that education and training required pursuant
to paragraphs (12) and (13) of subdivision (g) of Section 16519.5 of the Welfare and Institutions Code receive priority.
|
||||||
10. |
The funds appropriated in Schedule (9) shall be allocated to a community college district to contract with the State Department
of Social Services in order to
contract with organizations qualified pursuant to Chapter 5.6 (commencing with Section 13300) of Part 3 of Division
9 of the Welfare and Institutions Code to provide services pursuant to that chapter to persons on California Community College
campuses. Use of these funds shall be included in updates provided to the Legislature on the State Department of Social Services’
immigration programs.
|
||||||
11. |
Of the amount appropriated in Schedule (10), $685,000 is available to support the Academic Senate for California Community
Colleges course identification numbering system efforts and shall be subject to the requirements of subparagraph (B) of paragraph
(5) of subdivision (b) of Section 70901 of the Education Code.
|
||||||
12. |
Of the amount appropriated in Schedule (11), $10,000,000 shall be allocated to community college districts to support the
continued implementation of equal employment opportunity plans and to enable campuses to engage in sustainable practices to
diversify faculty, staff, and administrators, including the continued use of best practices and tools identified by office
of the Chancellor of the California Community Colleges’ Equal Employment Opportunity and Diversity Advisory Committee.
|
||||||
13. |
The funds appropriated in Schedule (12) shall be allocated to community college districts for the purpose of providing a state
incentive program to encourage community college districts to offer health insurance for part-time faculty pursuant to Article
9 (commencing with Section 87860) of Chapter 3 of
Part 51 of Division 7 of Title 3 of the Education Code.
|
||||||
14. |
The funds in Schedule (13) shall be allocated to increase compensation for part-time faculty. Funds shall be allocated to
districts based on the total actual number of full-time equivalent students (FTES) in the previous fiscal year, with an adjustment
to the allocations provided to small districts. These funds shall be used to assist districts in making part-time faculty
salaries more comparable to full-time salaries for similar work, as determined through collective bargaining in each community
college district. If a community college district achieves parity between compensation for full-time faculty and part-time
faculty, funds received pursuant to this provision may be used for any other educational purpose.
|
||||||
15. |
Of the funds appropriated in Schedule (15):
|
||||||
(a) |
$20,000,000 shall be allocated to the Chancellor of the California Community Colleges to increase the number of courses available
through the use of technology, provide alternative methods for students to earn college credit, and support the California
Virtual Campus Distance Education Program. These funds may be used to pay for a consistent learning management system to help
implement this program. The chancellor shall ensure, to the extent possible, that the following conditions are satisfied:
|
||||||
(1) |
These courses can be articulated across all community college districts.
|
||||||
(2) |
These courses are made available to students systemwide, regardless of the campus at which a student is enrolled.
|
||||||
(3) |
Students who complete these courses are granted degree-applicable credit across community colleges.
|
||||||
(4) |
These funds shall be used for those courses that have the highest demand, fill quickly, and are prerequisites for many different
degrees.
|
||||||
(b) |
By September 1 of each fiscal year, up to $3,000,000 shall be disbursed by the Office of the Chancellor of the California
Community Colleges to one or more community college districts to provide textbooks or digital course content to students incarcerated
or detained in federal or state prison, county jail, juvenile facility, or other correctional institutions who are enrolled
in one or more California Community College courses. The provision of this material is expected to enable community college
districts to provide instruction to incarcerated or detained students.
|
||||||
(1) |
To the extent possible, community college districts providing textbooks or digital course content pursuant to this subdivision
are encouraged to first use open educational resources.
|
||||||
(2) |
Notwithstanding any other law, a contract between the Office of the Chancellor of the California Community Colleges and a
community college district for purposes of this subdivision is not subject to any competitive bidding requirements of Section
10340 of the Public Contract Code.
|
||||||
16. |
Of the funds appropriated in Schedule (16):
|
||||||
(a) |
$22,929,000 is available for the following purposes:
|
||||||
(1) |
Up to 10 percent may be allocated for state-level technical assistance, including statewide network leadership, organizational
development, coordination, and information and support services.
|
||||||
(2) |
All remaining funds shall be allocated for programs that target investments in priority and emergent sectors, including statewide
or regional centers, hubs, collaborative communities, advisory bodies, and short-term grants. Short-term grants may include
industry-driven regional education and training, Responsive Incumbent Worker Training, and Job Development Incentive Training.
Funds allocated pursuant to this provision may be used to provide substantially similar services in support of the Strong
Workforce Program.
|
||||||
(3) |
Funds applied to performance-based training shall be matched by a minimum of $1 contributed by private businesses or industry
for each $1 of state funds. The Chancellor of the California Community
Colleges shall consider the level of involvement and financial commitments of business and industry in making awards
for performance-based training.
|
||||||
(b) |
$290,400,000 shall be available to support the Strong Workforce Program pursuant to Part 54.5 (commencing with Section 88820)
of Division 7 of Title 3 of the Education Code. Of this amount, $5,000,000 shall be available on a one-time basis to support
a statewide education pathways for low-income workers demonstration project, and $60,000,000 shall be available to support
the Rebuilding Nursing Infrastructure Grant Program pursuant to Sections 88770, 88771, 88772, and 88773 of the Education Code.
It is the intent of the Legislature to appropriate $60,000,000 each fiscal year between 2025–26 through 2028–29, inclusive,
to support the Rebuilding Nursing
Infrastructure Grant Program.
|
||||||
17. |
Of the funds provided in Schedule (17):
|
||||||
(a) |
$1,381,000 shall be used to support the Historically Black Colleges and Universities (HBCU) Transfer Pathway program, which
helps develop transfer guarantee agreements that help facilitate a smooth transition for students from the California Community
Colleges to partnered HBCU institutions.
|
||||||
(b) | (1) |
$698,000 shall be used
to support transfer and articulation projects and common course numbering projects.
|
|||||
(2) |
Funding provided to community college districts shall directly offset any costs claimed by community college districts to
be mandates pursuant to Chapter 737 of the Statutes of 2004.
|
||||||
18. | (a) |
Of the funds appropriated in Schedule (18):
|
|||||
(1) |
$185,042,000
shall be used pursuant to Article 8 (commencing with Section 69640) of Chapter 2 of Part 42 of Division 5 of Title 3
of the Education Code. Funds provided in this item for Extended Opportunity Programs and Services shall be available to students
on all campuses within the California Community Colleges system.
|
||||||
(2) |
$33,386,000 shall be used for funding, at all colleges, the Cooperative Agencies Resources for Education program in accordance
with Article 4 (commencing with Section 79150) of Chapter 9 of Part 48 of Division 7 of Title 3 of the Education
Code. The Chancellor of the California Community Colleges shall allocate these funds to local programs on the basis
of need for student services.
|
||||||
(b) |
Of the amount allocated pursuant to subdivision (a), no less than $4,972,000 shall be available to support additional textbook
assistance grants to community college students.
|
||||||
19. |
The funds appropriated in Schedule (19) shall be used for the following purposes:
|
||||||
(a) |
$13,326,000 shall
be used for the Puente Project to support up to 115 colleges. These funds are available if matched by $200,000 of private
funds and if the participating community colleges and University of California campuses maintain their 1995–96 fiscal year
support level for the Puente Project.
|
||||||
(1) |
Of the funds provided in subdivision (a), $5,331,000 shall be allocated to a community college district to contract with the
Puente Project to support the general operation of, and direct services delivered through, central administration which includes,
but is not limited to, professional development, program data collection, program research and evaluation, and initiatives
to improve student transfer rates.
|
||||||
(2) |
Of the funds provided in subdivision (a), $7,995,000 shall be allocated directly to participating districts in accordance
with their participation agreement.
|
||||||
(3) |
(A) If the appropriation provided in this subdivision is increased from the funding level provided in the 2022–23 fiscal year,
funding allocated to districts as described in paragraphs (1) and (2) shall be adjusted consistent with their percentage share
of total funding in this subdivision.
|
||||||
(B) |
Notwithstanding paragraphs (1) and (2), if the appropriation provided in this subdivision is reduced from the funding level
provided in the 2022–23 fiscal year, the Puente Project, in consultation with the Chancellor’s Office of the California Community
Colleges, will determine the funding allocation to support services and programs provided in paragraphs (1) and (2).
|
||||||
(4) |
In any fiscal year in which districts have any unexpended or unencumbered funds allocated pursuant to paragraph (2) by June
30, the Puente Project will determine a reallocation of funds that may include, but not be limited to, maintaining the allocation
level for a
participating site or reallocating funds to another participating site.
|
||||||
(b) | (1) |
$39,423,000 is to allow all colleges to establish and support California Community College Mathematics, Engineering, Science
Achievement (MESA) programs. Funds provided in this item for MESA programs shall be available to students on all campuses
within the California Community Colleges system to enhance California’s STEM workforce, while aiding the state and nation
in reducing equity and achievement gaps.
|
|||||
(2) |
The Office of the Chancellor of the California Community
Colleges shall award each MESA program ongoing annual funding to meet the program’s goals, at a minimum allocation of
$280,000 per college. Colleges receiving an allocation shall use the funding to supplement, but not supplant, local sources
of funding supporting MESA programs.
|
||||||
(3) |
In any fiscal year in which districts have any unexpended or unencumbered funds allocated pursuant to subprovision (2) by
June 30 of that year, MESA shall make a determination regarding the reallocation of funds that shall include maintaining the
allocation level for a participating MESA program or reallocating funds to another participating MESA program.
|
||||||
(c) |
No less than $1,836,000 is for the Middle College High School Program. With the exception of special part-time students at
the community colleges pursuant to Sections 48802 and 76001 of the Education Code, student workload based on participation
in the Middle College High School Program shall not be eligible for community college state apportionment.
|
||||||
(d) | (1) |
(A) No less than $9,178,000 is for the Umoja program.
|
|||||
(B) |
Of funds provided
in subparagraph (A), $3,671,000 shall be allocated to a community college district to contract with the Umoja Statewide
program office to provide additional resources to facilitate the capacity building and development of the statewide office
in an effort to expand the Umoja program, build a data support system, target the needs of special populations in the African
American community, improve tutoring and mental health resources, enhance STEM/STEAM and career opportunities, and improve
outcomes for students enrolled in Umoja campus programs.
|
||||||
(C) |
Of the funds provided in subparagraph (A), $5,507,000 shall be allocated by the Office of the Chancellor of the California
Community Colleges directly to participating districts in accordance with their
Umoja Statewide participation agreement for campuses with Umoja programming. Umoja Statewide, in consultation with the
Chancellor’s Office, shall determine the allocation of resources to campuses. The Umoja Statewide program shall annually report,
by July 30, updates on the status of Umoja’s capacity building and expansion plan to the Office of the Chancellor of the California
Community Colleges and the budget committees of the Senate and Assembly. Of the funds provided in this subparagraph, 1 percent
shall be allocated directly to the community college district contracting with the Umoja Statewide program office for purposes
related to this subparagraph.
|
||||||
(e) |
Consistent with the intent of Article 7 (commencing with Section 79220) of Chapter 9 of Part 48 of Division 7 of Title 3 of
the Education Code, the
chancellor shall enter into agreements with community college districts to provide additional services in support of
postsecondary education for foster youth. Up to $54,110,000 of the funds appropriated in this item shall be prioritized for
services pursuant to Article 7 (commencing with Section 79220) of Chapter 9 of Part 48 of Division 7 of Title 3 of the Education
Code. Further, the chancellor shall ensure that the list of eligible expenditures developed pursuant to subdivision (d) of
Section 78221 of the Education Code includes expenditures that are consistent with the intent of Article 7 (commencing with
Section 79220) of Chapter 9 of Part 48 of Division 7 of Title 3 of the Education Code.
|
||||||
(f) |
$10,822,000 of the funds shall be for support of Veteran Resource Centers. To the extent funding is provided
in the annual Budget Act, the chancellor shall only allocate funding to community colleges that commit to either meeting
or making progress towards meeting the minimum standards developed by the Office of the Chancellor of the California Community
Colleges.
|
||||||
(g) | (1) |
Colleges shall establish ongoing partnerships with community organizations that have a tradition of helping populations experiencing
homelessness to provide wraparound services and rental subsidies for homeless and housing-insecure students. $20,562,000 of
the funds appropriated in Schedule (19) may be used for, but are not limited to, the following authorized activities:
|
|||||
(A) |
Connecting students with community case managers who have knowledge and expertise in accessing safety net resources.
|
||||||
(B) |
Establishing ongoing emergency housing procedures, including on-campus and off-campus resources.
|
||||||
(C) |
Providing emergency grants that are necessary to secure housing or to prevent the imminent loss of housing.
|
||||||
(2) |
Funding shall be allocated to campuses based on demonstrated need.
|
||||||
(3) |
“Homeless” and “housing-insecure” mean students who lack a fixed, regular, and adequate nighttime residence. This includes
students who are:
|
||||||
(A) |
Sharing the housing of other persons due to loss of housing, economic hardship, or a similar
reason.
|
||||||
(B) |
Living in motels, hotels, trailer parks, or camping grounds due to the lack of alternative adequate accommodations.
|
||||||
(C) |
Living in emergency or transitional shelters.
|
||||||
(D) |
Abandoned in hospitals.
|
||||||
(E) |
Living in a primary nighttime residence that is a public or private place not designed for or ordinarily used as a regular
sleeping accommodation for human beings.
|
||||||
(F) |
Living in cars, parks, public spaces, abandoned buildings, substandard housing, bus or train stations, or similar settings.
|
||||||
(4) |
By July 15 of each year, the Office of the Chancellor of the California Community Colleges shall submit a report to the Director
of Finance and, in conformity with Section 9795 of the Government Code, to the Legislature regarding the prior year use of
these funds, including the number of coordinators hired, the number of students served by campus, the distribution of funds
by campus, a description of the types of programs funded, and other relevant outcomes, such as the number of students who
were able to secure permanent housing, and whether students receiving support remained enrolled at the institution or graduated.
|
||||||
(h) |
$11,600,000 shall be allocated by the Chancellor’s Office of the California Community Colleges to community colleges to support
Dreamer Resource
Liaisons and student support services, including those related to career pathways and economic mobility, for immigrant
students, pursuant to Section 66021.8 of the Education Code.
|
||||||
(i) |
$75,754,000 shall be available to support the basic needs of community college students.
|
||||||
(1) |
(A) Of the amount allocated for this subdivision, $32,466,000 shall be available to provide for student mental health resources.
|
||||||
(B) |
The Chancellor’s Office of the California Community Colleges shall submit a report to the Department of Finance and relevant
policy and fiscal committees of the Legislature by January 1, 2025, and every three years thereafter, regarding the use of
funds specified in this paragraph. The report shall include, but not necessarily be limited to, all of the following information:
|
||||||
(i) |
The amount of funds provided for each community college district.
|
||||||
(ii) |
A description of how the funds were used for the purposes reflected in this paragraph.
|
||||||
(iii) |
A description of the types of programs in which districts invested.
|
||||||
(iv) |
The number of students receiving mental health services on campus disaggregated by race/ethnicity, gender, age group, and
type of service received.
|
||||||
(v) |
The average wait time for initial routine mental health counseling appointments.
|
||||||
(vi) |
The average number of campus mental health counseling appointments per student.
|
||||||
(vii) |
The number of students referred to off-campus providers for mental health services.
|
||||||
(viii) |
Total spending on student mental health services, by fund source, including spending covered by insurance providers.
|
||||||
(ix) |
Other findings and best practices implemented by districts.
|
||||||
(2) |
Of the amount made available by this subdivision, $43,288,000 shall be allocated by the Chancellor’s Office of the California
Community Colleges for colleges to establish and operate basic needs centers as a centralized location on campus where
students experiencing basic needs insecurity can be identified, supported, and linked to on- and off-campus resources to support
timely program completion pursuant to Section 66023.5 of the Education Code. Colleges shall also designate or hire dedicated
basic needs coordinators for the basic needs centers who will serve as a single point of contact for students.
|
||||||
(j) | (1) |
$25,000,000 shall be available to support the Rising Scholars Network pursuant to Article 6 (commencing with Section 78070)
of Chapter 1 of Part 48 of Division 7 of Title 3 of the Education Code.
|
|||||
(2) |
(A) Of the funds provided for in paragraph (1), $15,000,000 annually shall support ongoing implementation of model programming
for juvenile justice-impacted students, as a grant program administered and supported by the Rising Scholars Network of the
Chancellor’s Office of the California Community Colleges. Funds shall be used for model college programming with key components
based on the Project Change model, to be offered both within juvenile facilities and on the community college campus, to establish
a direct pathway to college for juvenile justice-impacted young people.
|
||||||
(B) |
Of the
funds provided for in subparagraph (A), at least $13,000,000 annually shall support a maximum of 45 community colleges
on 5-year grant cycles to implement model programming to serve juvenile justice-impacted students, incorporating the three
following core Project Change program components:
|
||||||
(i) |
College programming that is: (I) offering University of California and California State University transferable courses and
comprehensive student support programming; (II) provided by a California Community College through instruction; and (III)
offered both on campus at a community college and in local juvenile detention facilities.
|
||||||
(ii) |
Comprehensive support to assist students with the transition to on-campus higher education, including: (I) wraparound student
support services that address basic needs such as books and supplies, tuition, fees, stipends, housing, food, and transportation;
and (II) educational transition plans for students, outlining their multiyear framework from high school through college completion.
|
||||||
(iii) |
Staffing and space commitments, including: (I) dedicated staffing of a program lead, counselor, and retention specialist;
(II) dedicated space on the college campus for the program; and (III) formal partnerships with
key stakeholders, including, but not limited to, the local county office of education, probation department, local high
school districts, and community-based organizations.
|
||||||
(C) |
Community colleges may implement model program components on a phased timeline. Model programs must utilize both Dual Enrollment
and Guided Pathways frameworks. At the conclusion of the 5-year cohort, community colleges may reapply for continued funding
support.
|
||||||
(D) |
Colleges may be funded on a tiered model. Tiered
model funding may consider the number of core program components a college can implement; student counts; whether the
college already has an established or funded Rising Scholars program; and other metrics determined by the Rising Scholars
Network of the Office of the Chancellor of the California Community Colleges.
|
||||||
(E) |
Of the funds provided in subparagraph (A), $1,250,000 annually shall support technical assistance for successful implementation
of model programming overseen by the Rising Scholars Network of the Office of the Chancellor of the California Community Colleges.
Technical assistance includes contract staffing positions to oversee the project implementation, in-person trainings, and
support.
|
||||||
(k) | (1) |
$1,100,000 shall be allocated by the Chancellor’s Office for the expansion of African American Male Education Network and
Development (A2MEND) student charters at up to 50 colleges to improve academic success and develop a student support structure
for African American male students attending community colleges.
|
|||||
(2) |
In considering an allocation methodology to community colleges, the Office of the Chancellor of the California Community Colleges
shall consider a factor that allocates funds to community colleges that have submitted work plans pursuant to paragraph (3)
of subdivision
(c) of Section 88922 of the Education Code, including considering the community college’s guided pathways activities
and practices.
|
||||||
(l) | (1) |
(A) $10,000,000 shall be allocated by the Chancellor’s Office to participating community college districts to provide additional
funds to support LGBTQ+ students. For the purposes of allocating and expending this funding, the Chancellor’s Office and participating
community college districts shall follow the requirements as stipulated in Section 89 of Chapter 144 of the Statutes of 2021.
|
|||||
(B) |
Notwithstanding paragraph (2) of subdivision (b) in Section 89 of Chapter 144 of the Statutes of 2021, the Chancellor’s Office
shall provide grants of up to $900,000 for participating community college districts based on the proportional share of students
they serve and equity metrics to ensure that small rural colleges are also able to access the grants. Participating community
college districts may encumber the funds over a five-year period.
|
||||||
(2) |
It is the intent of the Legislature to appropriate $10,000,000 for the purpose described in paragraph (1) on a one-time basis
in the 2025–26 fiscal year.
|
||||||
20. |
The funds appropriated in Schedule (20) shall be allocated by the Chancellor of the California Community Colleges to community
college districts that levied childcare permissive override taxes in the 1977–78 fiscal year pursuant to Sections 8272 and
8272.5 of the Education Code in an amount proportional to the property tax revenues, tax relief subventions, and state aid
required to be made available by the district to its childcare and development program for the 1979–80 fiscal year pursuant
to Section 30 of Chapter 1035 of the Statutes of 1979, increased or decreased by any cost-of-living adjustment granted in
subsequent fiscal years. These funds shall be used only for the purpose of community college childcare and development programs.
|
||||||
21. |
Of the funds appropriated in Schedule
(21):
|
||||||
(a) |
$8,475,000 shall be used to provide support for nursing programs.
|
||||||
(b) |
$4,903,000 shall be used for diagnostic and support services, preentry coursework, alternative program delivery model development,
and other services to reduce the incidence of student attrition in nursing programs.
|
||||||
22. |
Of the amount appropriated in Schedule (22):
|
||||||
(a) | (1) |
$7,500,000 may be used by the Chancellor of the California Community Colleges to provide technical assistance to community
college districts that demonstrate low performance in any area of operations. It is the intent of the Legislature that technical
assistance providers be contracted in a cost-effective manner, that they primarily consist of experts who are current and
former employees of the California Community Colleges, and that they provide technical assistance consistent with the vision
for the California Community Colleges.
|
|||||
(2) |
Technical assistance funded pursuant to this paragraph that is initiated by the
chancellor may be provided at no cost to the community college district. If a community college district requests technical
assistance, the district is required to spend at least $1 from local or other resources for every $2 received, as determined
by the chancellor.
|
||||||
(b) | (1) |
$20,000,000 may be used by the chancellor to provide regional and online workshops and trainings to community college personnel
to promote statewide priorities, including, but not limited to, strategies to improve student achievement; strategies to improve
community college operations; and system leadership training to better coordinate planning and implementation of statewide
initiatives in alignment with the Board of Governors of the California Community Colleges’ Vision for Success. To the extent
possible, the chancellor shall partner with existing statewide initiatives with proven results of improving student
success and institutional effectiveness. Each fiscal year, the chancellor shall submit a report on the use of funds appropriated
pursuant to this provision in the prior year to the Department of Finance and the Joint Legislative Budget Committee no later
than December 31 of each year. This report shall include information regarding California Community Colleges’ participation
in the activities funded pursuant to this provision.
|
|||||
(2) |
Funding available pursuant to this paragraph may be used by the chancellor to coordinate with community college districts
to conduct policy research, and develop and disseminate effective practices through the establishment of an online
clearinghouse of information. The development of effective practices shall include, but not be limited to, statewide
priorities such as the development of educational programs or courses for the incarcerated adults in prisons and jails, and
the formerly incarcerated, educational programs or courses for California Conservation Corps members, and other effective
practices. The online clearinghouse of information shall also reflect effective practices, guidance, policies, curriculum,
courses, and programs developed by local community colleges in support of the Strong Workforce Program established pursuant
to Part 54.5 (commencing with Section 88820) of Division 7 of Title 3 of the Education Code.
|
||||||
(3) |
It is the intent of the Legislature to encourage the chancellor to facilitate the
development of local community college courses for the California Conservation Corps and the incarcerated adults in
prisons and jails, and the formerly incarcerated. The Department of Corrections and Rehabilitation and the California Conservation
Corps are encouraged to partner with the Chancellor’s Office in the development and dissemination of local community college
courses and effective practices pursuant to this paragraph and paragraph (2).
|
||||||
23. |
Of the funds appropriated in Schedule (23):
|
||||||
(a) |
$10,613,000 shall be allocated to continue providing a systemwide and integrated online infrastructure that supports the continuity
of
education and quality distance learning across the community college system. These infrastructure investments may include,
but are not limited to, access to online tutoring and counseling, ensuring available and accessible technical support, and
providing mental health services and other student support services.
|
||||||
(b) |
$8,000,000 shall be provided to cover increased administrative costs related to the Corporation for Education Network Initiatives
in California.
|
||||||
(c) |
$41,890,000 shall be allocated by the Chancellor of the California Community Colleges for the following purposes:
|
||||||
(1) |
Procurement, development, evaluation, and upgrading of high-priority systemwide technology tools and infrastructure, including,
but not limited to, e-transcript, e-planning, and other tools to assist colleges to implement multiple measures of assessment
pursuant to Chapter 745 of the Statutes of 2017, and technologies that facilitate portability of education credentials.
|
||||||
(2) |
Provision of access to statewide multimedia hosting and delivery services for colleges and districts.
|
||||||
(3) |
Provision of systemwide internet, audio bridging, data security, and telephony.
|
||||||
(4) |
Services related to technology use, including accessibility guidance and information security.
|
||||||
(5) |
Technology product development and program management, technical assistance and planning, and cooperative purchase agreements.
|
||||||
(6) |
Ongoing faculty and staff development related to technology use and adoption.
|
||||||
(7) |
Ongoing support of the California Partnership for Achieving Student Success (Cal-PASS) program.
|
||||||
(8) |
Ongoing support for programs designed to use technology in assisting accreditation and the alignment of curricula across K–20
segments in California, as well as to support integration and interoperability toward an improved
student experience.
|
||||||
(9) |
Support for technology pilots and ongoing technology programs and applications that serve to maximize the utility and economy
of scale of the technology investments of the community college system toward improving learning outcomes.
|
||||||
(10) |
Up to 5 percent of the funds may be allocated by the chancellor to a community college district for statewide activities,
not limited to statewide technical assistance to evaluate, plan, and continuously improve the system’s data and technology
roadmap and deployment.
|
||||||
(d) |
Any funds not allocated pursuant to subdivision (c) shall be available for allocations to districts to maintain technology
capabilities.
|
||||||
(e) |
$4,000,000 shall be used to expand the implementation of the systemwide technology platform for library services to better
manage and deliver digital information to support teaching and learning, including for students enrolled in distance education.
|
||||||
(f) | (1) |
$25,000,000 shall be provided for community college districts to implement local and systemwide technology and data security
measures that support improved oversight of fraud mitigation, online learning quality, and cybersecurity efforts. Funds shall
be used by community college districts to hire local cybersecurity staff, and funds shall also be used for systemwide measures,
including, but not limited to, security upgrades for CCCApply and education technology platforms and the establishment of
systemwide cybersecurity teams.
|
|||||
(2) |
As a condition of receiving funds pursuant to this subdivision, a community college district shall do all of the following:
|
||||||
(A) |
Complete an annual cybersecurity self-assessment of their information technology infrastructure to determine their National
Institute of Standards and Technology (NIST) Computer Systems Laboratory (CSL) score and report their current phase in Cal-Secure
standards.
|
||||||
(B) |
Participate in the following regularly scheduled cybersecurity reporting:
|
||||||
(i) |
Submit remediation updates twice per year, for the fall and spring semester terms, on vulnerability and other issues identified
in the previous self-assessment or triennial assessment.
|
||||||
(ii) |
Submit detailed after-action reports of all cybersecurity incidents that either lead to a breach of personally identifiable
information or lead to the disruption of services, including, but not limited to, a breach of student identification numbers,
distributed denial-of-service attacks, and ransomware.
|
||||||
(iii) |
The total number of admission applications received from CCCApply that are determined to be fraudulent, including applications
marked as “likely fraud” within CCCApply, on an annual basis.
|
||||||
(iv) |
Information requested on suspected fraudulent enrollments, and fraudulent receipt of financial aid, on an annual basis.
|
||||||
(C) |
Reporting required by this section shall not be duplicated by other reporting required by the Office of the Chancellor of
the California
Community Colleges.
|
||||||
(3) |
If the reporting required pursuant to paragraph (2) is duplicative of other reports provided by a community college district,
a community college district may submit those reports in lieu of the reporting required by paragraph (2).
|
||||||
24. |
The funds appropriated in Schedule (24) shall be allocated to support the Classified Community College Employee Summer Assistance
Program established pursuant to Article 11 (commencing with Section 88280) of Chapter 4 of Part 51 of Division 7 of Title
3 of the Education Code.
|
||||||
25. |
The funds appropriated in Schedule (25) shall be allocated on an ongoing basis by the Office of the Chancellor to support
the California Community Colleges Asian American, Native Hawaiian, and Pacific Islander Student Achievement Program pursuant
to Article 10 (commencing with Section 79510) of Chapter 9 of Part 48 of Division 7 of Title 3 of the Education Code.
|
||||||
26. |
Beginning on October 1, 2022, and annually thereafter, the Chancellor of the California Community Colleges shall provide the
Legislature and Department of Finance a list of all statewide or regional projects, initiatives, and services administered
by districts in partnership with the Office of the Chancellor. The list shall include the amount of each agreement
from the prior fiscal year, the categorical program funding source, the name of the fiscal agent, the contractor, and
a brief description of the services provided by and the deliverables expected of the contractor to the Office of the Chancellor
or other districts. The list shall be comprehensive, including all grants and contracts.
|
6980-101-0001—For local assistance, Student Aid Commission
........................
|
2,985,570,000 | ||||||
Schedule:
|
|||||||
(1) |
5755-Financial Aid Grants Program
........................
|
3,406,179,000 | |||||
(2) |
Reimbursements to 5755-Financial Aid Grants Program
........................
|
−420,609,000 | |||||
Provisions:
|
|||||||
1. |
The funds appropriated in this item are for costs of all of the following:
|
||||||
(a) |
The Cal Grant Program, pursuant to Chapter 1.7 (commencing with Section 69430) of Part
42 of Division 5 of Title 3 of the Education Code.
|
||||||
(b) |
The Law Enforcement Personnel Dependents Scholarship Program, pursuant to Section 4709 of the Labor Code.
|
||||||
(c) |
The Assumption Program of Loans for Education, pursuant to Article 5 (commencing with Section 69612) of Chapter 2 of Part
42 of Division 5 of Title 3 of the Education Code.
|
||||||
(d) |
The State Nursing Assumption Program of Loans for Education
(SNAPLE), pursuant to Article 1 (commencing with Section 70100) of Chapter 3 of Part 42 of Division 5 of Title 3 of
the Education Code.
|
||||||
(e) |
The Middle Class Scholarship Program, pursuant to Article 22 (commencing with Section 70020) of Chapter 2 of Part 42 of Division
5 of Title 3 of the Education Code. The Director of Finance, no later than February 1, 2025, shall notify the Joint Legislative
Budget Committee of the total proposed funding amount for the Middle Class Scholarship Program for the 2025–26 budget year
to provide the California Student Aid Commission guidance for planning award amounts for newly, continuing, and returning
eligible students. Within 30 days of receipt of the notification, the Chair of the Joint Legislative Budget Committee may
respond with additional guidance for the California
Student Aid Commission. Funding provided in the Budget Act of 2025 for the Middle Class Scholarship Program will ultimately
determine available funding.
|
||||||
(f) |
The Cash for College Program, pursuant to Article 3.5 (commencing with Section 69551) of Chapter 2 of Part 42 of Division
5 of Title 3 of the Education Code.
|
||||||
(g) |
The Student Opportunity and Access Program (Cal-SOAP), pursuant to Article 4 (commencing with Section 69560) of Chapter 2
of Part 42 of Division 5 of Title 3 of the Education Code.
|
||||||
(h) |
Of the funds appropriated in this item, $2,400,000 is available on an ongoing basis to support the Inland Empire Cal-SOAP
projects.
|
||||||
1.1. |
The Student Aid Commission shall report to the Department of Finance and the relevant policy and fiscal committees of the
Legislature by December 1, 2025, regarding the use of funds specified in subprovision (f) of Provision 1. The report shall
include, but not necessarily be limited to, all of the following information regarding the Cash for College program in 2024–25:
|
||||||
(a) |
A list of regional
coordinating organizations specifying, for each organization, whether it was newly added to the program in 2024–25,
and the areas of the state that it covers.
|
||||||
(b) |
The services provided by the program, including the number of financial aid application workshops hosted.
|
||||||
(c) |
The number of students participating in financial aid application workshops and the number of those students who completed
a Free Application for Federal Student Aid or California Dream Act Application.
|
||||||
(d) |
A description of the coordination between the program and other financial aid outreach efforts conducted by state agencies,
local educational agencies, and other entities.
|
||||||
1.2. |
Of the reimbursements identified in Schedule (2) of this item, $500,000 is for the Individuals with Disabilities Education
Act (IDEA) support for the Golden State Teacher Grant Program and shall be available for encumbrance or expenditure until
June 30, 2026.
|
||||||
1.3. | Of the amount appropriated in Schedule (2), $1,000,000 is for Federal Title II, Part A support for the Golden State Teacher Grant Program and shall be available for encumbrance and expenditure through June 30, 2026. | ||||||
1.5. |
Of the amount appropriated in this item, $7,500,000 is to fund the activities pursuant to Article 5.5 (commencing with Section
69438) of Chapter 1.7 of Part 42 of Division 5 of Title 3 of the Education Code.
|
||||||
1.6 | Of the funds appropriated in this item, $2,500,000 shall be available on a one-time basis to support the California College of the Arts located in San Francisco California. The California College of the Arts shall submit a report to the Department of Finance by November 2026, regarding how the college used the funds to support or maintain programming or services for students attending the college. | ||||||
2. |
Notwithstanding any other law, the maximum Cal Grant award for:
|
||||||
(a) |
New recipients attending private, for-profit institutions that are not accredited by the Western Association of Schools and
Colleges as of July 1, 2023, shall be $4,000.
|
||||||
(b) |
New recipients attending private, for-profit institutions that are accredited by the Western Association of Schools and Colleges
as of July 1, 2023, shall be $8,056.
|
||||||
(c) |
All recipients attending private, nonprofit institutions shall be $9,358.
|
||||||
(d) |
All recipients of Cal Grant B access awards shall be $1,648.
|
||||||
(e) |
All recipients receiving Cal Grant C tuition and fee awards shall
be $2,462.
|
||||||
(f) |
All recipients attending community colleges receiving Cal Grant C book and supply awards shall be $1,094.
|
||||||
(g) |
All recipients not attending community colleges receiving Cal Grant C book and supply awards shall be $547.
|
||||||
(h) |
All University of California student recipients receiving Cal Grant awards shall be the amount approved for mandatory systemwide
tuition and fees by the Regents of the
University of California for the 2024–25 academic year.
|
||||||
(i) |
All California State University student recipients receiving Cal Grant awards shall be the amount approved for mandatory systemwide
tuition and fees by the Trustees of the California State University for the 2024–25 academic year.
|
||||||
3. |
Notwithstanding Provision 2 of this item and any other law:
|
||||||
(a) |
All Cal Grant A award recipients attending a University of California,
California State University, or a private nonprofit institution and who have a dependent child or dependent children
shall also receive an access award. The maximum amount of this access award shall be $6,000.
|
||||||
(b) |
All Cal Grant B access award recipients attending a University of California, California State University, California Community
College, or a private nonprofit institution and who have a dependent child or dependent children shall have a maximum access
award of $6,000.
|
||||||
(c) |
All Cal Grant C book and supply award recipients attending a California Community College and who have a dependent child or
dependent children shall have a maximum book and supply award of $4,000.
|
||||||
4. |
Notwithstanding Provision 2 of this item and any other law:
|
||||||
(a) |
All Cal Grant A award recipients attending a University of California, California State University, California Community College,
or a private nonprofit institution and who are former or current foster youth shall have a maximum access award of $6,000.
|
||||||
(b) |
All Cal Grant B award recipients
attending a University of California, California State University, California Community College, or a private nonprofit
institution and who are former or current foster youth shall have a maximum access award of $6,000.
|
||||||
(c) |
All Cal Grant C book and supply award recipients attending a California Community College and who are former or current foster
youth shall have a maximum book and supply award of $4,000.
|
||||||
5. |
Notwithstanding any other law, the Department of Finance may authorize an augmentation, from the Special Fund for Economic
Uncertainties established pursuant to Section 16418 of the Government Code, of the amount appropriated
in this item to make Cal Grant awards, pursuant to Chapter 1.7 (commencing with Section 69430) of Part 42 of Division
5 of Title 3 of the Education Code. No augmentation may be authorized pursuant to this provision sooner than 30 days after
the Department of Finance provides notice of the intended augmentation to the chairpersons of the committees in each house
of the Legislature that consider appropriations.
|
||||||
6. |
Notwithstanding any other law, the Department of Finance may authorize a loan from the General Fund for cashflow purposes,
in an amount not to exceed $125,000,000, provided that:
|
||||||
(a) |
The loan is to meet cash needs resulting
from a delay in the receipt of reimbursements from federal Temporary Assistance for Needy Families (TANF) funds.
|
||||||
(b) |
The Student Aid Commission has received confirmation from the State Department of Social Services that there are no available
TANF resources that could be advanced to them.
|
||||||
(c) |
The loan is for a short-term need and shall be repaid within 90 days of the loan’s origination date.
|
||||||
(d) |
Interest charges may be waived pursuant to subdivision (e) of Section 16314 of the Government Code.
|
||||||
7600-001-0115—For support of California Department of Tax and Fee Administration, payable from the Air Pollution Control Fund
........................
|
1,081,000 | ||||||
Schedule: | |||||||
(1) | 6275-Administration of the California Department of Tax and Fee Administration ........................ | 1,081,000 |
7600-001-0226—For support of California Department of Tax and Fee Administration, payable from the California Tire Recycling Management
Fund
........................
|
1,460,000 | ||||||
Schedule:
|
|||||||
(1) |
6275-Administration of the California Department of Tax and Fee Administration
........................
|
1,460,000 |
7730-001-0001—For support of Franchise Tax Board
........................
|
1,222,432,000 | ||||||
Schedule:
|
|||||||
(1) |
6280-Tax Programs
........................
|
1,217,355,000 | |||||
(2) |
6285-Political Reform Audit (2,665,000)
........................
|
0 | |||||
(3) |
6300-Legal Services Program
........................
|
5,077,000 | |||||
(4) |
6305-Contract Work
........................
|
14,499,000 | |||||
(5) |
9900100-Administration
........................
|
46,812,000 | |||||
(6) |
9900200-Administration—Distributed
........................
|
−46,812,000 | |||||
(7) |
Reimbursements to 6305-Contract
Work
........................
|
−14,499,000 | |||||
Provisions:
|
|||||||
1. |
It is the intent of the Legislature that all funds appropriated to the Franchise Tax Board 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 Franchise Tax Board 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
of Finance shall not approve any such reduction or redirection sooner than 30 days after providing notification to the
Joint Legislative Budget Committee. A position shall not be transferred from the organizational unit to which it was assigned
in the 2024–25 Governor’s Budget and the Salaries and Wages Supplement, as revised by legislative actions, without the approval
of the Director of Finance. The Franchise Tax Board shall expeditiously fill budgeted positions consistent with the funding
provided in this act.
|
||||||
2. |
It is the intent of the Legislature that the Franchise Tax Board resolve tax controversies, without litigation, on a basis
that is fair to both the state and the taxpayer and in a manner that will enhance voluntary compliance and public confidence
in the integrity and efficiency of the board.
|
||||||
3. |
During the 2024–25 fiscal year, the collection cost recovery fee for purposes of subparagraph (A) of paragraph (1) of subdivision
(a) of Section 19254 of the Revenue and Taxation Code shall be $362, and the filing enforcement cost recovery fee for purposes
of subparagraph (A) of paragraph (2) of that subdivision shall be $121.
|
||||||
4. |
During the 2024–25 fiscal year, the collection cost recovery fee for purposes of subparagraph (B) of paragraph (1) of subdivision
(a) of Section 19254 of the Revenue and Taxation Code shall be $292, and the filing enforcement cost recovery fee for purposes
of subparagraph (B) of paragraph (2) of that subdivision shall be $93.
|
||||||
5. |
Of the amount appropriated in Schedule (1) of this item, $36,527,000 is for implementation of the Earned Income Tax Credit,
which, pursuant to Section 17052 of the Revenue and Taxation Code, shall have an adjustment factor at a rate of 85 percent
for the 2024 tax year. Implementation of the Earned Income Tax Credit includes processing returns, auditing, and necessary
system changes to support this program. To effectively administer this program, the Franchise Tax Board may pay the Social
Security Administration for relevant data and related development work prior to receipt of data pursuant to Section 12425
of the Government Code.
|
||||||
6. |
Of the amount appropriated in this item, $3,864,000
is for implementation of the individual health care mandate and the associated subsidy and penalty provisions.
|
||||||
7. |
Of the amount appropriated in this item, $12,000,000 is for outreach to create increased awareness of, and participation in,
the Earned Income Tax Credit and the Volunteer Income Tax Assistance Program. These funds shall be allocated via contracts
to nonprofit and community-based organizations. The participating nonprofit and community-based organizations shall particularly
focus their outreach efforts on persons who file tax returns using Individual Taxpayer Identification Numbers.
Of the total, $2,000,000 is available on a one-time basis for the 2024–25 fiscal year.
|
||||||
8. |
Of the amount appropriated in this item, $1 shall be for administration of subdivision (f) of Section 17935 of the Revenue
and Taxation Code.
|
||||||
9. |
Of the amount appropriated in this item, $1 shall be for administration of subdivision (g) of Section 17941 of the Revenue
and Taxation Code.
|
||||||
10. |
Of the amount appropriated in this item, $1 shall be for administration of subdivision (e) of Section 17948 of the Revenue
and Taxation Code.
|
||||||
11. |
Funding in this item includes an amount for additional payments for the Enterprise Data to Revenue Project 2 (EDR2) project
in order to accommodate an event where work must be performed which was unplanned, aligns with the existing scope of the project,
and is necessary for the successful implementation and/or operation of the system, the successful accomplishment of the EDR2
goal, or any other reason in the sole judgment of the state. Of the funds appropriated for unplanned work, these funds can
only be used to cover payments in the event a budget request for augmentation cannot be timely submitted for funding in the
year payment is due. Of the funds
appropriated for unplanned work, any unused amount is reappropriated in the next fiscal year and each subsequent fiscal
year over the life of the project until finalized. All amounts unused at the end of the project shall revert to the General
Fund.
|
||||||
12. |
Of the funds appropriated in Schedule (1), in the 2024–25 fiscal year for EDR2 vendor compensation, any unused amount is allowed
as one-time carryover to the subsequent fiscal year to support the vendor payment due to the solution provider for services
performed and subject to payment.
|
7760-001-0001—For support of Department of General Services
........................
|
32,414,000 | ||||||
Schedule:
|
|||||||
(1) |
6324046-Facilities Management Division
........................
|
18,879,000 | |||||
(2) | 6325064-Project Management and Development Branch ........................ | 550,000 | |||||
(3) |
6330073-Contracted Fiscal Services
........................
|
8,218,000 | |||||
(4) |
6330082-Office of Sustainability
........................
|
4,167,000 | |||||
(6) |
9900100-Administration
........................
|
1,599,000 | |||||
(7) |
9900200-Administration—Distributed
........................
|
−999,000 | |||||
Provisions:
|
|||||||
1. |
Of the amount appropriated in Schedule (4), $2,500,000 shall be available for implementation of Chapter 368 of the
Statutes of 2022 (SB 1203).
|
||||||
2. |
Of the amount appropriated in Schedule (1), $11,800,000 is for projects to upgrade direct digital control systems. This funding
shall be limited to such projects at the (a) Ronald Reagan State Building; (b) Elihu M. Harris Building; (c) Governor Edmund
G. “Pat” Brown Building; (d) Junipero Serra Office Building; (e) California Tower; (f) Mission Valley State Building; and
(g) Van Nuys State Building. This funding shall be made available for these projects only after project plans specifications
are completed and final project estimates are submitted to the Department of Finance. Should final project estimates total
less than $11,800,000, the difference between these estimates and the amount made available pursuant to this provision shall
revert to the General Fund.
|
||||||
3. | Of the amount appropriated in Schedule (2), $50,000 shall be available for a small associated monument in Capitol Park, to acknowledge the victims and survivors of California’s wildfires. | ||||||
4. | Of the amount appropriated in Schedule (2), $500,000 shall be available for ventilation repair at the State’s central plant mushroom steam vent located on Capitol Mall, adjacent to the Employment Development Department headquarters building. |
7760-003-0666—For support of Department of General Services, for rental payments on the California Environmental Protection Agency building,
payable from the Service Revolving Fund
........................
|
274,000 | ||||||
Schedule:
|
|||||||
(1) |
6324046-Facilities
Management Division
........................
|
274,000 | |||||
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 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.
|
||||||
2. |
The Controller shall transfer for additional rental no later than 30 days after enactment of this budget, $274,000 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.
|
8570-101-0001—For local assistance, Department of Food and Agriculture
........................
|
26,910,000 | ||||||
Schedule:
|
|||||||
(1) |
6570-Agricultural Plant and Animal Health; Pest Prevention; Food Safety Services
........................
|
6,405,000 | |||||
(2) |
6580-Assistance to Fair and County Agricultural Activities
........................
|
2,605,000 | |||||
(3) | 6590-General Agricultural Activities ........................ | 17,900,000 | |||||
Provisions: | |||||||
1. | Of the amount appropriated in Schedule (3), $17,900,000 shall be available for the California Underserved and Small Producer Program for purposes of providing small farmers extreme weather and other climate impacts relief. Up to 5 percent of this amount may be used for administrative costs. This amount shall be available for encumbrance or expenditure until June 30, 2026, and liquidation until June 30, 2028. |
8570-490—Reappropriation, Department of Food and Agriculture. 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, and liquidation until June 30, 2027:
|
|||||||
0001—General Fund | |||||||
(1) | Item 8570-002-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), for support for Fairs and Exposition Resiliency Grant Program per Provision 4. | ||||||
(2) | Item 8570-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for the Emerging Threats 2 Project and the Information Technology Enterprise Transition Support Project. | ||||||
(3) | Item 8570-002-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021) and Item 8570-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for the Animal Blood Banks program. | ||||||
(4) | Item 8570-101-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021), for support for the State Water Efficiency and Enhancement Program per Provision 2. | ||||||
(5) | Up to $19,500,000 from Item 8570-102-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021) for the California Farm to School Incubator Grant Program, Healthy Refrigeration Grant Program, California Underserved and Small Producer Drought Relief Grant Program, and Urban Agriculture Grant Program. | ||||||
(6) | Paragraph (1) of subdivision (d) of Section 35 of Chapter 574 of the Statutes of 2022. Up to $1,700,000 for support for the State Water Efficiency and Enhancement Program. | ||||||
0111—Department of Food and Agriculture Fund | |||||||
(1) | Item 8570-001-0111, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023) for the Emerging Threats 2 Project. |
8570-495—Reversion, Department of Food and Agriculture. As of June 30, 2024, 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.
|
|||||||
0001—General Fund
|
|||||||
(1) |
Item 8570-001-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). $23,000,000 for Enteric Methane Reduction in Program
6590-General Agricultural
Activities per Provision 5.
|
||||||
(2) | Paragraph (1) of subdivision (d) of Section 35 of Chapter 574 of the Statutes of 2022. $12,900,000 for the State Water Efficiency and Enhancement Program. | ||||||
(3) |
Item 8570-101-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022).$9,000,000 for the State Water Efficiency and Enhancement
Program in Program 6590-General Agricultural Activities per Provision 1.
|
||||||
(5) |
Item 8570-102-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). $24,000,000 for Livestock Methane Reduction per
Provision 5.
|
||||||
(6) |
Item 8570-102-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). $8,500,000 for the Healthy Refrigeration Grant
Program in Program 6575-Marketing; Commodities and Agricultural Services per Provision 3.
|
||||||
(9) |
Item 8570-102-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022). $200,000 for the Technical Assistance Program
for Underserved Farmers in Program 6590-General Agricultural Activities per Provision 9.
|
||||||
(10) |
Item 8570-002-0001, Budget Act of 2021 (Chs.
21, 69, and 240, Stats. 2021). $2,075,000 for the Fairs and Exposition Resiliency Grant Program in Program 6580-Assistance
to Fair and County per Provision 4.
|
||||||
(11) |
Item 8570-102-0001, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). $445,000 from the Pollinator Habitat Program in
Program .6590-General Agricultural Activities per Provision 7.
|
||||||
(12) |
Item 8570-101-0001, Budget Act of 2023 (Chs. 12, 38, and 189, Stats. 2023). $5,000,000 for California Underserved and Small
Producer Program in Program
6590-Agricultural Activities per Provision 1.
|
||||||
3398—California Emergency Relief Fund
|
|||||||
(1) |
Item 8570-101-3398, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). $920,000 for water efficiency technical assistance
in Program 6590-Agricultural Activities.
|
||||||
(2) |
Item 8570-101-3398, Budget Act of 2021 (Chs. 21, 69, and 240, Stats. 2021). $12,900,000 for Relief for Small Farmers in Program
6590-Agricultural Activities.
|
8660-101-3371—For local assistance, Public Utilities Commission, payable from the Aliso Canyon Recovery Account
........................
|
42,000,000 | ||||||
Schedule: | |||||||
(1) | 6680055-Energy ........................ | 42,000,000 | |||||
Provisions: | |||||||
1. | Funds appropriated in Schedule (1) shall be used as follows: | ||||||
(a) | $2,000,000 shall be allocated for the Equity and Access Grant Program for community-based organizations to provide education and outreach about building decarbonization, healthy homes, and related health impacts. Organizations located in the Aliso Canyon Disaster Area and the San Fernando Valley shall receive priority for receiving these funds. Additionally, these funds shall support Los Angeles County residents with education about electrification technologies, accessing funds from the Aliso Canyon Recovery Account, and addressing related health impacts. | ||||||
(b) | $40,000,000 shall be allocated for purposes of the Technology and Equipment for Clean Heating (TECH) Initiative pursuant to Section 922 of the Public Utilities Code, for the exclusive use in Southern California Gas Company service territory and allocated as follows: | ||||||
(i) | Communities in the Aliso Canyon Disaster Area shall be granted priority for receiving funds. | ||||||
(ii) | Funding shall be for both single-family and multifamily home electrification and in addition to being used for measures historically supported by the TECH Initiative pursuant to Section 922 of the Public Utilities Code, may also be expended for additional new measures for enabling comprehensive building electrification, including energy audits, panel upgrades, and electrical wiring repairs. | ||||||
(iii) | These funds may be used in combination with other funding sources, if available, to cover up to 100 percent in net participant and program costs. | ||||||
(iv) | Funds shall be prioritized for efforts that reduce winter natural gas demand from the Aliso Canyon natural gas storage facility, accelerate heat pump deployment, and provide equitable benefits to multifamily building residents. | ||||||
(v) | The expenditure of funds shall not cause the displacement of tenants in upgraded rental housing units and shall be used to limit cost impacts on tenants. | ||||||
2. | For purposes of this item, “Aliso Canyon Disaster Area” means the City of Los Angeles communities of Porter Ranch, Granada Hills, Northridge, Chatsworth, North Hills, Canoga Park, Reseda, Winnetka, West Hills, Van Nuys, and Lake Balboa. | ||||||
3. | The funds in this Item shall be available for encumbrance or expenditure by the California Public Utilities Commission until June 30, 2027, and shall be available for liquidation until June 30, 2030. |
8955-001-0001—For support of Department of Veterans Affairs
........................
|
540,466,000 | ||||||
Schedule:
|
|||||||
(1) |
6995010-Claims Representation
........................
|
17,123,000 | |||||
(2) |
6995028-Cemetery Operations
........................
|
2,586,000 | |||||
(3) |
7000010-Headquarters
........................
|
82,937,000 | |||||
(4) |
7000019-Veterans Home of California at Yountville
........................
|
142,311,000 | |||||
(5) |
7000028-Veterans Home of California at Barstow
........................
|
32,157,000 | |||||
(6) |
7000037-Veterans Home of California at Chula Vista
........................
|
51,874,000 | |||||
(7) |
7000046-Veterans Home of California-Greater Los Angeles Ventura County—GLAVC
........................
|
109,127,000 | |||||
(8) |
7000055-Veterans Home of California at Redding
........................
|
38,273,000 | |||||
(9) |
7000064-Veterans Home of California at Fresno
........................
|
64,789,000 | |||||
(10) |
9900100-Administration
........................
|
91,085,000 | |||||
(11) |
9900200-Administration—Distributed
........................
|
−91,085,000 | |||||
(12) |
Reimbursements to 6995010- Claims Representation
........................
|
−703,000 | |||||
(13) |
Reimbursements to 6995028-Cemetery Operations
........................
|
−8,000 | |||||
Provisions:
|
|||||||
1. |
Of the funds appropriated in this item, $892,000 shall be expended only for the replacement of equipment and furnishings directly
related to the care of the members at Veterans’ Home of California.
|
||||||
2. |
Notwithstanding any other law, the Department of Veterans Affairs is not required to comply with Chapter 615 of the Statutes
of 2006 during the 2024–25 fiscal year because no appropriation has been provided to support the activities required by Chapter
615 of the Statutes of 2006.
|
||||||
3. |
On January 10,
2026, the Department of Veterans Affairs shall report the following to the Legislature by veterans home and civil service
classification (registered nurse, licensed vocational nurse, and certified nursing assistant): (a) the combined monthly cost
of mandatory and voluntary overtime for permanent civil service staff; (b) monthly hours used of mandatory overtime for permanent
civil service staff; (c) monthly hours used of voluntary overtime for permanent civil service staff; and (d) monthly cost
and hours for contracted staffing registry services. The report shall also include, broken down by veterans home and civil
service classification, the number of established and vacant positions in each month. In addition, the report shall summarize:
(a) how the $25,000,000 appropriated in Schedule (3) for increased support for nursing operations was used by the department
and the veterans homes; (b) the department’s actions to improve recruitment and retention of classifications
and reduce its reliance on contracted registry services and overtime costs; and (c) the department’s plans to further
reduce reliance on contracted registry services and overtime in 2025–26.
|
9650-490—Reappropriation, Health and Dental Benefits for Annuitants. The amounts specified 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,
2026:
|
|||||||
0001—General Fund | |||||||
(1) | Up to $74,000,000 in Item 9650-001-0001, Budget Act of 2022 (Chs. 43, 45, and 249, Stats. 2022) |
9800-001-0001—For Augmentation for Employee Compensation
........................
|
639,475,000 | ||||||
Schedule:
|
|||||||
(1) |
7800-Employee Compensation Program
........................
|
633,475,000 | |||||
(2) |
7801-Affordable Care Act Penalty Assessment
........................
|
6,000,000 | |||||
Provisions:
|
|||||||
1. |
The amount appropriated in this item shall not be construed to control or influence collective bargaining between the state
employer and employee representatives.
|
||||||
2. |
The funds appropriated in this item are for compensation increases and increases in benefits related thereto of employees
whose compensation, or portion thereof, is chargeable to the General Fund, to be allocated by budget executive order by the
Director of Finance to the several state offices, departments, boards, bureaus, commissions, and other state agencies, in
augmentation of their respective appropriations or allocations, in accordance with approved memoranda of understanding or,
for employees excluded from collective bargaining, in accordance with salary and benefit schedules established by the Department
of Human Resources.
|
||||||
3. |
It is the intent of the Legislature that all proposed augmentations for increased employee compensation costs,
including, but not limited to, base salary increases, pay increases to bring one group of employees into a pay equity
position with another group of public employees, and recruitment and retention differentials, be budgeted and considered on
a comprehensive, statewide basis. Therefore, the Legislature declares its intent to reject any proposed augmentations that
are not included in Items 9800-001-0001, 9800-001-0494, and 9800-001-0988, given that these are the items where the funds
to implement comprehensive statewide compensation policies, including those adopted pursuant to collective bargaining, are
considered. This provision shall not apply to augmentations for increased employee compensation costs resulting from mandatory
judicial orders to raise pay for any group of employees or augmentations for increased compensation costs, or approvals for
departments to provide increased employee compensation levels, that are included in bills separate from the Budget Act.
|
||||||
4. |
This item contains funds estimated to be necessary to implement side letters, appendices, or other addenda to a memorandum
of understanding (collectively referred to as “pending agreements”) that have been determined by the Joint Legislative Budget
Committee to require legislative approval prior to their implementation, but which may not have been approved in separate
legislation as of the date of the passage of this act. In the event that the Legislature does not approve separate legislation
to authorize implementation of any of the pending agreements, the Director of Finance shall not allocate any funds related
to those pending agreements pursuant to Provision 2, and the expenditure of funds for those pending agreements shall not be
deemed to have been approved by the Legislature.
|
||||||
5. |
As of July 31, 2025, the unencumbered balances of the funds appropriated in this item shall revert to the General Fund.
|
||||||
6. |
The Director of Finance may adjust this item of appropriation to reflect the health benefit premiums approved by the Board
of Administration of the Public Employees’ Retirement System or dental benefit premiums approved by the Department of Human
Resources for the 2025 calendar year. Within 30 days of making any adjustment pursuant to this provision, the Director of
Finance shall report the adjustment in writing to the Chairperson of the Joint Legislative Budget Committee and the chairpersons
of the committees in each house of the Legislature that consider appropriations.
|
||||||
7. |
Notwithstanding Sections 3517.6 and 3517.63 of the Government Code, the Department of Finance shall provide written notification
to the Joint Legislative Budget Committee regarding any expenditure of funds resulting from any side letter, appendix, or
other addendum to a properly ratified memorandum of understanding which has not been proposed to the Legislature in a budget
bill.
|
||||||
8. |
Notice provided pursuant to Provision 7 shall include a copy of the side letter, appendix, or other addendum (collectively
addendum) and a fiscal summary of any expenditure of funds resulting from the agreement in the 2024–25 fiscal year and future
fiscal years. The notice shall indicate whether the
Department of Finance determines that an agreement does or does not require legislative action to ratify the addendum
before implementation, pursuant to subdivision (a), (b), or (c) of this provision.
|
||||||
(a) |
An addendum to a properly ratified memorandum of understanding may be implemented without legislative action not less than
30 calendar days after notice has been provided to the Joint Legislative Budget Committee, or not sooner than whatever lesser
time after that notification the Chairperson of the Joint Legislative Budget Committee, or the chairperson’s designee, may
in each instance determine, if all of the following apply:
|
||||||
(1) |
The agreement results in total net costs of less than $1,000,000 (all funds) associated with each bargaining unit affected
by the agreement during the 2024–25 fiscal year.
|
||||||
(2) |
Any cost resulting from the agreement can be absorbed within the 2024–25 fiscal year appropriation authority of impacted departments.
|
||||||
(3) |
The addendum does not present substantial additions that are reasonably outside the parameters of the original memorandum
of understanding.
|
||||||
(b) |
An addendum to a properly ratified memorandum of understanding that results in any expenditure of funds may be implemented
not less than 30 calendar days after notice has been provided to the Joint Legislative Budget Committee, or not sooner than
whatever lesser time after that notification the Chairperson of the Joint Legislative Budget Committee, or the chairperson’s
designee, may in each instance determine, if, during the legislative consideration of the 2024–25 Governor’s Budget, the Department
of Finance identified to the Legislature both of the following:
|
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(1) |
The administration anticipated
that the addendum would be signed during the 2024–25 fiscal year.
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(2) |
Any costs resulting from the addendum are included in the 2024–25 Governor’s Budget or another piece of legislation.
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(c) |
An addendum to a properly ratified memorandum of understanding that results in any expenditure of funds requires legislative
action before implementation if any of the following apply:
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(1) |
The agreement results in total net costs greater than $1,000,000 (all funds) associated with each bargaining unit affected
by the agreement during the 2024–25 fiscal year.
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(2) |
The agreement results in costs that cannot be absorbed within the 2024–25 fiscal year appropriation authority of impacted
departments.
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(3) |
The addendum presents substantial additions that are not reasonably within the parameters of the original memorandum of understanding.
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9. |
Notwithstanding Sections 3517.6 and 3517.63 of the Government Code, any addendum to a properly ratified memorandum of understanding
that is implemented in the 2024–25 fiscal year, pursuant to subdivision (a) of Provision 8 and requires the expenditure of
funds beyond the 2024–25 fiscal year that was not approved as part of the Budget Act of 2024, shall be approved by the Legislature
as part of the Budget Act of 2024 or through another piece of legislation.
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10. |
The Department of Human Resources shall promptly post on its public internet website all signed addenda. Each addendum shall
be posted in its entirety, including any attachments or schedules that are part of the agreement, along with the fiscal summary
documents of the agreement.
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11. |
The amount appropriated in Schedule (2) of this item shall be available for penalties the state may be assessed under the
federal Patient Protection and Affordable Care Act (P.L. 111-148) or by another government entity where an individual health
care mandate has been enacted and the state has a reporting obligation.
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(a) |
The Director of Finance shall identify the specific amounts to be advanced and paid from the General Fund to the Internal
Revenue Service, or another government entity, for payment of those penalties and notify the Controller of these amounts.
Upon notification, the Controller shall
make penalty assessment payments from this item.
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(b) |
Notwithstanding any other law, the Department of Finance may transfer from, and adjust amounts in any appropriation item,
or in any category thereof, funds necessary to reimburse this item for costs directly related to each state agency’s, department’s,
or board’s portion of employer reporting penalties that are attributable to those departments, as identified by the Controller.
Additionally, notwithstanding any other law, the Department of Finance may direct a
state agency, including those with funds and accounts held outside of the state treasury including, but not limited
to, district agricultural associations, to reimburse, and such state agency shall reimburse, this item for costs directly
related to the state agency’s portion of employer reporting penalties that are attributable to the state agency, as identified
by the Controller. Additionally, notwithstanding Section 22150 of the Government Code and Section 66606.2 of the Education
Code, this provision shall also apply to the California State University. The authority granted to the Department of Finance
under this provision may be used to reimburse this item for costs not reimbursed in prior fiscal years.
Upon order of the Director of Finance, the Department of Finance shall provide the Controller a schedule of the timing
and amounts to be transferred and/or adjusted for purposes of this provision.
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(c) |
Within 30 days after making any adjustment pursuant to this provision, the Director of Finance shall report the penalties
assessed to the state in writing to the Chairperson of the Joint Legislative Budget Committee and the chairpersons of the
committees in each house of the Legislature that consider appropriations.
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12. |
The Director of Finance may augment this item by up to $1,000,000 to reconcile adjustments, changes, and/or clarifications
to federal laws, regulations, or guidelines pursuant to Section 13332.01 of the Government Code. The Department of Finance
shall identify the specific amounts to be paid from the General Fund to the United States Department of Treasury, or other
federal government entity, and notify the Controller of these amounts. Upon notification, the Controller shall make payments
from this item.
|