0250-001-0001—For support of Judicial Branch
........................
|
456,519,000
475,846,000 |
|
Schedule:
|
|
|
(1) |
0130-Supreme Court
........................
|
49,119,000
51,828,000 |
|
|
(2) |
0135-Courts of Appeal
........................
|
235,915,000
247,545,000 |
|
|
(3) |
0140-Judicial Council
........................
|
161,842,000
165,819,000 |
|
|
(4) |
0155-Habeas Corpus Resource Center
........................
|
15,813,000
16,824,000 |
|
|
(5) |
Reimbursements to 0140-Judicial Council
........................
|
−6,170,000 |
|
|
Provisions:
|
|
|
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/or 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 pre-litigation 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 (a) matters arising from the actions of appellate courts, appellate court judicial
officers, appellate court employees, or court contractors, or (b) matters arising from the actions of the Judicial Council,
council members, council employees or agents, or Judicial Council contractors, or (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, trial court, and/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 Intra-Branch 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, 2022.
|
|
|
2. |
Notwithstanding any other provision of law, upon approval and order of the Director of Finance, the amount appropriated in
this item shall be reduced by the amount transferred in Item 0250-011-0001 to provide adequate resources to the Judicial Branch
Workers’ Compensation Fund to pay workers’ compensation claims for judicial branch employees and justices, and administrative
costs pursuant to Section 68114.10 of the Government Code.
|
|
|
3. |
Of the funds appropriated in Schedule (2), $68,644,000 is available for the Court Appointed Counsel Program and shall be used
solely for that program. Any funds for the program not expended by June 30, 2021, shall revert to the General Fund.
|
|
|
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.
|
|
|
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.
|
|
|
6. |
Of the funds appropriated in Schedule (3), $25,000,000 is available for expenditure by the Judicial Council for modernization
efforts in the trial courts. Notwithstanding any other law, upon approval of the Administrative Director, the Controller shall
transfer funding to Schedule (1) of Item 0250-101-0001.
|
|
0250-101-0001—For local assistance, Judicial Branch
........................
|
27,700,000
37,103,000 |
|
Schedule:
|
|
|
(1) |
0150010-Support for Operation of Trial Courts
........................
|
7,226,000
8,551,000 |
|
|
(2) |
0150051-Child Support Commissioner Program (AB 1058)
........................
|
54,332,000 |
|
|
(3) |
0150055-California Collaborative and Drug Court Projects
........................
|
5,690,000
5,748,000 |
|
|
(4) |
0150075-Grants—Other
........................
|
1,586,000
8,586,000 |
|
|
(5) |
0150083-Equal Access Fund
........................
|
19,372,000
20,392,000 |
|
|
(6) |
Reimbursements to 0150051-Child Support Commissioner Program (AB 1058)
........................
|
−54,332,000 |
|
|
(7) |
Reimbursements to 0150055-California Collaborative and Drug Court Projects
........................
|
−4,588,000 |
|
|
(8) |
Reimbursements to 0150075-Grants—Other
........................
|
−1,586,000 |
|
|
Provisions:
|
|
|
1. |
In order to improve equal access and the fair administration of justice, the funds appropriated in Schedule (5) are to be
distributed by the Judicial Council through the Legal Services Trust Fund Commission to qualified legal services projects
and support centers as defined in Sections 6213 to 6215, inclusive, of the Business and Professions Code, to be used for legal
services in civil matters for indigent persons. The Judicial Council shall approve awards made by the commission if the council
determines that the awards comply with statutory and other relevant guidelines. Ten percent of the funds in Schedule (5) shall
be for joint projects of courts and legal services programs to make legal assistance available to pro per litigants and 90
percent of the funds in Schedule (5) shall be
distributed consistent with Sections 6216 to 6223, inclusive, of the Business and Professions Code. The Judicial Council
may establish additional reporting or quality control requirements consistent with Sections 6213 to 6223, inclusive, of the
Business and Professions Code.
|
|
|
2. |
The amount appropriated in Schedule (1) is available for reimbursement of court costs related to the following activities:
(a) payment of service of process fees billed to the trial courts pursuant to Chapter 1009 of the Statutes of 2002, (b) payment
of the court costs payable under Sections 4750 to 4755, inclusive, and Section 6005 of the Penal Code, and (c) payment of
court costs of extraordinary homicide trials.
|
|
0250-101-0932—For local assistance, Judicial Branch, payable from the Trial Court Trust Fund
........................
|
2,612,823,000
2,788,038,000 |
|
Schedule:
|
|
|
(1) |
0150010-Support for Operation of Trial Courts
........................
|
2,029,850,000
2,198,787,000 |
|
|
(2) |
0150019-Compensation of Superior Court Judges
........................
|
395,802,000 |
|
|
(3) |
0150028-Assigned Judges
........................
|
29,812,000 |
|
|
(4) |
0150037-Court Interpreters
........................
|
125,345,000
131,380,000 |
|
|
(5) |
0150067-Court Appointed Special Advocate (CASA) program
........................
|
2,577,000
2,713,000 |
|
|
(6) |
0150071-Model Self-Help Program
........................
|
909,000
957,000 |
|
|
(7) |
0150083-Equal Access Fund
........................
|
5,482,000 |
|
|
(8) |
0150087-Family Law Information Centers
........................
|
328,000
345,000 |
|
|
(9) |
0150091-Civil Case Coordination
........................
|
790,000
832,000 |
|
|
(10) |
0150095-Expenses on Behalf of the Trial Courts
........................
|
21,929,000 |
|
|
(11) |
Reimbursements to 0150010-Support for Operation of Trial Courts
........................
|
−1,000 |
|
|
Provisions:
|
|
|
1. |
Of the funds appropriated in Schedule (1), $25,300,000
shall be available for support of services for self-represented litigants, and any unexpended funds shall revert to the
General Fund.
|
|
|
2. |
The funds appropriated in Schedule (2) shall be made available for costs of the workers’ compensation program for trial court
judges.
|
|
|
3. |
The amount appropriated in Schedule (3) shall be made available for all judicial assignments. Schedule (3) expenditures for
necessary support staff shall not exceed the staffing level that is necessary to support the equivalent of three judicial
officers sitting on assignments. Prior to utilizing funds appropriated in Schedule (3), trial courts shall maximize the use
of judicial officers who
may be available due to reductions in court services or court closures.
|
|
|
4. |
The funds appropriated in Schedule (4) shall be for payments to contractual court interpreters, and certified or registered
court interpreters employed by the courts for services provided during court proceedings and other services related to pending
court proceedings, including services provided outside a courtroom, and the following court interpreter coordinators: 1.0
each in counties of the 1st through the 15th classes, 0.5 each in counties of the 16th through the 31st classes, and 0.25
each in counties of the 32nd through the 58th classes. For purposes of this provision, “court interpreter coordinators” may
be full- or part-time court employees.
|
|
|
|
The Judicial Council shall set statewide or regional rates and policies for payment of court interpreters, not to exceed the
rate paid to certified interpreters in the federal court system.
|
|
|
|
The Judicial Council shall adopt appropriate rules and procedures for the administration of these funds. The Judicial Council
shall report to the Legislature and the Director of Finance annually regarding expenditures from Schedule (4).
|
|
|
5. |
Upon order of the Director of Finance, the amount available for expenditure in this item may be augmented by the amount of
any
additional resources available in the Trial Court Trust Fund, which is in addition to the amount appropriated in this
item. Any augmentation shall be approved in joint determination with the Chairperson of the Joint Legislative Budget Committee
and shall be authorized not sooner than 30 days after notification in writing to the chairpersons of the committees in each
house of the Legislature that consider appropriations, the chairpersons of the committees and appropriate subcommittees that
consider the State Budget, and the chairperson of the joint committee, or not sooner than whatever lesser time the chairperson
of the joint committee, or the chairperson’s designee, may determine. When a request to augment this item is submitted to
the Director of Finance, a copy of that request shall be delivered to the chairpersons of the committees and appropriate subcommittees
that consider the State Budget. Delivery of a copy of that request shall not be deemed to be notification in writing for purposes
of this
provision.
|
|
|
6. |
Notwithstanding any other law, upon approval and order of the Director of Finance, the amount appropriated in this item shall
be reduced by the amount transferred in Item 0250-115-0932 to provide adequate resources to the Judicial Branch Workers’ Compensation
Fund to pay workers’ compensation claims for judicial branch employees and judges, and administrative costs pursuant to Section
68114.10 of the Government Code.
|
|
|
7. |
Upon approval by the Administrative Director, the Controller shall transfer up to $11,274,000 to Item 0250-001-0932 for recovery
of costs for administrative services provided to the trial courts by the Judicial Council.
|
|
|
8. |
In order to improve equal access and the fair administration of justice, the funds appropriated in Schedule (7) are available
for distribution by the Judicial Council through the Legal Services Trust Fund Commission in support of the Equal Access Fund
Program to qualified legal services projects and support centers as defined in Sections 6213 to 6215, inclusive, of the Business
and Professions Code, to be used for legal services in civil matters for indigent persons. The Judicial Council shall approve
awards made by the commission if the council determines that the awards comply with statutory and other relevant guidelines.
Upon approval by the Administrative Director, the Controller shall transfer up to 5 percent of the funding appropriated in
Schedule (7) to Item 0250-001-0932 for administrative expenses. Ten percent of the funds remaining
after administrative costs shall be for joint projects of courts and legal services programs to make legal assistance
available to pro per litigants and 90 percent of the funds remaining after administrative costs shall be distributed, consistent
with Sections 6216 to 6223, inclusive, of the Business and Professions Code. The Judicial Council may establish additional
reporting or quality control requirements, consistent with Sections 6213 to 6223, inclusive, of the Business and Professions
Code.
|
|
|
9. |
Funds available for expenditure in Schedule (7) may be augmented by order of the Director of Finance by the amount of any
additional resources deposited for distribution to the Equal Access Fund Program in accordance with Sections 68085.3 and 68085.4
of the Government Code. Any augmentation under this provision shall be authorized not
sooner than 30 days after notification in writing to the chairpersons of the committees in each house of the Legislature
that consider appropriations, the chairpersons of the committees and appropriate subcommittees that consider the State Budget,
and the Chairperson of the Joint Legislative Budget Committee, or not sooner than whatever lesser time the chairperson of
the joint committee, or the chairperson’s designee, may determine.
|
|
|
10. |
Sixteen (16.0) subordinate judicial officer positions are authorized to be converted to judgeships in the 2020–21 fiscal year
in the manner and pursuant to the authority described in subparagraph (B) of paragraph (1) of subdivision (c) of Section 69615
of the Government Code, as described in the notice filed by the Judicial Council under subparagraph (B) of paragraph (3) of
subdivision (c) of Section
69615 of the Government Code.
|
|
|
11. |
Notwithstanding any other law, and upon approval of the Director of Finance, the amount available for expenditure in Schedule
(1) may be increased by the amount of any additional resources collected for the recovery of costs for court appointed dependency
counsel services.
|
|
|
12. |
Upon approval of the Administrative Director, the Controller shall transfer up to $556,000 to Item 0250-001-0932 for administrative
services provided to the trial courts in support of the court appointed dependency counsel program.
|
|
|
13. |
Of the amounts appropriated in Schedule (1), $325,000 shall be allocated by the Judicial Council in order to reimburse the
California State Auditor’s Office for the costs of trial court audits incurred by the California State Auditor’s Office pursuant
to Section 19210 of the Public Contract Code.
|
|
|
14. |
Upon approval of the Administrative Director, the Controller shall transfer up to $500,000 of the funding appropriated in
Schedule (10) of this item to Schedule (1) of Item 0250-001-0932 for administrative services provided by the Judicial Council
to implement and administer the Civil Representation Pilot Program.
|
|
|
15. |
Upon approval of the Administrative Director, the amount available for expenditure in Schedule (10) may be augmented by the
amount of resources collected to support the implementation and administration of the Civil Representation Pilot Program.
|
|
|
16. |
Of the amount appropriated in this item, up to $1,503,000 is available to reimburse the Controller for the costs of audits
incurred by the Controller pursuant to subdivision (h) of Section 77206 of the Government Code.
|
|
|
17. |
Of the amount appropriated in Schedule (1), $2,929,000 is available to implement Chapter 993 of the Statutes of 2018. Notwithstanding
Section 77203 of the
Government Code and Provision 17 of Item 0250-101-0932, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019), trial courts
may carry any unexpended funds that were specifically appropriated and allocated by the Judicial Council to address workload
related to Chapter 993 of the Statutes of 2018, from the 2019–20 fiscal year to the 2020–21 fiscal year. Any unexpended funds
shall revert to the General Fund.
|
|
|
18. |
Upon order of the Department of Finance, the amount available for expenditure in Schedules (1) and (4) may be augmented by
an amount sufficient to fund trial court employee benefit increases in 2020–21.
|
|
|
19. |
Of the amount appropriated in Schedule (1), $140,000
shall be available to fund trial court security in Shasta County.
|
|
|
20. |
Notwithstanding any other law, and upon approval of the Director of Finance, the amount available for expenditure in Schedule
(10) may be increased by the amount of any additional resources collected to support programs pursuant to the Sargent Shriver
Civil Counsel Act.
|
|
|
21. |
Notwithstanding Section 77203 of the Government Code and Provisions 19 and 20 of Item 0250-101-0932, Budget Act of 2016 (Ch.
23, Stats. 2016), trial courts may carry any unexpended funds that were specifically appropriated in the Budget Act and allocated
by the Judicial Council for the Court Innovations Grant Program, from 2019–20 to 2020–21. The
funds appropriated and allocated for the Court Innovations Grant Program shall be available for encumbrance or expenditure
until December 31, 2020. Any unexpended funds shall revert to the General Fund.
|
|
0509-001-0001—For support of Governor’s Office of Business and Economic Development (GO-Biz)
........................
|
35,412,000 |
|
Schedule:
|
|
|
(1) |
0220-GO-Biz
........................
|
8,432,000 |
|
|
(2) |
0225-California Business Investment Services
........................
|
2,691,000 |
|
|
(3) |
0230-Office of the Small Business Advocate
........................
|
21,468,000 |
|
|
(4) |
0235010-California Film Commission
........................
|
2,672,000 |
|
|
(5) |
0235019-Tourism
........................
|
833,000 |
|
|
(6) |
0235028-California
Infrastructure and Economic Development Bank
........................
|
212,000 |
|
|
(7) |
0235037-Small Business Expansion
........................
|
492,000 |
|
|
(8) |
Reimbursements to 0225-California Business Investment Services
........................
|
−50,000 |
|
|
(9) |
Reimbursements to 0235019-Tourism
........................
|
−639,000 |
|
|
(10) |
Reimbursements to 0235028 California-Infrastructure and Economic Development Bank
........................
|
−212,000 |
|
|
(11) |
Reimbursements to 0235037-Small Business Expansion
........................
|
−487,000 |
|
|
Provisions:
|
|
|
1. |
Of the amount appropriated in Schedule (3), $3,000,000 shall be used to draw down federal funds in the California Small Business
Development Center Program.
|
|
|
2. |
Of the amount appropriated in Schedule
(3), $17,000,000 shall be used for the California Small Business Development Technical Assistance Expansion Program. Notwithstanding
any other law, this funding shall be available for encumbrance or expenditure until June 30, 2023.
|
|
0540-001-6088—For support of Secretary of the Natural Resources Agency, payable from the California Drought, Water, Parks, Climate, Coastal
Protection, and Outdoor Access For All Fund
........................
|
1,691,000 |
|
Schedule:
|
|
|
(1) |
0320-Administration of Natural Resources Agency
........................
|
1,691,000 |
|
|
Provisions:
|
|
|
1. |
Of the amount appropriated in this item, $1,691,000 shall be available to support the following:
|
|
|
|
(a) |
$144,000 shall be available for trails and greenway investments, consistent with subdivision (a) of Section 80080 of the Public
Resources Code.
|
|
|
|
(b) |
$19,000 shall be available for river recreation, creek, and waterway improvements, consistent with paragraphs (4), (5), (7),
and (10) of subdivision (a) of Section 80100 of the Public Resources Code.
|
|
|
|
(c) |
$126,000 shall be available for the California River Parkways Program, consistent with paragraph (8) of subdivision (a) of
Section 80100 of the Public Resources Code.
|
|
|
|
(d) |
$149,000 shall be available for marine wildlife and healthy ocean and coastal ecosystems, consistent with subdivision (a)
of Section 80120 of the Public Resources Code.
|
|
|
|
(e) |
$149,000 shall be available for projects that assist coastal communities, consistent with subdivision (a) of Section 80133
of the Public Resources Code.
|
|
|
|
(f) |
$102,000 shall be available for multibenefit green infrastructure investments, consistent with subdivision (b) of Section
80137 of the
Public Resources Code.
|
|
|
|
(g) |
$507,000 shall be available for multibenefit flood projects, consistent with paragraph (3) of subdivision (a) of Section 80145
of the Public Resources Code.
|
|
|
|
(h) |
$495,000 shall be available for statewide bond costs.
|
|
0540-490—Reappropriation, Secretary of the Natural Resources Agency. The balances of the appropriations provided in the following
citations are reappropriated for the purposes provided for in those appropriations and shall be available for encumbrance
or expenditure until June 30, 2023:
|
|
|
0140—California Environmental License Plate Fund |
|
|
(1) |
Item 0540-101-0140, Budget Act of
2018 (Chs. 29 and 30, Stats. 2018)
|
|
|
0183—Environmental Enhancement and Mitigation Program Fund |
|
|
(1) |
Item 0540-101-0183, Budget Act of 2013 (Chs. 20 and 354, Stats. 2013), as reappropriated by Item 0540-490, Budget Act of 2017
(Chs. 14, 22, and 54, Stats. 2017)
|
|
|
(2) |
Item 0540-101-0183, Budget Act of 2015 (Chs. 10 and 11, Stats. 2015), as reappropriated by Item 0540-490, Budget Act of 2017
(Chs. 14, 22, and 54, Stats. 2017)
|
|
|
(3) |
Item 0540-101-0183, Budget Act of 2016 (Ch. 23, Stats. 2016), as reappropriated by Item 0540-490, Budget Act of 2017 (Chs.
14, 22, and 54, Stats. 2017)
|
|
|
3228—Greenhouse Gas Reduction Fund |
|
|
(1) |
Item 0540-101-3228, Budget Act of 2016 (Ch. 23, Stats. 2016), as reappropriated by Item 0540-491, Budget Act of 2018 (Chs.
29 and 30, Stats. 2018)
|
|
|
(2) |
Item 0540-101-3228, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017) |
|
|
(3) |
Item 0540-101-3228, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) |
|
|
6015—River Protection Subaccount |
|
|
(1) |
Item 0540-101-6015, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017) |
|
|
6029—California Clean Water, Clean Air, Safe Neighborhood Parks, and Coastal Protection Fund |
|
|
(1) |
Item 0540-101-6029, Budget Act of 2014 (Chs. 25 and 663, Stats. 2014), as reappropriated by Item 0540-490, Budget Act of 2017
(Chs. 14, 22, and 54, Stats. 2017)
|
|
|
(2) |
Item 0540-101-6029, Budget Act of 2016 (Ch. 23, Stats. 2016) |
|
|
6031—Water Security, Clean Drinking Water, Coastal and Beach Protection Fund of 2002 |
|
|
(1) |
Item 0540-101-6031, Budget Act of 2006 (Chs. 47 and 48, Stats. 2006), as reappropriated by Item 0540-490, Budget Act of 2011
(Ch. 33, Stats. 2011), Item 0540-490, Budget Act of 2014 (Chs. 25 and 663, Stats. 2014), and Item 0540-490, Budget Act of
2017 (Chs. 14, 22, and 54, Stats. 2017)
|
|
|
(2) |
Item 0540-101-6031, Budget Act of 2007 (Chs. 171 and 172, Stats. 2007), as reappropriated by Item 0540-490, Budget Act of
2011 (Ch. 33, Stats. 2011), Item 0540-490, Budget Act of 2014 (Chs. 25 and 663, Stats. 2014), and Item 0540-490, Budget Act
of 2017 (Chs. 14, 22, and 54, Stats. 2017)
|
|
|
6051—Safe Drinking Water, Water Quality and Supply, Flood Control, River and Coastal Protection Fund of 2006 |
|
|
(1) |
Item 0540-101-6051, Budget Act of 2008 (Chs. 268 and 269, Stats. 2008), as reappropriated by Item 0540-490, Budget Act of
2011 (Ch. 33, Stats. 2011), Item 0540-490, Budget Act of 2014 (Chs. 25 and 663, Stats. 2014), and Item 0540-490, Budget Act
of 2017
(Chs. 14, 22, and 54, Stats. 2017)
|
|
|
(2) |
Item 0540-101-6051, Budget Act of 2010 (Ch. 712, Stats. 2010), as reappropriated by Item 0540-490, Budget Act of 2013 (Chs.
20 and 354, Stats. 2013), Item 0540-490, Budget Act of 2014 (Chs. 25 and 663, Stats. 2014), and Item 0540-490, Budget Act
of 2017 (Chs. 14, 22, and 54, Stats. 2017)
|
|
|
6083—Water Quality, Supply, and Infrastructure Improvement Fund of 2014 |
|
|
(1) |
Item 0540-101-6083, Budget Act of 2016 (Ch. 23, Stats. 2016) |
|
|
(2) |
Item 0540-101-6083, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017) |
|
|
6088—California Drought, Water, Parks, Climate, Coastal Protection, and Outdoor Access For All Fund |
|
|
(1) |
Item 0540-001-6088, Provision 2, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018), as reverted by Item 0540-495, Budget Act
of 2019 (Chs. 23 and 55, Stats. 2019)
|
|
|
(2) |
Item 0540-101-6088, Provisions 2(a), (b), (c), (d), (e), (f), and (g), Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) |
|
0540-491—Reappropriation, Secretary of the Natural Resources Agency. Notwithstanding any other law, the period to liquidate encumbrances
of the following citations is extended to June 30, 2023.
|
|
|
0001—General Fund |
|
|
(1) |
Item 0540-101-0001, Budget Act of 2016 (Ch. 23, Stats. 2016), as reappropriated by Item 0540-490, Budget Act of 2017 (Chs.
14, 22, and 54, Stats. 2017)
|
|
|
(2) |
Item 0540-101-0001, Budget Act of 2019 (Chs. 23 and 55, Stats. 2019) |
|
|
6031—Water Security, Clean Drinking Water, Coastal and Beach Protection Fund of 2002 |
|
|
(1) |
Section 41 40
of Chapter 230 of the Statutes of 2004, as reappropriated by Item 0540-490, Budget Act of 2008 (Chs. 268 and 269, Stats.
2008), Item 0540-490, Budget Act of 2012 (Chs. 21 and 29, Stats. 2012), and Item 0540-491, Budget Act of 2015 (Chs. 10 and
11, Stats. 2015)
|
|
|
(2) |
Item 0540-101-6031, Budget Act of 2005 (Chs. 38 and 39, Stats. 2005), as reappropriated by Item 0540-491, Budget Act of 2009
(Ch. 1, 2009–10 3rd Ex. Sess., as revised by Ch. 1, 2009–10 4th Ex. Sess.), Item 0540-490, Budget Act of 2011 (Ch. 33, Stats.
2011), and Item 0540-491, Budget Act of 2015 (Chs. 10 and 11, Stats. 2015)
|
|
0555-491—Reappropriation, Secretary for Environmental Protection. Notwithstanding any other provision of law, the period to liquidate
encumbrances of the following citations is extended to June 30, 2022:
|
|
|
0044—Motor Vehicle Fund, State Transportation Fund |
|
|
(1) |
Item 0555-001-0044, Budget Act of 2017(Chs. 14, 22, and 54, Stats. 2017) |
|
|
0106—Department of Pesticide Regulation Fund |
|
|
(1) |
Item 0555-001-0106, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017) |
|
|
0115—Air Pollution Control Fund |
|
|
(1) |
Item 0555-101-0115, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) |
|
|
0133—California Beverage Container Recycling Fund |
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(1) |
Item 0555-101-0133, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) |
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0193—Waste Discharge Permit Fund |
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(1) |
Item 0555-101-0193, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) |
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(2) |
Item 0555-001-0193, Budget Act of 2017 (Chs. 14, 22, and 54, Stats. 2017) |
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0557—Toxic Substances Control Account |
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(1) |
Item 0555-101-0557, Budget Act of 2018 (Chs. 29 and 30, Stats. 2018) |
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0650-490—Reappropriation, Office of Planning and Research. The amount specified in the following citations are reappropriated for
the purposes provided for in those appropriations and shall be available for encumbrance, expenditure, or liquidation as specified
in this item.
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3228—Greenhouse Gas Reduction Fund
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(1) |
Item 0650-101-3228, Budget Act of 2017, as added by Chapter
249, Statutes of 2017 shall be available for encumbrance or expenditure until June 30, 2025, and for liquidation of encumbrances
until June 30, 2027.
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(2) |
Item 0650-101-3228, Budget Act of 2018 shall be available for encumbrance or expenditure until June 30, 2022, and for liquidation
of encumbrances until June 30, 2024.
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(3) |
Item 0650-101-3228, Provision 2, Budget Act of 2016, as added by Chapter 370, Statutes of 2016 shall be available for encumbrance
or expenditure until June 30, 2024, and for liquidation of encumbrances until June 30, 2026.
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(4) |
Item 0650-001-3228, Provision 2, Budget Act of 2017 shall be available for encumbrance or expenditure until June 30,
2023, and liquidation until June 30, 2025.
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(5) |
Item 0650-001-3228, Provision 2, Budget Act of 2018, shall be available for encumbrance or expenditure until June 30,
2022, and for liquidation until June 30, 2024.
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0690-001-0001—For support of Office of Emergency Services
........................
|
104,658,000
87,675,000 |
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Schedule:
|
|
|
(1) |
0380-Emergency Management Services
........................
|
67,334,000
52,223,000 |
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(2) |
0385-Special Programs and Grant Management
........................
|
29,121,000
28,027,000 |
|
| (3) | 0390-Alfred E. Alquist
Seismic Safety Commission | 503,000 | |
|
|
(4) |
0395-Public Safety Communications
........................
|
12,913,000
12,638,000 |
|
|
(5) |
9900100-Administration
........................
|
28,385,000
26,898,000 |
|
|
(6) |
9900200-Administration—Distributed
........................
|
−28,385,000
−26,898,000 |
|
|
(7) |
Reimbursements to 0380-Emergency Management Services
........................
|
−5,193,000 |
|
|
(8) |
Reimbursements to 0385-Special Programs and Grant Management
........................
|
−20,000 |
|
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Provisions:
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1. |
Funds appropriated in this item may be reduced by the Director of Finance, after giving notice to the Chairperson of the Joint
Legislative Budget Committee, by the amount of federal funds made available for the purposes of this item in excess of the
federal
funds scheduled in Item 0690-001-0890.
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|
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2. |
$2,000,000 of the amount appropriated in Schedule (1) is for implementation of the Wildfire Forecast and Threat Intelligence
Integration Center, pursuant to Chapter 405 of the Statutes of 2019. No portion of this funding may be encumbered or expended
until the Director of Finance has approved a strategy and spending plan submitted by the Office of Emergency Services for
this proposal.
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3. |
Upon order of the Director of Finance, up to $2,000,000 appropriated in this item for implementation of the Wildfire Forecast
and Threat Intelligence Integration Center pursuant to Chapter 405 of the Statutes of 2019 may be transferred to any other
state entity to support
activities related to that purpose.
|
|
0690-101-0001—For local assistance, Office of Emergency Services
........................
|
56,671,000
61,981,000 |
|
Schedule:
|
|
|
(1) |
0380-Emergency Management Services
........................
|
25,000,000 |
|
|
(2) |
0385-Special Programs and Grant Management
........................
|
31,671,000
36,981,000 |
|
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Provisions:
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|
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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), $10,000,000 shall be used for grants related to services for
victims of human trafficking.
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3. |
The amount appropriated in Schedule (1) 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, on 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. Given California
is subject to a variety of potential events, including, but not limited to, fires, floods, earthquakes, and tsunamis, the
nature of this information may vary based on the type of the event. The information provided shall identify whether the event
resulted in a federally- or state-declared disaster.
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5. |
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, 2022.
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0690-104-0001—For local assistance, Office of Emergency Services
........................
|
50,000,000 |
|
Schedule:
|
|
|
(1) |
0385-Special Programs and Grant Management
........................
|
50,000,000 |
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Provisions:
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| 1. | The funds appropriated in this item are available for state operations or local assistance for community
power resiliency activities. | |
|
| 2. | Upon order of the Department of Finance, funds in this item may be
transferred to any other state entity, for state operations or local assistance. | |
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| 3. | The funds appropriated in this item shall be available for encumbrance or expenditure until June 30,
2023. | |
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1. |
The funds appropriated in this item
are available for community power resiliency activities. None of these funds shall be used to secure, compensate, or backfill
professional services contracts.
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1.5 |
Local governments, including cities, counties, cities and counties, and special districts, as well as tribes, are eligible
to receive the funds appropriated in this item. Entities required to have an emergency plan shall submit either: (1) its local
emergency plan to the Office of Emergency Services that includes public safety power shutoff events, or (2) an attestation
that power outages, whether resulting from public safety power shutoff events or for any other reason, will be
included in the emergency plan before being eligible to receive any of this funding. Only special districts with an identified
critical facility or facilities, or providing critical infrastructure, pursuant to the deenergization guidelines adopted by
the Public Utilities Commission, shall be eligible for funding.
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2. |
The Director of Finance, upon notification to the Chairperson of the Joint Legislative Budget Committee, may authorize the
transfer of amounts from this item to Item 0690-001-0001 for governmental purposes related to community power resiliency activities.
The notification shall include: (1) the amount to be transferred, (2)
descriptions of these activities, and (3) the associated costs.
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2.5 |
The Director of Finance, upon notification to the Chairperson of the Joint Legislative Budget Committee, may transfer funds
in this item to any other state entity for state operations or local assistance. The notification shall include: (1) the state
entity to which funds will be transferred, (2) the amount to be transferred, (3) descriptions of the activities to be funded,
and (4) the associated costs.
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3. |
The Office of Emergency Services shall report on the expenditures of the funds appropriated in this item no later than February
1, 2022. The report shall identify how the funds have been used to date, including identifying each project or activity undertaken,
the state or local entity that undertook the project or activity, the amount of state funding provided to the project or activity,
a description of each project or activity, and specific outcomes achieved by each project or activity, including whether the
project or activity was completed and whether it was used.
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0820-001-0001—For support of Department of Justice
........................
|
334,843,000
337,880,000 |
|
Schedule:
|
|
|
(1) |
9900100-Administration
........................
|
143,813,000
144,179,000 |
|
|
(2) |
9900200-Administration—Distributed
........................
|
−143,813,000
−144,179,000 |
|
|
(3) |
0435-Division of Legal Services
........................
|
194,811,000 |
|
|
(4) |
0440-Law Enforcement
........................
|
86,381,000
83,248,000 |
|
|
(5) |
0445-California Justice Information Services
........................
|
98,105,000
99,174,000 |
|
|
(6) |
Reimbursements to 0435-Division of Legal Services
........................
|
−1,342,000 |
|
|
(7) |
Reimbursements to 0440-Law Enforcement
........................
|
−34,929,000
−31,429,000 |
|
|
(8) |
Reimbursements to 0445-California Justice Information Services
........................
|
−8,183,000
−6,582,000 |
|
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Provisions:
|
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1. |
The Attorney General shall submit to the Legislature, the Director of Finance, and the Governor the quarterly and annual reports
that the Attorney General submits to the federal government on the activities of the Medi-Cal Fraud Unit.
|
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2. |
Notwithstanding any other law, the Department of Justice may purchase or lease vehicles of any type or class that, in the
judgment of the Attorney General or the Attorney General’s designee, are necessary to the performance of the investigatory
and enforcement responsibilities of the Department of Justice, from the funds appropriated for that purpose in this item.
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3. |
Of the amount included in Schedule (3), $6,500,000 is available to address new legal workload related to various actions taken
at the federal level, and any litigation related to the CalSavers Retirement Savings Program.
|
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4. |
Of the amount appropriated in Schedule (3), $11,624,000 shall be available to pay claims related to the Erskine wildfire.
Any unencumbered funds shall revert to the General Fund.
|
|
0840-001-0001—For support of the Controller
........................
|
76,857,000 |
|
Schedule:
|
|
|
(1) |
0500-State Controller’s Office
........................
|
141,970,000 |
|
|
(2) |
Reimbursements to 0500-State Controller’s Office
........................
|
−65,113,000 |
|
|
Provisions:
|
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1. |
The Controller may, with the concurrence of the Director of Finance and the Chairperson of the Joint Legislative Budget Committee,
bill affected state departments for activities required by Section 20030 of the State
Administrative Manual, relating to the administration of federal pass-through funds.
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A billing shall not be sent to affected departments sooner than 30 days after the chairperson of the joint committee has been
notified by the director that the director concurs with the amounts specified in the billings.
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2. |
Of the moneys appropriated to the Controller in this act, the Controller shall not expend more than $500,000 to conduct posteligibility
fraud audits of the Supplemental Security Income/State Supplementary Payment Program.
|
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3. |
The Commission on State Mandates shall provide, in applicable parameters and guidelines, as follows:
|
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(a) |
If a local agency or school district contracts with an independent contractor for the preparation and submission of reimbursement
claims, the costs reimbursable by the state for that purpose shall not exceed the lesser of (1) 10 percent of the amount of
the claims prepared and submitted by the independent contractor or (2) the actual costs that would necessarily have been incurred
for that purpose if performed by employees of the local agency or school district.
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(b) |
The maximum amount of reimbursement provided in subdivision (a) may be exceeded only if the local agency or school district
establishes, by appropriate documentation, that the preparation and submission of these claims could not have been accomplished
without incurring the additional costs claimed by the local agency or school district.
|
|
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4. |
The funds appropriated to the Controller in this act shall not be expended for any performance review or performance audit
except pursuant to specific statutory authority. It is the intent of the Legislature that audits conducted by the Controller,
or under the direction of the Controller, shall be fiscal audits that focus on claims and disbursements, as provided for in
Section 12410 of the Government Code. Any report, audit, analysis, or evaluation issued by
the Controller for the current fiscal year shall cite the specific statutory or constitutional provision authorizing the
preparation and release of the report, audit, analysis, or evaluation.
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|
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5. |
The Controller shall publish and provide the Controller’s monthly report, the Statement of General Fund Cash Receipts and
Disbursements, within 10 days after the close of each month to the Joint Legislative Budget Committee, the fiscal committees
of each house of the Legislature, the Department of Finance, the Treasurer, and the Legislative Analyst’s Office.
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6. |
The Controller shall provide to the Department of Finance, the Chairperson of the Joint Legislative Budget
Committee, and the chairpersons of the fiscal committees of each house of the Legislature a report that provides the following
details by mandate: the level of claims requested, the amount reduced by the initial desk audit, the amount paid, the amount
recouped, and the results of a final audit and subsequent funding adjustments. The report is due on June 30 of the current
fiscal year, and will cover the fourth quarter of the past fiscal year and the first three quarters of the current fiscal
year.
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7. |
The Controller shall obtain actuarial valuation services to comply with governmental accounting and reporting standards for
other postemployment benefits (OPEB). In addition to all other items required under the accounting and reporting standards,
the report shall include an identification and explanation of any significant differences in
actuarial assumptions or methodology from any relevant similar types of assumptions or methodology used by the Public
Employees’ Retirement System to estimate state pension obligations. To avoid duplication of effort and promote efficiency
and cost-effectiveness, the Controller and the Department of Finance shall coordinate in obtaining additional actuarial valuation
services related to OPEB plan liabilities and assets attributable to each of the state’s collective bargaining units or other
state entities or groups. This provision does not obligate the state to change the practice of funding health and dental benefits
for annuitants currently required under state law.
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|
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8. |
The funds appropriated to the Controller in this act shall not be expended on additional actuarial valuations, beyond the
annual actuarial valuations, for other
postemployment benefits, prior to obtaining concurrence in writing from the Department of Finance. The additional actuarial
valuations shall only be performed to the extent resources exist, or if funds are provided by the requesting agency.
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9. |
The Controller shall provide the Chairperson of the Joint Legislative Budget Committee and the chairpersons of the fiscal
committees in each house of the Legislature a report on the California State Payroll System specifying the dollars expended
on the program in the previous fiscal year and over the life of the program and any known savings that have occurred in the
prior fiscal year by August 31, 2020.
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|
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10. |
The
Controller shall publish and provide year-end financial data as specified by the Department of Finance, for the immediately
preceding fiscal year, in hardcopy and electronic format, by October 31 of each year and periodically as requested by the
Department of Finance. This information is necessary for the Department of Finance to determine the proper beginning balance
of the current fiscal year for budgetary purposes.
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|
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11. |
In the event new postage rates are adopted by the United States Postal Service, but not in time for inclusion in the May Revision
prior to enactment of this Budget Act and the Controller notifies the Department of Finance with its estimates of the increased
postage costs within 15 calendar days of the adoption of new rates, the Director of Finance may authorize expenditures in
excess of the amount appropriated to the
Controller in this act by an amount necessary to fund the postage increase. This authorization shall occur not less than
15 days after the Department of Finance notifies the Chairperson of the Joint Legislative Budget Committee.
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12. |
Of the amount appropriated in this item, $428,000 shall be used to reimburse the Department of Justice for legal services.
In addition to the amount above, upon order of the Director of Finance, any non-General Fund Budget Act item for support of
the Controller may be augmented to reimburse the Department of Justice for legal services. An augmentation shall not be made
sooner than 30 days after the Joint Legislative Budget Committee has been notified in writing.
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13. |
The Director Department of Finance may reduce the amounts authorized under this item upon (a) successful completion of modifications by the Controller
to the payroll system, and/or by the Public Employees’ Retirement System (CalPERS) to the retirement system (my|CalPERS),
that significantly reduces the number of records that the my|CalPERS system rejects; and/or (b) once the Controller has eliminated
the backlog of Payroll Contribution Report and Retirement Enrollment Report discrepancies between the payroll and retirement
systems, which in turn reduces the Controller workload related to the CalPERS Pension System Resumption. This adjustment shall
be in coordination with the Controller and CalPERS. An adjustment shall not be made pursuant to this provision prior to a
30-day
notification in writing to the Chairperson of the Joint Legislative Budget Committee and the chairpersons of the committees
of each house of the Legislature that consider appropriations.
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14. |
The Controller shall provide the Department of Finance and the Legislative Analyst’s Office a report on the SCO FI$Cal implementation
verifying the progress or completion of predetermined FI$Cal milestones outlined in SPR7 and 8, the dollars expended on the
program in the previous quarter and over the life of the program, and any known savings that have occurred in the prior fiscal
year, to be submitted on a quarterly basis beginning on September 1, 2020, until completion of SPR8.
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15. |
Of the amount appropriated in this item and in Item 0840-001-9740, in the 2020–21 fiscal year and until the 2021–22 fiscal
year, for the California State Payroll System project, the amounts set forth below are available. Any funds not encumbered
by June 30, 2021, for the purposes set forth in this provision shall revert to the General Fund.
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(a) |
Up to $343,000 is available to reimburse CalHR interagency agreement costs.
|
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(b) |
Up to $496,000 is available for data conversion vendor costs.
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(c) |
Up to $310,000 is available for Independent Verification and Validation vendor costs.
|
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(d) |
Up to $145,000 is available to reimburse CDT consulting costs.
|
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(e) |
Up to $75,000 is available for Requirements Management Tool costs.
|
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(f) |
Up to $800,000 is available to contract with a project
management firm.
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(g) |
Up to $867,000 is available to contract with an organizational change management firm.
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(h) |
Upon approval of the Director Department of Finance, the Controller may transfer budget authority among contract amounts specified in this provision. Any transfer
may be authorized pursuant to this provision not sooner than 15 days after notification in writing.
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16. |
The Controller shall provide the Department of Finance a report verifying the progress or completion of CalATERS system replacement
project activities outlined in Project Approval Life Cycle documentation, including the dollars expended on the project in
the previous quarter and over the life of the project, and any known savings that have occurred in the prior fiscal year,
to be submitted on a quarterly basis beginning on July 15, 2020, until completion of the project.
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0890-001-0001—For support of Secretary of State
........................
|
53,351,000 |
|
Schedule:
|
|
|
(1) |
0700-Filings and Registrations
........................
|
1,687,000 |
|
|
(2) |
0705-Elections
........................
|
40,793,000 |
|
|
(3) |
0710-Archives
........................
|
10,369,000 |
|
|
(4) |
0715-Department of Justice Legal Services
........................
|
852,000 |
|
|
(5) |
9900100-Administration
........................
|
36,114,000 |
|
|
(6) |
9900200-Administration—Distributed
........................
|
−36,239,000 |
|
|
(7) |
Reimbursements to 0710—Archives
........................
|
−225,000 |
|
|
Provisions:
|
|
|
1. |
The Secretary of State shall not expend any special handling fees authorized by Chapter 999 of the Statutes of 1999 that are
collected in excess of the cost of administering those special handling fees unless specifically authorized by the Legislature.
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2. |
Of the funds appropriated in this item, $10,618,000 is available for the following election-related activities:
|
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|
|
(a) |
Parallel Monitoring.
|
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|
(b) |
Printing and Mailing of Voter Information Guides.
|
|
|
|
(c) |
Printing and Mailing of Voter Registration Cards.
|
|
|
|
(d) |
Election Night Reporting.
|
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|
|
Any unexpended funds pursuant to this provision shall revert to the General Fund.
|
|
|
3. |
Of the amount appropriated in this item, $2,000,000 shall be used to establish and operate the Office of Elections Cybersecurity.
Activities performed by the Office of Elections Cybersecurity are intended to be specific to elections and shall be designed
so as to minimize overlap and in coordination with statewide cybersecurity efforts performed by the California Cybersecurity
Integration Center.
|
|
|
4. |
Not later than December 1, 2020, the Secretary of State shall submit a report to the Joint Legislative Budget Committee and
to the appropriate fiscal and policy committees of each house of the Legislature that provides a progress update of the online
filing and disclosure system project, including whether the February 2021 deadline pursuant to Section 84602 of the Government
Code will be met.
|
|
0890-001-0890—For support of Secretary of State, payable from the Federal Trust Fund
........................
|
14,134,000 |
|
Schedule:
|
|
|
(1) |
0705-Elections
........................
|
14,134,000 |
|
|
Provisions:
|
|
|
1. |
Funds shall be expended for the purposes approved in the Help America Vote Act of 2002 (42 U.S.C. Sec. 15301 et seq.) spending
plan. The amounts spent on each activity shall not exceed the maximum specified in the spending plan.
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|
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2. |
Notwithstanding any other provision of law, any funds not needed for an activity authorized in the Help America Vote Act of
2002 (42 U.S.C. Sec. 15301 et seq.) spending plan shall not be
redirected to other activities and are not authorized for expenditure.
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3. |
The Secretary of State shall forward to the Department of Finance, the budget, appropriations, and policy committees in each
house of the Legislature that oversee elections, and the Legislative Analyst, each year prior to January 15, until the Statewide
Voter Database is fully implemented, a report on the status of all of the following:
|
|
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(a) |
Poll Monitoring.
|
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(b) |
Expected General Fund exposure for completion of Help America Vote Act of 2002 (42 U.S.C. Sec. 15301 et seq.) compliance,
including expected costs of administration.
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(c) |
Completion of the VoteCal database, including information on the costs associated with the use of contractors and consultants,
the names of the contractors and consultants used, and the purposes for which contractors and consultants were used.
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4. |
The Department of Finance may authorize an increase in the appropriation of this item, up to the total amount of the program
reserve. Any such approval shall be accompanied by the approval of an
amended spending plan submitted by the Secretary of State providing detailed justification for the increased expenses.
An approval of an augmentation or of spending plan amendments shall not be effective sooner than 30 days following the transmittal
of the approval to the Chairperson of the Joint Legislative Budget Committee, or not sooner than whatever lesser time the
chairperson of the joint committee, or his or her designee, may determine.
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|
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5. |
Notwithstanding any other provision of law, any primary vendor contract for the development of a new statewide voter registration
database shall be subject to the notification and other requirements under Section 11.00. The validity of any such contract
shall be contingent upon the appropriation of funds in future budget acts.
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6. |
Upon notification and approval of a spending plan pursuant to Provision 4, the Department of Finance may authorize the transfer
of amounts from this item to Item 0890-101-0890 in order to realign the budget in a manner that is consistent with the approved
plan.
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7. |
County contracts funded by Help America Vote Act of 2002 (42 U.S.C. Sec. 15301 et seq.) federal funds will be available pursuant
to Section 16304.1 of the Government Code.
|
|
0890-101-0890—For local assistance, Secretary of State, payable from the Federal Trust Fund
........................
|
43,064,000
72,246,000 |
|
Schedule:
|
|
|
(1) |
0705-Elections
........................
|
43,064,000
72,246,000 |
|
|
Provisions:
|
|
|
1. |
The Director of Finance may authorize an increase in the appropriation of this item, up to the total amount of the program
reserve. Any such approval shall be accompanied by the approval of an amended spending plan submitted by the Secretary of
State providing detailed justification for the increased expenses. An approval of an augmentation or of spending plan amendments
shall not be effective sooner than 30 days following the transmittal of the approval to the Chairperson of the Joint Legislative
Budget Committee or not sooner than whatever lesser time the chairperson of the joint committee, or the chairperson’s designee,
may determine.
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2. |
Upon notification and approval of a spending plan pursuant to Provision 1, the Director of Finance may authorize the transfer
of amounts from this item to Item 0890-001-0890 in order to realign the budget in a manner that is consistent with the approved
plan.
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3. |
County contracts funded by Help America Vote Act of 2002 (52 U.S.C. Sec. 20901 et seq.) federal funds will be available pursuant
to Section 16304.1 of the Government Code.
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| 4. | Of
the amount appropriated in this item, $36,300,000 shall be used to prevent, prepare for, and respond to the coronavirus for
the 2020 federal election cycle. Upon order of the Director of Finance, the Controller shall transfer amounts from the funding
appropriated in Schedule (1) of this item to Schedule (1) of Item 0890-001-0890 for state-level activities related to protecting
the 2020 elections from the effects of the coronavirus. | |
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4. |
Of the amount appropriated in this item, $65,482,000 shall be used to prevent, prepare for, and respond to the coronavirus
for the 2020 federal election cycle. The Director of Finance, upon notification to the Chairperson of the Joint Legislative
Budget Committee, shall authorize a transfer from the funding appropriated in Schedule (1) of this item to Schedule (1) of
Item 0890-001-0890 for state-level activities related to protecting the 2020 elections from the effects of the coronavirus.
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0950-001-0001—For support of Treasurer
........................
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9,967,000 |
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Schedule:
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(1) |
0740-State Treasurer’s Office
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32,334,000 |
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(2) |
Reimbursements to 0740-State Treasurer’s Office
........................
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−22,367,000 |
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Provisions:
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1. |
The Director of Finance may authorize a loan from the General Fund, in an amount not to exceed the level of reimbursements
appropriated in Schedule (2) to the Treasurer, provided that:
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(a) |
The loan is to meet cash needs resulting from a delay in receipt of reimbursements.
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(b) |
The loan is short term, and is repaid within six months.
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(c) |
Interest charges may be waived pursuant to subdivision (e) of Section 16314 of the Government Code.
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(d) |
The Director of Finance shall not approve the loan unless the approval is made in writing and filed with the Chairperson of
the Joint Legislative Budget Committee and the chairpersons of the committees in each house of the Legislature that consider
appropriations not later than 30 days before the effective date of the approval, or not later than whatever lesser time the
chairperson of the joint committee, or the chairperson’s designee, may determine.
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(e) |
At the end of the six-month term of the loan, the Treasurer shall notify the Chairperson of the Joint Legislative Budget Committee
whether the Treasurer has repaid the loan pursuant to subdivision (b).
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2. |
Notwithstanding any other provision of law, upon certification by the Treasurer, the Department of Finance may authorize expenditures
of up to $1,700,000 in excess of the amount appropriated in this item for the payment of expenses incurred on general obligation
bond, lease-revenue bond, and revenue anticipation note sales that have been canceled. Prior to expenditure from the General
Fund, the Treasurer shall determine if any bond funds are authorized and available for the payment of expenses, and apply
those funds to such payment. The Department of Finance shall provide notification in writing to the chairpersons of the fiscal
committees of each house of the Legislature and the Chairperson of the Joint Legislative Budget Committee no more than 30
days after that authorization.
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BUSINESS, CONSUMER SERVICES, AND HOUSING