S Sub. for HB 2576--Am. by S on FA
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[u2]25,4,10,10][As Amended by Senate on Final Action]
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Session of 1997
SENATE Substitute for HOUSE BILL No. 2576
By Committee on Ways and Means
5-1
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12 AN ACT making and concerning appropriations for the fiscal years ending 13 June 30, 1997, June 30, 1998, and June 30, 1999; authorizing certain 14 transfers and fees, imposing certain restrictions and limitations and 15 directing or authorizing certain receipts, disbursements, capital im- 16 provements and acts incidental to the foregoing; [revising the defi- 17 nition of local effort for school finance purposes;] amending 18 [K.S.A. 72-6417 and K.S.A. 1996 Supp. 72-6410, as amended by 19 section 2 of 1997 House Bill No. 2031, and] section 106 of 1997 20 Senate Substitute for House Bill No. 2160 and repealing the existing 21 section [sections]; also repealing sections 87, 88, 89, 90 and 91 of 22 1997 Senate Substitute for House Bill No. 2160. 23 24 Be it enacted by the Legislature of the State of Kansas: 25 Section 1. (a) For the fiscal years ending June 30, 1997, June 30, 26 1998, and June 30, 1999, appropriations are hereby made, restrictions 27 and limitations are hereby imposed, and transfers, fees, receipts, dis- 28 bursements, and acts incidental to the foregoing are hereby directed or 29 authorized as provided in this act. 30 (b) The agencies named in this act are hereby authorized to initiate 31 and complete the capital improvement projects specified and authorized 32 by this act or for which appropriations are made by this act, subject to 33 the restrictions and limitations imposed by this act. 34 (c) This act shall be known and may be cited as the omnibus appro- 35 priation act of 1997 and shall constitute the omnibus reconciliation spend- 36 ing limit bill for the 1997 regular session of the legislature for purposes 37 of subsection (a) of K.S.A. 1996 Supp. 75-6702 and amendments thereto. 38 (d) The appropriations made by this act shall not be subject to the 39 provisions of K.S.A. 46-155 and amendments thereto. 40 Sec. 2. 41 DEPARTMENT OF REVENUE 42 (a) There is appropriated for the above agency from the state general 43 fund for the fiscal year or years specified, the following: S Sub. for HB 2576--Am. by S on FA
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 1  Operating expenditures
 2    For the fiscal year ending June 30, 1997............................... $100,000
 3    For the fiscal year ending June 30, 1998................................ $25,924
 4  Corporate tax consultant
 5    For the fiscal year ending June 30, 1997............................... $250,000
 6  Provided, That any unencumbered balance in excess of $100 as of June 30, 1997, in the
 7  corporate tax consultant account of the state general fund is hereby reappropriated for fiscal
 8  year 1998.
 9    (b)  On the effective date of this act, the expenditure limitation estab-
10  lished by section 18(c) of 1997 Senate Substitute for House Bill No. 2272
11  on the division of vehicles operating fund is hereby increased from
12  $28,367,837 to $28,867,837.
13    (c)  On July 1, 1997, the expenditure limitation established by section
14  48(b) of 1997 Senate Substitute for House Bill No. 2160 on the division
15  of vehicles operating fund is hereby increased from $28,850,255 to
16  $28,851,728 [$28,866,728].
17    (d)  On July 1, 1997, the expenditure limitation established by section
18  48(b) of 1997 Senate Substitute for House Bill No. 2160 on the salaries
19  and wages account of the division of vehicles operating fund is hereby
20  decreased from $16,830,473 to $16,765,470 [$16,780,470].
21    (e)  On July 1, 1997, the position limitation established by section
22  54(a) of 1997 Senate Substitute for House Bill No. 2160 for the above
23  agency is hereby decreased from 1,190.5 to 1,186.5.
24    (f)  On July 1, 1997, the director of accounts and reports shall transfer
25  $72,329 from the state highway fund of the department of transportation
26  to the division of vehicles operating fund of the department of revenue
27  for the purposes of financing the cost of operation and general expense
28  of the division of vehicles and related operations of the department of
29  revenue.
30    Sec. 3.
31  KANSAS DEPARTMENT OF AGRICULTURE
32    (a)  There is appropriated for the above agency from the following
33  special revenue fund or funds for the fiscal year or years specified, all
34  moneys now or hereafter lawfully credited to and available in such fund
35  or funds, except that expenditures other than refunds authorized by law
36  shall not exceed the following:
37  Warehouse fee fund
38    For the fiscal year ending June 30, 1998............................... $410,105
39  Grain inspection fee fund
40    For the fiscal year ending June 30, 1998............................... No limit
41    (b)  On September 1, 1997, or as soon thereafter as moneys are avail-
42  able, the director of accounts and reports shall transfer $302,715 from
43  the grain inspection fee fund of the Kansas department of agriculture to
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 1  the warehouse fee fund of the Kansas department of agriculture.
 2    (c)  On July 1, 1997, the position limitation established by section 104
 3  of 1997 Senate Substitute for House Bill No. 2160 for the above agency
 4  is hereby increased from 305.8 to 316.8.
 5    Sec. 4.
 6  KANSAS STATE GRAIN INSPECTION DEPARTMENT
 7    (a)  On July 1, 1997, the $34,589 appropriated for the above agency
 8  for the fiscal year ending June 30, 1998, by section 98(a) of 1997 Senate
 9  Substitute for House Bill No. 2160 from the state general fund in the
10  operating expenditures account, is hereby lapsed.
11    (b)  On July 1, 1997, the expenditure limitation established by section
12  98(b) of 1997 Senate Substitute for House Bill No. 2160 on the grain
13  inspection fee fund is hereby decreased from $4,979,101 to $829,850.
14    Sec. 5.
15  KANSAS ANIMAL HEALTH DEPARTMENT
16    (a)  There is appropriated for the above agency from the state general
17  fund for the fiscal year or years specified, the following:
18  Operating expenditures
19    For the fiscal year ending June 30, 1998................................ $22,000
20    (b)  There is appropriated for the above agency from the following
21  special revenue fund or funds for the fiscal year or years specified, all
22  moneys now or hereafter lawfully credited to and available in such fund
23  or funds, except that expenditures other than refunds authorized by law
24  shall not exceed the following:
25  Pseudorabies indemnification fund
26    For the fiscal year ending June 30, 1998................................ $50,000
27    (c)  On July 1, 1997, the director of accounts and reports shall transfer
28  $50,000 from the state general fund to the pseudorabies indemnification
29  fund of the Kansas animal health department.
30    Sec. 6.
31  KANSAS WATER OFFICE
32    (a)  On July 1, 1997, the expenditure limitation established by section
33  102(b) of 1997 Senate Substitute for House Bill No. 2160 on the state
34  water plan fund is hereby increased from $2,449,212 to $2,499,212.
35    (b)  In addition to the other purposes for which expenditures may be
36  made by the above agency from moneys appropriated from the state water
37  plan fund for the fiscal year ending June 30, 1998, as authorized by section
38  102(b) of 1997 Senate Substitute for House Bill No. 2160, or by this or
39  other appropriation act of the 1997 regular session of the legislature,
40  expenditures may be made by the above agency from the moneys appro-
41  priated from the state water plan fund for fiscal year 1998 for preparation
42  of a report on the results of the study by the Kansas water office con-
43  ducted in fiscal year 1998 of the overall direction of programs and activ-
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 1  ities funded from the state water plan fund: Provided, That expenditures
 2  shall be made for the purpose of hiring a consultant to work with the
 3  Kansas water office to conduct the study.
 4    Sec. 7.
 5  DEPARTMENT OF HUMAN RESOURCES
 6    (a)  There is appropriated for the above agency from the state general
 7  fund for the fiscal year or years specified, the following:
 8  Operating expenditures
 9    For the fiscal year ending June 30, 1998............................... $171,292
10    (b)  On the effective date of this act, the expenditure limitation estab-
11  lished by section 23(b) of 1997 Senate Substitute for House Bill No. 2272
12  on the expenditures for the one stop career center system from the one
13  stop career center system fund is hereby increased from $70,000 to
14  $500,000: Provided, That the above agency is directed to collaborate with
15  the state library and develop a plan to place one stop career center sys-
16  tems in libraries through the state: Provided further, That the aforemen-
17  tioned plan will be reviewed and approved by the joint committee on
18  computers and telecommunications: And provided further, That expend-
19  itures for the one stop career center system shall be subject to approval
20  by the state finance council.
21    (c)  On the effective date of this act, the amount of $430,000 author-
22  ized by section 23(c) of 1997 Senate Substitute for House Bill No. 2272
23  to be transferred by the director of accounts and reports from the one
24  stop career center system fund of the department of human resources to
25  the Kansas economic development endowment account of the state ec-
26  onomic development initiatives fund is hereby decreased to $0.
27    (d)  There is appropriated for the above agency from the following
28  special revenue fund or funds for the fiscal year or years specified, all
29  moneys now or hereafter lawfully credited to and available in such fund
30  or funds, except that expenditures other than refunds authorized by law
31  shall not exceed the following:
32  One stop career center system fund
33    For the fiscal year ending June 30, 1998................................ $50,000
34  Provided, That the above agency is directed to collaborate with the state library and develop
35  a plan to place one stop career center systems in libraries throughout the state: Provided
36  further, That the such plan shall be reviewed by the joint committee on computers and
37  telecommunications: And provided further, That expenditures for the one stop career center
38  system from this fund shall be subject to approval by the state finance council acting on this
39  matter which is hereby characterized as a matter of legislative delegation and subject to the
40  guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto.
41    (e)  In addition to the other purposes for which expenditures may be
42  made by the above agency from the special employment security fund
43  for fiscal year 1997, as authorized by section 89(b) of chapter 191 of the
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 1  1996 Session Laws of Kansas, expenditures may be made by the above
 2  agency from the special employment security fund for fiscal year 1997
 3  for mainframe computer merger-related costs: Provided, That expendi-
 4  tures from the special employment security fund for fiscal year 1997 for
 5  mainframe computer merger-related costs shall not exceed $140,000:
 6  Provided further, That all expenditures from the special employment se-
 7  curity fund for fiscal year 1997 for mainframe computer merger-related
 8  costs shall be in addition to any expenditure limitation imposed on the
 9  special employment security fund for fiscal year 1997.
10    (f)  In addition to the other purposes for which expenditures may be
11  made by the above agency from the special employment security fund
12  for fiscal year 1998, as authorized by section 56(b) of 1997 Senate Sub-
13  stitute for House Bill No. 2160, expenditures may be made by the above
14  agency from the special employment security fund for fiscal year 1998
15  for mainframe computer merger-related costs: Provided, That expendi-
16  tures from the special employment security fund for fiscal year 1998 for
17  mainframe computer merger-related costs shall not exceed $260,000:
18  Provided further, That all expenditures from the special employment se-
19  curity fund for fiscal year 1998 for mainframe computer merger-related
20  costs shall be in addition to any expenditure limitation imposed on the
21  special employment security fund for fiscal year 1998: And provided fur-
22  ther, That the above agency shall report to the joint committee on com-
23  puters and telecommunications, on or before October 15, 1997, the status
24  of the mainframe computer merger with the division of information sys-
25  tems and telecommunications of the department of administration and
26  the results of an agency-wide strategic plan for information technology
27  for the department of human resources.
28    (g)  On July 1, 1997, the position limitation established by section 60
29  of 1997 Senate Substitute for House Bill No. 2160 for the above agency
30  is hereby decreased from 1,017.5 to 1,015.5.
31    (h)  On July 1, 1997, the expenditure limitation established by section
32  56(b) of 1997 Senate Substitute for House Bill No. 2160 on the work-
33  men's compensation fee fund is hereby increased from $7,430,014 to
34  $7,445,014.
35    (i)  In addition to the other purposes for which expenditures may be
36  made by the above agency from the state workplace health and safety
37  fund for the fiscal year ending June 30, 1998, as authorized by section
38  56(b) of 1997 Senate Substitute for House Bill No. 2160, expenditures
39  may be made by the above agency from the state workplace health and
40  safety fund for fiscal year 1998 for a state workplace health and safety
41  program in accordance with the contract entered into by the secretary of
42  administration and the secretary of human resources for the secretary of
43  human resources to implement and administer the state workplace health
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 1  and safety program for state employees in accordance with K.S.A. 44-575
 2  and amendments thereto: Provided, That the state workplace health and
 3  safety program implemented and administered by the secretary of human
 4  resources in accordance with and pursuant to such contract with the sec-
 5  retary of administration shall constitute and shall be deemed to be the
 6  state workplace health and safety program for state employees imple-
 7  mented and administered in accordance with K.S.A. 44-575 and amend-
 8  ments thereto for all purposes under law.
 9    Sec. 8.
10  DEPARTMENT ON AGING
11    (a)  In addition to the other purposes for which expenditures may be
12  made by the above agency from the older Americans act--federal fund
13  for the fiscal year ending June 30, 1998, as authorized by section 59(b)
14  of 1997 Senate Substitute for House Bill No. 2160 or this or other ap-
15  propriation act of the 1997 regular session of the legislature, and not-
16  withstanding any provisions in K.S.A. 1996 Supp. 75-5917 and amend-
17  ments thereto and related statutes, expenditures may be made by the
18  above agency from the older Americans act--federal fund for fiscal year
19  1998 pursuant to or for the purposes of any agreement or contract, subject
20  to appropriations therefor, entered into by the secretary of aging with the
21  department of administration to administer the office of the state long-
22  term care ombudsman and to carry out the state long-term care om-
23  budsman program.
24    (b)  On July 1, 1997, of the $115,409,383 appropriated for the above
25  agency for the fiscal year ending June 30, 1998, by section 59(a) of 1997
26  Senate Substitute for House Bill No. 2160 from the state general fund in
27  the long term care account, the sum of $2,569,623 is hereby lapsed.
28    Sec. 9.
29  STATE LIBRARY
30    (a)  There is appropriated for the above agency from the state general
31  fund for the fiscal year or years specified, the following:
32  Operating expenditures
33    For the fiscal year ending June 30, 1998............................... $168,894
34    (b)  On July 1, 1997, the position limitation established by section 70
35  of 1997 Senate Substitute for House Bill No. 2160 for the above agency
36  is hereby increased from 26.0 to 27.5.
37    Sec. 10.
38  KANSAS COMMISSION ON VETERANS AFFAIRS
39    (a)  There is appropriated for the above agency from the following
40  special revenue fund or funds for the fiscal year or years specified, all
41  moneys now or hereafter lawfully credited to and available in such fund
42  or funds, except that expenditures other than refunds authorized by law
43  shall not exceed the following:
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 1  Persian Gulf War veterans health initiative fund
 2    For the fiscal year ending June 30, 1998............................... $100,000
 3  Provided, That the legislature intends that no state general fund resources are to be approved
 4  for the Persian Gulf War veterans health initiative board in future years.
 5    (b)  There is appropriated for the above agency from the state general
 6  fund for the fiscal year or years specified, the following:
 7  Operating expenditures--veterans affairs
 8    For the fiscal year ending June 30, 1998................................ $25,850
 9  Provided, That the above agency shall report to the legislature during the 1998 regular
10  session regarding the performance of the new veterans benefit software.
11  Operating expenditures--Winfield veterans' home
12    For the fiscal year ending June 30, 1998................................ $55,000
13    (c)  On July 1, 1997, the position limitation established by section 60
14  of 1997 Senate Substitute for House Bill No. 2160 for the above agency
15  is hereby increased from 188.8 to 190.8.
16    Sec. 11.
17  BEHAVIORAL SCIENCES REGULATORY BOARD
18    (a)  Notwithstanding the provisions of any other statute, subsections
19    (a)(2)(C) and (a)(8) of K.A.R. 102-2-7 or any other rules and regulations
20  to the contrary, on and after the effective date of this act, no expenditures
21  shall be made from the behavioral sciences regulatory board fee fund for
22  the fiscal year ending June 30, 1997, for any operating expenditures or
23  other expenses for any disciplinary action or other disciplinary activity by
24  the behavioral sciences regulatory board or by any officer or employee of
25  the behavioral sciences regulatory board against any person, who is here-
26  inafter referred to in this subsection as a state supervisor, who is licensed
27  by the behavioral sciences regulatory board as a licensed social worker
28  and who is or was employed by the department of social and rehabilitation
29  services in a position with supervisory responsibility over another person
30  who is licensed by the behavioral sciences regulatory board as a licensed
31  social worker, for any failure by such state supervisor to make any report
32  to the behavioral sciences regulatory board regarding the impaired con-
33  dition of such licensed social worker, who is or was employed by the
34  department of social and rehabilitation services in a position requiring
35  the employee to be a licensed social worker and who was dismissed, de-
36  moted or suspended as a direct result of the impaired condition of such
37  licensed social worker in accordance with K.S.A. 75-2949 through 75-
38  2949f, and amendments thereto, under the Kansas civil service act while
39  under the supervisory responsibility of such state supervisor.
40    (b)  Notwithstanding the provisions of any other statute, subsections
41    (a)(2)(C) and (a)(8) of K.A.R. 102-2-7 or any other rules and regulations
42  to the contrary, on and after July 1, 1997, no expenditures shall be made
43  from the behavioral sciences regulatory board fee fund for the fiscal year
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 1  ending June 30, 1998, for any operating expenditures or other expenses
 2  for any disciplinary action or other disciplinary activity by the behavioral
 3  sciences regulatory board or by any officer or employee of the behavioral
 4  sciences regulatory board against any person, who is hereinafter referred
 5  to in this subsection as a state supervisor, who is licensed by the behavioral
 6  sciences regulatory board as a licensed social worker and who is or was
 7  employed by the department of social and rehabilitation services in a
 8  position with supervisory responsibility over another person who is li-
 9  censed by the behavioral sciences regulatory board as a licensed social
10  worker, for any failure by such state supervisor to make any report to the
11  behavioral sciences regulatory board regarding the impaired condition of
12  such licensed social worker, who is or was employed by the department
13  of social and rehabilitation services in a position requiring the employee
14  to be a licensed social worker and who was dismissed, demoted or sus-
15  pended as a direct result of the impaired condition of such licensed social
16  worker in accordance with K.S.A. 75-2949 through 75-2949f, and amend-
17  ments thereto, under the Kansas civil service act while under the super-
18  visory responsibility of such state supervisor.
19    (c)  Notwithstanding the provisions of any other statute, subsections
20    (a)(2)(C) and (a)(8) of K.A.R. 102-2-7 or any other rules and regulations
21  to the contrary, no expenditures shall be made from the behavioral sci-
22  ences regulatory board fee fund for the fiscal year ending June 30, 1999,
23  for any operating expenditures or other expenses for any disciplinary ac-
24  tion or other disciplinary activity by the behavioral sciences regulatory
25  board or by any officer or employee of the behavioral sciences regulatory
26  board against any person, who is hereinafter referred to in this subsection
27  as a state supervisor, who is licensed by the behavioral sciences regulatory
28  board as a licensed social worker and who is or was employed by the
29  department of social and rehabilitation services in a position with super-
30  visory responsibility over another person who is licensed by the behavioral
31  sciences regulatory board as a licensed social worker, for any failure by
32  such state supervisor to make any report to the behavioral sciences reg-
33  ulatory board regarding the impaired condition of such licensed social
34  worker, who is or was employed by the department of social and reha-
35  bilitation services in a position requiring the employee to be a licensed
36  social worker and who was dismissed, demoted or suspended as a direct
37  result of the impaired condition of such licensed social worker in accor-
38  dance with K.S.A. 75-2949 through 75-2949f, and amendments thereto,
39  under the Kansas civil service act while under the supervisory responsi-
40  bility of such state supervisor.
41    Sec. 12.
42  KANSAS HUMAN RIGHTS COMMISSION
43    (a)  There is appropriated for the above agency from the state general
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 1  fund for the fiscal year or years specified, the following:
 2  Operating expenditures
 3    For the fiscal year ending June 30, 1998................................. $5,368
 4    Sec. 13.
 5  LEGISLATURE
 6    (a)  There is appropriated for the above agency from the state general
 7  fund for the fiscal year or years specified, the following:
 8  Operations (including official hospitality)
 9    For the fiscal year ending June 30, 1998................................ $40,541
10    Sec. 14.
11  LEGISLATIVE COORDINATING COUNCIL
12    (a)  There is appropriated for the above agency from the state general
13  fund for the fiscal year or years specified, the following:
14  Evaluation of closure of state hospitals
15    For the fiscal year ending June 30, 1998................................ $49,481
16  Provided, That any unencumbered balance in the evaluation of closure of state hospitals
17  account in excess of $100 as of June 30, 1997, is hereby reappropriated for fiscal year 1998.
18    Sec. 15.  (a) On and after June 15, 1997, in addition to the other
19  purposes for which expenditures may be made by the governor's depart-
20  ment from the governor's department account of the state general fund
21  for the fiscal year ending June 30, 1998, expenditures shall be made by
22  the governor's department from the governor's department account of
23  the state general fund for fiscal year 1998 for an additional amount of
24  biweekly compensation for the governor equal to $156.42 per biweekly
25  pay period: Provided, That expenditures for such purpose shall be made
26  in the same manner and at the same times that biweekly compensation
27  is payable to the governor for the biweekly pay periods which commence
28  on or after June 15, 1997, and which are chargeable to fiscal year 1998.
29    (b)  On and after June 15, 1997, in addition to the other purposes for
30  which expenditures may be made by the lieutenant governor from the
31  operations account of the state general fund for the fiscal year ending
32  June 30, 1998, expenditures shall be made by the lieutenant governor
33  from the operations account of the state general fund for fiscal year 1998
34  for an additional amount of biweekly compensation for the lieutenant
35  governor equal to $44.25 per biweekly pay period: Provided, That ex-
36  penditures for such purpose shall be made in the same manner and at
37  the same times that biweekly compensation is payable to the lieutenant
38  governor for the biweekly pay periods which commence on or after June
39  15, 1997, and which are chargeable to fiscal year 1998.
40    (c)  On and after June 15, 1997, in addition to the other purposes for
41  which expenditures may be made by the secretary of state from the op-
42  erating expenditures account of the state general fund for the fiscal year
43  ending June 30, 1998, expenditures shall be made by the secretary of
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 1  state from the operating expenditures account of the state general fund
 2  for fiscal year 1998 for an additional amount of biweekly compensation
 3  for the secretary of state equal to $121.51 per biweekly pay period: Pro-
 4  vided, That expenditures for such purpose shall be made in the same
 5  manner and at the same times that biweekly compensation is payable to
 6  the secretary of state for the biweekly pay periods which commence on
 7  or after June 15, 1997, and which are chargeable to fiscal year 1998.
 8    (d)  On and after June 15, 1997, in addition to the other purposes for
 9  which expenditures may be made by the attorney general from the op-
10  erating expenditures account of the state general fund for the fiscal year
11  ending June 30, 1998, expenditures shall be made by the attorney general
12  from the operating expenditures account of the state general fund for
13  fiscal year 1998 for an additional amount of biweekly compensation for
14  the attorney general equal to $139.75 per biweekly pay period: Provided,
15  That expenditures for such purpose shall be made in the same manner
16  and at the same times that biweekly compensation is payable to the at-
17  torney general for the biweekly pay periods which commence on or after
18  June 15, 1997, and which are chargeable to fiscal year 1998.
19    (e)  On and after June 15, 1997, in addition to the other purposes for
20  which expenditures may be made by the state treasurer from the oper-
21  ating expenditures account of the state general fund for the fiscal year
22  ending June 30, 1998, expenditures shall be made by the state treasurer
23  from the operating expenditures account of the state general fund for
24  fiscal year 1998 for an additional amount of biweekly compensation for
25  the state treasurer equal to $121.51 per biweekly pay period: Provided,
26  That expenditures for such purpose shall be made in the same manner
27  and at the same times that biweekly compensation is payable to the state
28  treasurer for the biweekly pay periods which commence on or after June
29  15, 1997, and which are chargeable to fiscal year 1998.
30    (f)  On and after June 15, 1997, in addition to the other purposes for
31  which expenditures may be made by the insurance department from the
32  insurance department service regulation fund for the fiscal year ending
33  June 30, 1998, expenditures shall be made by the insurance department
34  from the insurance department service regulation fund for fiscal year
35  1998 for an additional amount of biweekly compensation for the com-
36  missioner of insurance equal to $121.51 per biweekly pay period: Pro-
37  vided, That expenditures for such purpose shall be made in the same
38  manner and at the same times that biweekly compensation is payable to
39  the commissioner of insurance for the biweekly pay periods which com-
40  mence on or after June 15, 1997, and which are chargeable to fiscal year
41  1998.
42    (g) (1)  In addition to the other purposes for which expenditures may
43  be made by each state agency from appropriations made for the fiscal
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 1  year ending June 30, 1998, expenditures shall be made by each state
 2  agency from the appropriations made for fiscal year 1998 for an additional
 3  amount of per diem compensation equal to $3.29 per calendar day for
 4  each member of a board for any calendar day occurring on or after June
 5  15, 1997, for which per diem compensation is payable to such member
 6  of a board under K.S.A. 75-3212 or 75-3223 and amendments thereto at
 7  the rate prescribed by subsection (a) of K.S.A. 46-137a and amendments
 8  thereto: Provided, That expenditures for such purpose shall be made in
 9  the same manner and at the same times that per diem compensation is
10  payable to such member of a board for the biweekly pay periods for which
11  such per diem compensation for calendar days occurring on or after June
12  15, 1997, is payable and which are chargeable to fiscal year 1998.
13    (2)  As used in this subsection (g), (A) ``state agency'' means any state
14  agency of the executive branch of state government (i) which has appro-
15  priations made for the fiscal year ending June 30, 1998, by 1997 Senate
16  Substitute for House Bill No. 2160, this act or any other appropriation
17  act of the 1997 regular session of the legislature, and (ii) which is, or
18  which makes expenditures for, any board; and
19    (B)  ``board'' means any board, commission, committee, task force,
20  panel or other body in the executive branch of state government, includ-
21  ing any advisory body, having one or more members who are entitled to
22  receive per diem compensation for attendance at meetings of such body,
23  or attendance at meetings authorized by such body of a subcommittee or
24  other subsidiary group of such body, as provided in K.S.A. 75-3212 or
25  75-3223 and amendments thereto at the rate prescribed by subsection (a)
26  of K.S.A. 46-137a and amendments thereto.
27    (h)  In addition to the other purposes for which expenditures may be
28  made by the Kansas turnpike authority for the period commencing June
29  15, 1997, and ending June 30, 1998, expenditures shall be made by the
30  Kansas turnpike authority for such period for an additional amount of per
31  diem compensation equal to $3.29 per calendar day for each member of
32  Kansas turnpike authority for any calendar day occurring on or after June
33  15, 1997, for which per diem compensation is payable to such member
34  under K.S.A. 68-2003 and amendments thereto who is entitled, in accor-
35  dance with K.S.A. 75-3223 and amendments thereto, to receive such per
36  diem compensation as provided in K.S.A. 75-3212 and amendments
37  thereto at the rate prescribed by subsection (a) of K.S.A. 46-137a and
38  amendments thereto: Provided, That expenditures for such purpose shall
39  be made in the same manner and at the same times that per diem com-
40  pensation is payable to such member of the Kansas turnpike authority for
41  the appropriate pay periods for which such per diem compensation for
42  calendar days occurring on or after June 15, 1997, and prior to July 1,
43  1998, is payable by the Kansas turnpike authority.
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 1    (i)  In addition to the other purposes for which expenditures may be
 2  made by the legislature from the operations (including official hospitality)
 3  account of the state general fund for the fiscal year ending June 30, 1998,
 4  expenditures shall be made by the legislature from the operations (in-
 5  cluding official hospitality) account of the state general fund for fiscal year
 6  1998 (1) for an additional amount of per diem compensation equal to
 7  $3.29 per calendar day for service at the regular session or any special
 8  session of the legislature occurring on or after June 15, 1997, for each
 9  member of the legislature, and (2) for an additional amount of per diem
10  compensation equal to $3.29 per calendar day for each member of the
11  legislature and for any other public officer or person for any calendar day
12  occurring on or after June 15, 1997, for which per diem compensation is
13  payable from appropriations for the legislature to such member of the
14  legislature, public officer or person under K.S.A. 75-3212 or 75-3223 and
15  amendments thereto at the rate prescribed by subsection (a) of K.S.A.
16  46-137a and amendments thereto: Provided, That expenditures for such
17  purposes shall be made in the same manner and at the same times that
18  per diem compensation is payable to such members of the legislature,
19  public officials and persons for the biweekly pay periods for which such
20  per diem compensation for calendar days occurring on or after June 15,
21  1997, is payable and which are chargeable to fiscal year 1998.
22    (j)  On and after June 15, 1997, in addition to the other purposes for
23  which expenditures may be made by the legislature from the operations
24  (including official hospitality) account of the state general fund for the
25  fiscal year ending June 30, 1998, expenditures shall be made by the leg-
26  islature from the operations (including official hospitality) account of the
27  state general fund for fiscal year 1998 for an additional amount of bi-
28  weekly compensation for the following legislative officers as follows:   (1)
29  For the president of the senate and the speaker of the house of repre-
30  sentatives equal to $20.13 per biweekly pay period for services performed
31  in connection with discharging the duties assigned to the respective po-
32  sitions, (2) for the speaker pro tem of the house of representatives, the
33  vice president of the senate, the assistant majority leaders of the senate
34  and house of representatives, and the assistant minority leaders of the
35  senate and house of representatives equal to $10.28 per biweekly pay
36  period for services performed in connection with discharging the duties
37  assigned to the respective positions, (3) for the chairperson of the senate
38  committee on ways and means and the chairperson of the house of rep-
39  resentatives committee on appropriations equal to $16.19 per biweekly
40  pay period for services performed in connection with discharging the
41  duties assigned to the respective positions, (4) for the majority leaders of
42  the senate and house of representatives equal to $18.16 per biweekly pay
43  period for services performed in connection with discharging the duties
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 1  assigned to the respective positions, and (5) the minority leaders of the
 2  senate and house of representatives equal to $18.16 per biweekly pay
 3  period for services performed in connection with discharging the duties
 4  assigned to the respective positions: Provided, That expenditures for such
 5  purpose shall be made in the same manner and at the same times that
 6  biweekly compensation is payable to such legislative officers under K.S.A.
 7  46-137b and amendments thereto for the biweekly pay periods which
 8  commence on or after June 15, 1997, and which are chargeable to fiscal
 9  year 1998.
10    (k)  In addition to the other purposes for which expenditures may be
11  made by the legislative coordinating council from the legislative coordi-
12  nating council-operations account of the state general fund for the fiscal
13  year ending June 30, 1998, expenditures shall be made by the legislative
14  coordinating council from the legislative coordinating council-operations
15  account of the state general fund for fiscal year 1998 for an additional
16  amount of per diem compensation equal to $3.29 per calendar day for
17  each member of the legislative coordinating council for any calendar day
18  occurring on or after June 15, 1997, for which per diem compensation is
19  payable from appropriations for the legislative coordinating council under
20  K.S.A. 46-1209 and amendments thereto to such member as provided in
21  K.S.A. 75-3212 and amendments thereto at the rate prescribed by sub-
22  section (a) of K.S.A. 46-137a and amendments thereto: Provided, That
23  expenditures for such purposes shall be made in the same manner and
24  at the same times that per diem compensation is payable to such members
25  of the legislative coordinating council for the biweekly pay periods for
26  which such per diem compensation is payable for calendar days occurring
27  on or after June 15, 1997, and which are chargeable to fiscal year 1998.
28    (l)  In addition to the other purposes for which expenditures may be
29  made by the division of post audit from the operations (including legis-
30  lative post audit committee) account of the state general fund for the
31  fiscal year ending June 30, 1998, expenditures shall be made by the di-
32  vision of post audit from the operations (including legislative post audit
33  committee) account of the state general fund for fiscal year 1998 (1) for
34  an additional amount of per diem compensation equal to $3.29 per cal-
35  endar day for each member of the legislative post audit committee for
36  any calendar day occurring on or after June 15, 1997, for which per diem
37  compensation is payable from appropriations for the division of post audit
38  under K.S.A. 46-1104 and amendments thereto to such member as pro-
39  vided in K.S.A. 75-3212 and amendments thereto at the rate prescribed
40  by subsection (a) of K.S.A. 46-137a and amendments thereto, and (2) for
41  an additional amount of per diem compensation equal to $3.29 per cal-
42  endar day for each member of the contract audit committee for any cal-
43  endar day occurring on or after June 15, 1997, for which per diem com-
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14

 1  pensation is payable from appropriations for the division of post audit
 2  under K.S.A. 46-1120 and amendments thereto to such member as pro-
 3  vided in K.S.A. 75-3223 and amendments thereto at the rate prescribed
 4  by subsection (a) of K.S.A. 46-137a and amendments thereto: Provided,
 5  That expenditures for such purposes shall be made in the same manner
 6  and at the same times that per diem compensation is payable to such
 7  members of the legislative post audit committee or contract audit com-
 8  mittee for the biweekly pay periods for which such per diem compensa-
 9  tion is payable for calendar days occurring on or after June 15, 1997, and
10  which are chargeable to fiscal year 1998.
11    (m)  In addition to the other purposes for which expenditures may be
12  made by the judicial branch from the judiciary operations account of the
13  state general fund for the fiscal year ending June 30, 1998, expenditures
14  shall be made by the judicial branch from the judiciary operations account
15  of the state general fund for fiscal year 1998 (1) for an additional amount
16  of per diem compensation equal to $3.29 per calendar day for each mem-
17  ber of the advisory council on dispute resolution for any calendar day
18  occurring on or after June 15, 1997, for which per diem compensation is
19  payable to such member of the advisory council on dispute resolution
20  under K.S.A. 5-505 and amendments thereto who is entitled, in accor-
21  dance with subsection (e) of K.S.A. 75-3223 and amendments thereto, to
22  receive such per diem compensation as provided in K.S.A. 75-3212 and
23  amendments thereto at the rate prescribed by subsection (a) of K.S.A.
24  46-137a and amendments thereto; and (2) for an additional amount of
25  per diem compensation equal to $3.29 per calendar day for each retired
26  justice or judge who performs judicial service or duties under K.S.A. 20-
27  2616 and amendments thereto for each calendar day occurring on or after
28  June 15, 1997, for which per diem compensation is payable to such retired
29  justice or judge under K.S.A. 20-2616 and amendments thereto: Pro-
30  vided, That expenditures for such purposes shall be made in the same
31  manner and at the same times that per diem compensation is payable to
32  such members of the advisory council on dispute resolution or to such
33  retired justices or judges for the biweekly pay periods for which such per
34  diem compensation for calendar days occurring on or after June 15, 1997,
35  is payable and which are chargeable to fiscal year 1998.
36    (n)  In addition to the other purposes for which expenditures may be
37  made by the judicial council from the operating expenditures account of
38  the state general fund for the fiscal year ending June 30, 1998, expendi-
39  tures shall be made by the judicial council from the operating expendi-
40  tures account of the state general fund for fiscal year 1998 for an addi-
41  tional amount of per diem compensation equal to $3.29 per calendar day
42  for each member of the judicial council and for each regularly appointed
43  member of a special committee of the judicial council who is not a mem-
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 1  ber of the judicial council for any calendar day occurring on or after June
 2  15, 1997, for which per diem compensation is payable to such member
 3  of the judicial council or a special committee thereof under K.S.A. 20-
 4  2206 and amendments thereto at the rate of compensation as provided
 5  in K.S.A. 75-3212 and amendments thereto: Provided, That expenditures
 6  for such purposes shall be made in the same manner and at the same
 7  times that per diem compensation is payable to such members of the
 8  judicial council or special committees thereof for the biweekly pay periods
 9  for which such per diem compensation for calendar days occurring on or
10  after June 15, 1997, is payable and which are chargeable to fiscal year
11  1998.
12    Sec. 16.
13  DEPARTMENT OF WILDLIFE AND PARKS
14    (a)  There is appropriated for the above agency from the state general
15  fund for the fiscal year or years specified, the following:
16  Implementation of 1997 House Bill No. 2361
17    For the fiscal year ending June 30, 1998................................ $25,000
18  Provided, That the secretary of wildlife and parks shall submit a report to the 1998 legislature
19  specifying the expenditures made from this account, or any other moneys available therefor,
20  to implement 1997 House Bill No. 2361 and specifying the recovery plans for threatened
21  and endangered species developed during fiscal year 1998.
22    (b)  On July 1, 1997, of the $3,855,010 appropriated for the above
23  agency for the fiscal year ending June 30, 1998, by section 103(a) of 1997
24  Senate Substitute for House Bill No. 2160 from the state general fund in
25  the operating expenditures account, the sum of $3,461 is hereby lapsed.
26    (c)  On July 1, 1997, the expenditure limitation established by section
27  103(b) of 1997 Senate Substitute for House Bill No. 2160 on the Prairie
28  spirit rails-to-trails fee fund is hereby increased from $2,000 to No limit.
29    (d)  On the effective date of this act, of the amount of the unencum-
30  bered balance in the oper exp--land acquisition account of the water plan
31  special revenue fund appropriated for the department of wildlife and
32  parks for the fiscal year ending June 30, 1997, by section 144(j) of chapter
33  191 of the 1996 Session Laws of Kansas, the sum of $55,833 is hereby
34  lapsed. On the effective date of this act, the director of accounts and
35  reports shall transfer $55,833 from the water plan special revenue fund
36  of the department of wildlife and parks to the state water plan fund of
37  the Kansas water office.
38    Sec. 17.
39  ADJUTANT GENERAL
40    (a)  There is appropriated for the above agency from the state general
41  fund for the fiscal year or years specified, the following:
42  Operating expenditures
43    For the fiscal year ending June 30, 1997................................ $32,101
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 1    For the fiscal year ending June 30, 1998................................ $20,597
 2    Sec. 18.
 3  KANSAS HIGHWAY PATROL
 4    (a)  In addition to the other purposes for which expenditures may be
 5  made by the above agency from the motor carrier inspection fund for the
 6  fiscal year ending June 30, 1997, moneys may be expended by the above
 7  agency from the motor carrier inspection fund during fiscal year 1997 for
 8  the following capital improvement project or projects, subject to the ex-
 9  penditure limitations prescribed therefor:
10    Construct freight elevator at KHP training center...................... $145,000
11  Provided, That all expenditures from each such capital improvement account shall be in
12  addition to any expenditure limitation imposed on the motor carrier inspection fund for
13  fiscal year 1997.
14    Sec. 19.
15  KANSAS SENTENCING COMMISSION
16    (a)  There is appropriated for the above agency from the state general
17  fund for the fiscal year or years specified, the following:
18  Operating expenditures
19    For the fiscal year ending June 30, 1997................................ $45,770
20    Sec. 20.
21  EMPORIA STATE UNIVERSITY
22    (a)  There is appropriated for the above agency from the state general
23  fund for the fiscal year or years specified, the following:
24  Operating expenditures (including official hospitality)
25    For the fiscal year ending June 30, 1998................................. $3,240
26    (b)  On the effective date of this act, of the $250,563 appropriated for
27  the above agency for the fiscal year ending June 30, 1997, by section 31(a)
28  of 1997 Senate Substitute for House Bill No. 2272 from the state general
29  fund in the operating expenditures (including official hospitality) account,
30  the sum of $19,419 is hereby lapsed.
31    (c)  On the effective date of this act, the expenditure limitation estab-
32  lished by section 31(b) of 1997 Senate Substitute for House Bill No. 2272
33  on the general fees fund is hereby increased from $7,896,991 to
34  $7,916,410.
35    Sec. 21.
36  FORT HAYS STATE UNIVERSITY
37    (a)  There is appropriated for the above agency from the state general
38  fund for the fiscal year or years specified, the following:
39  Operating expenditures (including official hospitality)
40    For the fiscal year ending June 30, 1997............................... $155,036
41    For the fiscal year ending June 30, 1998............................... $135,568
42    (b)  On the effective date of this act, the expenditure limitation estab-
43  lished by section 30(b) of 1997 Senate Substitute for House Bill No. 2272
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 1  on the general fees fund is hereby decreased from $7,957,638 to
 2  $7,802,602.
 3    (c)  On July 1, 1997, the expenditure limitation established by section
 4  71(b) of 1997 Senate Substitute for House Bill No. 2160 on the general
 5  fees fund is hereby decreased from $7,813,299 to $7,677,731.
 6    (d)  On the effective date of this act, the $65,675 appropriated for the
 7  above agency for the fiscal year ending June 30, 1997, by section 30(a) of
 8  1997 Senate Substitute for House Bill No. 2272 from the state general
 9  fund in the operating expenditures (including official hospitality) account,
10  is hereby lapsed.
11    (e)  There is appropriated for the above agency from the following
12  special revenue fund or funds for the fiscal year or years specified, all
13  moneys now or hereafter lawfully credited to and available in such fund
14  or funds, except that expenditures other than refunds authorized by law
15  shall not exceed the following:
16  Sternberg museum--EDIF fund
17    For the fiscal year ending June 30, 1998............................... $250,000
18  Provided, That all expenditures from the Sternberg museum--EDIF fund shall be matched
19  on a $1 for $1 basis from private or other nonstate funding sources: Provided further, That,
20  for the purposes of funding the Sternberg museum under the servicing new buildings for-
21  mula, the university shall develop a report which makes a reasonable division between the
22  amount of gross square footage of the building devoted to academic learning and the amount
23  devoted to tourism: And provided further, That only the gross square footage of the building
24  devoted to academic learning shall be used by the university in the budgeting calculation
25  for funding under the servicing new buildings formula: And provided further, That the
26  university shall make a presentation to the state finance council on the reasonable division
27  of gross square footage of the building: And provided further, That no expenditures shall
28  be made from this fund except upon approval by the state finance council acting on this
29  matter which is hereby characterized as a matter of legislative delegation and subject to the
30  guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto and
31  acting after receipt of such report.
32    (f)  On July 15, 1997, or as soon thereafter as moneys are available,
33  the director of accounts and reports shall transfer $250,000 from the
34  Kansas economic development endowment account of the state economic
35  development initiatives fund of the department of commerce and housing
36  to the Sternberg museum--EDIF fund of Fort Hays state university.
37    Sec. 22.
38  PITTSBURG STATE UNIVERSITY
39    (a)  There is appropriated for the above agency from the state general
40  fund for the fiscal year or years specified, the following:
41  Operating expenditures (including official hospitality)
42    For the fiscal year ending June 30, 1997................................ $58,675
43    For the fiscal year ending June 30, 1998............................... $131,266
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 1    (b)  On the effective date of this act, the expenditure limitation estab-
 2  lished by section 32(c) of 1997 Senate Substitute for House Bill No. 2272
 3  on the general fees fund is hereby decreased from $9,998,736 to
 4  $9,940,061.
 5    (c)  On July 1, 1997, the expenditure limitation established by section
 6  76(b) of 1997 Senate Substitute for House Bill No. 2160 on the general
 7  fees fund is hereby decreased from $10,039,191 to $9,909,269.
 8    Sec. 23.
 9  KANSAS STATE UNIVERSITY--SALINA, COLLEGE OF TECHNOLOGY
10    (a)  There is appropriated for the above agency from the state general
11  fund for the fiscal year or years specified, the following:
12  Operating expenditures (including official hospitality)
13    For the fiscal year ending June 30, 1997................................ $24,736
14    (b)  On the effective date of this act, the expenditure limitation estab-
15  lished by section 34(b) of 1997 Senate Substitute for House Bill No. 2272
16  on the general fees fund is hereby decreased from $908,568 to $883,832.
17    Sec. 24.
18  KANSAS STATE UNIVERSITY
19    (a)  On July 1, 1997, of the $91,502,767 appropriated for the above
20  agency for the fiscal year ending June 30, 1998, by section 72(a) of 1997
21  Senate Substitute for House Bill No. 2160 from the state general fund in
22  the operating expenditures (including official hospitality) account, the
23  sum of $34,732 is hereby lapsed.
24    (b)  On July 1, 1997, the expenditure limitation established by section
25  72(b) of 1997 Senate Substitute for House Bill No. 2160 on the general
26  fees fund is hereby increased from $39,658,501 to $40,517,732.
27    Sec. 25.
28  UNIVERSITY OF KANSAS
29    (a)  On July 1, 1997, of the $110,872,707 appropriated for the above
30  agency for the fiscal year ending June 30, 1998, by section 77(a) of 1997
31  Senate Substitute for House Bill No. 2160 from the state general fund in
32  the operating expenditures (including official hospitality) account, the
33  sum of $21,380 is hereby lapsed.
34    (b)  On July 1, 1997, of the $5,461,831 appropriated for the above
35  agency for the fiscal year ending June 30, 1998, by section 77(a) of 1997
36  Senate Substitute for House Bill No. 2160 from the state general fund in
37  the geological survey account, the sum of $32,645 is hereby lapsed.
38    (c)  On July 1, 1997, the expenditure limitation established by section
39  77(b) of 1997 Senate Substitute for House Bill No. 2160 on the general
40  fees fund is hereby increased from $71,481,865 to $71,621,799.
41    (d)  On the effective date of this act, the expenditure limitation estab-
42  lished by section 35(d) of 1997 Senate Substitute for House Bill No. 2272
43  on the general fees fund is hereby increased from $68,658,055 to
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 1  $68,764,613.
 2    Sec. 26.
 3                                         KANSAS STATE UNIVERSITY EXTENSION SYSTEMS
 4  AND AGRICULTURAL RESEARCH PROGRAMS
 5    (a)  On the effective date of this act, of the $14,782,439 appropriated
 6  for the above agency for the fiscal year ending June 30, 1997, by section
 7  97(a) of chapter 191 of the 1996 Session Laws of Kansas from the state
 8  general fund in the cooperative extension service (including official hos-
 9  pitality) account, the sum of $340,648 is hereby lapsed.
10    (b)  On July 1, 1997, of the $15,871,312 appropriated for the above
11  agency for the fiscal year ending June 30, 1998, by section 73(a) of 1997
12  Senate Substitute for House Bill No. 2160 from the state general fund in
13  the cooperative extension service (including official hospitality) account,
14  the sum of $340,648 is hereby lapsed.
15    (c)  On July 1, 1997, of the $25,518,587 appropriated for the above
16  agency for the fiscal year ending June 30, 1998, by section 73(a) of 1997
17  Senate Substitute for House Bill No. 2160 from the state general fund in
18  the agricultural experiment stations (including official hospitality) ac-
19  count, the sum of $53,637 is hereby lapsed.
20    (d)  On the effective date of this act, the expenditure limitation estab-
21  lished by section 97(b) of chapter 191 of the 1996 Session Laws of Kansas
22  on the federal extension fund is hereby increased from $4,108,031 to
23  $4,448,679.
24    (e)  On July 1, 1997, the expenditure limitation established by section
25  73(b) of 1997 Senate Substitute for House Bill No. 2160 on the federal
26  extension fund is hereby increased from $4,108,031 to $4,448,679.
27    (f)  On July 1, 1997, the expenditure limitation established by section
28  73(b) of 1997 Senate Substitute for House Bill No. 2160 on the federal
29  experimental station fund is hereby increased from $3,106,303 to
30  $3,203,820.
31    (g)  On July 1, 1997, of the $714,139 appropriated for the above
32  agency for the fiscal year ending June 30, 1998, by section 73(a) of 1997
33  Senate Substitute for House Bill No. 2160 from the state general fund in
34  the operating expenditures (including official hospitality) account, the
35  sum of $21,514 is hereby lapsed.
36    Sec. 27.
37  WICHITA STATE UNIVERSITY
38    (a)  On July 1, 1997, of the $56,049,853 appropriated for the above
39  agency for the fiscal year ending June 30, 1998, by section 79(a) of 1997
40  Senate Substitute for House Bill No. 2160 from the state general fund in
41  the operating expenditures (including official hospitality) account, the
42  sum of $19,110 is hereby lapsed.
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 1    Sec. 28.
 2  DEPARTMENT OF SOCIAL AND REHABILITATION SERVICES
 3    (a)  On the effective date of this act, the position limitation established
 4  by section 117 of chapter 191 of the 1996 Session Laws of Kansas for the
 5  above agency is hereby increased from 4,680.7 to 4,694.7.
 6    (b)  On July 1, 1997, the position limitation established by section
 7  63(a) of 1997 Senate Substitute for House Bill No. 2160 for the above
 8  agency is hereby increased from 4,116.8 to 4,283.3.
 9    (c)  On July 1, 1997, the expenditure limitation established by section
10  61(b) of 1997 Senate Substitute for House Bill No. 2160 on the state
11  operations account of the social services clearing fund is hereby increased
12  from $232,772,014 to $236,808,537.
13    (d)  On July 1, 1997, of the $41,313,123 appropriated for the above
14  agency for the fiscal year ending June 30, 1998, by section 61(a) of 1997
15  Senate Substitute for House Bill No. 2160 from the state general fund in
16  the cash assistance account, the sum of $720,000 is hereby lapsed.
17    (e)  On July 1, 1997, of the $154,336,670 appropriated for the above
18  agency for the fiscal year ending June 30, 1998, by section 61(a) of 1997
19  Senate Substitute for House Bill No. 2160 from the state general fund in
20  the other medical assistance account, the sum of $7,638,869 is hereby
21  lapsed.
22    (f)  On the effective date of this act, of the $90,601,822 appropriated
23  for the above agency for the fiscal year ending June 30, 1997, by section
24  115(a) of chapter 191 of the 1996 Session Laws of Kansas from the state
25  general fund in the state operations account, the sum of $126,961 is
26  hereby lapsed.
27    (g)  There is appropriated for the above agency from the state general
28  fund for the fiscal year or years specified, the following:
29  State operations
30    For the fiscal year ending June 30, 1998............................... $126,961
31  State hospital closure
32    For the fiscal year ending June 30, 1998............................... $279,650
33  Adult care homes
34    For the fiscal year ending June 30, 1998............................... $359,497
35  Any unencumbered balance in excess of $100 as of June 30, 1997, in each of the following
36  accounts is hereby reappropriated for fiscal year 1998:  Community based services.
37    (h)  On July 1, 1997, of the $10,089,104 appropriated for the above
38  agency for the fiscal year ending June 30, 1998, by section 61(a) of 1997
39  Senate Substitute for House Bill No. 2160 from the state general fund in
40  the community based services account, the sum of $2,455,503 is hereby
41  lapsed.
42    (i)  On the effective date of this act, the expenditure limitation estab-
43  lished by section 22(h) of 1997 Senate Substitute for House Bill No. 2272
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21

 1  on the juvenile detention facilities fund is hereby increased from
 2  $2,727,830 to $3,127,673.
 3    (j)  On July 1, 1997, the expenditure limitation established by section
 4  61(b) of 1997 Senate Substitute for House Bill No. 2160 on the alcohol
 5  and drug abuse block grant federal fund is hereby increased from
 6  $9,441,373 to $10,984,972.
 7    (k)  On the effective date of this act, the expenditure limitation estab-
 8  lished by section 22(g) of 1997 Senate Substitute for House Bill No. 2272
 9  on the social welfare fund is hereby increased from $45,700,370 to
10  $47,499,992.
11    (l)  On the effective date of this act, of the $41,726,664 appropriated
12  for the above agency for the fiscal year ending June 30, 1997, by section
13  22(a) of 1997 Senate Substitute for House Bill No. 2272 from the state
14  general fund in the mental health and retardation services aid and assis-
15  tance and state institutions operations account, the sum of $2,678,821 is
16  hereby lapsed.
17    (m)  On July 1, 1997, of the $164,558,114 appropriated for the above
18  agency for the fiscal year ending June 30, 1998, by section 61(a) of 1997
19  Senate Substitute for House Bill No. 2160 from the state general fund in
20  the mental health and retardation services aid and assistance and state
21  institutions operations account, the sum of $529,039 is hereby lapsed.
22    (n)  In addition to the other purposes for which expenditures may be
23  made by the above agency from the mental health and retardation services
24  aid and assistance and state institutions operations account of the state
25  general fund for the fiscal year ending June 30, 1998, as authorized by
26  section 61(a) of 1997 Senate Substitute for House Bill No. 2160, expend-
27  itures may be made by the above agency from the mental health and
28  retardation services aid and assistance and state institutions operations
29  account of the state general fund for fiscal year 1998 for school district
30  equipment of up to $5,000 per developmentally disabled child leaving
31  Kansas neurological institute or Parsons state hospital and training center,
32  in addition to those leaving Winfield state hospital and training center:
33  Provided, That expenditures from the mental health and retardation serv-
34  ices aid and assistance and state institutions operations account of the
35  state general fund for fiscal year 1998 for school district equipment for
36  developmentally disabled children leaving state institutions for the men-
37  tally retarded shall not exceed $150,000.
38    (o)  On July 1, 1997, the expenditure limitation established by section
39  61(b) of 1997 Senate Substitute for House Bill No. 2160 on the title XIX
40  fund is hereby increased from $53,974,305 to $54,107,873.
41    (p)  On July 1, 1997, the amounts specified in section 61(c) of 1997
42  Senate Substitute for House Bill No. 2160 as being included in the mental
43  health and retardation services aid and assistance and state institutions
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22

 1  operations account of the state general fund for the following institutions
 2  are hereby changed to the amounts specified therefor, but expenditures
 3  from the mental health and retardation services aid and assistance and
 4  state institutions operations account of the state general fund for any such
 5  institution shall not be limited to or be required to be made in the amount
 6  listed for the institution, as follows:  (1) The amount for Kansas neurolog-
 7  ical institute is hereby decreased from $12,278,329 to $12,274,002; (2)
 8  the amount for Parsons state hospital and training center is hereby de-
 9  creased from $10,057,936 to $10,055,241; (3) the amount for Winfield
10  state hospital and training center is hereby decreased from $1,422,423 to
11  $1,420,686; (4) the amount for Larned state hospital is hereby decreased
12  from $12,093,190 to $12,089,876; (5) the amount for Osawatomie state
13  hospital is hereby decreased from $8,226,860 to $8,223,980; (6) the
14  amount for Rainbow mental health facility is hereby decreased from
15  $2,916,018 to $2,911,722; and (7) the amount for community services aid
16  and assistance is hereby decreased from $118,563,358 to $117,053,568.
17    (q)  On the effective date of this act, the amounts specified in section
18  25(p) of chapter 272 of the 1996 Session Laws of Kansas as being included
19  in the mental health and retardation services aid and assistance and state
20  institutions operations account of the state general fund for the following
21  institutions are hereby changed to the amounts specified therefor, but
22  expenditures from the mental health and retardation services aid and
23  assistance and state institutions operations account of the state general
24  fund for any such institution shall not be limited to or be required to be
25  made in the amount listed for the institution, as follows:  (1) The amount
26  for Kansas neurological institute is hereby decreased from $13,489,102
27  to $12,325,545; (2) the amount for Parsons state hospital and training
28  center is hereby increased from $7,890,228 to $8,619,081; (3) the amount
29  for Winfield state hospital and training center is hereby decreased from
30  $12,593,665 to $8,077,654; (4) the amount for Larned state hospital is
31  hereby increased from $14,901,674 to $15,509,017; (5) the amount for
32  Osawatomie state hospital is hereby increased from $6,265,042 to
33  $7,072,226; and (6) the amount for Rainbow mental health facility is
34  hereby increased from $2,919,070 to $2,995,306.
35    (r)  There is appropriated for the above agency from the following
36  special revenue fund or funds for the fiscal year or years specified, all
37  moneys now or hereafter lawfully credited to and available in such fund
38  or funds, except that expenditures other than refunds authorized by law
39  shall not exceed the following:
40  Larned state hospital--motor pool revolving fund
41    For the fiscal year ending June 30, 1998............................... No limit
42  Family and children investment fund
43    For the fiscal year ending June 30, 1998............................... No limit
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23

 1  Provided, That the department of social and rehabilitation services shall contract with the
 2  office of judicial administration for the administration of the permanent families account of
 3  the family and children investment fund.
 4    (s)  On July 1, 1997, the expenditure limitation established by section
 5  61(b) of 1997 Senate Substitute for House Bill No. 2160 on the Winfield
 6  state hospital and training center fee fund is hereby decreased from
 7  $558,627 to $448,627.
 8    (t)  On July 1, 1997, the position limitation established by section 63
 9  of 1997 Senate Substitute for House Bill No. 2160 for the above agency
10  is hereby decreased from 521.5 to 400.0.
11    Sec. 29.
12  KANSAS BOARD OF BARBERING
13    (a)  On the effective date of this act, the expenditure limitation estab-
14  lished for the fiscal year ending June 30, 1997, by section 5(a) of chapter
15  224 of the 1995 Session Laws of Kansas on the barber examiner fee fund
16  is hereby increased from $95,688 to $100,305.
17    Sec. 30.
18  DEPARTMENT OF COMMERCE AND HOUSING
19    (a)  There is appropriated for the above agency from the state general
20  fund for the fiscal year or years specified, the following:
21  State operations
22    For the fiscal year ending June 30, 1998................................ $62,869
23    (b)  On July 1, 1997, the expenditure limitation established by section
24  51(c) of 1997 Senate Substitute for House Bill No. 2160 on the Kansas
25  economic development endowment account of the state economic de-
26  velopment initiatives fund is hereby increased from $13,995,475 to
27  $14,220,475.
28    (c)  On July 1, 1997, the expenditure limitation established by section
29  51(d) of 1997 Senate Substitute for House Bill No. 2160 on the state
30  operations (including official hospitality) subaccount of the Kansas eco-
31  nomic development endowment account of the state economic develop-
32  ment initiatives fund is hereby increased from $8,170,875 to $8,195,875.
33    (d)  On July 1, 1997, the amount to be transferred on August 15, 1997,
34  and December 15, 1997, established by section 51(h) of 1997 Senate
35  Substitute for House Bill No. 2160 on transfers from the Kansas economic
36  development endowment account of the state economic development
37  initiatives fund to the Kansas existing industry expansion program is
38  hereby increased from $350,000 to $450,000.
39    (e)  In addition to the purposes for which expenditures may be made
40  by the above agency from the Kansas economic development endowment
41  account of the state economic development initiatives fund for the fiscal
42  year ending June 30, 1998, expenditures may be made by the above
43  agency from the Kansas economic development endowment account of
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 1  the state economic development initiatives fund during fiscal year 1998
 2  for the following, subject to the expenditure limitation prescribed there-
 3  for:
 4    Railroad mitigation grants............................................. $200,000
 5    Sec. 31.
 6  KANSAS, INC.
 7    (a)  On July 1, 1997, the amount of $160,376 authorized by section
 8  52(c) of 1997 Senate Substitute for House Bill No. 2160 to be transferred
 9  by the director of accounts and reports from the Kansas economic de-
10  velopment endowment account of the state economic development ini-
11  tiatives fund of the department of commerce and housing to the EDIF
12  fund of Kansas, Inc., is hereby increased to $224,376.
13    (b)  In addition to the other purposes for which expenditures may be
14  made by the above agency from the EDIF fund for the fiscal year ending
15  June 30, 1998, as authorized by section 52(b) of 1997 Senate Substitute
16  for House Bill No. 2160 or by this or other appropriation act of the 1997
17  regular session of the legislature, expenditures may be made by the above
18  agency for fiscal year 1998 from the EDIF fund for the school/perform-
19  ance study: Provided, That expenditures from the EDIF fund for fiscal
20  year 1998 for the school/performance study shall not exceed $64,620.
21    (c)  During the fiscal year ending June 30, 1998, no expenditures shall
22  be made by the above agency from the Kansas, Inc. account of the state
23  general fund for the school/performance study.
24    -25,1,10,12]Sec. 32.
25  OFFICE OF THE SECURITIES COMMISSIONER OF KANSAS
26    (a)  On July 1, 1997, the expenditure limitation established for the
27  fiscal year ending June 30, 1998, by section 19(a) of 1997 Senate Substi-
28  tute for House Bill No. 2160 on the securities act fee fund is hereby
29  increased from $1,683,059 to $1,833,062.
30    (b)  In addition to the other purposes for which expenditures may be
31  made by the above agency from the securities act fee fund for the fiscal
32  year ending June 30, 1998, as authorized by section 19(a) of 1997 Senate
33  Substitute for House Bill No. 2160, expenditures may be made by the
34  above agency from the securities act fee fund for fiscal year 1998 for
35  official hospitality: Provided, That expenditures from the securities act
36  fee fund for fiscal year 1998 for official hospitality shall not exceed $600:
37  Provided further, That expenditures from the securities act fee fund for
38  fiscal year 1998 for official hospitality are subject to the limitation on total
39  expenditures from the securities act fee fund for fiscal year 1998.
40    (c)  On July 1, 1997, the expenditure limitation established for the
41  fiscal year ending June 30, 1999, by section 19(a) of 1997 Senate Substi-
42  tute for House Bill No. 2160 on the securities act fee fund is hereby
43  increased from $1,703,069 to $1,787,440.
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 1    (d)  On July 1, 1997, the position limitation established for the fiscal
 2  year ending June 30, 1998, by section 22 of 1997 Senate Substitute for
 3  House Bill No. 2160 for the above agency is hereby increased from 26.0
 4  to 28.0.
 5    (e)  On July 1, 1997, the position limitation established for the fiscal
 6  year ending June 30, 1999, by section 22 of 1997 Senate Substitute for
 7  House Bill No. 2160 for the above agency is hereby increased from 26.0
 8  to 28.0.
 9    Sec. 33.
10  ATTORNEY GENERAL
11    (a)  There is appropriated for the above agency from the state general
12  fund for the fiscal year or years specified, the following:
13  Operating expenditures relating to interstate water rights regarding the
14    Republican river and its tributaries[epFor the fiscal year ending June 30, 1998
15    Sec. 34.
16  STATE BOARD OF TECHNICAL PROFESSIONS
17    (a)  On the effective date of this act, the expenditure limitation estab-
18  lished for the fiscal year ending June 30, 1997, by section 11(a) of 1997
19  Senate Substitute for House Bill No. 2272 on the technical professions
20  fee fund is hereby increased from $370,977 to $385,977.
21    (b)  On July 1, 1997, the expenditure limitation established for the
22  fiscal year ending June 30, 1998, by section 20(a) of 1997 Senate Substi-
23  tute for House Bill No. 2160 on the technical professions fee fund is
24  hereby increased from $402,145 to $459,920.
25    (c)  On July 1, 1998, the expenditure limitation established for the
26  fiscal year ending June 30, 1999, by section 20(a) of 1997 Senate Substi-
27  tute for House Bill No. 2160 on the technical professions fee fund is
28  hereby increased from $412,803 to $446,303.
29    (d)  On July 1, 1997, the position limitation established for the fiscal
30  year ending June 30, 1998, by section 22 of 1997 Senate Substitute for
31  House Bill No. 2160 for the above agency is hereby increased from 5.0
32  to 6.0.
33    (e)  On July 1, 1998, the position limitation established for the fiscal
34  year ending June 30, 1999, by section 22 of 1997 Senate Substitute for
35  House Bill No. 2160 for the above agency is hereby increased from 5.0
36  to 6.0.
37    Sec. 35.
38  DEPARTMENT OF EDUCATION
39    (a)  On July 1, 1997, of the $8,346,654 appropriated for the above
40  agency for the fiscal year ending June 30, 1998, by section 64(a) of 1997
41  Senate Substitute for House Bill No. 2160 from the state general fund in
42  the operating expenditures (including official hospitality) account, the
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26

 1  sum of $57,729 is hereby lapsed.
 2    (b)  There is appropriated for the above agency from the state general
 3  fund for the fiscal year or years specified, the following:
 4  General state aid
 5    For the fiscal year ending June 30, 1998............................. $1,644,000
 6  Supplemental general state aid
 7    For the fiscal year ending June 30, 1998............................. $7,228,000
 8  Hutchinson community college advanced technology center construction
 9    and equipment grant[epFor the fiscal year ending June 30, 1997......... $230,000
10  Provided, That any unencumbered balance in the Hutchinson community college advanced
11  technology center construction and equipment grant account in excess of $100 as of June
12  30, 1997, is hereby reappropriated for fiscal year 1998.
13    (c)  Any unencumbered balance in excess of $100 as of June 30, 1997,
14  in each of the following accounts is hereby reappropriated for fiscal year
15  1998:  KPERS--employer contributions: Provided, That expenditures
16  from such reappropriated balance in the KPERS--employer contribu-
17  tions account shall not exceed $296,508 except upon approval of the state
18  finance council.
19    (d)  On the effective date of this act, of the $69,723,333 appropriated
20  for the above agency for the fiscal year ending June 30, 1997, by section
21  119 of chapter 191 of the 1996 Session Laws of Kansas from the state
22  general fund in the KPERS--employer contributions account, the sum
23  of $120,860 is hereby lapsed.
24    (e)  Notwithstanding the provisions of the second proviso to the spe-
25  cial education services aid account in section 64(a) of 1997 Senate Sub-
26  stitute for House Bill No. 2160, the department of education shall make
27  no deductions from any school district's special education entitlement as
28  the result of that district's balance in the district's special education fund
29  from the prior fiscal year being in excess of 20% of the district's special
30  education entitlement for the year in which the appropriation is being
31  made.
32    (f)  In addition to the purposes for which expenditures may be made
33  by the above agency from the economic development initiatives fund of
34  the department of education for the fiscal year ending June 30, 1997, as
35  authorized by section 119 of chapter 191 of the 1996 Session Laws of
36  Kansas, expenditures may be made by the above agency from the eco-
37  nomic development initiatives fund of the department of education for
38  fiscal year 1997 for a Hutchinson community college and advanced tech-
39  nology center construction and equipment grant: Provided, That expend-
40  itures from the economic development initiatives fund of the department
41  of education for fiscal year 1997 for a Hutchinson community college and
42  advanced technology center construction and equipment grant shall not
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27

 1  exceed $170,000: Provided further, That all such expenditures for such
 2  purpose shall be in addition to any expenditure limitation imposed on the
 3  economic development initiatives fund of the department of education
 4  for fiscal year 1997.
 5    (g)  On the effective date of this act, or as soon thereafter as moneys
 6  are available, the director of accounts and reports shall transfer $170,000
 7  from the Kansas economic development endowment account of the state
 8  economic development initiatives fund of the department of commerce
 9  and housing to the economic development initiatives fund of the depart-
10  ment of education.
11    Sec. 36.
12  DEPARTMENT OF HEALTH AND ENVIRONMENT
13    (a)  There is appropriated for the above agency from the state general
14  fund for the fiscal year or years specified, the following:
15  Special food treatment products
16    For the fiscal year ending June 30, 1998................................ $50,000
17    (b)  There is appropriated for the above agency from the following
18  special revenue fund or funds for the fiscal year or years specified, all
19  moneys now or hereafter lawfully credited to and available in such fund
20  or funds, except that expenditures other than refunds authorized by law
21  shall not exceed the following:
22  Voluntary cleanup fund
23    For the fiscal year ending June 30, 1998............................... $105,118
24  EPA voluntary cleanup federal fund
25    For the fiscal year ending June 30, 1998............................... $150,000
26  Provided, That all expenditures from the EPA voluntary cleanup federal fund during fiscal
27  year 1998 shall be supplemental to fees collected for direct or indirect costs of administering
28  the voluntary cleanup and property redevelopment act established by 1997 Senate Bill No.
29  276: Provided, however, That such expenditures shall be in accordance with the federal
30  agreement entered into by the secretary of the department of health and environment for
31  the grant moneys.
32  Laboratory medicaid cost recovery fund
33    For the fiscal year ending June 30, 1997............................... $158,000
34    For the fiscal year ending June 30, 1998............................... $158,000
35    (c)  On July 1, 1997, of the $4,289,347 appropriated for the above
36  agency for the fiscal year ending June 30, 1998, by section 58(a) of 1997
37  Senate Substitute for House Bill No. 2160 from the state general fund in
38  the other operating expenditures (including official hospitality) account,
39  the sum of $153,500 is hereby lapsed.
40    (d)  On the effective date of this act, the director of accounts and
41  reports shall transfer $70,000 from the other operating expenditures (in-
42  cluding official hospitality) account of the state general fund of the above
43  agency to the salaries and wages account of the state general fund of the
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28

 1  above agency.
 2    (e)  On the effective date of this act, the expenditure limitation estab-
 3  lished by section 24(s) of 1997 Senate Substitute for House Bill No. 2272
 4  on the gifts, grants and donations fund is hereby increased from
 5  $1,141,715 to $1,284,715.
 6    (f)  On July 1, 1997, the expenditure limitation established by section
 7  58(b) of 1997 Senate Substitute for House Bill No. 2160 on the gifts,
 8  grants and donations fund is hereby increased from $1,512,739 to
 9  $1,552,739.
10    (g)  On the effective date of this act, the expenditure limitation estab-
11  lished by section 24(e) of 1997 Senate Substitute for House Bill No. 2272
12  on the title XIX fund is hereby decreased from $3,893,498 to $3,593,498.
13    (h)  On the effective date of this act, the expenditure limitation estab-
14  lished by section 57(m) of chapter 272 of the 1996 Session Laws of Kansas
15  on the medicare fund--federal is hereby increased from $1,726,390 to
16  $2,008,454.
17    (i)  On the effective date of this act, the expenditure limitation estab-
18  lished by section 91(b) of chapter 191 of the 1996 Session Laws of Kansas
19  on the federal migrant health program fund is hereby increased from
20  $325,773 to $335,773.
21    (j)  On July 1, 1997, the expenditure limitation established by section
22  58(b) of 1997 Senate Substitute for House Bill No. 2160 on the office of
23  rural health--federal fund is hereby increased from $0 to $60,000.
24    (k)  On July 1, 1997, the expenditure limitation established by section
25  58(b) of 1997 Senate Substitute for House Bill No. 2160 on the AIDS
26  project--education and risk reduction--federal fund is hereby increased
27  from $1,711,651 to $1,841,786.
28    (l)  On July 1, 1997, the expenditure limitation established by section
29  58(b) of 1997 Senate Substitute for House Bill No. 2160 on the state
30  operations account of the AIDS project--education and risk reduction--
31  federal fund is hereby increased from $603,461 to $733,596.
32    (m)  On July 1, 1997, the expenditure limitation established by section
33  58(b) of 1997 Senate Substitute for House Bill No. 2160 on the state
34  operations account of the venereal disease control project fund--federal
35  is hereby increased from $389,818 to $480,818.
36    (n)  On July 1, 1997, the expenditure limitation established by section
37  58(b) of 1997 Senate Substitute for House Bill No. 2160 on the maternal
38  and child health services block grant fund is hereby increased from
39  $5,077,876 to $5,147,876.
40    (o)  On July 1, 1997, the expenditure limitation established by section
41  58(b) of 1997 Senate Substitute for House Bill No. 2160 on the state
42  operations account of the maternal and child health services block grant
43  fund is hereby increased from $2,854,734 to $2,924,734.
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 1    Sec. 37.
 2  STATE CORPORATION COMMISSION
 3    (a)  On July 1, 1997, the expenditure limitation established by section
 4  43(b) of 1997 Senate Substitute for House Bill No. 2160 on the aggregate
 5  expenditures from the public service regulation fund, the motor carrier
 6  license fees fund and the conservation fee fund is hereby increased from
 7  $11,984,475 to $12,108,265 [$11,997,605].
 8    (b)  On July 1, 1997, the position limitation established by section 46
 9  of 1997 Senate Substitute for House Bill No. 2160 for the above agency
10  is hereby increased from 212.0 to 215.0.
11    Sec. 38.
12  STATE HISTORICAL SOCIETY
13    (a)  There is appropriated for the above agency from the state general
14  fund for the fiscal year or years specified, the following:
15  Operating expenditures
16    For the fiscal year ending June 30, 1998................................ $38,500
17    (b)  There is appropriated for the above agency from the following
18  special revenue fund or funds for the fiscal year or years specified, all
19  moneys now or hereafter lawfully credited to and available in such fund
20  or funds, except that expenditures other than refunds authorized by law
21  shall not exceed the following:
22  EDIF first territorial capitol renovation project fund
23    For the fiscal year ending June 30, 1998................................ $71,000
24  Provided, That no expenditures shall be made from the EDIF first territorial capitol reno-
25  vation project fund except upon approval of the state finance council acting on this matter
26  which is hereby characterized as a matter of legislative delegation and subject to the guide-
27  lines prescribed by subsection (c) of K.S.A. 75-3711c and amendments thereto: Provided,
28  however, That, if the secretary of the state historical society has entered into a signed
29  agreement with a responsible party that would transfer from the state the future daily op-
30  eration and maintenance of the first territorial capitol historical site, then the state finance
31  council shall approve expenditures from this fund for the first territorial capitol renovation
32  project.
33    (c)  On July 15, 1997, or as soon thereafter as moneys are available,
34  the director of accounts and reports shall transfer $71,000 from the Kan-
35  sas economic development endowment account of the state economic
36  development initiatives fund of the department of commerce and housing
37  to the EDIF first territorial capitol renovation project fund of the state
38  historical society.
39    Sec. 39.
40  JUVENILE JUSTICE AUTHORITY
41    (a)  There is appropriated for the above agency from the state general
42  fund for the fiscal year or years specified, the following:
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 1  Operating expenditures
 2    For the fiscal year ending June 30, 1998............................ $18,992,412
 3  Management information systems
 4    For the fiscal year ending June 30, 1998............................... $125,000
 5  Provided, That no expenditures shall be made from the management information systems
 6  account, other than for information systems planning, except upon approval of the state
 7  finance council acting on this matter which is hereby characterized as a matter of legislative
 8  delegation and subject to the guidelines prescribed by subsection (c) of K.S.A. 75-3711c
 9  and amendments thereto and acting after receiving a recommendation from the joint com-
10  mittee on computers and telecommunications: Provided further, That the commissioner
11  shall present a management information system plan to the joint committee on computers
12  and telecommunications and the joint committee shall make a recommendation to the state
13  finance council thereon: And provided further, That the commissioner shall report to the
14  joint committee on computers and telecommunications quarterly during the fiscal year on
15  the status of expenditures and development of a strategic plan for information technology.
16  Facilities operations
17    For the fiscal year ending June 30, 1998............................ $23,504,863
18  Provided, That any unencumbered balance in each of the following accounts in excess of
19  $100 as of June 30, 1997, is hereby reappropriated to the facilities operations account of
20  the juvenile justice authority for fiscal year 1998:  Operating expenditures account of the
21  youth center at Topeka; operating expenditures account of the youth center at Beloit; op-
22  erating expenditures account of the youth center at Atchison; and operating expenditures
23  account of the Larned state hospital--youth center at Larned: Provided, however, That
24  expenditures from such reappropriated balance shall not exceed $85,357 except upon ap-
25  proval of the state finance council: Provided further, That expenditures may be made from
26  this account for educational services contracts which are hereby authorized to be negotiated
27  and entered into by the above agency with unified school districts or other public educational
28  services providers: And provided further, That such educational services contracts shall not
29  be subject to the competitive bid requirements of K.S.A. 75-3739 and amendments thereto.
30    (b)  There is appropriated for the above agency from the following
31  special revenue fund or funds for the fiscal year or years specified, all
32  moneys now or hereafter lawfully credited to and available in such fund
33  or funds, except that expenditures other than refunds authorized by law
34  shall not exceed the following:
35  Juvenile justice delinquency prevention--federal fund
36    For the fiscal year ending June 30, 1998............................... $903,544
37  Juvenile detention facilities fund
38    For the fiscal year ending June 30, 1998............................. $2,727,830
39  Juvenile justice fee fund
40    For the fiscal year ending June 30, 1998............................... No limit
41  Kansas endowment for youth trust fund
42    For the fiscal year ending June 30, 1998............................... No limit
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 1  Juvenile justice federal fund
 2    For the fiscal year ending June 30, 1998............................... No limit
 3  Juvenile justice community initiative fund
 4    For the fiscal year ending June 30, 1998............................... No limit
 5  Juvenile justice community planning fund
 6    For the fiscal year ending June 30, 1998............................... No limit
 7  Byrne grant--federal fund
 8    For the fiscal year ending June 30, 1998............................... No limit
 9  Provided, That no expenditures shall be made from the management information systems
10  account, other than for information systems planning, except upon approval of the state
11  finance council acting on this matter which is hereby characterized as a matter of legislative
12  delegation and subject to the guidelines prescribed by subsection (c) of K.S.A. 75-3711c
13  and amendments thereto and acting after receiving a recommendation from the joint com-
14  mittee on computers and telecommunications: Provided, however, That expenditures for
15  such planning purposes shall not exceed $125,000: Provided further, That the commissioner
16  shall present a management information system plan to the joint committee on computers
17  and telecommunications and the joint committee shall make a recommendation to the state
18  finance council thereon: And provided further, That the commissioner shall report to the
19  joint committee on computers and telecommunications quarterly during the fiscal year on
20  the status of expenditures and development of a strategic plan for information technology.
21  Capital facilities planning and projects--federal fund
22    For the fiscal year ending June 30, 1998............................... No limit
23  Provided, That expenditures may be made from the capital facilities planning and projects--
24  federal fund for purposes of a systemwide facilities review and development of a master
25  plan, including a review of privatization options: Provided, however, That no expenditures
26  shall be made from this fund for any other purpose except upon approval of the state finance
27  council acting on this matter which is hereby characterized as a matter of legislative dele-
28  gation and subject to the guidelines prescribed by subsection (c) of K.S.A. 75-3711c and
29  amendments thereto and acting subsequent to a review of the plan and projects by the joint
30  committee on corrections and juvenile justice oversight and the joint committee on state
31  building construction.
32  Topeka juvenile correctional facility fee fund
33    For the fiscal year ending June 30, 1998............................... No limit
34  Topeka juvenile correctional facility improvement fund
35    For the fiscal year ending June 30, 1998............................... No limit
36  Topeka juvenile correctional facility=melementary and secondary educa-
37    tion fund--federal[epFor the fiscal year ending June 30, 1998.......... No limit
38  Topeka juvenile correctional facility--canteen fund
39    For the fiscal year ending June 30, 1998............................... No limit
40  Topeka juvenile correctional facility--patient benefit fund
41    For the fiscal year ending June 30, 1998............................... No limit
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 1  Atchison juvenile correctional facility fee fund
 2    For the fiscal year ending June 30, 1998............................... No limit
 3  Atchison juvenile correctional facility=melementary and secondary edu-
 4    cation fund--federal[epFor the fiscal year ending June 30, 1998........ No limit
 5  Atchison juvenile correctional facility--canteen fund
 6    For the fiscal year ending June 30, 1998............................... No limit
 7  Atchison juvenile correctional facility--patient benefit fund
 8    For the fiscal year ending June 30, 1998............................... No limit
 9  Beloit juvenile correctional facility fee fund
10    For the fiscal year ending June 30, 1998............................... No limit
11  Beloit juvenile correctional facility=melementary and secondary education
12    fund--federal[epFor the fiscal year ending June 30, 1998............... No limit
13  Beloit juvenile correctional facility--canteen fund
14    For the fiscal year ending June 30, 1998............................... No limit
15  Beloit juvenile correctional facility--patient benefit fund
16    For the fiscal year ending June 30, 1998............................... No limit
17    (c)  There is appropriated for the above agency from the state insti-
18  tutions building fund for the fiscal year or years specified, for the capital
19  improvement project or projects specified as follows:
20  Capital improvements=mrehabilitation, remodeling, renovation and repair
21    of juvenile correctional facilities[epFor the fiscal year ending June 30, 1998 $1,055,200
22  Provided, That the commissioner of juvenile justice is hereby authorized to transfer moneys
23  during fiscal year 1998 from the capital improvements--rehabilitation, remodeling, reno-
24  vation and repair of juvenile correctional facilities account of the state institutions building
25  fund to an account or accounts of the state institutions building fund of any institution or
26  facility under the jurisdiction of the commissioner of juvenile justice to be expended during
27  fiscal year 1998 by the institution or facility for capital improvement projects, approved by
28  the commissioner of juvenile justice.
29  Capital facilities planning and projects--SIBF
30    For the fiscal year ending June 30, 1998............................... $400,000
31  Provided, That expenditures may be made from the capital facilities planning and projects--
32  SIBF account for purposes of a systemwide facilities review and development of a master
33  plan: Provided, however, That no expenditures may be made from this account for any other
34  purpose except upon approval of the state finance council acting on this matter which is
35  hereby characterized as a matter of legislative delegation and subject to the guidelines
36  prescribed by subsection (c) of K.S.A. 75-3711c and amendments thereto and acting sub-
37  sequent to a review of the plan and projects by the joint committee on corrections and
38  juvenile justice oversight and the joint committee on state building construction.
39    (d)  On July 1, 1997, on October 1, 1997, on January 1, 1998, and on
40  April 1, 1998, the director of accounts and reports shall transfer $200,000
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 1  from the juvenile detention facilities fund to the juvenile justice com-
 2  munity planning fund.
 3    (e)  On July 1, 1997, or as soon thereafter as moneys are available, the
 4  director of accounts and reports shall transfer $90,000 from the alcohol
 5  and drug abuse block grant federal fund of the department of social and
 6  rehabilitation services to the juvenile justice fee fund of the juvenile jus-
 7  tice authority.
 8    (f)  On July 1, 1997, or as soon thereafter as moneys are available, the
 9  director of accounts and reports shall transfer $41,333 from the alcohol
10  and drug abuse block grant federal fund of the department of social and
11  rehabilitation services to the Beloit juvenile correctional facility fee fund
12  of the juvenile justice authority.
13    (g)  During the fiscal year ending June 30, 1998, the superintendent
14  of the Topeka juvenile correctional facility, upon the approval of the di-
15  rector of accounts and reports, shall transfer $4,000 from the Topeka
16  juvenile correctional facility--canteen fund to the Topeka juvenile cor-
17  rectional facility--patient benefit fund.
18    (h)  During the fiscal year ending June 30, 1998, the superintendent
19  of the Atchison juvenile correctional facility, upon the approval of the
20  director of accounts and reports, shall transfer $500 from the Atchison
21  juvenile correctional facility--canteen fund to the Atchison juvenile cor-
22  rectional facility--patient benefit fund.
23    (i)  During the fiscal year ending June 30, 1998, the superintendent
24  of the Beloit juvenile correctional facility, upon the approval of the di-
25  rector of accounts and reports, shall transfer $1,000 from the Beloit ju-
26  venile correctional facility--canteen fund to the Beloit juvenile correc-
27  tional facility--patient benefit fund.
28    (j)  During the fiscal year ending June 30, 1998, the commissioner of
29  the juvenile justice authority, with the governor's approval, may transfer
30  any part of any item of appropriation for the fiscal year ending June 30,
31  1998, from the state general fund for the juvenile justice authority or any
32  juvenile correctional facility or institution under the general supervision
33  and management of the commissioner of juvenile justice to another item
34  or appropriation for fiscal year 1998 from the state general fund for the
35  juvenile justice authority or any juvenile correctional facility or institution
36  under the general supervision and management of the commissioner of
37  juvenile justice. The commissioner of juvenile justice shall certify each
38  such transfer to the director of accounts and reports and shall transmit a
39  copy of each such certification to the legislative research department.
40    (k)  The following amounts are included in the facilities operations
41  account of the state general fund for the fiscal year ending June 30, 1998,
42  for the following juvenile correctional facilities and institutions, but ex-
43  penditures from the facilities operations account shall not be limited to,
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 1  nor be required to be made in, the amount listed for the juvenile correc-
 2  tional facility:
 3  Topeka juvenile correctional facility
 4    For the fiscal year ending June 30, 1998............................. $9,983,596
 5  Beloit juvenile correctional facility
 6    For the fiscal year ending June 30, 1998............................. $4,511,968
 7  Atchison juvenile correctional facility
 8    For the fiscal year ending June 30, 1998............................. $5,326,391
 9  Larned juvenile correctional facility
10    For the fiscal year ending June 30, 1998............................. $3,768,265
11    (l)  Upon notification of the commissioner of the juvenile justice au-
12  thority and the superintendent of the Larned juvenile correctional facility,
13  the director of accounts and reports shall transfer all moneys identified
14  by the commissioner of the juvenile justice authority and the superinten-
15  dent of the Larned juvenile correctional facility for the residential sub-
16  stance abuse program at the Larned state hospital--youth center at Lar-
17  ned to the juvenile justice federal fund of the juvenile justice authority.
18    (m)  On July 1, 1997, the position limitation established by section 95
19  of 1997 Senate Substitute for House Bill No. 2160 for the fiscal year
20  ending June 30, 1998, for the above agency is hereby increased from 151.5
21  to 590.0: Provided, That the limitations on the number of full-time and
22  regular part-time positions equated to full-time, excluding seasonal and
23  temporary positions, established by section 95 of 1997 Senate Substitute
24  for House Bill No. 2160 for the fiscal year ending June 30, 1998, for the
25  youth center at Atchison, youth center at Beloit, Larned state hospital--
26  youth center at Larned and youth center at Topeka are hereby superseded
27  by the position limitation established for the juvenile justice authority:
28  Provided further, That the provisions of section 95 of 1997 Senate Sub-
29  stitute for House Bill No. 2160 which set forth limitations on full-time
30  equivalent positions for the youth center at Atchison, youth center at
31  Beloit, Larned state hospital--youth center at Larned and youth center
32  at Topeka shall not apply to the Atchison juvenile correctional facility,
33  Beloit juvenile correctional facility, Larned juvenile correctional facility
34  or Topeka juvenile correctional facility and shall be of no force or effect.
35    Sec. 40.
36  SECRETARY OF STATE
37    (a)  On July 1, 1997, of the $1,483,967 appropriated for the above
38  agency for the fiscal year ending June 30, 1998, by section 32(a) of 1997
39  Senate Substitute for House Bill No. 2160 from the state general fund in
40  the operating expenditures account, the sum of $2,604 is hereby lapsed.
41    (b)  There is appropriated for the above agency from the following
42  special revenue fund or funds for the fiscal year or years specified, all
43  moneys now or hereafter lawfully credited to and available in such fund
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 1  or funds, except that expenditures other than refunds authorized by law
 2  shall not exceed the following:
 3  Franchise fee recovery fund
 4    For the fiscal year ending June 30, 1998................................ $80,000
 5    (c)  During each month of the fiscal year ending June 30, 1998, the
 6  secretary of state shall certify to the director of accounts and reports the
 7  amount equal to the product of $1 multiplied by the number of annual
 8  reports received by the secretary of state during the preceding month
 9  from professional corporations, domestic or foreign corporations, corpo-
10  rations organized not for profit, domestic or foreign limited liability com-
11  panies, domestic or foreign limited partnerships or any other entities pur-
12  suant to statute, which include the receipt of an annual franchise tax or
13  privilege fee. Upon receipt of each such certification, the director of ac-
14  counts and reports shall transfer an amount equal to the amount certified
15  from the state general fund to the franchise fee recovery fund of the
16  secretary of state.
17    Sec. 41.
18  STATE BOARD OF HEALING ARTS
19    (a)  On July 1, 1997, the expenditure limitation established for the
20  fiscal year ending June 30, 1998, by section 7(a) of 1997 Senate Substitute
21  for House Bill No. 2160 on the healing arts fee fund is hereby increased
22  from $1,634,945 to $1,650,663.
23    (b)  On July 1, 1997, the expenditure limitation established for the
24  fiscal year ending June 30, 1999, by section 7(a) of 1997 Senate Substitute
25  for House Bill No. 2160 on the healing arts fee fund is hereby increased
26  from $1,658,279 to $1,671,279.
27    Sec. 42.
28  DEPARTMENT OF TRANSPORTATION
29    (a)  On July 1, 1997, the position limitation established by section
30  105(h) of 1997 Senate Substitute for House Bill No. 2160 for the above
31  agency is hereby decreased from 3,227.5 to 3,139.5.
32    Sec. 43.  On July 1, 1997, section 106 of 1997 Senate Substitute for
33  House Bill No. 2160 is hereby amended to read as follows: Sec. 106.
34  Kansas quality program. (a) In addition to other expenditures authorized
35  by law, expenditures may be made from the agency operations account
36  of the state highway fund appropriated by this act for the fiscal year
37  ending June 30, 1998, by the department of transportation, if the agency
38  is participating in the Kansas quality program under 1996 Supp. K.S.A.
39  75-37,115 and amendments thereto, for the following purposes:  (1)
40  Quality awards that are salary bonus payments to permanent full-time or
41  regular part-time employees of the state agency pursuant to subsection
42    (c) of K.S.A. 1996 Supp. 75-37,115 and amendments thereto at the dis-
43  cretion of the agency head, (2) purchase or other acquisition of technology
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36

 1  equipment which was included in the budget estimates for fiscal year
 2  1998 submitted by the state agency pursuant to K.S.A. 75-3717 and
 3  amendments thereto, and (3) professional development training in sup-
 4  port of the Kansas quality program: Provided, That all such expenditures
 5  from such fund for the fiscal year 1998 shall be in addition to any ex-
 6  penditure limitation imposed on the agency operations account of the
 7  state highway fund for fiscal year 1998: Provided, however, That the total
 8  amount of such expenditures from the agency operations account of the
 9  state highway fund for fiscal year 1998 shall not exceed the amount equal
10  to 50% of the unexpended portion of the amount authorized to be ex-
11  pended from the agency operations account of the state highway fund for
12  fiscal year 1997 for agency operations, as determined by the director of
13  accounts and reports: Provided further, That, in addition to the limitations
14  prescribed by K.S.A. 1996 Supp. 75-37,115 and amendments thereto, the
15  total net amount of any such salary bonus payments to any individual
16  employee during fiscal year 1998 shall not exceed $1,000: And provided
17  further, That the provisions of this subsection shall apply only to: (1) That
18  portion of the moneys in the agency operations account of the state high-
19  way fund from which expenditures may be made for agency operations,
20  and (2) shall not include (A) that portion of moneys which may be ex-
21  pended for other operating expenses in the regular maintenance subpro-
22  gram and (B) that portion of moneys saved as a result of salary reductions
23  from holding positions vacant and retirements that total $1,267,692 in
24  the fiscal year ending June 30, 1997.
25    (b)  Any unencumbered balance in excess of $100 as of June 30, 1997,
26  in any Kansas quality management account or KQM expenditures account
27  of the any special revenue fund of the department of transportation,
28  which was established under the Kansas quality program under K.S.A.
29  1996 Supp. 75-37,115 and amendments thereto or which was appropri-
30  ated by subsection (b) of section 125 of chapter 191 of the 1996 Session
31  Laws of Kansas and which is not otherwise specifically appropriated or
32  limited by this or other appropriation act of the 1997 regular session of
33  the legislature, is hereby appropriated for the fiscal year ending June 30,
34  1998, for the purposes authorized in subsection (a). All expenditures from
35  any such Kansas quality management account or KQM expenditures ac-
36  count of any such special revenue fund shall be in addition to any ex-
37  penditure limitation imposed on such special revenue fund for the fiscal
38  year ending June 30, 1998.
39    (c) No salary bonus payment paid pursuant to this section during fiscal
40  year 1998 shall be compensation, within the meaning of K.S.A. 74-4901
41  et seq., and amendments thereto, for any purpose under the Kansas pub-
42  lic employees retirement system and shall not be subject to deductions
43  for employee contributions thereunder. Each salary bonus payment paid
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 1  under this section shall be a bonus, as defined by 29 C.F.R. 778, and shall
 2  be in addition to the regular earnings which that employee may be enti-
 3  tled or for which the employee may become eligible.
 4    Sec. 44.
 5  KANSAS RACING AND GAMING COMMISSION
 6    (a)  On July 1, 1997, the transfer date established by section 50(h) of
 7  1997 Senate Substitute for House Bill No. 2160 for the above agency is
 8  hereby changed from July 1, 1997, to December 31, 1997.
 9    (b)  On July 1, 1997, the expenditure limitation established by section
10  50(b) of 1997 Senate Substitute for House Bill No. 2160 on the state
11  racing fund is hereby increased from $2,003,453 to $2,013,703.
12    [(c)  On July 1, 1997, the expenditure limitation established by
13  section 50(b) of 1997 Senate Substitute for House Bill No. 2160 on
14  the horse fair racing benefit fund is hereby increased from $400,000
15  to No limit.
16    [(d)  The director of accounts and reports shall not make the
17  transfer of $200,000 from the horse fair racing benefit fund to the
18  state racing fund which was directed to be made on July 1, 1997,
19  by section 50(h) of 1997 Senate Substitute for House Bill No. 2160.]
20    Sec. 45.
21  DEPARTMENT OF CORRECTIONS
22    (a)  There is appropriated for the above agency from the state general
23  fund for the fiscal year or years specified, the following:
24  Capacity expansion planning fund
25    For the fiscal year ending June 30, 1997............................... $676,956
26  Provided, That no expenditures may be made from the above account except upon approval
27  of the state finance council acting on this matter which is hereby characterized as a matter
28  of legislative delegation and subject to the guidelines prescribed by subsection (c) of K.S.A.
29  75-3711c and amendments thereto after the review of the recommendations of the joint
30  committee on state building construction: Provided further, That the department of cor-
31  rections shall issue a request for proposal for the designing, construction and operation of
32  a 400-bed medium custody adult male correctional facility: And provided further, That,
33  upon receipt of the responses to the department of corrections' request for proposals, the
34  department shall review its recommendations with the joint committee on state building
35  construction: And provided further, That any unencumbered balance in excess of $100 as
36  of June 30, 1997, is hereby reappropriated for fiscal year 1998.
37  Facility operations
38    For the fiscal year ending June 30, 1998................................ $85,628
39  Community correctional conservation camp
40    For the fiscal year ending June 30, 1998............................... $297,500
41  Treatment and programs
42    For the fiscal year ending June 30, 1998............................... $384,700
43    (b)  On July 1, 1997, of the $7,294,000 appropriated for the above
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 1  agency for the fiscal year ending June 30, 1998, by section 6(a) of 1997
 2  Senate Substitute for House Bill No. 2166 from the state general fund in
 3  the debt service payment for the revenue refunding bond issue account,
 4  the sum of $750,000 is hereby lapsed.
 5    (c)  On the effective date of this act, the $51,000 appropriated for the
 6  above agency for the fiscal year ending June 30, 1997, by section 39(a) of
 7  1997 Senate Substitute for House Bill No. 2272 from the state general
 8  fund in the treatment and programs account, is hereby lapsed.
 9    (d)  There is appropriated for the above agency from the correctional
10  institutions building fund for the fiscal year or years specified, for the
11  capital improvement project or projects specified as follows:
12  Debt service payment for revenue bond issue
13    For the fiscal year ending June 30, 1998............................... $750,000
14  Construction of 32-bed unit at Hutchinson correctional facility south unit
15    For the fiscal year ending June 30, 1998............................... $227,497
16    (e)  In addition to the other purposes for which expenditures may be
17  made by the above agency from the planning for new general housing
18  population units account of the correctional institutions building fund for
19  the fiscal year ending June 30, 1997, as authorized by section 33 of chapter
20  259 of the 1996 Session Laws of Kansas, and for the fiscal year ending
21  June 30, 1998, as authorized by section 28 of 1997 Senate Substitute for
22  House Bill No. 2166, expenditures may be made by the above agency
23  from the planning for new general housing population units account of
24  the correctional institutions building fund for fiscal year 1997 and fiscal
25  year 1998 for the department of corrections to issue a request for pro-
26  posals for the design, construction and operation of a 400-bed medium
27  custody male correctional facility: Provided, That expenditures for such
28  purposes from the correctional institutions building fund for fiscal year
29  1997 shall not exceed $76,010.
30    (f)  In addition to the other purposes for which expenditures may be
31  made by the above agency from the planning for new general housing
32  population units account of the correctional institutions building fund for
33  the fiscal year ending June 30, 1997, as authorized by section 33 of chapter
34  259 of the 1996 Session Laws of Kansas, and for the fiscal year ending
35  June 30, 1998, as authorized by section 28 of 1997 Senate Substitute for
36  House Bill No. 2166, expenditures may be made by the above agency
37  from the planning for new general housing population units account of
38  the correctional institutions building fund for fiscal year 1997 and for
39  fiscal year 1998 for prison expansion planning: Provided, That expendi-
40  tures from such account of such fund for fiscal year 1997 for such pur-
41  poses shall not exceed $100,000.
42    (g)  There is appropriated for the above agency from the following
43  special revenue fund or funds for the fiscal year or years specified, all
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 1  moneys now or hereafter lawfully credited to and available in such fund
 2  or funds, except that expenditures other than refunds authorized by law
 3  shall not exceed the following:
 4  Violent offender incarceration and truth in sentencing incentive grants=m
 5    federal fund[epFor the fiscal year ending June 30, 1998................ No limit
 6  El Dorado site utilities replacement revenue fund
 7    For the fiscal year ending June 30, 1998............................... No limit
 8  Provided, That the department of corrections may make expenditures from the El Dorado
 9  site utilities replacement revenue fund for the capital improvement project for replacement
10  of site utilities at the El Dorado correctional facility: Provided further, That the capital
11  improvement project for site utilities replacement at the El Dorado correctional facility is
12  hereby approved for the department of corrections for the purpose of subsection (b) of
13  K.S.A. 74-8905 and amendments thereto and the authorization of the issuance of bonds by
14  the Kansas development finance authority in accordance with the statute: Provided, how-
15  ever, That expenditures from this fund for such capital improvement project shall not exceed
16  $5,637,316 plus all amounts required for costs of any bonds issuance, costs of interest on
17  any bond issued or obtained for such capital improvement project and any required reserves
18  for payment of principal and interest on any bond: And provided further, That all moneys
19  received from the issuance of any such bonds shall be deposited in the state treasury to the
20  credit of this fund.
21  Correctional facilities expansion projects revenue fund
22    For the fiscal year ending June 30, 1998............................... No limit
23  Provided, That the department of corrections may make expenditures from the correctional
24  facilities expansion projects revenue fund for the capital improvement projects for expansion
25  of correctional facilities at Hutchinson and Norton: Provided further, That the capital im-
26  provement projects for expansion of correctional facilities at Hutchinson and Norton are
27  hereby approved for the department of corrections for the purposes of subsection (b) of
28  K.S.A. 74-8905 and amendments thereto and the authorization of the issuance of bonds by
29  the Kansas development finance authority in accordance with that statute: Provided, how-
30  ever, That expenditures from this fund for such capital improvement project shall not exceed
31  $7,481,057 plus all amounts required for costs of any bond issuance, costs of interest on any
32  bond issued or obtained for such capital improvement project and any required reserves for
33  payment of principal and interest on any bond: And provided further, That all moneys
34  received from the issuance of any such bonds shall be deposited in the state treasury to the
35  credit of this fund: And provided further, That no bonds shall be issued for expansion of
36  correctional facilities except upon approval of the state finance council acting on this matter
37  which is hereby characterized as a matter of legislative delegation and subject to the guide-
38  lines prescribed by subsection (c) of K.S.A. 75-3711c and amendments thereto.
39    (h)  In addition to the other purposes for which expenditures may be
40  made by the above agency from the state of Kansas--department of cor-
41  rections inmate benefit fund for the fiscal year ending June 30, 1998, as
42  authorized by section 81(b) of 1997 Senate Substitute for House Bill No.
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 1  2160, expenditures may be made by the above agency from the state of
 2  Kansas--department of corrections inmate benefit fund for fiscal year
 3  1998 to fund the operation of visitors centers administration costs and
 4  operations at Ellsworth and Norton correctional facilities: Provided, That
 5  expenditures for such purposes from the state of Kansas--department of
 6  corrections inmate benefit fund for fiscal year 1998 shall not exceed
 7  $119,029.
 8    (i)  In addition to the other purposes for which expenditures may be
 9  made by the above agency from the Hutchinson correctional facility--
10  inmate benefit fund for the fiscal year ending June 30, 1998, as authorized
11  by section 81(b) of 1997 Senate Substitute for House Bill No. 2160, ex-
12  penditures may be made by the above agency from the Hutchinson cor-
13  rectional facility--inmate benefit fund for fiscal year 1998 to fund the
14  operation of the visitors center at the Hutchinson correctional facility:
15  Provided, That expenditures for such purposes from the Hutchinson cor-
16  rectional facility--inmate benefit fund for fiscal year 1998 shall not exceed
17  $47,388.
18    (j)  In addition to the other purposes for which expenditures may be
19  made by the above agency from the Lansing correctional facility--inmate
20  benefit fund for the fiscal year ending June 30, 1998, as authorized by
21  section 81(b) of 1997 Senate Substitute for House Bill No. 2160, ex-
22  penditures may be made by the above agency from the Lansing correc-
23  tional facility--inmate benefit fund for fiscal year 1998 to fund the op-
24  eration of the visitors center at Lansing correctional facility: Provided,
25  That expenditures for such purposes from the Lansing correctional facil-
26  ity--inmate benefit fund for fiscal year 1998 shall not exceed $46,657.
27    (k)  On July 1, 1997, the amounts specified in section 81(c) of 1997
28  Senate Substitute for House Bill No. 2160 as being included in the facil-
29  ities operations account of the state general fund for the following cor-
30  rectional institutions and facilities are hereby changed to the amounts
31  specified therefor, but expenditures from the facilities operations account
32  of the state general fund shall not be limited to or be required to be made
33  in the amount listed for the correctional institution or facility, as follows:
34    (1) The amount for the Lansing correctional facility is hereby decreased
35  from $29,593,454 to $29,532,082; (2) the amount for the Topeka correc-
36  tional facility is hereby increased from $11,982,942 to $12,129,942.
37    (l)  On July 1, 1997, the position limitation established by section 81(f)
38  of 1997 Senate Substitute for House Bill No. 2160 for the above agency
39  is hereby increased from 3,016.5 to 3,019.5.
40    Sec. 46.
41  OMBUDSMAN OF CORRECTIONS
42    (a)  There is appropriated for the above agency from the state general
43  fund for the fiscal year or years specified, the following:
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 1  Any unencumbered balance in excess of $100 as of June 30, 1997, in each of the following
 2  accounts is hereby reappropriated for fiscal year 1998:  Adult corrections oversight.
 3    Sec. 47.
 4  BOARD OF ACCOUNTANCY
 5    (a)  In addition to the other purposes for which expenditures may be
 6  made by the above agency from the board of accountancy fee fund for
 7  the fiscal year ending June 30, 1997, as authorized by section 3(a) of
 8  chapter 224 of the 1995 Session Laws of Kansas, section 7 of chapter 191
 9  of the 1996 Session Laws of Kansas, or by this or other appropriation act
10  of the 1997 regular session of the legislature, expenditures may be made
11  by the above agency from the board of accountancy fee fund for fiscal
12  year 1997 for certified public accountant examination services for the
13  administration of the certified public accountant examination in May,
14  1997: Provided, That all expenditures for such certified public accountant
15  examination services shall be in addition to any expenditure limitation
16  imposed upon the board of accountancy fee fund for fiscal year 1997:
17  Provided, however, That expenditures from the board of accountancy fee
18  fund for fiscal year 1997 for such certified public accountant examination
19  services shall not exceed $120,000.
20    Sec. 48.
21  DEPARTMENT OF ADMINISTRATION
22    (a)  There is appropriated for the above agency from the state general
23  fund for the fiscal year or years specified, the following:
24  State personnel and payroll system upgrade
25    For the fiscal year ending June 30, 1997............................. $3,800,000
26  Provided, That any unencumbered balance in the state personnel and payroll system up-
27  grade account in excess of $100 as of June 30, 1997, is hereby reappropriated for fiscal year
28  1998.
29  Year 2000 computer repair for state agencies
30    For the fiscal year ending June 30, 1997............................... $800,000
31    For the fiscal year ending June 30, 1998............................. $4,653,012
32  Provided, That any unencumbered balance in the year 2000 computer repair for state agen-
33  cies account in excess of $100 as of June 30, 1997, is hereby reappropriated for fiscal year
34  1998.
35  Insurance for state buildings
36    For the fiscal year ending June 30, 1998................................ $27,000
37  Facilities management
38    For the fiscal year ending June 30, 1998................................. $5,014
39    (b)  There is appropriated for the above agency from the following
40  special revenue fund or funds for the fiscal year or years specified, all
41  moneys now or hereafter lawfully credited to and available in such fund
42  or funds, except that expenditures other than refunds authorized by law
43  shall not exceed the following:
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 1  Wyandotte county consolidation study fund
 2    For the fiscal year ending June 30, 1998............................... No limit
 3  Provided, That, upon certification by the director of the budget, the director of accounts
 4  and reports shall transfer the unencumbered balance in the Wyandotte county consolidation
 5  study fund to Wyandotte county, to Kansas City, Kansas, and to the strategic action grants
 6  subaccount of the Kansas economic development endowment account of the state economic
 7  development initiatives fund of the department of commerce and housing in the same
 8  proportion that each contributed to the Wyandotte county consolidation study fund: Pro-
 9  vided further, That no unencumbered balance shall be returned to Wyandotte county until
10  $10,000 has been returned to Kansas City, Kansas, and $10,000 has been returned to the
11  strategic action grants subaccount of the Kansas economic development endowment account
12  of the state economic development initiatives fund of the department of commerce and
13  housing: And provided further, That, upon completion of such fund transfers, the Wyandotte
14  county consolidation study fund is hereby abolished.
[State capitol dome sculpture fund
15    [For the fiscal year ending June 30, 1998.............................. No limit
16  [Provided, That, notwithstanding the provisions of K.S.A. 75-2249 and amendments
17  thereto, all expenditures from the state capitol dome sculpture fund shall be made
18  in accordance with appropriation acts upon warrants of the director of accounts and
19  reports issued pursuant to vouchers approved by the secretary of administration, or
20  the secretary's designee: Provided further, That all moneys received by the department
21  of administration in the form of grants, gifts, contributions or bequests made for the
22  purpose of financing the cost of acquiring and placing atop the capitol the work of
23  sculpture selected pursuant to statute shall be deposited in the state treasury and
24  credited to this fund and all such grants, gifts, contributions or bequests are hereby
25  authorized to be received by the department of administration.]
26    (c)  On July 1, 1997, of the $2,866,873 appropriated for the above
27  agency for the fiscal year ending June 30, 1998, by section 9(a) of 1997
28  Senate Substitute for House Bill No. 2166 from the state general fund in
29  the energy conservation improvements--debt service account, the sum
30  of $44,553 is hereby lapsed.
31    (d)  On July 1, 1997, of the $2,683,876 appropriated for the above
32  agency for the fiscal year ending June 30, 1998, by section 45(a) of 1997
33  Senate Substitute for House Bill No. 2160 from the state general fund in
34  the accounting and reporting services account, the sum of $58,168 is
35  hereby lapsed.
36    (e)  On July 1, 1997, the position limitation established by section 46
37  of 1997 Senate Substitute for House Bill No. 2160 for the above agency
38  is hereby decreased from 851.4 to 847.4.
39    [(f)  On the effective date of this act, or as soon thereafter as
40  moneys are available during fiscal year 1997 or fiscal year 1998,
41  the director of accounts and reports shall transfer amounts specified
42  by the secretary of administration of not to exceed a total of $18,400
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43

 1  from the state capitol dome sculpture fund to the Kansas economic
 2  development endowment account of the state economic develop-
 3  ment initiatives fund of the department of commerce and housing,
 4  for the purpose of reimbursing the Kansas economic development
 5  endowment account of the state economic development initiatives
 6  fund of the department of commerce and housing.]
 7    [(f)  In addition to the other purposes for which expenditures
 8  may be made by the above agency from the dependent care assis-
 9  tance program fund for the fiscal years ending June 30, 1997, and
10  June 30, 1998, as authorized by this or other appropriation act of
11  the 1996 or 1997 regular session of the legislature, expenditures
12  may be made by the above agency from the dependent care assis-
13  tance program fund for fiscal year 1997 and fiscal year 1998 to
14  participate in a demonstration customer satisfaction survey: Pro-
15  vided, That expenditures from the dependent care assistance pro-
16  gram fund for fiscal year 1997 and fiscal year 1998 to participate
17  in a demonstration customer satisfaction survey shall not exceed
18  $25,000.]
19    Sec. 49.  (a) Except as otherwise provided in this section or as spe-
20  cifically authorized by an act of the legislature enacted during the 1997
21  or 1998 regular session of the legislature, no expenditures shall be made
22  by any state agency from any moneys appropriated for the fiscal years
23  ending June 30, 1997, or June 30, 1998, by any appropriation act enacted
24  by the legislature during the 1996 regular session, by this act or by any
25  other appropriation act of the 1997 regular session of the legislature, or
26  by any appropriation act enacted during the 1998 regular session of the
27  legislature, for any expenses for the sale, exchange, or other disposition
28  conveying title for any state property, as defined by this section, and no
29  state property, as defined by the section, shall be sold, exchanged or
30  otherwise conveyed or disposed of by any state agency: Provided, how-
31  ever, That expenditures may be made by a state agency for the expenses
32  of the sale, exchange, or other disposition conveying title for any such
33  state property upon specific authorization by the state finance council
34  acting on this matter which is hereby characterized as a matter of legis-
35  lative delegation and subject to the guidelines prescribed in subsection
36    (c) of K.S.A. 75-3711c and amendments thereto, and such specified state
37  property may be sold, exchanged or otherwise conveyed or disposed of
38  by the state agency in accordance with such authorization by the state
39  finance council: Provided further, That the net proceeds from the sale of
40  any Winfield state hospital and training center property shall be deposited
41  in the state treasury to the credit of the Winfield properties special rev-
42  enue fund of the department of administration [social and rehabilita-
43  tion services]: And provided further, That the net proceeds from the
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 1  sale of any Topeka state hospital property shall be deposited in the state
 2  treasury to the credit of the Topeka state hospital transition fund of the
 3  department of administration.
 4    (b) (1)  As used in this section, ``state property'' means all Topeka
 5  state hospital property and all Winfield state hospital and training center
 6  property;
 7    (2)  ``Topeka state hospital property'' means all state-owned land and
 8  improvements in the city of Topeka, KS, which is in the area bounded by
 9  west sixth street on the south, MacVicar Avenue on the east, Interstate
10  70 on the north and Oakley Avenue on the west, including the adjacent
11  state-owned land west of Oakley Avenue; and
12    (3)  ``Winfield state hospital and training center property'' means all
13  state-owned land and improvements in the city of Winfield, KS, and
14  Cowley county located in the southwest quarter of section 14, the south-
15  east quarter of section 15 and part of the northwest quarter of section 15
16  east of the center of Timber Creek, all located in township 32 south,
17  range 4 east of the 6th P.M.
18    Sec. 50.
19  DEPARTMENT OF ADMINISTRATION
20    (a)  There is appropriated for the above agency from the following
21  special revenue fund or funds for the fiscal year or years specified, all
22  moneys now or hereafter lawfully credited to and available in such fund
23  or funds, except that expenditures other than refunds authorized by law
24  shall not exceed the following:
25  Winfield properties special revenue fund
26    For the fiscal year ending June 30, 1997............................... No limit
27  Provided, That expenditures may be made from the Winfield properties special revenue
28  fund for the fiscal year ending June 30, 1997, for operating expenditures for the operation
29  and maintenance of the Winfield state hospital and training center property, including any
30  expenses for operating heating plants and other facilities and for the security and repair of
31  the state property only upon specific authorization by the state finance council acting on
32  this matter which is hereby characterized as a matter of legislative delegation and subject
33  to the guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto:
34  Provided further, That the secretary of administration is hereby authorized to fix, charge
35  and collect fees for operating expenses incurred to provide heating services for buildings
36  and facilities on the Winfield state hospital and training center property: And provided
37  further, That such fees shall be fixed in order to recover all or part of such operating
38  expenses: And provided further, That all moneys received for such fees shall be deposited
39  in the state treasury to the credit of this fund: And provided further, That, notwithstanding
40  the provisions of K.S.A. 75-3307 and 75-3316 and amendments thereto, the secretary of
41  administration is hereby given temporary custody of the Winfield state hospital and training
42  center property and is authorized to permit the use of the Winfield state hospital and training
43  center property by other state agencies, to enter into agreements with such state agencies
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45

 1  therefor, including contracting with the Kansas commission on veterans affairs, for main-
 2  tenance of the Winfield state hospital and training center property, and to fix and alter
 3  charges for the use of the Winfield state hospital and training center property in such
 4  amounts as the secretary of administration may determine to be beneficial or necessary.
 5    For the fiscal year ending June 30, 1998............................... No limit
 6  Provided, That expenditures may be made from the Winfield properties special revenue
 7  fund for the fiscal year ending June 30, 1998, for operating expenditures for the operation
 8  and maintenance of the Winfield state hospital and training center property, including any
 9  expenses for operating heating plants and other facilities and for the security and repair of
10  the state property only upon specific authorization by the state finance council acting on
11  this matter which is hereby characterized as a matter of legislative delegation and subject
12  to the guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto:
13  Provided further, That the secretary of administration is hereby authorized to fix, charge
14  and collect fees for operating expenses incurred to provide heating services for buildings
15  and facilities on the Winfield state hospital and training center property: And provided
16  further, That such fees shall be fixed in order to recover all or part of such operating
17  expenses: And provided further, That all moneys received for such fees shall be deposited
18  in the state treasury to the credit of this fund: And provided further, That, notwithstanding
19  the provisions of K.S.A. 75-3307 and 75-3316 and amendments thereto, the secretary of
20  administration is hereby given temporary custody of the Winfield state hospital and training
21  center property and is authorized to permit the use of the Winfield state hospital and training
22  center property by other state agencies, to enter into agreements with such state agencies
23  therefor, including contracting with the Kansas commission on veterans affairs, for main-
24  tenance of the Winfield state hospital and training center property, and to fix and alter
25  charges for the use of the Winfield state hospital and training center property in such
26  amounts as the secretary of administration may determine to be beneficial or necessary.
27    (b)  In addition to the other purposes for which expenditures may be
28  made by the above agency from the Winfield properties special revenue
29  fund for the fiscal years ending June 30, 1997, and June 30, 1998, as
30  authorized by this or other appropriation act of the 1997 regular session
31  of the legislature, expenditures may be made by the above agency from
32  the Winfield properties special revenue fund for fiscal year 1997 and fiscal
33  year 1998 for (1) expenses related to the review and consideration of
34  proposals and other matters relating to the potential disposition of the
35  Winfield state hospital and training center property, including, but not
36  limited to, expenditures for members of the legislature who are members
37  of any advisory committee established therefor by the secretary of ad-
38  ministration for per diem compensation, subsistence allowances, mileage
39  and other expenses as provided in K.S.A. 75-3212 or 75-3223 and amend-
40  ments thereto for attending meetings of such advisory committee, or at-
41  tending a subcommittee meeting thereof authorized by such advisory
42  committee, and (2) any expenses relating to any sale of any Winfield state
43  hospital and training center property, as defined by this section.
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 1    (c)  In addition to the other purposes for which expenditures may be
 2  made by the above agency from moneys appropriated from the state gen-
 3  eral fund or any special revenue fund for the fiscal year ending June 30,
 4  1997, as authorized by section 80 of chapter 191 or section 42 of chapter
 5  272 of the 1996 Session Laws of Kansas or by section 14 of 1997 Senate
 6  Substitute for House Bill No. 2272, or for the fiscal year ending June 30,
 7  1998, as authorized by section 45 of 1997 Senate Substitute for House
 8  Bill No. 2160, or for each such fiscal year as authorized by this or other
 9  appropriation act of the 1997 regular session of the legislature, expendi-
10  tures may be made by the above agency from the moneys appropriated
11  from the state general fund or from any special revenue fund for fiscal
12  year 1997 and for fiscal year 1998 for operating expenditures for the
13  operation and maintenance of the Winfield state hospital and training
14  center property, including any expenses for operating heating plants and
15  other facilities and for the security and repair of the Winfield state hos-
16  pital and training center property: Provided, That all expenditures from
17  any special revenue fund for such purposes shall be in addition to any
18  expenditure limitation imposed on such special revenue fund for fiscal
19  year 1998: Provided further, That any full-time or regular part-time po-
20  sitions established by the above agency for such purposes, approved by
21  the governor and paid from appropriations for fiscal year 1998 shall be
22  in addition to any limitation established for the above agency by this or
23  other appropriation act of the 1997 regular session of the legislature, on
24  the number of full-time or regular part-time positions equated to full-
25  time, excluding seasonal and temporary positions, paid from appropria-
26  tions for fiscal year 1998.
27    (d) (1)  As used in this section, ``state property'' means all Topeka
28  state hospital property and all Winfield state hospital and training center
29  property;
30    (2)  ``Topeka state hospital property'' means all state-owned land and
31  improvements in the city of Topeka, KS, which is in the area bounded by
32  west sixth street on the south, MacVicar avenue on the east, Interstate
33  70 on the north and Oakley Avenue on the west, including the adjacent
34  state-owned land west of Oakley Avenue; and
35    (3)  ``Winfield state hospital and training center property'' means all
36  state-owned land and improvements in the city of Winfield, KS, and
37  Cowley county located in the southwest quarter of section 14, the south-
38  east quarter of section 15 and part of the northwest quarter of section 15
39  east of the center of Timber Creek, all located in township 32 south,
40  range 4 east of the 6th P.M.
41    Sec. 51.
42  DEPARTMENT OF SOCIAL AND REHABILITATION SERVICES
43    (a)  In addition to the other purposes for which expenditures may be
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47

 1  made by the above agency from moneys appropriated from the state gen-
 2  eral fund or any special revenue fund for the fiscal year ending June 30,
 3  1997, as authorized by section 115 of chapter 191 or section 25 of chapter
 4  272 of the 1996 Session Laws of Kansas, section 22 of 1997 Senate Sub-
 5  stitute for House Bill No. 2272, or by this or other appropriation act of
 6  the 1997 regular session of the legislature, expenditures may be made by
 7  the above agency from the moneys appropriated from the state general
 8  fund or from any special revenue fund for fiscal year 1997 for the sale to
 9  unified school district 501 of capital city high school: Provided, That the
10  sale of capital city high school to unified school district 501 is hereby
11  specifically authorized by act of the legislature: Provided, however, That
12  unified school district 501 shall not sell or otherwise dispose of capital
13  city high school within 10 years of the sale authorized by this act: Provided
14  further, That the sale of capital city high school shall not be subject to
15  the provisions of the state surplus property act, K.S.A. 75-6601 through
16  75-6608, and amendments thereto, or the competitive bidding require-
17  ments of K.S.A. 75-3738 through 75-3744, and amendments thereto: And
18  provided further, That the net proceeds from the sale of capital city high
19  school shall be deposited in the state treasury to the credit of the Topeka
20  state hospital transition fund of the department of administration.
21    (b) (1)  As used in this section, ``state property'' means all Topeka
22  state hospital property and all Winfield state hospital and training center
23  property;
24    (2)  ``Topeka state hospital property'' means all state-owned land and
25  improvements in the city of Topeka, KS, which is in the area bounded by
26  west sixth street on the south, MacVicar avenue on the east, Interstate
27  70 on the north and Oakley Avenue on the west, including the adjacent
28  state-owned land west of Oakley Avenue;
29    (3)  ``capital city high school'' means the real and personal property
30  and improvements located on the Topeka state hospital property known
31  as capital city high school and includes the facilities and equipment of
32  capital city high school, the school shop building, the five Erickson build-
33  ings and up to approximately 27 acres of land adjacent to the capital city
34  high school building; and
35    (4)  ``Winfield state hospital and training center property'' means all
36  state-owned land and improvements in the city of Winfield, KS, and
37  Cowley county located in the southwest quarter of section 14, the south-
38  east quarter of section 15 and part of the northwest quarter of section 15
39  east of the center of Timber Creek, all located in township 32 south,
40  range 4 east of the 6th P.M.
41    Sec. 52.
42  DEPARTMENT OF ADMINISTRATION
43    (a)  There is appropriated for the above agency from the state general
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48

 1  fund for the fiscal year or years specified, the following:
 2  Topeka state hospital transition operations
 3    For the fiscal year ending June 30, 1998............................... $500,000
 4  Provided, That expenditures may be made from the Topeka state hospital transition oper-
 5  ations account for operation and maintenance of the Topeka state hospital property: Pro-
 6  vided, however, That no expenditures shall be made from the Topeka state hospital transition
 7  operations account except upon approval of the state finance council acting on this matter
 8  which is hereby characterized as a matter of legislative delegation and subject to the guide-
 9  lines prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto.
10    (b)  There is appropriated for the above agency from the following
11  special revenue fund for the fiscal year or years specified, all moneys now
12  or hereafter lawfully credited to and available in such fund or funds,
13  except that expenditures other than refunds authorized by law shall not
14  exceed the following:
15  Topeka state hospital transition fund
16    For the fiscal year ending June 30, 1998............................... No limit
17  Provided, That expenditures may be made from the Topeka state hospital transition fund
18  for the fiscal year ending June 30, 1998, for operating expenditures for the operation and
19  maintenance of the Topeka state hospital property, including any expenses for operating
20  heating plants and other facilities and for the security and repair of the Topeka state hospital
21  property: Provided further, That, notwithstanding the provisions of K.S.A. 75-3307 and 75-
22  3316 and amendments thereto, the secretary of administration is hereby given temporary
23  custody and control of the Topeka state hospital property and is authorized to permit the
24  use of the Topeka state hospital property by other state agencies, to enter into agreements
25  with such state agencies therefor, to fix and alter charges for use of the Topeka state hospital
26  property in such amounts as the secretary of administration may determine to be beneficial
27  or necessary, and to fix, charge and collect fees for operating expenses incurred to provide
28  heating services for buildings and facilities on the Topeka state hospital property: And pro-
29  vided further, That such fees shall be fixed in order to recover all or part of such operating
30  expenses: And provided further, That, notwithstanding the provisions of K.S.A. 75-3316 and
31  amendments thereto, all moneys received for such charges or fees shall be deposited in the
32  state treasury to the credit of this fund.
33    (c)  In addition to the other purposes for which expenditures may be
34  made by the above agency from moneys appropriated from the state gen-
35  eral fund or any special revenue fund for the fiscal year ending June 30,
36  1998, as authorized by section 45 of 1997 Senate Substitute for House
37  Bill No. 2160 or by this or any other appropriation act of the 1997 regular
38  session of the legislature, expenditures may be made by the above agency
39  from the moneys appropriated from the state general fund or from any
40  special revenue fund for fiscal year 1998 for operating expenditures for
41  the operation and maintenance of the Topeka state hospital property,
42  including any expenses for operating heating plants and other facilities
43  and for the security and repair of the Topeka state hospital property:
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49

 1  Provided, That all expenditures from any such special revenue fund for
 2  such purposes shall be in addition to any expenditure limitation imposed
 3  on such special revenue fund for fiscal year 1998.
 4    (d)  In addition to the other purposes for which expenditures may be
 5  made by the above agency from moneys appropriated from the state gen-
 6  eral fund or any special revenue fund for the fiscal year ending June 30,
 7  1998, as authorized by section 45 of 1997 Senate Substitute for House
 8  Bill No. 2160 or by this or any other appropriation act of the 1997 regular
 9  session of the legislature, expenditures may be made by the above agency
10  from the moneys appropriated from the state general fund or from any
11  special revenue fund for fiscal year 1998 for operating expenditures for
12  a total of 24 additional full-time and regular part-time positions equated
13  to full-time, which full-time equivalent positions shall be in addition to
14  the number of full-time and regular part-time positions equated to full-
15  time, excluding seasonal and temporary positions, authorized under this
16  or other appropriation act of 1997 regular session of the legislature: Pro-
17  vided, That such expenditures for such additional full-time equivalent
18  positions shall be subject to approval by the state finance council acting
19  on this matter which is hereby characterized as a matter of legislative
20  delegation and subject to the guidelines prescribed in subsection (c) of
21  K.S.A. 75-3711c: Provided further, That any employee, who is transferred
22  from the Topeka state hospital to the department of administration upon
23  assumption of temporary custody and control of Topeka state hospital
24  property by the secretary of administration and who is subsequently laid
25  off from the department of administration due to sale or other disposition
26  of the Topeka state hospital property, shall be provided with the same
27  rights and benefits available to other employees of Topeka state hospital
28  who are laid off upon closure of Topeka state hospital: And provided
29  further, That any expenditures for such rights and benefits shall be funded
30  and paid in the same manner as prescribed by law for other employees
31  of Topeka state hospital who are laid off upon closure of Topeka state
32  hospital.
33    (e)  In addition to the other purposes for which expenditures may be
34  made by the above agency from moneys appropriated from the state gen-
35  eral fund or any special revenue fund for the fiscal year ending June 30,
36  1997, as authorized by section 80 of chapter 191 of the 1996 Session Laws
37  of Kansas, section 14 of 1997 Senate Substitute for House Bill No. 2272
38  and this or other appropriation act of the 1997 regular session of the
39  legislature, and for the fiscal year ending June 30, 1998, as authorized by
40  section 45 of 1997 Senate Substitute for House Bill No. 2160 or by this
41  or any other appropriation act of the 1997 regular session of the legisla-
42  ture, expenditures may be made by the above agency from moneys ap-
43  propriated from the state general fund or from any special revenue fund
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50

 1  for fiscal year 1998 for (1) expenses related to the review and consider-
 2  ation of proposals and other matters relating to the potential disposition
 3  of the Topeka state hospital property, as defined by this section, including,
 4  but not limited to, expenditures for members of the legislature who are
 5  members of any advisory committee which is hereby authorized to be
 6  established for such purposes by the secretary of administration, for per
 7  diem compensation, subsistence allowances, mileage and other expenses
 8  as provided in K.S.A. 75-3212 or 75-3223 and amendments thereto for
 9  attending meetings of such advisory committee, or attending a subcom-
10  mittee meeting thereof authorized by such advisory committee, and (2)
11  any expenses relating to any sale of any Topeka state hospital property,
12  as defined by this section.
13    (f)  As used in this section, ``Topeka state hospital property'' means all
14  state-owned land and improvements in the city of Topeka, KS, which is
15  in the area bounded by west sixth street on the south, MacVicar Avenue
16  on the east, Interstate 70 on the north, and Oakley Avenue on the west,
17  including the adjacent state-owned land west of Oakley Avenue.
18    [Sec. 50.
19  [DEPARTMENT OF SOCIAL AND REHABILITATION SERVICES
20    [(a)  There is appropriated for the above agency from the fol-
21  lowing special revenue fund or funds for the fiscal year or years
22  specified, all moneys now or hereafter lawfully credited to and
23  available in such fund or funds, except that expenditures other than
24  refunds authorized by law shall not exceed the following:
[Winfield properties special revenue fund
25    [For the fiscal year ending June 30, 1997.............................. No limit
26  [Provided, That expenditures may be made from the Winfield properties special rev-
27  enue fund for the fiscal year ending June 30, 1997, for operating expenditures for
28  the operation and maintenance of the Winfield state hospital and training center
29  property, including any expenses for operating heating plants and other facilities
30  and for the security and repair of the state property: Provided further, That the sec-
31  retary of social and rehabilitation services is hereby authorized to fix, charge and
32  collect fees for operating expenses incurred to provide heating services for buildings
33  and facilities on the Winfield state hospital and training center property: And pro-
34  vided further, That such fees shall be fixed in order to recover all or part of such
35  operating expenses: And provided further, That all moneys received for such fees shall
36  be deposited in the state treasury to the credit of this fund.
37    [For the fiscal year ending June 30, 1998.............................. No limit
38  [Provided, That expenditures may be made from the Winfield properties special rev-
39  enue fund for the fiscal year ending June 30, 1998, for operating expenditures for
40  the operation and maintenance of the Winfield state hospital and training center
41  property, including any expenses for operating heating plants and other facilities
42  and for the security and repair of the state property: Provided further, That the sec-
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51

 1  retary of social and rehabilitation services is hereby authorized to fix, charge and
 2  collect fees for operating expenses incurred to provide heating services for buildings
 3  and facilities on the Winfield state hospital and training center property: And pro-
 4  vided further, That such fees shall be fixed in order to recover all or part of such
 5  operating expenses: And provided further, That all moneys received for such fees shall
 6  be deposited in the state treasury to the credit of this fund.
 7    [(b)  In addition to the other purposes for which expenditures
 8  may be made by the above agency from the Winfield properties
 9  special revenue fund for the fiscal years ending June 30, 1997, and
10  June 30, 1998, as authorized by this or other appropriation act of
11  the 1997 regular session of the legislature, expenditures may be
12  made by the above agency from the Winfield properties special rev-
13  enue fund for fiscal year 1997 and fiscal year 1998 for (1) expenses
14  related to the review and consideration of proposals and other mat-
15  ters relating to the potential disposition of the Winfield state hos-
16  pital and training center property, including, but not limited to,
17  expenditures for members of the legislature who are members of
18  any advisory committee established therefor by the secretary of so-
19  cial and rehabilitation services for per diem compensation, subsis-
20  tence allowances, mileage and other expenses as provided in K.S.A.
21  75-3212 or 75-3223 and amendments thereto for attending meetings
22  of such advisory committee, or attending a subcommittee meeting
23  thereof authorized by such advisory committee, and (2) any ex-
24  penses relating to any sale of any Winfield state hospital and train-
25  ing center property, as defined by this section.
26    [(c)  In addition to the other purposes for which expenditures
27  may be made by the above agency from moneys appropriated from
28  the state general fund or any special revenue fund for the fiscal year
29  ending June 30, 1997, as authorized by section 115 of chapter 191
30  or section 25 of chapter 272 of the 1996 Session Laws of Kansas,
31  section 22 of 1997 Senate Substitute for House Bill No. 2272, or by
32  this or other appropriation act of the 1997 regular session of the
33  legislature, expenditures may be made by the above agency from
34  the moneys appropriated from the state general fund or from any
35  special revenue fund for fiscal year 1997 for the sale to unified
36  school district 501 of capital city high school: Provided, That the
37  sale of capital city high school to unified school district 501 is
38  hereby specifically authorized by act of the legislature: Provided,
39  however, That unified school district 501 shall not sell or otherwise
40  dispose of capital city high school within 10 years of the sale au-
41  thorized by this act: Provided further, That the sale of capital city
42  high school shall not be subject to the provisions of the state surplus
43  property act, K.S.A. 75-6601 through 75-6608, and amendments
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 1  thereto, or the competitive bidding requirements of K.S.A. 75-3738
 2  through 75-3744, and amendments thereto: And provided further,
 3  That the net proceeds from the sale of capital city high school shall
 4  be deposited in the state treasury to the credit of the Topeka state
 5  hospital transition fund of the department of administration.
 6    [(d)  In addition to the other purposes for which expenditures
 7  may be made by the above agency from moneys appropriated from
 8  the state general fund or any special revenue fund for the fiscal year
 9  ending June 30, 1997, as authorized by section 115 of chapter 191
10  or section 25 of chapter 272 of the 1996 Session Laws of Kansas or
11  by section 22 of 1997 Senate Substitute for House Bill No. 2272, or
12  for the fiscal year ending June 30, 1998, as authorized by section
13  61 of 1997 Senate Substitute for House Bill No. 2160, or for each
14  such fiscal year as authorized by this or other appropriation act of
15  the 1997 regular session of the legislature, expenditures may be
16  made by the above agency from the moneys appropriated from the
17  state general fund or from any special revenue fund for fiscal year
18  1997 and for fiscal year 1998 for operating expenditures for the
19  operation and maintenance of the Winfield state hospital and train-
20  ing center property, including any expenses for operating heating
21  plants and other facilities and for the security and repair of the state
22  property: Provided, That all expenditures from any special revenue
23  fund for such purposes shall be in addition to any expenditure lim-
24  itation imposed on such special revenue fund for fiscal year 1998:
25  Provided further, That any full-time or regular part-time positions
26  established by the above agency for such purposes, approved by the
27  governor and paid from appropriations for fiscal year 1998 shall
28  be in addition to any limitation established for the above agency
29  by this or other appropriation act of the 1997 regular session of the
30  legislature or any appropriation act of the 1998 regular session of
31  the legislature, on the number of full-time or regular part-time po-
32  sitions equated to full-time, excluding seasonal and temporary po-
33  sitions, paid from appropriations for fiscal year 1998.
34    [(e) (1)  As used in this section, ``state property'' means all To-
35  peka state hospital property and all Winfield state hospital and
36  training center property;
37    [(2)  ``Topeka state hospital property'' means all state-owned
38  land and improvements in the city of Topeka, KS, which is in the
39  area bounded by west sixth street on the south, MacVicar avenue
40  on the east, Interstate 70 on the north and Oakley Avenue on the
41  west, including the adjacent state-owned land west of Oakley Ave-
42  nue;
43    [(3)  ``capital city high school'' means the real and personal
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 1  property and improvements located on the Topeka state hospital
 2  property known as capital city high school and includes the facili-
 3  ties and equipment of capital city high school, the school shop build-
 4  ing, the five Erickson buildings and up to approximately 27 acres
 5  of land adjacent to the capital city high school building; and
 6    [(4)  ``Winfield state hospital and training center property''
 7  means all state-owned land and improvements in the city of Win-
 8  field, KS, and Cowley county located in the southwest quarter of
 9  section 14, the southeast quarter of section 15 and part of the north-
10  west quarter of section 15 east of the center of Timber Creek, all
11  located in township 32 south, range 4 east of the 6th P.M.
12    [Sec. 51.
13  [DEPARTMENT OF ADMINISTRATION
14    [(a)  There is appropriated for the above agency from the state
15  general fund for the fiscal year or years specified, the following:
[Topeka state hospital transition operations
16    [For the fiscal year ending June 30, 1998.............................. $500,000
17  [Provided, That expenditures may be made from the Topeka state hospital transition
18  operations account for operation and maintenance of the Topeka state hospital prop-
19  erty: Provided, however, That no expenditures shall be made from the Topeka state
20  hospital transition operations account except upon approval of the state finance
21  council acting on this matter which is hereby characterized as a matter of legislative
22  delegation and subject to the guidelines prescribed in subsection (c) of K.S.A. 75-
23  3711c and amendments thereto.
24    [(b)  There is appropriated for the above agency from the fol-
25  lowing special revenue fund for the fiscal year or years specified,
26  all moneys now or hereafter lawfully credited to and available in
27  such fund or funds, except that expenditures other than refunds au-
28  thorized by law shall not exceed the following:
[Topeka state hospital transition fund
29    [For the fiscal year ending June 30, 1998.............................. No limit
30  [Provided, That expenditures may be made from the Topeka state hospital transition
31  fund for the fiscal year ending June 30, 1998, for consultant services relating to the
32  sale or other disposition of the Topeka state hospital property and operating ex-
33  penditures for the operation and maintenance of the Topeka state hospital property,
34  including any expenses for operating heating plants and other facilities and for the
35  security and repair of the Topeka state hospital property: Provided, however, That,
36  other than expenditures for consultant services relating to the sale or other disposi-
37  tion of the Topeka state hospital property or expenditures for operating expenditures
38  for the operation and maintenance of the Topeka state hospital property, including
39  any expenses for operating heating plants and other facilities and for the security
40  and repair of the Topeka state hospital property, no expenditures shall be made from
41  the Topeka state hospital transition fund except upon approval of the state finance
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 1  council acting on this matter which is hereby characterized as a matter of legislative
 2  delegation and subject to the guidelines prescribed in subsection (c) of K.S.A. 75-
 3  3711c and amendments thereto: Provided further, That, notwithstanding the provi-
 4  sions of K.S.A. 75-3307 and 75-3316 and amendments thereto, the secretary of ad-
 5  ministration is hereby given temporary custody and control of the Topeka state
 6  hospital property and is authorized to permit the use of the Topeka state hospital
 7  property by other state agencies, to enter into agreements with such state agencies
 8  therefor, to fix and alter charges for use of the Topeka state hospital property in such
 9  amounts as the secretary of administration may determine to be beneficial or nec-
10  essary, and to fix, charge and collect fees for operating expenses incurred to provide
11  heating services for buildings and facilities on the Topeka state hospital property:
12  And provided further, That such fees shall be fixed in order to recover all or part of
13  such operating expenses: And provided further, That, notwithstanding the provisions
14  of K.S.A. 75-3316 and amendments thereto, all moneys received for such charges or
15  fees shall be deposited in the state treasury to the credit of this fund.
16    [(c)  In addition to the other purposes for which expenditures
17  may be made by the above agency from moneys appropriated from
18  the state general fund or any special revenue fund for the fiscal year
19  ending June 30, 1998, as authorized by section 45 of 1997 Senate
20  Substitute for House Bill No. 2160 or by this or any other appro-
21  priation act of the 1997 regular session of the legislature or by any
22  appropriation act of the 1998 regular session of the legislature, ex-
23  penditures may be made by the above agency from the moneys ap-
24  propriated from the state general fund or from any special revenue
25  fund for fiscal year 1998 for operating expenditures for the opera-
26  tion and maintenance of the Topeka state hospital property, includ-
27  ing any expenses for operating heating plants and other facilities
28  and for the security and repair of the Topeka state hospital prop-
29  erty: Provided, That all expenditures from any such special revenue
30  fund for such purposes shall be in addition to any expenditure lim-
31  itation imposed on such special revenue fund for fiscal year 1998.
32    [(d)  In addition to the other purposes for which expenditures
33  may be made by the above agency from moneys appropriated from
34  the state general fund or any special revenue fund for the fiscal year
35  ending June 30, 1998, as authorized by section 45 of 1997 Senate
36  Substitute for House Bill No. 2160 or by this or any other appro-
37  priation act of the 1997 regular session of the legislature, expendi-
38  tures may be made by the above agency from the moneys appro-
39  priated from the state general fund or from any special revenue fund
40  for fiscal year 1998 for operating expenditures for a total of 24
41  additional full-time and regular part-time positions equated to full-
42  time, which full-time equivalent positions shall be in addition to the
43  number of full-time and regular part-time positions equated to full-
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 1  time, excluding seasonal and temporary positions, authorized under
 2  this or other appropriation act of 1997 regular session of the leg-
 3  islature: Provided, That such expenditures for such additional full-
 4  time equivalent positions shall be subject to approval by the state
 5  finance council acting on this matter which is hereby characterized
 6  as a matter of legislative delegation and subject to the guidelines
 7  prescribed in subsection (c) of K.S.A. 75-3711c: Provided further,
 8  That any employee, who is transferred from the Topeka state hos-
 9  pital to the department of administration upon assumption of tem-
10  porary custody and control of Topeka state hospital property by
11  the secretary of administration and who is subsequently laid off
12  from the department of administration due to sale or other dispo-
13  sition of the Topeka state hospital property, shall be provided with
14  the same rights and benefits available to other employees of Topeka
15  state hospital who are laid off upon closure of Topeka state hospital:
16  And provided further, That any expenditures for such rights and ben-
17  efits shall be funded and paid in the same manner as prescribed by
18  law for other employees of Topeka state hospital who are laid off
19  upon closure of Topeka state hospital.
20    [(e)  In addition to the other purposes for which expenditures
21  may be made by the above agency from moneys appropriated from
22  the state general fund or any special revenue fund, other than the
23  Topeka state hospital transition fund, for the fiscal year ending June
24  30, 1997, as authorized by section 80 of chapter 191 of the 1996
25  Session Laws of Kansas, section 14 of 1997 Senate Substitute for
26  House Bill No. 2272 and this or other appropriation act of the 1997
27  regular session of the legislature, and for the fiscal year ending June
28  30, 1998, as authorized by section 45 of 1997 Senate Substitute for
29  House Bill No. 2160 or by this or any other appropriation act of
30  the 1997 regular session of the legislature, expenditures may be
31  made by the above agency from moneys appropriated from the state
32  general fund or from any special revenue fund, other than the To-
33  peka state hospital transition fund, for fiscal year 1998 for (1) ex-
34  penses related to the review and consideration of proposals and
35  other matters relating to the potential disposition of the Topeka
36  state hospital property, as defined by this section, including, but
37  not limited to, expenditures for members of the legislature who are
38  members of any advisory committee which is hereby authorized to
39  be established for such purposes by the secretary of administration,
40  for per diem compensation, subsistence allowances, mileage and
41  other expenses as provided in K.S.A. 75-3212 or 75-3223 and
42  amendments thereto for attending meetings of such advisory com-
43  mittee, or attending a subcommittee meeting thereof authorized by
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 1  such advisory committee, (2) any expenses relating to any sale of
 2  any Topeka state hospital property, as defined by this section, and
 3    (3) any expenses incurred to assist the department of social and
 4  rehabilitation services with regard to the sale or other disposition
 5  of the Winfield state hospital and training center property, as de-
 6  fined by this section.
 7    [(f)  As used in this section, (1) ``Topeka state hospital property''
 8  means all state-owned land and improvements in the city of Topeka,
 9  KS, which is in the area bounded by west sixth street on the south,
10  MacVicar Avenue on the east, Interstate 70 on the north, and Oakley
11  Avenue on the west, including the adjacent state-owned land west
12  of Oakley Avenue; and
13    [(2)  ``Winfield state hospital and training center property''
14  means all state-owned land and improvements in the city of Win-
15  field, KS, and Cowley county located in the southwest quarter of
16  section 14, the southeast quarter of section 15 and part of the north-
17  west quarter of section 15 east of the center of Timber Creek, all
18  located in township 32 south, range 4 east of the 6th P.M.]
19    Sec. 53 [52].
20  STATE BOARD OF INDIGENTS' DEFENSE SERVICES
21    (a)  In addition to the other purposes for which expenditures may be
22  made by the above agency from the indigents' defense services fund for
23  the fiscal year ending June 30, 1998, as authorized by section 38(b) of
24  1997 Senate Substitute for House Bill No. 2160, expenditures may be
25  made by the above agency from the indigents' defense services fund for
26  fiscal year 1998 for salaries and wages and other operating expenses of
27  the above agency.
28    Sec. 54 [53].
29  UNIVERSITY OF KANSAS MEDICAL CENTER
30    (a)  On July 1, 1997, of the $87,087,510 appropriated for the above
31  agency for the fiscal year ending June 30, 1998, by section 78(a) of 1997
32  Senate Substitute for House Bill No. 2160 from the state general fund in
33  the operating expenditures (including official hospitality) account, the
34  sum of $67,900 is hereby lapsed.
35    Sec. 55 [54].
36  STATE TREASURER
37    (a)  There is appropriated for the above agency from the following
38  special revenue fund or funds for the fiscal year or years specified, all
39  moneys now or hereafter lawfully credited to and available in such fund
40  or funds, except that expenditures other than refunds authorized by law
41  shall not exceed the following:
42  Tax increment financing revenue replacement fund
43    For the fiscal year ending June 30, 1998............................... No limit
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 1    [Sec. 56 [55].
 2  [KANSAS ARTS COMMISSION
 3    [(a)  On July 1, 1997, the appropriation for the Kansas arts com-
 4  mission of all moneys now or hereafter lawfully credited to and
 5  available in the state capitol dome sculpture fund for the fiscal year
 6  ending June 30, 1998, by section 66(b) of 1997 Senate Substitute
 7  for House Bill No. 2160, is hereby lapsed.]
 8    Sec. 56.  Appeals to exceed position limitations. The limitations im-
 9  posed by this act on the full-time equivalent number of full-time and
10  regular part-time positions, excluding seasonal and temporary positions,
11  paid from appropriations made in this act or in any appropriation act of
12  the 1996 regular session of the legislature or in any other appropriation
13  act of the 1997 regular session of the legislature may be exceeded upon
14  approval of the state finance council.
15    Sec. 57.  Appeals to exceed expenditure limitations. Upon written ap-
16  plication to the governor and approval of the state finance council, ex-
17  penditures from special revenue funds may exceed the amounts specified
18  in this act.
19    Sec. 58.  Any state institutions building fund appropriation heretofore
20  appropriated to any state agency named in this or any other appropriation
21  act of the 1997 regular session of the legislature and having an unencum-
22  bered balance as of June 30, 1997, in excess of $100 is hereby reappro-
23  priated for the fiscal year ending June 30, 1998, for the same use and
24  purpose as originally appropriated, unless specific provision is made for
25  lapsing such appropriation.
26    Sec. 59.  Any Kansas educational building fund appropriation here-
27  tofore appropriated to any state agency named in this or other appropri-
28  ation act of the 1997 regular session of the legislature, and having an
29  unencumbered balance as of June 30, 1997, in excess of $100 is hereby
30  reappropriated for the fiscal year ending June 30, 1998, for the same uses
31  and purposes as originally appropriated unless specific provision is made
32  for lapsing such appropriation.
33    Sec. 60.  Any correctional institutions building fund appropriation
34  heretofore appropriated to any state agency named in this or other ap-
35  propriation act of the 1997 regular session of the legislature, and having
36  an unencumbered balance as of June 30, 1997, in excess of $100 is hereby
37  reappropriated for the fiscal year ending June 30, 1998, for the same uses
38  and purposes as originally appropriated unless specific provision is made
39  for lapsing such appropriation.
40    Sec. 61.  Any Kansas special capital improvements fund appropriation
41  heretofore appropriated to any state agency named in this or other ap-
42  propriation act of the 1997 regular session of the legislature, and having
43  an unencumbered balance as of June 30, 1997, in excess of $100 is hereby
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 1  reappropriated for the fiscal year ending June 30, 1998, for the same uses
 2  and purposes as originally appropriated unless specific provision is made
 3  for lapsing such appropriation.
 4    Sec. 62.  Savings. Any unencumbered balance in any special revenue
 5  fund, or account thereof, which is not otherwise specifically appropriated
 6  or limited by this or any other appropriation act of the 1997 regular ses-
 7  sion of the legislature, is hereby reappropriated for the fiscal year ending
 8  June 30, 1998, for the same use and purpose as the same was heretofore
 9  appropriated.
10    Sec. 63.  Any transfers of money during the fiscal year ending June
11  30, 1998, from any special revenue fund of any state agency named in
12  this act or in any other appropriation act of the 1997 regular session of
13  the legislature to the audit services fund of the division of post audit under
14  K.S.A. 46-1121 and amendments thereto shall be in addition to any ex-
15  penditure limitation imposed on any such fund for the fiscal year ending
16  June 30, 1998.
17    [Sec. 64.  On July 1, 1997, K.S.A. 1996 Supp. 72-6410, as
18  amended by section 2 of 1997 House Bill No. 2031, shall be and is
19  hereby amended to read as follows: 72-6410. (a) ``State financial
20  aid'' means an amount equal to the product obtained by multiplying
21  base state aid per pupil by the adjusted enrollment of a district.
22    [(b)  ``Base state aid per pupil'' means an amount of state finan-
23  cial aid per pupil. Subject to the other provisions of this subsection,
24  the amount of base state aid per pupil is $3,670. The amount of base
25  state aid per pupil is subject to reduction commensurate with any
26  reduction under K.S.A. 1996 Supp. 75-6704, and amendments
27  thereto, in the amount of the appropriation from the state general
28  fund for general state aid. If the amount of appropriations for gen-
29  eral state aid is insufficient to pay in full the amount each district
30  is entitled to receive for any school year, the amount of base state
31  aid per pupil for such school year is subject to reduction commen-
32  surate with the amount of the insufficiency.
33    [(c)  ``Local effort'' means the sum of an amount equal to the
34  proceeds from the tax levied under authority of K.S.A. 72-6431, and
35  amendments thereto, and an amount equal to any unexpended and
36  unencumbered balance remaining in the general fund of the district,
37  except amounts received by the district and authorized to be ex-
38  pended for the purposes specified in K.S.A. 72-6430, and amend-
39  ments thereto, and an amount equal to any unexpended and unen-
40  cumbered balances remaining in the program weighted funds of the
41  district, except any amount in the vocational education fund of the
42  district if the district is operating an area vocational school, and an
43  amount equal to any remaining proceeds from taxes levied under
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 1  authority of K.S.A. 72-7056 and 72-7072, and amendments thereto,
 2  prior to the repeal of such statutory sections, and an amount equal
 3  to the amount deposited in the general fund in the current school
 4  year from amounts received in such year by the district under the
 5  provisions of subsection (a) of K.S.A. 72-1046a, and amendments
 6  thereto, and an amount equal to the amount deposited in the general
 7  fund in the current school year from amounts received in such year
 8  by the district pursuant to contracts made and entered into under
 9  authority of K.S.A. 72-6757, and amendments thereto, and an
10  amount equal to the amount credited to the general fund in the
11  current school year from amounts distributed in such year to the
12  district under the provisions of articles 17 and 34 of chapter 12 of
13  Kansas Statutes Annotated and under the provisions of articles 42
14  and 51 of chapter 79 of Kansas Statutes Annotated, and (1) for dis-
15  tricts other than the district created by K.S.A. 72-5333a, and amendments
16  thereto, an amount equal to 75% of the federal impact aid of a district
17  and (2) for the district created by K.S.A. 72-5333a, and amendments
18  thereto, an amount equal to the federal impact aid of the district.
19    [(d)  ``Federal impact aid'' means an amount equal to the fed-
20  erally qualified percentage of the amount of moneys a district re-
21  ceives in the current school year under the provisions of title I of
22  public law 874 and congressional appropriations therefor, exclud-
23  ing amounts received for assistance in cases of major disaster and
24  amounts received under the low-rent housing program. The amount
25  of federal impact aid defined herein as an amount equal to the fed-
26  erally qualified percentage of the amount of moneys provided for
27  the district under title I of public law 874 shall be determined by
28  the state board in accordance with terms and conditions imposed
29  under the provisions of the public law and rules and regulations
30  thereunder.
31    [Sec. 65.  On July 1, 1997, K.S.A. 72-6417 shall be and is hereby
32  amended to read as follows: 72-6417. (a) The distribution of general
33  state aid under this act shall be made in accordance with appro-
34  priation acts each year as provided in this section.
35    [(b) (1)  In the months of July through May of each school year,
36  the state board shall determine the amount of general state aid
37  which will be required by each district to maintain operations in
38  each such month. In making such determination, the state board
39  shall take into consideration the district's access to local effort
40  sources and the obligations of the general fund which must be sat-
41  isfied during the month. The amount determined by the state board
42  under this provision is the amount of general state aid which will
43  be distributed to the district in the months of July through May;
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 1    [(2)  in the month of June of each school year, payment shall be
 2  made of the full amount of the general state aid entitlement deter-
 3  mined for the school year, less the sum of the monthly payments
 4  made in the months of July through May.
 5    [(c)  Payments of general state aid shall be distributed to dis-
 6  tricts once each month at a time to be determined by the state board.
 7  The state board shall certify to the director of accounts and reports
 8  the amount due as general state aid to each district in each of the
 9  months of July through June. Such certification, and the amount of
10  general state aid payable from the state general fund, shall be ap-
11  proved by the director of the budget. The director of accounts and
12  reports shall draw warrants on the state treasurer payable to the
13  district treasurer of each district entitled to payment of general
14  state aid, pursuant to vouchers approved by the state board. Upon
15  receipt of such warrant, each district treasurer shall deposit the
16  amount of general state aid in the general fund, except that, an
17  amount equal to the amount of federal impact aid not included in the local
18  effort of a district may be disposed of as provided in subsection (a) of
19  K.S.A. 72-6427, and amendments thereto.
20    [(d)  The provisions of this section shall take effect and be in force
21  from and after July 1, 1992.
22    [Sec. 66.  On July 1, 1997, K.S.A. 72-6417 and K.S.A. 1996
23  Supp. 72-6410, as amended by section 2 of 1997 House Bill No.
24  2031, shall be and are hereby repealed.]
25    Sec. 64 [67.].  On July 1, 1997, sections 87, 88, 89, 90, 91 and 106
26  of 1997 Senate Substitute for House Bill No. 2160 are hereby repealed.
27    Sec. 65 [68].  Effective date. This act shall take effect and be in force
28  from and after its publication in the Kansas register.