April 6, 2000

Journal of the House

SIXTIETH DAY
______
Hall of the House of Represenatitives
Topeka, KS, Thursday, April 6, 2000, 9:00 a.m.
 The House met pursuant to adjournment with Speaker pro tem Mays in the chair.

 The roll was called with 125 members present.

     Prayer by guest chaplain, the Rev. J.C. Kelley, pastor, Wesley United Methodist Church,
Parsons, and guest of Rep. O'Brien:

                God of all People,

             We give you thanks for this day and the opportunity to serve you. Help us
            to remember the people represented here and their concerns. Give us
            strength beyond our own strength, divine wisdom and the ability to know
            when to compromise and when to take a stand. Above all may your will be
            done through all that is done today.

             In your name we pray,

             Amen.

     The Pledge of Allegiance was led by Rep. McClure.

     Without objection, the following remarks by Rep. Storm are spread upon the Journal:

     Picture this:

     .  .  .  A young father proudly reads his children a bedtime story. It is the first book he
has ever been able to read.

 .  .  .  A woman recovering from cancer opens her door on Christmas Eve to find boxes
overflowing with gifts for her children, and warm clothes and food for the holidays.

 .  .  .  An elderly lady enjoys the conversation as she visits with the man delivering her
lunch. He is the only person she will see all week.

 .  .  .  Parents from Argentina are able to participate in a conference with their son's
teacher because a neighbor takes the time to accompany them and translate.

 The one thing all these scenes have in common is the volunteer who gives his/her own
time to help someone else. Every day in every corner of our state, volunteers are working
to create a better world--touching the lives of others with grace, meaning and authenticity
and solving community problems.

 As we approach the 27th Annual National Volunteer Week, which is next week, April 9-
15, we ask you to recognize the hard work and dedication of the many volunteers in our
communities in Kansas. Your support can encourage others to become involved in volunteer
service. We want also to recognize and thank the many in this room--representatives, staff,
and visitors who are involved with volunteer service.

 On your desks, I have placed some information about volunteering trends and statistics
that I thought you might find useful in your work--in a newsletter or presentation you might
make. Since we talk a lot about fiscal notes here in the Capitol, I want to call your attention
to the third item on this list.

 Volunteer efforts are a valuable commodity. In 1998, nationally, volunteers represented
the equivalent of over 9M full-time employees; their efforts were worth $225 Billion. Anyway
you look at it, that is a significant impact on our economy and on our culture. Volunteerism
isn't just busy, feel-good work; it's work that truly needs to be done. While the work of
volunteers impacts our economy in a tremendous way, more important is the impact their
work makes on the lives of our neighbors.

 Governor Graves has declared next week, April 9-15, Volunteer Week in the state of
Kansas. Rep. Pottorff will read his proclamation.

    TO THE PEOPLE OF KANSAS, GREETINGS:

    WHEREAS, The entire community can effect positive change with any volunteer action,
no matter how big or small; and

    WHEREAS, Volunteers can connect with local community service opportunities through
hundreds of community service organizations like Volunteer Centers; and

    WHEREAS, More than 109 million volunteers working in their communities utilize their
time and talent to make a real difference in the lives of children, adults and the elderly; and

    WHEREAS, During this week, all over the nation, service projects will be performed and
volunteers will be recognized for their commitments to community service; and

    WHEREAS, Volunteers have the power to fight the pervasive feeling of social disconnection
experienced by 18 percent of Americans and especially young people; and

    WHEREAS, Volunteers are vital to our future as a caring and productive nation:

    NOW, THEREFORE, I, BILL GRAVES, GOVERNOR OF THE STATE OF KANSAS,
do hereby proclaim April 9-15, 2000 as

    National Volunteer Week
    in Kansas and urge all citizens to join in this observance.

      DONE  At the Capitol in Topeka
                                                                under the Great Seal of

                                                                the State this 22nd day of

                                                                March, A.D. 2000

  BY THE GOVERNOR:  Bill Graves
                                                          Ron Thornburgh

                                                            Secretary of State
REFERENCE OF BILLS AND CONCURRENT RESOLUTIONS
 The following bills and resolutions were referred to committees as indicated:

   Appropriations: SB 506.

MESSAGES FROM THE GOVERNOR
 HB 2501, 2596, 2622 approved on April 5, 2000.

MESSAGE FROM THE SENATE
 The Senate concurs in House amendments to H. Sub. for SB 568, and requests return
of the bill.

 The Senate adopts conference committee report on SB 512.

 The Senate adopts conference committee report on SB 541.

 The Senate adopts conference committee report on HB 2810.

 The Senate adopts the conference committee report to agree to disagree on H. Sub. for
SB 326 and has appointed Senators Kerr, Salisbury and Petty as second conferees on the
part of the Senate.

 The Senate accedes to the request of the House for a conference on HB 2037 and has
appointed Senators Langworthy, Corbin and Lee as conferees on the part of the Senate.

 The Senate accedes to the request of the House for a conference on S. Sub. for HB
2624 and has appointed Senators Kerr, Salisbury and Petty as conferees on the part of the
Senate.

 The Senate accedes to the request of the House for a conference on HB 2674 and has
appointed Senators Morris, Umbarger and Stephens as conferees on the part of the Senate.

 The Senate accedes to the request of the House for a conference on HB 2799 and has
appointed Senators Lawrence, Umbarger and Downey as conferees on the part of the
Senate.

 The Senate accedes to the request of the House for a conference on HB 2855 and has
appointed Senators Emert, Vratil and Goodwin as conferees on the part of the Senate.

CHANGE OF CONFEREES
 Speaker pro tem Mays announced the appointment of Rep. Wagle as a member of the
conference committees on SB 12, 59, 124, 226 to replace Rep. Adkins.

FINAL ACTION ON BILLS AND CONCURRENT RESOLUTIONS
 HB 2589, An act relating to income taxation; authorizing credits for property tax paid by
certain telecommunications companies and individuals; providing credits therefrom for
teaching aid contributions; providing credit for certain expenses incurred by food locker
plants and for certain expenses of small businesses; amending K.S.A. 1999 Supp. 79-32,117
and repealing the existing section, was considered on final action.

 Call of the House was demanded.

 On roll call, the vote was: Yeas 107; Nays 17; Present but not voting: 1; Absent or not
voting: 0.

 Yeas: Aday, Adkins, Alldritt, Allen, Aurand, Ballard, Barnes, Beggs, Benlon, Bethell, Bos-
ton, Campbell, Compton, Cox, Crow, Dean, Dreher, Edmonds, Empson, Faber, Farmer,
Feuerborn, Findley, Flaharty, Flora, Flower, Freeborn, Garner, Gatewood, Geringer, Gil-
bert, Glasscock, Grant, Gregory, Haley, Hayzlett, Helgerson, Henderson, Henry, Hermes,
Holmes, Horst, Howell, Huff, Humerickhouse, Jenkins, Johnson, Johnston, Kirk, Klein, Phil
Kline, Phill Kline, Kuether, Landwehr, Lane, Larkin, Lightner, Lloyd, M. Long, P. Long,
Mayans, Mays, McClure, McCreary, McKinney, Merrick, Minor, Mollenkamp, Jim Mor-
rison, Judy Morrison, Myers, Nichols, O'Brien, O'Connor, O'Neal, Osborne, Palmer, Pauls,
E. Peterson, Phelps, Pottorff, Powell, Powers, Ray, Reardon, Rehorn, Ruff, Schwartz, Sharp,
Showalter, Shriver, Shultz, Stone, Storm, Swenson, Tedder, Thimesch, Toelkes, Tomlinson,
Toplikar, Vickrey, Vining, Wagle, Weiland, Wells, Welshimer, Wilk.

 Nays: Ballou, Burroughs, Carmody, Dahl, Hutchins, Jennison, Light, Loyd, Mason,
McKechnie, Neufeld, J. Peterson, Reinhardt, Sloan, Spangler, Tanner, Weber.

 Present but not voting: Krehbiel.

 Absent or not voting: None.

 The bill passed, as amended.


EXPLANATION OF VOTE
 Mr. Speaker: I vote NO on HB 2589 because, while the objective of aiding Ks-based
telecommunications companies in the evolving competitive market place is good, the current
bill: 1) fails to adequately recognize differences between regulated, price cap, and non-
regulated providers, 2) fails to adequately address the issue of telecommunications com-
panies' ability to claim multiple tax credits by structuring the placement of equipment
through third party vendors, 3) provides for tax credits to telecommunications companies
thereby adversely affecting SGF suport for education, the frail and elderly, and other vital
programs, and 4) fails to address the objective that shifts in tax obligations will result in
lower telecommunications bills to consumers, instead of just increased profits for the com-
panies.--Tom Sloan

CONFERENCE COMMITTEE REPORT
 Mr. President and Mr. Speaker: Your committee on conference on House amend-
ments to SB 513, submits the following report:

      The Senate accedes to all House amendments to the bill, and your committee on con-
ference further agrees to amend the bill, as printed with House Committee of the Whole
amendments, as follows:

      On page 2, in line 33, by striking ``behavioral sciences regulatory board'' and inserting
``secretary of health and environment''; in line 37, by striking ``board's'' and inserting ``de-
partment of health and environment's''; in line 38, by striking ``board's'' and inserting ``de-
partment of health and environment's'';

                                                                                    \ And your committee on conference recommends the adoption of this report.

                                                                                    Garry Boston

                                                                                    Gerald G. Geringer

                                                                                    Sue Storm
 Conferees on the part of House
                                                                                   

                                                                                    Sandy Praeger

                                                                                    Larry D. Salmans

                                                                                    Chris Steineger
 Conferees on part of Senate


     On motion of Rep. Boston, the conference committee report on SB 513 was adopted.

 On roll call, the vote was: Yeas 107; Nays 18; Present but not voting: 0; Absent or not
voting: 0.

 Yeas: Aday, Adkins, Alldritt, Allen, Aurand, Ballard, Ballou, Barnes, Beggs, Benlon, Be-
thell, Boston, Burroughs, Carmody, Compton, Cox, Dahl, Dean, Dreher, Empson, Faber,
Farmer, Findley, Flaharty, Flora, Flower, Freeborn, Garner, Geringer, Gilbert, Glasscock,
Grant, Gregory, Haley, Hayzlett, Helgerson, Henderson, Henry, Hermes, Horst, Howell,
Huff, Humerickhouse, Jenkins, Jennison, Johnson, Johnston, Kirk, Klein, Phil Kline, Phill
Kline, Krehbiel, Kuether, Lane, Lightner, Lloyd, M. Long, P. Long, Loyd, Mason, Mayans,
Mays, McClure, McKinney, Merrick, Minor, Mollenkamp, Jim Morrison, Judy Morrison,
Myers, Neufeld, O'Brien, O'Connor, O'Neal, Osborne, Palmer, Pauls, E. Peterson, J. Pe-
terson, Phelps, Pottorff, Powell, Powers, Ray, Reardon, Rehorn, Reinhardt, Ruff, Schwartz,
Showalter, Shultz, Sloan, Stone, Storm, Swenson, Tanner, Thimesch, Toelkes, Tomlinson,
Toplikar, Vickrey, Vining, Wagle, Weber, Weiland, Wells, Wilk.

 Nays: Campbell, Crow, Edmonds, Feuerborn, Gatewood, Holmes, Hutchins, Landwehr,
Larkin, Light, McCreary, McKechnie, Nichols, Sharp, Shriver, Spangler, Tedder,
Welshimer.

 Present but not voting: None.

 Absent or not voting: None.

MOTIONS TO CONCUR AND NONCONCUR
 On motion of Rep. Adkins, the House nonconcurred in Senate amendments to HB 2017
and asked for a conference.

 Speaker pro tem Mays thereupon appointed Reps. Adkins, Neufeld and Nichols as con-
ferees on the part of the House.

 On motion of Rep. O'Neal, the House nonconcurred in Senate amendments to Sub. HB
2683 and asked for a conference.

 Speaker pro tem Mays thereupon appointed Reps. O'Neal, Carmody and Pauls as con-
ferees on the part of the House.

CONFERENCE COMMITTEE REPORT
 Mr. President and Mr. Speaker: Your committee on conference on Senate amend-
ments to HB 2810, submits the following report:

      The House accedes to all Senate amendments to the bill, and your committee on con-
ference further agrees to amend the bill, as printed with Senate Committee of the Whole
amendments, as follows:

      On page 2, in line 39, after ``more'', by inserting ``than 1,794 preschool-aged at-risk pupils
to be counted in the 1999-2000 school year and not more''; in line 40, after ``year'', by
inserting ``thereafter'';

      On page 4, in line 25, after ``Center,'', by inserting ``Trego County Secure Care Center,'';

      On page 5, in line 6, after ``Center,'', by inserting ``Trego County Secure Care Center,'';

      On page 6, in line 25, after ``Center,'', by inserting ``Trego County Secure Care Center,'';

                                                                                     And your committee on conference recommends the adoption of this report.

                                                                                    Barbara Lawrence

                                                                                    Christine Downey

                                                                                    Audrey Langworthy
 Conferees on the part of Senate
                                                                                   

                                                                                    Ralph M. Tanner

                                                                                    Cindy Empson

                                                                                    Henry M. Helgerson, Jr.
 Conferees on part of House


     On motion of Rep. Tanner, the conference committee report on HB 2810 was adopted.

 On roll call, the vote was: Yeas 119; Nays 6; Present but not voting: 0; Absent or not
voting: 0.

 Yeas: Aday, Adkins, Alldritt, Allen, Aurand, Ballard, Barnes, Beggs, Benlon, Bethell, Bos-
ton, Burroughs, Campbell, Carmody, Compton, Cox, Crow, Dahl, Dean, Dreher, Edmonds,
Empson, Faber, Farmer, Feuerborn, Findley, Flaharty, Flora, Flower, Freeborn, Garner,
Gatewood, Geringer, Gilbert, Glasscock, Grant, Hayzlett, Helgerson, Henry, Hermes,
Holmes, Horst, Howell, Huff, Humerickhouse, Hutchins, Jenkins, Jennison, Johnson, John-
ston, Kirk, Klein, Phil Kline, Phill Kline, Krehbiel, Kuether, Lane, Larkin, Light, Lightner,
Lloyd, M. Long, P. Long, Loyd, Mason, Mayans, Mays, McClure, McCreary, McKechnie,
McKinney, Merrick, Mollenkamp, Jim Morrison, Judy Morrison, Myers, Neufeld, Nichols,
O'Brien, O'Connor, O'Neal, Osborne, Palmer, Pauls, E. Peterson, J. Peterson, Phelps, Pot-
torff, Powell, Powers, Ray, Reardon, Rehorn, Reinhardt, Ruff, Schwartz, Sharp, Showalter,
Shriver, Shultz, Sloan, Spangler, Stone, Storm, Swenson, Tanner, Tedder, Thimesch, To-
elkes, Tomlinson, Toplikar, Vickrey, Vining, Wagle, Weber, Weiland, Wells, Welshimer,
Wilk.

 Nays: Ballou, Gregory, Haley, Henderson, Landwehr, Minor.

 Present but not voting: None.

 Absent or not voting: None.

MOTIONS TO CONCUR AND NONCONCUR
 On motion of Rep. Powell, the House concurred in Senate amendments to HB 2670,
An act concerning cigarettes and tobacco products; relating to the regulation of the sales
thereof; amending K.S.A. 79-3301, 79-3302 and 79-3321 and K.S.A. 1999 Supp. 79-3322
and 79-3391 and repealing the existing sections. (The House requested the Senate to return
the bill, which was in conference).

 On roll call, the vote was: Yeas 125; Nays 0; Present but not voting: 0; Absent or not
voting: 0.

 Yeas: Aday, Adkins, Alldritt, Allen, Aurand, Ballard, Ballou, Barnes, Beggs, Benlon, Be-
thell, Boston, Burroughs, Campbell, Carmody, Compton, Cox, Crow, Dahl, Dean, Dreher,
Edmonds, Empson, Faber, Farmer, Feuerborn, Findley, Flaharty, Flora, Flower, Freeborn,
Garner, Gatewood, Geringer, Gilbert, Glasscock, Grant, Gregory, Haley, Hayzlett, Helger-
son, Henderson, Henry, Hermes, Holmes, Horst, Howell, Huff, Humerickhouse, Hutchins,
Jenkins, Jennison, Johnson, Johnston, Kirk, Klein, Phil Kline, Phill Kline, Krehbiel, Kuether,
Landwehr, Lane, Larkin, Light, Lightner, Lloyd, M. Long, P. Long, Loyd, Mason, Mayans,
Mays, McClure, McCreary, McKechnie, McKinney, Merrick, Minor, Mollenkamp, Jim
Morrison, Judy Morrison, Myers, Neufeld, Nichols, O'Brien, O'Connor, O'Neal, Osborne,
Palmer, Pauls, E. Peterson, J. Peterson, Phelps, Pottorff, Powell, Powers, Ray, Reardon,
Rehorn, Reinhardt, Ruff, Schwartz, Sharp, Showalter, Shriver, Shultz, Sloan, Spangler,
Stone, Storm, Swenson, Tanner, Tedder, Thimesch, Toelkes, Tomlinson, Toplikar, Vickrey,
Vining, Wagle, Weber, Weiland, Wells, Welshimer, Wilk.

 Nays: None.

 Present but not voting: None.

 Absent or not voting: None.

 On motion of Rep. Johnson, the House concurred in Senate amendments to HB 2762,
An act concerning wildlife and parks; relating to controlled shooting areas; inspections;
hunter safety education; amending K.S.A. 32-920 and K.S.A. 1999 Supp. 32-945 and re-
pealing the existing sections. (The House requested the Senate to return the bill, which was
in conference).

 On roll call, the vote was: Yeas 124; Nays 1; Present but not voting: 0; Absent or not
voting: 0.

 Yeas: Aday, Adkins, Alldritt, Allen, Aurand, Ballard, Ballou, Barnes, Beggs, Benlon, Be-
thell, Boston, Burroughs, Campbell, Carmody, Compton, Cox, Crow, Dahl, Dean, Dreher,
Edmonds, Empson, Faber, Farmer, Feuerborn, Findley, Flaharty, Flora, Flower, Freeborn,
Garner, Gatewood, Geringer, Gilbert, Glasscock, Grant, Gregory, Haley, Hayzlett, Helger-
son, Henderson, Henry, Hermes, Holmes, Horst, Howell, Huff, Humerickhouse, Hutchins,
Jenkins, Jennison, Johnson, Johnston, Kirk, Klein, Phil Kline, Phill Kline, Krehbiel, Kuether,
Landwehr, Lane, Larkin, Light, Lightner, Lloyd, M. Long, P. Long, Loyd, Mason, Mayans,
Mays, McClure, McCreary, McKinney, Merrick, Minor, Mollenkamp, Jim Morrison, Judy
Morrison, Myers, Neufeld, Nichols, O'Brien, O'Connor, O'Neal, Osborne, Palmer, Pauls,
E. Peterson, J. Peterson, Phelps, Pottorff, Powell, Powers, Ray, Reardon, Rehorn, Rein-
hardt, Ruff, Schwartz, Sharp, Showalter, Shriver, Shultz, Sloan, Spangler, Stone, Storm,
Swenson, Tanner, Tedder, Thimesch, Toelkes, Tomlinson, Toplikar, Vickrey, Vining, Wagle,
Weber, Weiland, Wells, Welshimer, Wilk.

 Nays: McKechnie.

 Present but not voting: None.

 Absent or not voting: None.

INTRODUCTION OF ORIGINAL MOTIONS
 Rep. Glasscock moved, pursuant to House Rule 2311, to advance HB 3030; SB 660 to
Final Action on Bills and Concurrent Resolutions, subject to amendment, debate and roll
call. Not having received the required two-thirds vote, the motion did not prevail.

     On motion of Rep. Glasscock, the House went into Committee of the Whole, with Rep.
Geringer in the chair.

COMMITTEE OF THE WHOLE
 On motion of Rep. Geringer, Committee of the Whole report, as follows, was adopted:

 Recommended that HB 3030 be passed.

 Committee report to SB 660 be adopted; also, on motion of Rep. Haley be amended on
page 6, following line 2, by inserting the following:

      ``New Sec.  4. (a) The Kansas state historical society and the department of administra-
tion shall develop plans to place a mural in the capitol honoring the 1st Kansas (Colored)
Voluntary Infantry regiment. Such plans shall be developed in consultation with the joint
committee on arts and cultural resources.

      (b) On or before January 1, 2002, the plans developed pursuant to subsection (a) shall
be submitted to the joint committee on arts and cultural resources.'';

      By renumbering sections accordingly;

      In the title, in line 12, by striking ``capitol restoration'' and inserting ``the capitol''; and
SB 660 be passed as amended.

REPORTS OF STANDING COMMITTEES
      The Committee on Health and Human Services recommends SB 397, as amended by
Senate Committee, be amended on page 2, after line 18, by inserting the following:

      ``Sec.  2. K.S.A. 65-6313, as amended by section 14 of chapter 117 of the 1999 Session
Laws of Kansas, is hereby amended to read as follows: 65-6313. (a) All licenses issued shall
be effective upon the date issued and shall expire at the end of 24 months from the date of
issuance.

      (b) Except as otherwise provided in K.S.A. 65-6311 and amendments thereto, a license
may be renewed by the payment of the renewal fee set forth in K.S.A. 65-6314 and amend-
ments thereto and the execution and submission of a signed statement, on a form to be
provided by the board, attesting that the applicant's license has been neither revoked nor
currently suspended and that applicant has met the requirements for continuing education
established by the board including not less than three continuing education hours of pro-
fessional ethics. An applicant for renewal of a license as a master social worker who engages
in the diagnosis and treatment of mental disorders or a specialist clinical social worker who
engages in the diagnosis and treatment of mental disorders, as part of such continuing ed-
ucation, shall complete not less than six continuing education hours relating to diagnosis
and treatment of mental disorders.

      (c) The application for renewal shall be made on or before the date of the expiration of
the license or on or before the date of the termination of the period of suspension.

      (d) If the application for renewal, including payment of the required renewal fee, is not
made on or before the date of the expiration of the license, the license is void, and no license
shall be reinstated except upon payment of the required renewal fee established under
K.S.A. 65-6314 and amendments thereto, plus a penalty equal to the renewal fee, and proof
satisfactory to the board of the completion of 60 hours of continuing education within two
years prior to application for reinstatement. Upon receipt of such payment and proof, the
board shall reinstate the license. A license shall be reinstated under this subsection, upon
receipt of such payment and proof, at any time after the expiration of such license.

      (e) In case of a lost or destroyed license, and upon satisfactory proof of the loss or
destruction thereof, the board may issue a duplicate license and shall charge a fee as set
forth in K.S.A. 65-6314 and amendments thereto for such duplicate license.'';

      And by renumbering sections accordingly;

      Also on page 2, in line 19, before ``K.S.A.'' by inserting: ``K.S.A. 65-6313, as amended by
section 14 of chapter 117 of the 1999 Session Laws of Kansas, and''; in line 20, by striking
``is'' and inserting ``are'';

      On page 1, in the title, in line 11, after ``concerning'' by inserting: ``behavioral sciences;
relating to''; also in line 11, before the semicolon, by inserting: ``and social workers''; also in
line 11, after ``amending'' by inserting: ``K.S.A. 65-6313, as amended by section 14 of chapter
117 of the 1999 Session Laws of Kansas, and''; in line 13, by striking ``section'' and inserting
``sections''; and the bill be passed as amended.

     On motion of Rep. Glasscock, the House recessed until 2:00 p.m.











April 6, 2000
______
Afternoon Session
 The House met pursuant to recess with Speaker pro tem Mays in the chair.

MESSAGE FROM THE SENATE
 Announcing passage of SB 669.

 Announcing passage of HB 3021.

 Announcing passage of Sub. HB 2013, as amended; HB 2355, as amended.

 The Senate adopts conference committee report on HB 2674.

 The Senate adopts conference committee report on S. Sub. for HB 2879.

 The Senate adopts conference committee report on HCR 5063.

 The Senate accedes to the request of the House for a conference on HB 2660 and has
appointed Senators Morris, Jordan and Gilstrap as conferees on the part of the Senate.

INTRODUCTION OF SENATE BILLS AND CONCURRENT RESOLUTIONS
 The following Senate bill was thereupon introduced and read by title:

   SB 669.

CONFERENCE COMMITTEE REPORT
 Mr. President and Mr. Speaker: Your committee on conference on House amend-
ments to HOUSE Substitute for SB 326, submits the following report:

 The Senate accedes to all House amendments to the bill, and your committee on con-
ference further agrees to amend the bill, as printed with House Committee of the Whole
amendments, as follows:

 On page 1, in line 20, by striking ``year ending June 30, 2001'' and inserting ``years ending
June 30, 2000, June 30, 2001, June 30, 2002, June 30, 2003, June 30, 2004, and June 30,
2005''; preceding line 29, by inserting new material to read as follows:

 ``(c) The appropriations made by this act shall not be subject to the provisions of K.S.A.
46- 155 and amendments thereto.

 (d) This act shall not be subject to the provisions of subsection (a) of K.S.A. 75-6702 and
amendments thereto.'';

 Also on page 1, in line 33, by striking ``$698,026'' and inserting ``$700,119''; in line 37, by
striking ``$2,456,479'' and inserting ``$2,463,387''; in line 41, by striking ``$2,400,835'' and
inserting ``$2,405,627'';

 On page 3, in line 35, by striking ``$1,674,275'' and inserting ``$1,666,718'';

 On page 10, in line 39, by striking ``$340,000'' and inserting ``$315,000'';

 On page 11, preceding line 14, by inserting new material to read as follows:

``Provided, That expenditures from the unclaimed property expense fund for official hos-
pitality shall not exceed $2,000.;

 On page 12, in line 10, by striking ``$6,973,368'' and inserting ``$6,943,491'';

 On page 16, in line 17, preceding the period, by inserting ``: And provided further, That
of the amount appropriated from the state general fund in the judiciary operations account
for fiscal year 2001, the amount of $128,987 may be reallocated and expended from the
account for fiscal year 2001 for a new district judge for the 18th judicial district: And
provided further, That no moneys appropriated from the state general fund in the judiciary
operations account for fiscal year 2001 may be reallocated from the amount in the approved
budget of expenditures for fiscal year 2001 for salaries and wages for nonjudicial officers
and employees of the judicial branch for such new district judge for the 18th judicial
district'';

 On page 17, in line 18, by striking ``$5,952,983'' and inserting ``$5,989,105'';

 On page 18, by striking all in lines 17 through 31;

 On page 21, in line 18, by striking all after ``(c)''; by striking all in lines 19 and 20; by
striking all in line 21 and inserting ``Expenditures for the fiscal year ending June 30, 2001,
by the state corporation commission from the conservation fee fund or the abandoned oil
and gas well fund may be made for the service of independent on-site supervision of well
plugging contracts: Provided, That all expenditures from the conservation fee fund or the
abandoned oil and gas well fund for the purpose of plugging of abandoned oil and gas wells
shall be subject to the competitive bidding requirements of K.S.A. 75-3739, and amend-
ments thereto, and shall not be exempt from such competitive bidding requirements on the
basis of the estimated amount of such purchases.'';

 On page 29, preceding line 28, by inserting new material to read as follows:

  ``Flexible spending fund$0
  Provided, That no expenditures shall be made from the flexible spending fund: Provided
further, That the director of accounts and reports is hereby authorized to make transfers
from the flexible spending fund to other funds in the state treasury only as specifically
authorized by statute and upon approval of the state finance council acting on this matter
which is hereby characterized as a matter of legislative delegation and subject to the guide-
lines prescribed in subsection (c) of K.S.A. 75- 3711c and amendments thereto and acting
on this matter after receiving the certification of the director of the budget that sufficient
moneys are available in the flexible spending fund pursuant to the intergovernmental trans-
fer program: And provided further, That such transfers are authorized to be made only to
special revenue funds of the department on aging, the department of social and rehabili-
tation services and the department of education.'';

 On page 31, following line 42, by inserting new material to read as follows:

 ``(o) On July 1, 2000, the director of accounts and reports shall transfer $25,000,000 from
the state general fund to the flexible spending fund.'';

 On page 32, in line 32, by striking ``$30,044,804'' and inserting ``$30,544,804''; in line 40,
preceding the period, by inserting ``: And provided further, That the department of revenue
shall make expenditures from this fund for printing and mailing vehicle renewal notices'';

 On page 35, preceding line 3, by inserting new material as follows:

``Provided, That expenditures may be made from the VIPS/CAMA technology hardware
fund for CAMA software.'';

 On page 36, preceding line 12, by inserting new material as follows:

 ``(g) On April 15, 2001, or as soon thereafter as moneys are available, the director of
accounts and reports shall transfer $500,000 from the VIPS/CAMA technology hardware
fund to the division of vehicles operating fund.

 (h) In addition to the purposes for which moneys may be expended by the above agency
for the fiscal year ending June 30, 2001, expenditures shall be made by the above agency
for claiming moneys due and owing the department of revenue which are held by the state
treasurer under the unclaimed property program.'';

 On page 40, in line 7, by striking ``any golf tournament or''; in line 8, by striking all
preceding the period, and inserting ``loans or grants to Reno County for the United States
women's open golf tournament'';

 On page 42, in line 22, by striking ``$16,279,331'' and inserting ``16,061,331''; in line 39,
by striking ``$9,185,931'' and inserting ``$9,167,931'';

 On page 43, in line 11, by striking ``$60,000'' and inserting ``$42,000'';

 On page 44, in line 14, by striking ``$300,000'' and inserting ``$100,000'';

 On page 45, in line 41, by striking ``$93,528'' and inserting ``$400,000'';

 On page 46, in line 16, by striking ``$346,137'' and inserting ``$377,137''; in line 29, by
striking ``$346,137'' and inserting ``$377,137''; in line 42, by striking ``$11,759,688'' and
inserting ``$12,523,562'';

 On page 47, in line 17, by striking ``$11,759,688'' and inserting ``$12,523,562''; in line 19,
by striking ``$975,328'' and inserting ``$1,039,206''; in line 27, by striking ``$975,321'' and
inserting ``$1,038,957'';

 On page 51, in line 29, by striking ``$4,346,593'' and inserting ``No limit'';

 On page 52, in line 3, by striking ``$300,000'' and inserting ``$225,000''; in line 42, pre-
ceding the period, by inserting ``: And provided further, That any unencumbered balance
in the pregnancy maintenance subaccount of the aid to local units account in excess of $100
as of June 30, 2000, is hereby reappropriated for fiscal year 2001 : And provided further,
That expenditures from such reappropriated balance in the pregnancy maintenance subac-
count of the aid to local units account shall not exceed $75,000 except upon approval of the
state finance council: And provided further, That all expenditures from the pregnancy main-
tenance subaccount of the aid to local units account shall be for the pregnancy maintenance
program'';

 On page 60, by striking all in lines 31 through 43;

 On page 61, by striking all in line 1;

 By relettering the remaining subsections accordingly;

 On page 63, in line 11, by striking ``$130,708,000'' and inserting ``$121,808,000'';

 On page 64, preceding line 42, by inserting new material as follows:

  ``Flexible spending fund--HCBS/FE waiver$9,700,000
  Provided, That no expenditures shall be made from the flexible spending fund--HCBS/FE
waiver except upon approval of the state finance council acting on this matter which is
hereby characterized as a matter of legislative delegation and subject to the guidelines
prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto and acting on this
matter after receiving the certification of the director of the budget that sufficient moneys
are not available in the flexible spending fund pursuant to the intergovernmental transfer
program.

  State medicaid match fund--department on aging$0'';
   On page 65, preceding line 25, by inserting new material to read as follows:

 ``(e) On July 1, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $9,700,000 from the flexible spending fund of the department of
administration to the flexible spending fund--HCBS/FE waiver of the department on aging:
Provided, That no transfer shall be made under this subsection except upon approval of the
state finance council acting on this matter which is hereby characterized as a matter of
legislative delegation and subject to the guidelines prescribed in subsection (c) of K.S.A. 75-
3711c and amendments thereto and acting on this matter after receiving the certification
of the director of the budget that sufficient moneys are not available in the flexible spending
fund pursuant to the intergovernmental transfer program.'';

 Also on page 65, in line 29, by striking ``$91,301,046'' and inserting ``$91,704,036''; in line
43, by striking ``$128,797,604'' and inserting ``$113,497,604'';

 On page 66, in line 26, preceding the period, by inserting ``: And provided further, That
in any area where a community developmental disability organization (CDDO) provides
treatment and care services for persons with developmental disabilities and a community
services provider or providers also provides treatment and care services in the area in which
the CDDO provides such treatment and services, the CDDO shall present a plan to the
secretary of social and rehabilitation services for approval that demonstrates how the CDDO
will impartially provide, directly or by subcontract, information about any and all community
services that are available in such area to persons with developmental disabilities and the
family members and that delineates the role that other community service providers may
have in the dissemination of services information to consumers: And provided further, That
each such CDDO shall develop such plan jointly with all community service providers within
such area to mitigate potential conflicts of interest: And provided further, That the secretary
of social and rehabilitation services shall report to the SRS transition oversight committee
on the status of all such plans and other steps taken to monitor compliance and mitigate
against potential conflicts of interest: And provided further, That, in addition, the secretary
of social and rehabilitation services shall report to the SRS transition oversight committee
on the creation of a community services ombudsman and other steps to address concerns
of families and consumers'';

 On page 67, in line 7, by striking ``$11,134,218'' and inserting ``$10,565,622'';

 On page 69, in line 10, by striking ``$45,024,853'' and inserting ``$44,994,853''; in line 24,
preceding the period, by inserting ``: And provided further, That the consensus estimating
group for the department of social and rehabilitation services shall include foster care and
adoption services in caseload estimates''; in line 41, by striking ``$31,737,751'' and inserting
``$30,937,751'';

 On page 70, in line 2, by striking ``$206,835,693'' and inserting ``$204,260,413''; in line 5,
by striking all following ``further,''; by striking all in line 6 through 13; in line 14, by striking
all preceding the period and inserting ``That expenditures shall be made by the department
of social and rehabilitation services from the other medical assistance account of the state
general fund for fiscal year 2001 to conduct a review and study of (1) the current rules and
regulations, administrative policies and practices of the department of social and rehabili-
tation services and the applicable federal statutes and regulations regarding exemptions from
income for purposes of eligibility determinations for medical assistance, including kinds and
amounts of allowable expenditures or other utilizations of assets to acquire exempt or other
property so that such assets are excluded from such income calculations and also including
the use of trusts to allowably reduce an individual's net worth when applying for medical
assistance, (2) the kinds and amounts of assets that are excluded from the medical assistance
eligibility determinations, (3) the methods used to inventory and value the real and personal
property of an applicant for medical assistance, (4) the policies and procedures utilized by
the department to enforce the current eligibility determination procedures, (5) the efforts
of the department to inform and educate applicants for medical assistance about long-term
care and other insurance products available to meet the medical and other needs of such
applicants, (6) the efforts of the department to inform and educate applicants for medical
assistance of the department's powers and duties under state and federal laws to recover
the costs of medical assistance provided from the estates of medical assistance recipients,
and (7) the amount of moneys and other assets recovered during the past fiscal year from
the estates of deceased recipients of medical assistance: And provided further, That the
secretary of social and rehabilitation services shall submit a comprehensive report to the
legislature at the beginning of the 2001 regular session setting forth the results of such
review and study: And provided further, That, with regard to the medicaid pharmacy budget,
the secretary of social and rehabilitation services (A) shall not increase the average wholesale
price discount above 12%, (B) shall provide a statewide uniform dispensing fee that is
applicable in all areas except in rural areas of the state or in cities and counties where
competition does not exist for pharmacy business, and (C) shall establish a unit dosage
dispensing fee'';

 On page 72, in line 29, by striking ``$278,268,505'' and inserting ``$278,641,495''; in line
41, by striking ``$54,752,727'' and inserting ``$54,753,127'';

 On page 73, in line 2, preceding the period, by inserting ``: Provided further, That not-
withstanding the provisions of K.S.A. 1999 Supp. 39-7,154 and amendments thereto, the
child support collection pass-through payments are hereby eliminated for FY 2001 and no
expenditures shall be made from the social welfare fund for payment of any amounts pur-
suant to K.S.A. 1999 Supp. 39-7,154 and amendments thereto'';

 On page 74, preceding line 6, by inserting new material to read as follows:

  ``Flexible spending fund--HCBS/MR waiver$15,300,000
  Provided, That no expenditures shall be made from the flexible spending fund--HCBS/MR
waiver except upon approval of the state finance council acting on this matter which is
hereby characterized as a matter of legislative delegation and subject to the guidelines
prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto and acting on this
matter after receiving the certification of the director of the budget that sufficient moneys
are not available in the flexible spending fund pursuant to the intergovernmental transfer
program.

  State medicaid match fund--SRS$0'';
HCBS programs fund$800,000
  Provided, That no expenditures shall be made from the HCBS programs fund except upon
approval of the state finance council acting on this matter which is hereby characterized as
a matter of legislative delegation and subject to the guidelines prescribed in subsection (c)
of K.S.A. 75-3711c and amendments thereto and acting on this matter after receiving the
certification of the director of the budget that sufficient moneys are available in the HCBS
programs fund pursuant to the intergovernmental transfer program.

 On page 75, preceding line 26, by inserting new material to read as follows:

 ``(l) On July 1, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $15,300,000 from the flexible spending fund of the department
of administration to the flexible spending fund--HCBS/MR waiver of the department of
social and rehabilitation services: Provided, That no transfer shall be made under this sub-
section except upon approval of the state finance council acting on this matter which is
hereby characterized as a matter of legislative delegation and subject to the guidelines
prescribed in subsection (c) of K.S.A. 75- 3711c and amendments thereto and acting on this
matter after receiving the certification of the director of the budget that sufficient moneys
are not available in the flexible spending fund pursuant to the intergovernmental transfer
program.'';

 Also on page 75, in line 43, preceding the period, by inserting ``: Provided further, That
expenditures shall be made by the department of education from the operating expenditures
account of the state general fund for fiscal year 2001 to conduct a review and study of
expenditures for special education services by unified school districts, unified school district
interlocal cooperatives and unified school district cooperatives for school year 1999-2000:
And provided further, That such study shall encompass all special education expenditures
and shall include a review of variations among such entities in the amount of special edu-
cation services aid received by such entities and the reasons therefor: And provided further,
That the state board of education shall report the findings and conclusions of such review
and study to the legislature at the beginning of the regular session in 2001'';

 On page 76, in line 19, by striking ``$1,820,567,000'' and inserting ``$1,813,086,000''; in
line 27, by striking ``$82,059,000'' and inserting ``$81,779,000''; in line 31, by striking ``fund''
and inserting ``account''; in line 35, by striking ``fund'' and inserting ``account''; in line 38,
by striking ``fund'' and inserting ``account''; in line 41, by striking the colon; by striking all
in lines 42 and 43;

 On page 77, by striking all in lines 1 through 3; in line 4, by striking all before the period;

 On page 80, by striking all in lines 28 through 43;

 On page 81, by striking all in lines 1 through 4; preceding line 5, by inserting new material
to read as follows:

  ``Flexible spending fund--general state aid$7,761,000
  Provided, That no expenditures shall be made from the flexible spending fund--general
state aid except upon approval of the state finance council acting on this matter which is
hereby characterized as a matter of legislative delegation and subject to the guidelines
prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto and acting on this
matter after receiving the certification of the director of the budget that sufficient moneys
are available in the flexible spending fund pursuant to the intergovernmental transfer pro-
gram.

  Flexible spending fund--special education services aid$14,600,000
  Provided, That expenditures shall not be made from the flexible spending fund--special
education services aid for the provision of instruction for any homebound or hospitalized
child unless the categorization of such child as exceptional is conjoined with the categori-
zation of the child within one or more of the other categories of exceptionality: Provided
further, That expenditures shall be made from this account for grants to school districts in
amounts determined pursuant to and in accordance with the provisions of K.S.A. 1999 Supp.
72-983 and amendments thereto: And provided further, That expenditures shall be made
from the amount remaining in this account, after deduction of the expenditures specified
in the foregoing proviso, for payments to school districts in amounts determined pursuant
to and in accordance with the provisions of K.S.A. 72-978 and amendments thereto: And
provided further, That no expenditures shall be made from the flexible spending fund--
special education services aid except upon approval of the state finance council acting on
this matter which is hereby characterized as a matter of legislative delegation and subject
to the guidelines prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto
and acting on this matter after receiving the certification of the director of the budget that
sufficient moneys are available in the flexible spending fund pursuant to the intergovern-
mental transfer program.'';

 Also on page 81, in line 9, by striking ``$35,000'' and inserting ``$30,000''; preceding line
26, by inserting new material as follows:

 ``(e) On July 1, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $7,761,000 from the flexible spending fund of the department of
administration to the flexible spending fund--general state aid of the department of edu-
cation: Provided, That no transfer shall be made under this subsection except upon approval
of the state finance council acting on this matter which is hereby characterized as a matter
of legislative delegation and subject to the guidelines prescribed in subsection (c) of K.S.A.
75-3711c and amendments thereto and acting on this matter after receiving the certification
of the director of the budget that sufficient moneys are available in the flexible spending
fund pursuant to the intergovernmental transfer program.

 (f) On July 1, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $14,600,000 from the flexible spending fund of the department
of administration to the flexible spending fund--special education services aid of the de-
partment of education: Provided, That no transfer shall be made under this subsection
except upon approval of the state finance council acting on this matter which is hereby
characterized as a matter of legislative delegation and subject to the guidelines prescribed
in subsection (c) of K.S.A. 75-3711c and amendments thereto and acting on this matter
after receiving the certification of the director of the budget that sufficient moneys are
available in the flexible spending fund pursuant to the intergovernmental transfer program.'';

 On page 81, in line 38, by striking ``$3,810,608'' and inserting ``$3,640,608''; in line 40,
by striking ``$2,792,531'' and inserting ``$2,622,531'';

 On page 82, preceding line 12, by inserting new material to read as follows:

  ``EDIF--grants-in-aid to libraries fund$170,000
  Provided, That on July 15, 2000, or as soon thereafter as moneys are available, the director
of accounts and reports shall transfer $170,000 from the Kansas economic development
initiatives fund of the department of commerce and housing to the EDIF--grants-in-aid to
libraries fund of the state library: Provided further, That all expenditures from the EDIF-
 grants-in-aid to libraries fund shall be distributed as grants-in-aid to libraries in accord-
ance with K.S.A. 75-2555 and amendments thereto.'';

 Also on page 82, in line 16, by striking ``$443,036'' and inserting ``323,926''; preceding
line 41, by inserting new material as follows:

  ``EDIF--arts commission fundNo limit'';
   On page 83, preceding line 9, by inserting new material to read as follows:

 ``(c) On July 15, 2000, or as soon thereafter as moneys are available, the director of
accounts and reports shall transfer $119,110 from the Kansas economic development en-
dowment account of the state economic development initiatives fund of the department of
commerce and housing to the EDIF--arts commission fund of the Kansas arts commis-
sion.'';

 Also on page 83, preceding line 20, by inserting new material to read as follows:

``Any unencumbered balance in excess of $100 as of June 30, 2000, in the technology lending
library account is hereby reappropriated for fiscal year 2001: Provided, however, That all
expenditures from the technology lending library account shall be made only for the purpose
of matching an equal or greater amount of federal or other nonstate governmental grant
moneys or private grant or donation moneys, or any combination thereof, received by the
Kansas state school for the blind: Provided further, That no expenditures shall be made
from this account except upon approval of the state finance council acting on this matter
which is hereby characterized as a matter of legislative delegation and subject to the guide-
lines prescribed in subsection (c) of K.S.A. 75-3711c and amendments thereto, after re-
ceiving information that the Kansas state school for the blind has received the required
matching funds.'';

 On page 86, in line 28, by striking ``$70,000'' and inserting ``$60,000''; in line 42, by striking
``$30,420,473'' and inserting ``$30,445,146'';

 On page 89, in line 25, by striking ``$101,400,087'' and inserting ``$101,513,314'';

 On page 93, in line 12, by striking ``$754,934'' and inserting ``$756,009''; in line 17, by
striking ``$17,202,081'' and inserting ``$17,227,041''; in line 22, by striking ``$28,407,680''
and inserting ``$28,441,358'';

 On page 94, in line 39, by striking ``$9,271,884'' and inserting ``$9,281,927'';

 On page 96, in line 13, by striking ``$29,353,768'' and inserting ``$29,378,363'';

 On page 98, in line 29, by striking ``$31,719,440'' and inserting ``$31,750,938'';

 On page 101, in line 10, by striking ``$124,840,272'' and inserting ``$124,962,880''; in line
14, by striking ``$6,023,677'' and inserting ``$6,032,341'';

 On page 105, in line 25, by striking ``$98,411,952'' and inserting ``$98,539,396'';

 On page 106, in line 8, preceding the colon, by inserting ``; university of Kansas physicians,
inc., reimbursements'';

 On page 108, in line 18, by striking ``$62,556,693'' and inserting ``$62,618,059'';

 On page 111, in line 3, by striking ``$1,340,393'' and inserting ``$1,278,688''; in line 11,
by striking ``$10,846,031'' and inserting ``$10,396,766''; in line 12, by striking ``$377,139''
and inserting ``$361,069''; in line 16, by striking ``$140,000'' and inserting ``$135,450''; in
line 20, by striking ``$560,674'' and inserting ``$538,951''; in line 29, by striking ``$199,912''
and inserting ``$192,166''; in line 37, by striking ``$388,554'' and inserting ``$374,277''; in
line 39, by striking ``$256,560'' and inserting ``$248,563'';

 On page 113, in line 13, by striking ``$9,316,110'' and inserting ``$9,566,110'';

 On page 114, by striking all in line 31 through 36; preceding line 37, by inserting new
material to read as follows:

  ``Comprehensive grant program$250,000
   (d) On July 15, 2000, or as soon after such date as moneys are available, the director of
accounts and reports shall transfer $794,416 from the Kansas economic development en-
dowment account of the state economic development initiatives fund of the department of
commerce and housing to the economic development initiatives fund of the state board of
regents.

 (e) On August 15, 2000, and on the 15th day of each month thereafter during the fiscal
year ending June 30, 2001, or as soon after such date as moneys are available, the director
of accounts and reports shall transfer $794,415 from the Kansas economic development
endowment account of the state economic development initiatives fund of the department
of commerce and housing to the economic development initiatives fund of the state board
of regents.'';

 On page 115, in line 20, by striking ``$30,843,800'' and inserting ``$31,080,800''; in line
34, by striking ``$23,034,087'' and inserting ``$22,996,537''; in line 42, by striking
``$31,072,789'' and inserting ``$30,894,098'';

 On page 116, in line 7, by striking ``$8,295,883'' and inserting ``$8,221,828''; in line 15,
by striking ``$9,033,466'' and inserting ``$9,000,551''; in line 23, by striking ``$11,508,398''
and inserting ``$11,277,695''; in line 31, by striking ``$16,736,440'' and inserting
``$17,290,354''; in line 39, by striking ``$6,924,578'' and inserting ``$7,256,174'';

 On page 120, following line 9, by inserting new material to read as follows:

 ``(d) On July 1, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $250,000 from the correctional industries fund to the department
of corrections--general fees fund: Provided, That the secretary of corrections may transfer
moneys during fiscal year 2001 from the department of corrections--general fees fund to
the general fees fund of any correctional institution for the purpose of funding inmate work
crew supervisor positions.'';

 Also on page 120, in line 14, by striking ``$33,657,573'' and inserting ``$34,385,360''; in
line 23, by striking ``$12,539,439'' and inserting ``$11,811,652'';

 On page 123, by striking all in lines 19 through 28;

 On page 124, preceding line 33, by inserting new material to read as follows:

  ``EDIF--educational assistance fund$50,000
   (c) On July 15, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $50,000 from the Kansas economic development endowment
account of the state economic development initiatives fund of the department of commerce
and housing to the EDIF--educational assistance fund of the adjutant general.'';

 On page 126, in line 32, by striking ``personal sidearms'' and inserting ``such trooper or
other sworn officer's personal sidearm with a trigger lock''; in line 34, preceding the colon,
by inserting ``for the amount equal to the total of the cost of the sidearm plus the cost of
the trigger lock''; in line 41, following ``sidearms'', by inserting ``and trigger locks'';

 On page 128, in line 25, by striking ``$12,353,238'' and inserting ``$12,401,008'';

 On page 130, in line 8, preceding the period by inserting ``: And provided further, That
expenditures from any moneys received from the division of alcoholic beverage control and
credited to the KBI general fees fund may be made by the Kansas bureau of investigation
for all purposes for which expenditures may be made for operating expenditures''; in line
29, by striking ``$64,008'' and inserting ``$79,008'';

 On page 134, preceding line 36, by inserting new material as follows:

 ``(f) On July 1, 2000, the director of accounts and reports shall transfer $426,224 from
the grain inspection fee fund of the Kansas department of agriculture to the state general
fund.'';

 On page 136, in line 13, by striking ``$125,000'' and inserting ``$134,000''; in line 17, by
striking ``$125,000'' and inserting ``$134,000'';

 On page 140, preceding line 22, by inserting new material to read as follows:

 ``(c) On July 1, 2000, the director of accounts and reports shall transfer $633,370 from
the water marketing fund of the Kansas water office to the state general fund.

 (d) If it appears that the resources in the fiscal year ending June 30, 2001, are insufficient
to meet in full the estimated expenditures as they become due to meet the financial obli-
gations imposed by law on the water marketing fund of the Kansas water office as a result
of a cash flow shortfall, the pooled money investment board is authorized and directed to
loan to the director of the Kansas water office sufficient funds to maintain the cash flow of
the water marketing fund. No loan shall be made unless the terms thereof have been ap-
proved by the director of the budget. The pooled money investment board is authorized
and directed to use any moneys in the operating accounts, investment accounts or other
investments of the state of Kansas to provide the funds for such loan. Each such loan shall
be repaid without interest within one year from the date of the loan.'';

 Also on page 140, in line 40, by striking ``$21,748,349'' and inserting ``$22,139,970'';

 On page 141, in line 18, by striking ``$1,232,339'' and inserting ``$1,186,682'';

 On page 142, by striking all in line 12; in line 25, by striking ``$500,000'' and inserting
``$250,000'';

 On page 143, in line 2, by striking ``$500,000'' and inserting ``$250,000'';

 On page 144, in line 36, by striking ``$210,875,792'' and inserting ``$209,875,792'';

 On page 146, by striking all in line 6 through 22; preceding line 23 by inserting new
material to read as follows:

 ``(g) For the fiscal year commencing on and after July 1, 2000, the department of trans-
portation shall prepare and submit along with the documents required under K.S.A. 75-
3717, and amendments thereto, additional documents that present the revenues, transfers,
and expenditures that are considered to be in support of the comprehensive transportation
program authorized by K.S.A. 1999 Supp. 68-2314a et seq. The documents shall include
both reportable as well as nonreportable and off-budget items that reflect the revenues,
transfers and expenditures associated with the comprehensive transportation program.'';

 On page 148, in line 2, by striking ``78.0'' and inserting ``79.0''; in line 23, by striking
``765.6'' and inserting ``760.6''; in line 33, by striking ``3,068.0'' and inserting ``3,063.0'';

 On page 153, in line 19, by striking ``$4,086,263'' and inserting ``$4,000,720'';

 On page 154, in line 10, by striking ``$425,641'' and inserting ``$425,141''; in line 12, by
striking ``$1,000'' and inserting ``$500''; in line 16, by striking ``30'' and inserting ``36''; pre-
ceding line 37, by inserting new material as follows:

 ``Sec. 76.

KANSAS AGRICULTURAL REMEDIATION BOARD
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures other than refunds
authorized by law shall not exceed the following:

  Kansas agricultural remediation fund$0
   (b) On the effective date of this act, the director of accounts and reports shall transfer
$426,223 from the grain inspection fee fund of the Kansas department of agriculture to the
Kansas agricultural remediation fund of the Kansas agricultural remediation board.

 Sec. 77.

STATE FAIR BOARD
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures other than refunds
authorized by law shall not exceed the following:

  State fair capital improvements fundNo limit
SBSF--encampment building renovation fundNo limit
EDIF--capital improvements fund$100,000
   (b) On or before the 10th of each month during the fiscal year ending June 30, 2001, the
director of accounts and reports shall transfer from the state general fund to the state fair
capital improvements fund interest earnings based on: (1) The average daily balance of
moneys in the state fair capital improvements fund for the preceding month; and (2) the
net earnings rate for the pooled money investment portfolio for the preceding month.

 (c) On July 15, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $100,000 from the Kansas economic development endowment
account of the state economic development initiatives fund of the department of commerce
and housing to the EDIF capital improvements fund of the state fair board.

 (d) On the effective date of this act, the director of accounts and reports shall transfer all
moneys in the grandstand renovation project fund, grandstand cost of issuance fund, grand-
stand principal and interest fund, grandstand renovation reserve fund, grandstand rebate
fund, grandstand renovation surplus fund and grandstand contingency fund to the state fund.
On the effective date of this act, all liabilities of the grandstand renovation project fund,
grandstand cost of issuance fund, grandstand principal and interest fund, grandstand ren-
ovation reserve fund, grandstand rebate fund, grandstand renovation surplus fund and
grandstand contingency fund are hereby transferred to and imposed on the state general
fund. On the effective date of this act, the grandstand renovation project fund, grandstand
cost of issuance fund, grandstand principal and interest fund, grandstand renovation reserve
fund, grandstand rebate fund, grandstand renovation surplus fund and grandstand contin-
gency fund are hereby abolished.

 Sec. 78.

DEPARTMENT OF SOCIAL AND REHABILITATION SERVICES
 (a) There is appropriated for the above agency from the state institutions building fund
for the fiscal year ending June 30, 2001, for the capital improvement project or projects
specified as follows:

  Rehabilitation and repair projects$3,987,897
  Provided, That the secretary of social and rehabilitation services is hereby authorized to
transfer moneys during fiscal year 2001 from the rehabilitation and repair projects account
to a rehabilitation and repair account for any institution, as defined by K.S.A. 76-12a01 or
76-12a18 and amendments thereto, for projects approved by the secretary of social and
rehabilitation services: Provided further, That expenditures also may be made from this
account during fiscal year 2001 for the purposes of rehabilitation and repair for facilities of
the department of social and rehabilitation services other than any institution, as defined by
K.S.A. 76-12a01 or 76-12a18 and amendments thereto: And provided further, That no ex-
penditures shall be made from this account for Rainbow mental health facility other than
capital improvements to maintain the buildings and facilities, to comply with the require-
ments of applicable life safety codes, or to correct conditions that would endanger the health
or safety of individuals at the Rainbow mental health facility.

 (b) In addition to the purposes for which expenditures may be made by the above agency
from the other state fees fund for fiscal year 2001, expenditures may be made by the above
agency from the other state fees fund for fiscal year 2001 for the following capital improve-
ment project or projects, subject to the expenditure limitations prescribed therefor:

  Area office rehabilitation and repair$166,000
  Provided, That expenditures from the area office rehabilitation and repair account shall be
in addition to any expenditure limitation imposed on the other state fees fund for fiscal year
2001.

 (c) On the effective date of this act, any unencumbered balance in each of the following
accounts of the state institutions building fund is hereby lapsed: Institutional rehabilitation
& repair projects account of Rainbow mental health facility.

 (d) No moneys appropriated for fiscal year 2000 by chapter 132 or 160 of the 1999 Session
Laws of Kansas or 2000 Senate Bill No. 39 or for fiscal year 2001 by this act or any other
appropriation act of the 2000 regular session of the legislature for the department of social
and rehabilitation services or any other state agency shall be expended to close Rainbow
mental health facility unless the closing of Rainbow mental health facility is specifically
authorized by act of the legislature.

 (e) There is appropriated for the above agency from the state institutions building fund
for the fiscal year ending June 30, 2000, for the capital improvement project or projects
specified as follows:

  Sex predator contingency fund$750,000
   Sec. 79.

KANSAS STATE SCHOOL FOR THE BLIND
 (a) There is appropriated for the above agency from the state institutions building fund
for the fiscal year ending June 30, 2001, for the capital improvement project or projects
specified as follows:

  Rehabilitation and repair projects$58,270
Fire alarm system upgrade$78,390
   Sec. 80.

KANSAS STATE SCHOOL FOR THE DEAF
 (a) There is appropriated for the above agency from the state institutions building fund
for the fiscal year ending June 30, 2001, for the capital improvement project or projects
specified as follows:

  Rehabilitation and repair projects, air-conditioning$188,000
Pool and laundry roof replacement$200,000
Roberts building renovation$341,200
   Sec. 81.

DEPARTMENT OF CORRECTIONS
 (a) There is appropriated for the above agency from the state general fund for the fiscal
year ending June 30, 2001, for the capital improvement project or projects specified as
follows:

  Debt service payment for the revenue refunding bond issue$6,226,000
Debt service payment for the Wichita work release facility bond issue$167,000
Debt service payment for the Ellsworth correctional facility at Ellsworth,Kansas$1,462,000
Debt service payment for the reception and diagnostic unit relocationbond issue$948,000
   (b) There is appropriated for the above agency from the correctional institutions building
fund for the fiscal year ending June 30, 2001, for the capital improvement project or projects
specified as follows:

  Debt service payment for the revenue refunding bond issues$1,000,000
Capital improvements--rehabilitation, remodeling, renovation and
repair of correctional institutions
$4,004,010
  Provided, That the secretary of corrections is hereby authorized to transfer moneys during
fiscal year 2001 from the capital improvements--rehabilitation, remodeling, renovation and
repair of correctional institutions account of the correctional institutions building fund to
an account or accounts of the correctional institutions building fund of any institution or
facility under the jurisdiction of the secretary of corrections to be expended during fiscal
year 2001 by the institution or facility for capital improvement projects, including security
improvement projects and hazardous waste cleanup at Lansing correctional facility, ap-
proved by the secretary of corrections.

 (c) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures other than refunds
authorized by law shall not exceed the following:

  Violent offenders incarceration and truth in sentencing incentive grants--federal fundNo limit
Refunding lease revenue bond issue--principal and interest fund--A-1bondsNo limit
Refunding lease revenue bond issue--principal and interest fund--A-2bondsNo limit
Lease revenue bond issue--principal and interest fund--H bondsNo limit
Lease revenue bond issue--principal and interest fund--J bondsNo limit
Revenue refunding bond issue--principal and interest fund--
L bonds
No limit
Reception and diagnostic unit replacement project revenue fundNo limit
   (d) During the fiscal year ending June 30, 2001, the department of corrections is hereby
authorized to make expenditures to raze building number 538 (Hutchinson range tower).

 Sec. 82.

STATE HISTORICAL SOCIETY
 (a) On July 1, 2000, any unencumbered balance in excess of $100 as of June 30, 2000, in
each of the following capital improvement accounts of the state general fund is hereby
reappropriated for fiscal year 2001: Rehabilitation and repair projects; construct storage bay
#3.

 (b) There is hereby appropriated for the above agency from the following special revenue
fund or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Historical society capital improvements fundNo limit
   Sec. 83.

INSURANCE DEPARTMENT
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Insurance building principal and interest payment fundNo limit
Insurance department rehabilitation and repair fundNo limit
   Sec. 84.

DEPARTMENT OF ADMINISTRATION
 (a) There is appropriated for the above agency from the state general fund for the fiscal
year ending June 30, 2001, for the capital improvement project or projects specified as
follows:

  Energy conservation improvements--debt service$2,494,994
  Any unencumbered balance in excess of $100 as of June 30, 2000, in each of the following
capital improvement accounts is hereby reappropriated for fiscal year 2001: Rehabilitation
and repair for state facilities; fire and safety alarms--statehouse; roof repair at center section
and rotunda--statehouse; judicial center carpet replacement; judicial center renovation
planning; statehouse grounds and facility improvements; memorial hall security; statehouse
committee room planning, remodel and relocation; Cedar Crest repair and renovation.

 (b) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Master lease program fundNo limit
State buildings depreciation fund$0
   (c) In addition to the other purposes for which expenditures may be made from the state
budget stabilization fund for fiscal year 2001, expenditures may be made by the above agency
from the state budget stabilization fund for fiscal year 2001 from any unencumbered balance
as of June 30, 2000, in each of the following capital improvement accounts of the state
budget stabilization fund: Statehouse elevators renovation; statehouse grounds & facility
improvements; statehouse fire and safety alarms: Provided, That the expenditures for fiscal
year 2001 from the unencumbered balance of any such account shall not exceed the amount
of the unencumbered balance in such account on June 30, 2000: Provided further, That all
expenditures from the state budget stabilization fund for the fiscal year 2001 from the
unencumbered balance in any such account shall be in addition to any expenditure limitation
imposed on the state budget stabilization fund for the fiscal year 2001.

 (d) In addition to the other purposes for which expenditures may be made by the above
agency from the building and ground fund for fiscal year 2001, expenditures may be made
by the above agency from the following capital improvement account or accounts of the
building and ground fund for fiscal year 2001 for the following capital improvement project
or projects, subject to the expenditure limitations prescribed therefor:

  Paint and grounds shop--debt serviceNo limit
   (e) In addition to the other purposes for which expenditures may be made by the above
agency from the state buildings depreciation fund for fiscal year 2001, expenditures may be
made by the above agency from the following capital improvement account or accounts of
the state buildings depreciation fund for fiscal year 2001 for the following capital improve-
ment project or projects, subject to the expenditure limitations prescribed therefor:

  Rehabilitation and repair$100,000
Docking fire suppression system installation$300,000
Landon fire suppression system installation$250,000
Landon electrical system failure mode study$130,000
Docking renovation--debt serviceNo limit
Landon & Statehouse steam tunnel and walkway planning andconstruction$345,500
Docking heating, ventilation and air-conditioning system
renovations
$250,000
Landon security improvements$110,000
  Provided, That all expenditures from each such capital improvement account shall be in
addition to any expenditure limitation imposed on the state buildings depreciation fund for
fiscal year 2001.

 (f) In addition to the other purposes for which expenditures may be made by the above
agency from the state buildings depreciation fund for fiscal year 2001, expenditures may be
made by the above agency from the state buildings depreciation fund for fiscal year 2001
from the unencumbered balance as of June 30, 2000, in each capital improvement account
of the state buildings depreciation fund for one or more projects approved for prior fiscal
years: Provided, That expenditures from the unencumbered balance in any such account
shall not exceed the amount of the unencumbered balance in such account on June 30,
2000: Provided further, That all expenditures from any such account shall be in addition to
any expenditure limitation imposed on the state buildings depreciation fund for fiscal year
2001.

 (g) In addition to the other purposes for which expenditures may be made by the above
agency from the state buildings operating fund for fiscal year 2001, expenditures may be
made by the above agency from the following capital improvement account or accounts of
the state buildings operating fund for fiscal year 2001 for the following capital improvement
project or projects, subject to the expenditure limitations prescribed therefor:

  Landon state office building--debt serviceNo limit
Memorial hall--debt serviceNo limit
Energy conservation projectsNo limit
   (h) In addition to the other purposes for which expenditures may be made by the above
agency from the motor pool service fund for fiscal year 2001, expenditures may be made
by the above agency from the following capital improvement account or accounts of the
motor pool service fund for fiscal year 2001 for the following capital improvement project
or projects, subject to the expenditure limitations prescribed therefor:

  Motor pool shop--debt serviceNo limit
   (i) In addition to the other purposes for which expenditures may be made from the
intragovernmental printing service fund for fiscal year 2001, expenditures may be made by
the above agency from the following capital improvement account or accounts of the intra-
governmental printing service fund for fiscal year 2001 for the following capital improvement
project or projects, subject to the expenditure limitations prescribed therefor:

  Printing plant--debt serviceNo limit
   Sec. 85.

DEPARTMENT OF COMMERCE AND HOUSING
 (a) In addition to the other purposes for which expenditures may be made from the Kansas
economic development endowment account of the state economic development initiatives
fund for fiscal year 2001, moneys may be expended by the above agency from the Kansas
economic development endowment account of the state economic development initiatives
fund for fiscal year 2001 for the following capital improvement project or projects, subject
to the expenditure limitations prescribed therefor:

  Rehabilitation and repair--travel information centers$15,000
  Provided, That all expenditures by the above agency from the rehabilitation and repairtravel
information centers subaccount of the Kansas economic development endowment account
of the state economic development initiatives fund for fiscal year 2001 shall be in addition
to any expenditure limitation imposed on the Kansas economic development endowment
account of the state economic development initiatives fund for fiscal year 2001.

 (b) In addition to the other purposes for which expenditures may be made by the de-
partment of commerce and housing from the publication and other sales fund for fiscal year
2001, expenditures may be made by the above agency from the publication and other sales
fund for fiscal year 2001 for the following capital improvement project or projects, subject
to the expenditure limitations prescribed therefor:

  Construct new travel information center near Goodland$100,000
   (c) In addition to the other purposes for which expenditures may be made from the Kansas
economic development endowment account of the state economic development initiatives
fund for fiscal year 2002, moneys may be expended by the above agency from the Kansas
economic development initiatives fund for fiscal year 2002 for the following capital improve-
ment project or projects, subject to the expenditure limitations prescribed therefor:

  Construct new travel information center near Goodland$100,000
  Provided, That all expenditures by the above agency from the construct new travel infor-
mation center near Goodland subaccount of the Kansas economic development endowment
account of the state economic development initiatives fund for fiscal year 2002 shall be in
addition to any expenditure limitation imposed on the Kansas economic development ini-
tiatives fund for fiscal year 2002.

 Sec. 86.

FORT HAYS STATE UNIVERSITY
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Lewis field renovation--bond and interest sinking fundNo limit
Lewis field renovation--revenue fundNo limit
   Sec. 87.

KANSAS STATE UNIVERSITY
 (a) There is appropriated for the above agency from the state general fund for the fiscal
year ending June 30, 2001, for the capital improvement project or projects specified as
follows:

  Lease payment--Salina aeronautical center (including aeronautical
laboratory center)
$189,446
   (b) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Federal construction funds fundNo limit
Bond construction funds fundNo limit
Coliseum repair, equipment and improvement fundNo limit
Housing system project revenue fundNo limit
Housing facilities renovation bond fund, KDFA D bonds, 1989No limit
Parking system refunding revenue bond fund, KDFA G bonds, 1995No limit
Housing system bond fund, KDFA H bonds, 1993No limit
Farrell library renovation/expansion-gifts/donations fundNo limit
Plan/construct/equip Farrell library renovation/expansion fundNo limit
Farrell library expansion revenue bond fund, KDFA K bonds, 1995No limit
Recreation complex revenue bond fund, KDFA D bonds, 1993No limit
Plant science building phase II--special revenue fundNo limit
Site improvements fundNo limit
College center construction fundNo limit
Bluemont hall defects repair fundNo limit
Engineering complex phase II private gift fundNo limit
Student recreation building repair, equipment & improvement fundNo limit
Coliseum/stadium parking repair & improvement fundNo limit
Energy conservation projects fundNo limit
Student union renovation and expansion fundNo limit
  Provided, That Kansas state university may make expenditures from the student union ren-
ovation and expansion fund for the capital improvement project to renovate and expand the
student union in an amount of not more than $11,500,000, plus all amounts required for
cost of bond issuance, cost of interest on the bonds during the construction of the project
and required reserves for the payment of principal and interest on the bonds: Provided
further, That such capital improvement project is hereby approved for Kansas state univer-
sity for the purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto and the
authorization of the issuance of bonds by the Kansas development finance authority in
accordance with that statute: And provided further, That all moneys received from the
issuance of any such bonds shall be deposited in the state treasury to the credit of this fund.

  Ackert hall addition--federal fundNo limit
Ackert hall addition--gifts and grants fundNo limit
Ackert hall addition--special revenue fundNo limit
  Provided, That Kansas state university may make expenditures from the Ackert hall addi-
tion--special revenue fund for the project to construct an addition to Ackert hall in addition
to the expenditure of other moneys appropriated therefor: Provided, however, That ex-
penditures from this fund for such capital improvement project shall not exceed $1,500,000
plus all amounts required for costs of any bond issuance, costs of interest on any bond issued
or obtained for such capital improvement project and any required reserves for payment of
principal and interest on any bond: Provided further, That such capital improvement project
is hereby approved for Kansas state university for the purposes of subsection (b) of K.S.A.
74-8905 and amendments thereto and the authorization of the issuance of bonds by the
Kansas development finance authority in accordance with that statute: And provided further,
That all moneys received from the issuance of any such bonds shall be deposited in the
state treasury to the credit of this fund.

  Student and staff parking garage--special revenue fundNo limit
  Provided, That Kansas state university may make expenditures from the student and staff
parking garage--special revenue fund for the capital improvement project to construct a
parking garage in addition to the expenditure of other moneys appropriated therefor: Pro-
vided, however, That expenditures from this fund for such capital improvement project shall
not exceed $10,500,000 plus all amounts required for costs of any bond issuance, costs of
interest on any bond issued or obtained for such capital improvement project and any
required reserves for payment of principal and interest on any bond: Provided further, That
such capital improvement project is hereby approved for Kansas state university for the
purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto and the authorization
of the issuance of bonds by the Kansas development finance authority in accordance with
that statute: And provided further, That all moneys received from the issuance of any such
bonds shall be deposited in the state treasury to the credit of this fund.

  Football stadium expansion--special revenue fundNo limit
  Provided, That Kansas state university may make expenditures from the football expansion-
special revenue fund for the capital improvement project to expand the football stadium in
addition to the expenditure of other moneys appropriated therefor: Provided, however, That
expenditures from this fund for such capital improvement project shall not exceed
$16,000,000 plus all amounts required for costs of any such bond issuance, costs of interest
on any bonds issued or obtained for such capital improvement projects and any required
reserves for payment of principal and interest on any bond: Provided further, That such
capital improvement is hereby approved for Kansas state university for the purposes of
subsection (b) of K.S.A. 74-8905 and amendments thereto and the authorization of the
issuance of bonds by the Kansas development finance authority in accordance with that
statute: And provided further, That all moneys received from the issuance of any such bonds
shall be deposited in the state treasury to the credit of this fund.

 (c) In addition to the other purposes for which expenditures may be made by the above
agency from the restricted fees fund for the fiscal year ending June 30, 2001, expenditures
may be made by the above agency from the appropriate account or accounts of the restricted
fees fund during fiscal year 2001 for the following capital improvement project or projects,
subject to the expenditure limitations prescribed therefor:

  Biological and agricultural engineering research storage buildingNo limit
Konza prairie preserve storage buildingNo limit
Improvements to grain science value added laboratoryNo limit
Construct a materials acoustics laboratoryNo limit
   (d) In addition to the other purposes for which expenditures may be made by the above
agency from the student union renovation and expansion fund for fiscal year 2001, expend-
itures may be made by the above agency from the student union renovation and expansion
fund for fiscal year 2001 for costs associated with roof repair on an existing portion of the
student union building.

 (e) In addition to the other purposes for which expenditures may be made by the above
agency from the sponsored research overhead fund for fiscal year 2001, expenditures may
be made by the above agency from the sponsored research overhead fund for the fiscal year
2001 for the following capital improvement project or projects, subject to the expenditure
limitations prescribed therefor:

  Accelerated testing laboratory garage additionNo limit
Accelerated testing laboratory storage/equipment shedNo limit
Salina national gas machinery laboratoryNo limit
   (f) During the fiscal year ending June 30, 2001, Kansas state university is hereby author-
ized to make expenditures to raze Dennison hall and to raze portions of building no. 025
(Seaton hall).

 Sec. 88.

KANSAS STATE UNIVERSITY EXTENSION SYSTEMS AND
AGRICULTURE RESEARCH PROGRAMS
 (a) In addition to the other purposes for which expenditures may be made by the above
agency from the restricted fees fund for the fiscal year ending June 30, 2001, expenditures
may be made by the above agency from the appropriate account or accounts of the restricted
fees fund during fiscal year 2001 for the following capital improvement project or projects:

  Validation/fresh meats processing laboratoryNo limit
Renovate laboratories in Throckmorton hallNo limit
Warehouse expansion--department of agronomy buildingNo limit
Scandia experiment field office facilityNo limit
Equipment/pesticide storage buildingsNo limit
Southwest research extension center office/administrative facilityNo limit
Equine education and research centerNo limit
Southeast agriculture research center buildingsNo limit
South central agronomy experiment field office and
storage building
No limit
Grain science centerNo limit
Agricultural shop buildings--east central Kansas experiment fieldNo limit
Animal science swine facilityNo limit
Construct east Kansas horticulture research centerNo limit
   (b) In addition to the other purposes for which expenditures may be made by the above
agency from the sponsored overhead research fund for fiscal year 2001, expenditures may
be made by the above agency from the sponsored research overhead fund for the fiscal year
2001 for the following capital improvement project or projects, subject to the expenditure
limitations prescribed therefor:

  Southeast agriculture research center buildingsNo limit
   Sec. 89.

KANSAS STATE UNIVERSITY VETERINARY MEDICAL CENTER
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures other than refunds
authorized by law shall not exceed the following:

  Greyhound research facility expansion fundNo limit
Energy conservation projects fundNo limit
   Sec. 90.

EMPORIA STATE UNIVERSITY
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Student union refurbishing fundNo limit
Bond construction funds fundNo limit
Student union addition bond and interest sinking fundNo limit
Twin towers project revenue fundNo limit
Twin towers bond and interest sinking fundNo limit
Twin towers maintenance and equipment reserve fundNo limit
Student recreational building fundNo limit
  Provided, That Emporia state university may make expenditures from the student recrea-
tional building fund for the capital improvement project to plan and construct a student
recreational center in an amount of not more than $3,000,000, plus all amounts required
for the cost of bond issuance, cost of interest on the bond during planning and construction
of the project and required reserves for the payment of principal and interest on the bonds:
Provided further, That such capital improvement project is hereby approved for Emporia
state university for the purpose of subsection (b) of K.S.A. 74-8905 and amendments thereto
and authorization of the issuance of bonds by the Kansas development finance authority in
accordance with that statute: And provided further, That all moneys received from the
issuance of any such bonds shall be deposited into the state treasury to the credit of this
fund.

 Sec. 91.

PITTSBURG STATE UNIVERSITY
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Horace Mann construction fundNo limit
  Provided, That Pittsburg state university may make expenditures from the Horace Mann
construction fund for the renovation of the Horace Mann building: Provided further, That
the capital improvement project to renovate the Horace Mann building is hereby approved
for Pittsburg state university for the purposes of subsection (b) of K.S.A. 74-8905 and
amendments thereto and the authorization of the issuance of bonds by the Kansas devel-
opment finance authority in accordance with that statute: And provided further, That all
moneys received from the issuance of any such project bonds shall be deposited to the credit
of this fund.

  Willard hall construction fundNo limit
  Provided, That Pittsburg state university may make expenditures from the Willard hall con-
struction fund for the renovation of Willard hall: Provided further, That the capital improve-
ment project to renovate Willard hall is hereby approved for Pittsburg state university for
the purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto and the author-
ization of the issuance of bonds by the Kansas development finance authority in accordance
with that statute: And provided further, That all moneys received from the issuance of any
such project bonds shall be deposited to the credit of this fund.

  Suspense fundNo limit
   Sec. 92.

UNIVERSITY OF KANSAS
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Student union renovation revenue fundNo limit
Student health facility maintenance, repair, and equipment fee fundNo limit
Parking facilities surplus fund--KDFA G bonds, 1993No limit
  Provided, That the university of Kansas may make expenditures from the parking facilities
surplus fund--KDFA G bonds, 1993 for capital improvements to parking lots in addition
to the expenditure of other moneys appropriated therefor.

  Regents center revenue fund--KDFA D bonds, 1990No limit
Regents center bond reserve fund--KDFA D bonds, 1990No limit
Regents center surplus fundNo limit
Regents center rebate fundNo limit
Regents center revenue refund project principal and interest--
KDFA C bonds, 1997
No limit
Student union renovation rebate fund (phase I)No limit
Student union renovation surplus fund--KDFA C bonds, 1992No limit
Student union renovation rebate fund--KDFA C bonds, 1992No limit
Student union addition--special revenue fundNo limit
  Provided, That the university of Kansas may make expenditures from the student union
addition--special revenue fund for the capital improvement project to construct an addition
to the student union in addition to the expenditure of other moneys appropriated therefor:
Provided, however, That expenditures from this fund for such capital improvement project
shall not exceed $5,600,000 plus all amounts required for costs of any bond issuance, costs
of interest on any bond issued or obtained for such capital improvement project and any
required reserves for payment of principal and interest on any bond: Provided further, That
such capital improvement project is hereby approved for the university of Kansas for the
purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto and the authorization
of the issuance of bonds by the Kansas development finance authority in accordance with
that statute: And provided further, That all moneys received from the issuance of any such
bonds shall be deposited in the state treasury to the credit of this fund.

  Bioscience research center rebate fund--KDFA series Q bonds, 1992No limit
Bioscience research center principal and interest payment
account--KDFA A bonds, 1994 fund
No limit
Bioscience research center reserve account--KDFA A bonds,
1994 fund
No limit
Bioscience research center rebate account--KDFA A bonds,
1994 fund
No limit
Parking facilities refunding bonds principal and interest fund--
KDFA G bonds, 1993
No limit
Parking facilities refunding bonds reserve fund--KDFA G bonds,1993No limit
Parking facilities refunding bonds rebate fund--KDFA G bonds 1993No limit
Student health facility addition revenue fundNo limit
Biosciences research center--special revenue fundNo limit
  Provided, That all gifts and grants received for the capital improvement project to construct
and equip a biosciences research center, other than those received from the federal gov-
ernment for such capital improvement project, shall be deposited in the state treasury to
the credit of the biosciences research center--special revenue fund: Provided further, That
the above agency may transfer moneys during fiscal year 2001 from the sponsored research
overhead fund and from appropriate accounts of the restricted fees fund to this fund for
such capital improvement project or for debt service for such capital improvement project:
And provided further, That all transfers of moneys for fiscal year 2001 from the sponsored
research overhead fund to this fund shall be in addition to any expenditure limitation im-
posed on the sponsored research overhead fund for fiscal year 2001: And provided further,
That such capital improvement project is hereby approved for the university of Kansas for
the purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto and the author-
ization of the issuance of bonds by the Kansas development finance authority in accordance
with that statute: And provided further, That all moneys received from the issuance of any
such bonds shall be deposited in the state treasury to the credit of this fund.

  Law enforcement training center improvements special
revenue fund
No limit
  Provided, That the university of Kansas may make expenditures from the law enforcement
training center improvements special revenue fund for a capital improvement project for
parking lot improvements at the law enforcement training center: Provided, however, That
expenditures from this fund for such capital improvement project shall not exceed $450,000:
Provided further, That the above agency may transfer moneys for fiscal year 2001 from the
law enforcement training center fund to this fund for such capital improvement project:
And provided further, That all transfers of moneys for fiscal year 2001 from the law en-
forcement training center fund to this fund shall be in addition to any expenditure limitation
imposed on the law enforcement training center fund for fiscal year 2001.

  Renovate Lewis hall--special revenue fundNo limit
Lewis hall renovation principal and interest payment account KDFA Dbonds, 1998 fundNo limit
Lewis hall renovation bond proceeds project account KDFA D bonds,1998 fundNo limit
Lewis hall renovation university proceeds project account KDFA Dbonds, 1998 fundNo limit
Lewis hall renovation rebate fund KDFA D bonds, 1998 fundNo limit
Lewis hall renovation bond reserve fund KDFA D bonds, 1998 fundNo limit
Continuing education revenue bonds principal and interest KDFA Hbonds, 1998 fundNo limit
Continuing education revenue bonds reserve fund KDFA H bonds, 1998 fund No limit
Continuing education revenue bonds surplus account KDFA H bonds,1998 fundNo limit
Athletic facilities enhancements special revenue fund KDFA A
university proceeds
No limit
Renovate Ellsworth hall--special revenue fundNo limit
  Provided, That the university of Kansas may make expenditures from the Ellsworth hall
renovation fund for the project to renovate Ellsworth hall in addition to the expenditure of
other moneys appropriated therefor: Provided, however, That expenditures from this fund
for such capital improvement project shall not exceed $12,467,450 plus all amounts required
for costs of any bond issuance, cost of interest on bonds issued or obtained for such capital
improvement project and any required reserves for payment of principal and interest on
any bond: And provided further, That such capital improvement project is hereby approved
for the university of Kansas for the purposes of subsection (b) of K.S.A. 74-8905 and amend-
ments thereto and the authorization of the issuance of bonds by the Kansas development
finance authority in accordance with that statute: And provided further, That all moneys
received from the issuance of any such bonds shall be deposited in the state treasury to the
credit of this fund: And provided further, That the above agency may transfer moneys for
fiscal year 2001 from appropriate accounts of the house system repairs, equipment and
improvement fund to renovate Ellsworth hall--special revenue fund for such capital im-
provement project.

  Regents center principal and interest payment account KDFA D bonds,1990 fundNo limit
Templin hall renovation principal and interest payment account KDFAE bonds, 1996 fundNo limit
Templin hall renovation bond reserve KDFA E bonds, 1996 fundNo limit
Watkins health center addition principal and interest
payment account KDFA D bonds, 1995 fund
No limit
Watkins health center addition university proceeds project accountKDFA D bonds, 1995 fundNo limit
Watkins health center addition bond reserve KDFA D bonds, 1995fundNo limit
Watkins health center addition surplus fund KDFA D bonds, 1995fundNo limit
Watkins health center addition rebate fund KDFA D bonds, 1995fundNo limit
Regents R&R project KDFA K bonds, 1996 fundNo limit
Regents rehabilitation and repair phase II--project series KDFA Gbonds, 1997 fundNo limit
Construct parking garage no. 2--special revenue fundNo limit
  Provided, That the university of Kansas may make expenditures from the construct parking
garage no. 2--special revenue fund for the capital improvement project to construct a
parking garage in addition to the expenditure of other moneys appropriated therefor: Pro-
vided, however, That expenditures from this fund for such capital improvement project shall
not exceed $10,025,000 plus all amounts required for costs of any bond issuance, costs of
interest on any bond issued or obtained for such capital improvement project and any
required reserves for payment of principal and interest on any bond: Provided further, That
such capital improvement project is hereby approved for the university of Kansas for the
purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto and the authorization
of the issuance of bonds by the Kansas development finance authority in accordance with
that statute: And provided further, That all moneys received from the issuance of any such
bonds shall be deposited in the state treasury to the credit of this fund: And provided further,
That the above agency may transfer moneys for fiscal year 2001 from appropriate accounts
of the parking surplus fund to this fund for such capital improvement project.

  Parking garage no. 2 construction project principal and interest accountKDFA D bonds, 1999 fundNo limit
Parking garage no. 2 construction project bond reserve fund--KDFA Dbonds 1999No limit
Parking garage no. 2 construction project bond proceeds account--
KDFA D bonds, 1999 fund
No limit
Edwards campus facility expansion--special revenue fundNo limit
  Provided, That the university of Kansas may make expenditures from the Edwards campus
facility expansion--special revenue fund for the capital improvement project to expand
facilities on the Edwards campus in addition to the expenditure of other moneys appropri-
ated therefor: Provided, however, That expenditures from this fund for such capital im-
provement project shall not exceed $13,230,000 plus all amounts required for costs of any
bond issuance, costs of interest on any bond issued or obtained for such capital improvement
project and any required reserves for payment of principal and interest on any bond: Pro-
vided further, That such capital improvement project is hereby approved for the university
of Kansas for the purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto
and the authorization of the issuance of bonds by the Kansas development finance authority
in accordance with that statute: And provided further, That all moneys received from the
issuance of any such bonds shall be deposited in the state treasury to the credit of this fund:
And provided further, That all gifts and grants received for the capital improvement project
to expand facilities on the Edwards campus, other than those received from the federal
government for such capital improvement project, shall be deposited in the state treasury
to the credit of the Edwards campus facility expansion--special revenue fund.

Construct child care facility--special revenue fundNo limit
Provided, That the university of Kansas may make expenditures from the construct child
care facility--special revenue fund for the capital improvement project to construct a child
care facility in addition to the expenditure of other moneys appropriated therefor: Provided,
however, That expenditures from this fund for such capital improvement project shall not
exceed $4,470,000 plus all amounts required for costs of any bond issuance, costs of interest
on any bond issued or obtained for such capital improvement project and any required
reserves for payment of principal and interest on any bond: Provided further, That such
capital improvement project is hereby approved for the university of Kansas for the purposes
of subsection (b) of K.S.A. 74-8905 and amendments thereto and the authorization of the
issuance of bonds by the Kansas development finance authority in accordance with that
statute: And provided further, That all moneys received from the issuance of any such bonds
shall be deposited in the state treasury to the credit of this fund: And provided further, That
the above agency may transfer moneys for fiscal year 2001 from appropriate accounts of the
restricted fees fund to this fund for such capital improvement project.

  Child care facility bond proceeds fundNo limit
Child care facility university proceeds fundNo limit
Child care facility principal and interest fundNo limit
Child care facility bond reserve fundNo limit
Child care facility surplus fundNo limit
Child care facility operations accountNo limit
Child care facility student fee accountNo limit
Athletic facilities enhancements--special revenue fundNo limit
  Provided, That the university of Kansas may make expenditures from the athletic facilities
enhancements--special revenue fund for the capital improvement project to renovate ath-
letic facilities in addition to the expenditure of other moneys appropriated therefor: Pro-
vided, however, That expenditures from this fund for such capital improvement project shall
not exceed $32,391,210 plus all amounts required for costs of any bond issuance, costs of
interest on any bond issued or obtained for such capital improvement project and any
required reserves for payment of principal and interest on any bond: Provided further, That
such capital improvement project is hereby approved for the university of Kansas for the
purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto and the authorization
of the issuance of bonds by the Kansas development finance authority in accordance with
that statute: And provided further, That all moneys received from the issuance of any such
bonds shall be deposited in the state treasury to the credit of this fund.

  Budig hall completion fundNo limit
  Provided, That during the fiscal year ending June 30, 2001, the director of accounts and
reports shall transfer amounts specified by the chancellor of the university of Kansas from
moneys available to the above agency in special revenue funds for fiscal year 2001, including
the general fees fund, tuition accountability fund, sponsored research overhead fund and
various moneys within the restricted fees fund, including grants, gifts, contracts and fees to
the Budig hall completion fund: Provided, however, That no expenditures shall be made
from this fund until the preliminary plans and program statement for the Budig hall com-
pletion project have been reviewed by the joint committee on state building construction.

  Continuing education program building acquisition--special
revenue fund
No limit
Dole institute gift or grant fundNo limit
   (b) During the fiscal year ending June 30, 2001, the university of Kansas is hereby au-
thorized to make expenditures to raze building no. 27--facilities operations storage facility.

 (c) In addition to the other purposes for which expenditures may be made by the above
agency from the sponsored overhead research fund for fiscal year 2001, expenditures may
be made by the above agency from the sponsored research overhead fund for fiscal year
2001 for the following capital improvement project or projects, subject to the expenditure
limitation prescribed therefor:

  Remodel energy balance laboratoryNo limit
   (d) In addition to the other purposes for which expenditures may be made by the above
agency from the state budget stabilization fund for fiscal year 2001, expenditures may be
made by the above agency for fiscal year 2001 from the unencumbered balance as of June
30, 2000, in the Dole institute of public service and public policy account of the above
agency in the state budget stabilization fund: Provided, That expenditures from the unen-
cumbered balance in such account shall not exceed the amount of the unencumbered bal-
ance in such account on June 30, 2000: Provided further, That all expenditures from the
unencumbered balance in such account shall be in addition to any expenditure limitation
imposed on the state budget stabilization fund for fiscal year 2001.

 (e) On July 1, 2000, any unencumbered balance in each of the following accounts of the
Kansas educational building fund is hereby lapsed: Renovate Snow hall.

 (f) On July 1, 2000, any unencumbered balance in each of the following accounts of the
state budget stabilization fund is hereby lapsed: SBSF-Plan, construct, reconstruct and equip
Hoch auditorium fund.

 Sec. 93.

UNIVERSITY OF KANSAS MEDICAL CENTER
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Construct and equip Nursing Education Facility--gift and
grant fund
No limit
Parking facility KDFA principal and interest fund 1988No limit
Parking facility KDFA bond reserve fund 1988No limit
Parking facility KDFA surplus fund 1988No limit
Parking facility revenue fundNo limit
Parking facility rebate fund--KDFA F bonds--1988No limit
Rehabilitation and repair projects for institutions of higher
education fund
No limit
Regents R&R project KDFA K bonds, 1996 fundNo limit
Construct and equip research building fundNo limit
Construct and equip center for health in aging fundNo limit
  Provided, That the university of Kansas medical center may make expenditures from the
construct and equip center for health in aging fund for the capital improvement project to
construct the center for health in aging in addition to the expenditure of other moneys
appropriated therefor: Provided, however, That expenditures from this fund for such capital
improvement project shall not exceed $8,000,000 plus all amounts required for costs of any
bond issuance, costs of interest on any bond issued or obtained for such capital improvement
project and any required reserves for payment of principal and interest on any bond: Pro-
vided further, That the above agency may transfer moneys for fiscal year 2001 from appro-
priate accounts of the sponsored research overhead fund to this fund for such capital im-
provement project or for debt service for such capital improvement project: And provided
further, That such capital improvement project is hereby approved for the university of
Kansas medical center for the purposes of subsection (b) of K.S.A. 74-8905 and amendments
thereto and the authorization of the issuance of bonds by the Kansas development finance
authority in accordance with that statute: And provided further, That all moneys received
from the issuance of any such bonds shall be deposited in the state treasury to the credit of
this fund.

  Construct and equip center for health in aging principal and interest--KDFA B bonds, 1999No limit
Construct and equip center for health in aging bond reserve fund--KDFAB bonds, 1999No limit
Construct and equip center for health in aging bond reserve fundNo limit
Construct and equip center for health in aging--gift and grant fundNo limit
Construct and equip research support facility fundNo limit
  Provided, That the university of Kansas medical center may make expenditures from the
construct and equip research support facility fund for the capital improvement project to
construct an addition to the research support facility in addition to the expenditure of other
moneys appropriated therefor: Provided, however, That expenditures from this fund for
such capital improvement project shall not exceed $4,740,000 plus all amounts required for
costs of any bond issuance, costs of interest on any bond issued or obtained for such capital
improvement project and any required reserves for payment of principal and interest on
any bond: Provided further, That the above agency may transfer moneys for fiscal year 2001
from appropriate accounts of the sponsored research overhead fund to this fund for such
capital improvement project or for debt service for such capital improvement project: And
provided further, That such capital improvement project is hereby approved for the uni-
versity of Kansas medical center for the purposes of subsection (b) of K.S.A. 74-8905 and
amendments thereto and the authorization of the issuance of bonds by the Kansas devel-
opment finance authority in accordance with that statute: And provided further, That all
moneys received from the issuance of any such bonds shall be deposited in the state treasury
to the credit of this fund.

  Construct and equip addition to research support facility--gift
and grant fund
No limit
   (b) During the fiscal year ending June 30, 2001, the director of accounts and reports shall
transfer amounts certified by the chancellor of the university of Kansas from the sponsored
research overhead fund to the construct and equip center for health in aging bond reserve
fund.

 Sec. 94.

WICHITA STATE UNIVERSITY
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  On-campus parking construction and maintenance fundNo limit
On-campus parking expansion--special revenue fundNo limit
  Provided, That Wichita state university may make expenditures from the on-campus parking
expansion--special revenue fund for the capital improvement project to construct additional
on-campus parking spaces in addition to the expenditure of other moneys appropriated
therefor: Provided, however, That expenditures from this fund for such capital improvement
project shall not exceed $7,500,000 plus all amounts required for costs of any bond issuance,
costs of interest on any bond issued or obtained for such capital improvement project and
any required reserves for payment of principal and interest on any bond: Provided further,
That such capital improvement project is hereby approved for Wichita state university for
the purposes of subsection (b) of K.S.A. 74-8905 and amendments thereto and the author-
ization of the issuance of bonds by the Kansas development finance authority in accordance
with that statute: And provided further, That all moneys received from the issuance of any
such bonds shall be deposited in the state treasury to the credit of this fund.

  On campus parking principal and interest account--KDFA bonds,
2000 fund
No limit
On campus parking bonds issuance account--KDFA bonds,
2000 fund
No limit
On campus parking bond reserve account--KDFA bonds,
2000 fund
No limit
WSU housing system surplus fundNo limit
Bond reserve fund--KDFA--WSU housing system
renovation
No limit
Cessna stadium repair and rehabilitation gifts fundNo limit
Regents rehabilitation and repair phase II--KDFA G bonds,
1997 fund
No limit
   Sec. 95.

DEPARTMENT OF HUMAN RESOURCES
 (a) In addition to the other purposes for which expenditures may be made by the above
agency from the employment security administration fund for fiscal year 2001, expenditures
may be made by the above agency from the employment security administration fund for
fiscal year 2001 from moneys made available to the state under section 903 of the federal
social security act, as amended: Provided, That expenditures from this fund during fiscal
year 2001 of moneys made available to the state under section 903 of the federal social
security act, as amended, shall be made only for the following capital improvement purposes:
(1) For major maintenance of existing buildings used by the department of human resources
for employment security purposes; (2) for paving, landscaping and acquiring fixed equip-
ment as may be required for the use and operation of such buildings; or (3) for any com-
bination of these purposes: Provided further, That expenditures from this fund for fiscal
year 2001 of moneys made available to the state under section 903 of the federal social
security act, as amended, for such capital improvement purposes shall not exceed $75,000
plus the amounts of unencumbered balances as of June 30, 2000, for capital improvement
projects approved for fiscal years prior to fiscal year 2001: And provided further, That all
expenditures from this fund for any such capital improvement purposes or projects shall be
in addition to any expenditure limitation imposed on the employment security administra-
tion fund for fiscal year 2001.

 (b) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Complete remodeling of agency headquarters fundNo limit
  Provided, That the department of human resources may make expenditures from the com-
plete remodeling of agency headquarters fund for the capital improvement project to re-
model the agency headquarters: Provided, however, That expenditures from this fund for
such capital improvement project shall not exceed $1,905,000, plus all amounts required
for cost of bond issuance, cost of interest on the bonds issued for such capital improvement
project and any required reserves for the payment of principal and interest on the bonds:
Provided further, That such capital improvement project is hereby approved for the de-
partment of human resources for the purposes of subsection (b) of K.S.A. 74-8905 and
amendments thereto and the authorization of the issuance of bonds by the Kansas devel-
opment finance authority in accordance with that statue: And provided further, That all
moneys received from the issuance of any such bonds shall be deposited in the state treasury
to the credit of this fund.

 Sec. 96.

KANSAS COMMISSION ON VETERANS AFFAIRS
 (a) There is appropriated for the above agency from the state institutions building fund
for the fiscal year ending June 30, 2001, for the capital improvement project or projects
specified as follows:

  Soldiers' home repair and rehabilitation projects$100,000
Veterans' home repair and rehabilitation projects$80,000
   (b) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Winfield veterans home acquisition and constructionNo limit
Veterans' home federal construction grant fundNo limit
  Provided, That all moneys received by the above agency as federal grants for the purposes
of construction and remodeling at the Kansas veterans' home, which grants are hereby
authorized to be applied for and received by the above agency, shall be deposited in the
state treasury to the credit of the Veterans' home federal construction grant fund.

  Veterans' cemeteries federal construction grant fundNo limit
   (c) There is appropriated for the above agency from the state institutions building fund
for the fiscal year ending June 30, 2000, for the capital improvement project or projects
specified as follows:

  Veterans' home repair and rehabilitation projects$142,871
   Sec. 97.

ATTORNEY GENERAL--KANSAS BUREAU OF INVESTIGATION
 (a) There is hereby appropriated for the above agency from the state general fund for
the fiscal year ending June 30, 2001, for the capital improvement project or projects spec-
ified as follows:

  Rehabilitation and repair--headquarters building$15,000
Debt service principal payment--headquarters building$180,000
   Sec. 98.

 KANSAS HIGHWAY PATROL
 (a) In addition to the other purposes for which expenditures may be made from the
highway patrol training center fund for fiscal year 2001, expenditures may be made by the
above agency from the highway patrol training center fund for fiscal year 2001 to make debt
service payments for the Kansas highway patrol training center at Salina for the bonds issued
for such project pursuant to subsection (b) of section 6 of chapter 326 of the 1992 Session
Laws of Kansas.

 (b) In addition to the other purposes for which expenditures may be made from the
highway patrol training center fund for fiscal year 2001, expenditures may be made by the
above agency from the highway patrol training center fund for fiscal year 2001 for the
following capital improvement project or projects, subject to the expenditure limitation
prescribed therefor:

  Training center--remodeling, rehabilitation and repair projects$50,000
  Provided, That all expenditures from each such capital improvement account shall be in
addition to any expenditure limitation imposed on the highway patrol training center fund
for fiscal year 2001.

 (c) In addition to other purposes for which expenditures may be made by the above agency
from the motor carrier inspection fund for fiscal year 2001, expenditures may be made by
the above agency from the motor carrier inspection fund for fiscal year 2001 for the following
capital improvement project or projects, subject to the expenditure limitations prescribed
therefor:

  Remodeling, rehabilitation and repair projects$50,000
Replacement of scales$172,228
  Provided, That all expenditures from each such capital improvement account shall be in
addition to any expenditure limitation imposed on the motor carrier inspection fund for
fiscal year 2001.

 Sec. 99.

DEPARTMENT OF WILDLIFE AND PARKS
 (a) There is appropriated for the above agency from the state general fund for the fiscal
year ending June 30, 2001, for the capital improvement project or projects specified as
follows:

Any unencumbered balance in excess of $100 as of June 30, 2000, in each of the following
capital improvement accounts of the state general fund is hereby reappropriated for fiscal
year 2001: Rehabilitation and repair; handicapped accessibility renovation.

Any unencumbered balance in excess of $100 as of June 30, 2000, in each of the following
capital improvement accounts of the state general fund is hereby reappropriated for fiscal
year 2001: Matching grant for development of wetlands project at Milford reservoir: Pro-
vided, That expenditures for fiscal year 2001 may be made from the matching grant for
development of wetlands project at Milford reservoir account by the secretary of wildlife
and parks only upon verification by the chairperson of WILDSCAPE that federal funds are
available from the U.S. army corps of engineers for development of the Milford wetlands:
Provided, however, That funds provided by the Kansas department of wildlife and parks to
WILDSCAPE shall not be used to finance the administrative costs of WILDSCAPE.

 (b) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year ending June 30, 2001, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Department access road fundNo limit
Bridge maintenance fundNo limit
Federal grants fundNo limit
Migratory waterfowl propagation and protection fund$100,000
   (c) On July 1, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $1,500,000 from the state highway fund of the department of
transportation to the department access road fund of the department of wildlife and parks.

 (d) On July 1, 2000, or as soon thereafter as moneys are available, the director of accounts
and reports shall transfer $200,000 from the state highway fund of the department of trans-
portation to the bridge maintenance fund of the department of wildlife and parks.

 (e) In addition to the other purposes for which expenditures may be made by the above
agency from the migratory waterfowl propagation and protection fund for fiscal year 2001,
expenditures may be made by the above agency from the migratory waterfowl propagation
and protection fund for fiscal year 2001 from the unencumbered balance as of June 30,
2000, in each existing capital improvement account of the migratory waterfowl propagation
and protection fund: Provided, That all expenditures from the unencumbered balance of
any such account shall not exceed the amount of the unencumbered balance in such account
on June 30, 2000: Provided further, That all expenditures from the unencumbered balance
of any such account shall be in addition to any expenditure limitation imposed on the
migratory waterfowl propagation and protection fund for fiscal year 2001.

 (f) In addition to the other purposes for which expenditures may be made by the above
agency from the boating fee fund for fiscal year 2001, expenditures may be made by the
above agency from the boating fee fund for fiscal year 2001 from the unencumbered balance
as of June 30, 2000, in each existing capital improvement account of the boating fee fund:
Provided, That expenditures from the unencumbered balance of any such existing capital
improvement account shall not exceed the amount of the unencumbered balance in such
account on June 30, 2000: Provided further, That all expenditures from the unencumbered
balance of any such account shall be in addition to any expenditure limitation imposed on
the boating fee fund for fiscal year 2001 and shall be in addition to any other expenditure
limitation imposed on any such account of the boating fee fund for fiscal year 2001.

 (g) In addition to the other purposes for which expenditures may be made by the above
agency from the state budget stabilization fund for fiscal year 2001, expenditures may be
made by the above agency from the state budget stabilization fund for fiscal year 2001 from
the unencumbered balance as of June 30, 2000, in each existing capital improvement account
of the above agency in the state budget stabilization fund: Provided, That expenditures from
the unencumbered balance of any such existing capital improvement account shall not ex-
ceed the amount of the unencumbered balance in such account on June 30, 2000: Provided
further, That all expenditures from the unencumbered balance of any such account shall be
in addition to any expenditure limitation imposed on the state budget stabilization fund for
fiscal year 2001.

 (h) In addition to the other purposes for which expenditures may be made by the above
agency from the wildlife fee fund for fiscal year 2001, expenditures may be made by the
above agency from the following capital improvement account or accounts of the wildlife
fee fund during fiscal year 2001 for the following capital improvement project or projects,
subject to the expenditure limitations prescribed therefor:

  Wildlife fee fund federally mandated boating access $845,200
Wildlife fee fund rehabilitation and repair$558,500
  Provided, That all expenditures from each such capital improvement account shall be in
addition to any expenditure limitation imposed on the wildlife fee fund for fiscal year 2001.

 (i) In addition to the other purposes for which expenditures may be made by the above
agency from the wildlife fee fund for fiscal year 2001, expenditures may be made by the
above agency from the wildlife fee fund for fiscal year 2001 from the unencumbered balance
as of June 30, 2000, in each existing capital improvement account of the wildlife fee fund:
Provided, That expenditures from the unencumbered balance of any such existing capital
improvement account shall not exceed the amount of the unencumbered balance in such
account on June 30, 2000: Provided further, That all expenditures from the unencumbered
balance of any such account shall be in addition to any expenditure limitation imposed on
the wildlife fee fund for fiscal year 2001.

 (j) In addition to the other purposes for which expenditures may be made by the above
agency from the wildlife conservation fund for fiscal year 2001, expenditures may be made
by the above agency from the following capital improvement account or accounts of the
wildlife conservation fund for fiscal year 2001 for the following capital improvement project
or projects, subject to the expenditure limitations prescribed therefor:

  Wildlife conservation fund--capital improvement projects $1,010,000
   (k) In addition to the other purposes for which expenditures may be made by the above
agency from the wildlife conservation fund for fiscal year 2001, expenditures may be made
by the above agency from the wildlife conservation fund for fiscal year 2001 from the
unencumbered balance as of June 30, 2000, in each existing capital improvement account
of the wildlife conservation fund: Provided, That expenditures from the unencumbered
balance of any such existing capital improvement account shall not exceed the amount of
the unencumbered balance in such account on June 30, 2000: Provided further, That all
expenditures from the unencumbered balance of any such account shall be in addition to
any expenditure limitation imposed on the wildlife conservation fund for fiscal year 2001
and shall be in addition to any other expenditure limitation imposed on any such account
of the wildlife conservation fund for fiscal year 2001.

 (l) In addition to the other purposes for which expenditures may be made by the above
agency from the parks fee fund for fiscal year 2001, expenditures may be made by the above
agency from the following capital improvement account or accounts of the parks fee fund
for fiscal year 2001 for the following capital improvement project or projects, subject to the
expenditure limitations prescribed therefor:

  Parks fee fund--rehabilitation and repair$100,698
   (m) In addition to the other purposes for which expenditures may be made by the above
agency from the parks fee fund for fiscal year 2001, expenditures may be made by the above
agency from the parks fee fund for fiscal year 2001 from the unencumbered balance as of
June 30, 2000, in each existing capital improvement account of the parks fee fund: Provided,
That expenditures from the unencumbered balance of any such existing capital improvement
account shall not exceed the amount of the unencumbered balance in such account on June
30, 2000: Provided further, That all expenditures from the unencumbered balance of any
such account shall be in addition to any expenditure limitation imposed on the parks fee
fund for fiscal year 2001.

 (n) In addition to the other purposes for which expenditures may be made by the above
agency from the nongame wildlife improvement fund for fiscal year 2001, expenditures may
be made by the above agency from the nongame wildlife improvement fund for fiscal year
2001 from the unencumbered balance as of June 30, 2000, in each existing capital improve-
ment account of the nongame wildlife improvement fund: Provided, That expenditures from
the unencumbered balance of any such existing capital improvement account shall not ex-
ceed the amount of the unencumbered balance in such account on June 30, 2000: Provided
further, That all expenditures from the unencumbered balance of any such account shall be
in addition to any expenditure limitation imposed on the nongame wildlife improvement
fund for fiscal year 2001 and shall be in addition to any other expenditure limitation imposed
on any such account of the nongame wildlife improvement fund for fiscal year 2001.

 (o) In addition to the other purposes for which expenditures may be made by the above
agency from the migratory waterfowl propagation and protection fund for fiscal year 2001,
expenditures may be made by the above agency from the following capital improvement
account or accounts of the migratory waterfowl propagation and protection fund for fiscal
year 2001 for the following capital improvement project or projects, subject to the expend-
iture limitations prescribed therefor:

  Migratory waterfowl propagation and protection fund--
wetlands acquisition
$100,000
  Provided, That all expenditures from each such capital improvement account of the migra-
tory waterfowl propagation and protection fund shall be in addition to any expenditure
limitation imposed on the migratory waterfowl propagation and protection fund for fiscal
year 2001.

 (p) In addition to the other purposes for which expenditures may be made by the above
agency from the migratory waterfowl propagation and protection fund for fiscal year 2001,
expenditures may be made by the above agency from the migratory waterfowl propagation
and protection fund for fiscal year 2001 from the unencumbered balance as of June 30,
2000, in each existing capital improvement account of the migratory waterfowl propagation
and protection fund: Provided, That expenditures from the unencumbered balance of any
such existing capital improvement account shall not exceed the amount of the unencum-
bered balance in such account on June 30, 2000: Provided further, That all expenditures
from the unencumbered balance of any such account shall be in addition to any expenditure
limitation imposed on the migratory waterfowl propagation and protection fund for fiscal
year 2001.

 (q) For the fiscal year ending June 30, 2001, any expenditures by the department of
wildlife and parks from any moneys appropriated for fiscal year 2001, for wetland acquisition
shall be for the acquisition of existing wetlands that are located within 1.1 miles of state-
owned wetlands.

 (r) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
federal flood aid fund to the federal flood aid account of the federal grants fund. On July
1, 2000, all liabilities of the federal flood aid fund are hereby transferred to and imposed
on the federal flood aid account of the federal grants fund and the federal flood aid fund is
hereby abolished.

 (s) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
renovation of Cheyenne Bottoms--federal fund to the Cheyenne Bottoms account of the
federal grants fund. On July 1, 2000, all liabilities of the renovation of Cheyenne Bottoms-
 federal fund are hereby transferred to and imposed on the Cheyenne Bottoms account
of the federal grants fund and the renovation of Cheyenne Bottoms--federal fund is hereby
abolished.

 (t) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
rails- to-trails federal fund to the trail development account of the federal grants fund. On
July 1, 2000, all liabilities of the rails-to-trails federal fund are hereby transferred to and
imposed on the trail development account of the federal grants fund and the rails-to-trails
federal fund is hereby abolished.

 (u) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
clean lakes fund--federal fund to the clean lakes account of the federal grants fund. On
July 1, 2000, all liabilities of the clean lakes fund--federal fund are hereby transferred to
and imposed on the clean lakes account of the federal grants fund and the clean lakes fund--
federal fund is hereby abolished.

 (v) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
renovation of Cheyenne Bottoms--bureau of reclamation--federal fund to the Cheyenne
Bottoms account of the federal grants fund. On July 1, 2000, all liabilities of the renovation
of Cheyenne Bottoms--bureau of reclamation--federal fund are hereby transferred to and
imposed on the Cheyenne Bottoms account of the federal grants fund and the renovation
of Cheyenne Bottoms--bureau of reclamation--federal fund is hereby abolished.

 (w) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
Cheyenne Bottoms project gift fund to the department of wildlife and parks private gifts
and donations fund. On July 1, 2000, all liabilities of the Cheyenne Bottoms project gift
fund are hereby transferred to and imposed on the department of wildlife and parks private
gifts and donations fund and the Cheyenne Bottoms project gift fund is hereby abolished.

 (x) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
EDIF--Prairie Spirt rails/trails project grant fund in the department of wildlife and parks
to the Kansas economic development endowment account of the state economic develop-
ment initiatives fund of the department of commerce and housing and the EDIF--Prairie
Spirit rails trails project grant fund of the department of wildlife and parks is hereby abol-
ished.

 (y) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
boating development account of the boating fee fund to the boating fee fund boating access
and development account of the boating fee fund. On July 1, 2000, all liabilities of the
boating development account of the boating fee fund are hereby transferred to and imposed
on the boating fee fund boating access and development account of the boating fee fund
and the boating development account of the boating fee fund is hereby abolished.

 (z) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
reservoir facility development account of the wildlife fee fund to the wildlife fee fund angler
facilities improvements account of the wildlife fee fund. On July 1, 2000, all liabilities of
the reservoir facility development account of the wildlife fee fund are hereby transferred to
and imposed on the wildlife fee fund angler facilities improvements account of the wildlife
fee fund and the reservoir facility development account of the wildlife fee fund is hereby
abolished.

 (aa) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
fisheries projects account of the wildlife fee fund to the wildlife fee fund angler facilities
improvements account of the wildlife fee fund. On July 1, 2000, all liabilities of the fisheries
projects account of the wildlife fee fund are hereby transferred to and imposed on the
wildlife fee fund angler facilities improvements account of the wildlife fee fund and the
fisheries projects account of the wildlife fee fund is hereby abolished.

 (bb) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
fisheries projects--capital improvements account of the wildlife fee fund to the wildlife fee
fund angler facilities improvements account of the wildlife fee fund. On July 1, 2000, all
liabilities of the fisheries projects--capital improvements account of the wildlife fee fund
are hereby transferred to and imposed on the wildlife fee fund angler facilities improvements
account of the wildlife fee fund and the fisheries projects--capital improvements account
of the wildlife fee fund is hereby abolished.

 (cc) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
wildlife fee fund ADA renovation fishery enhancements account of the wildlife fee fund to
the wildlife fee fund ADA renovation account of the wildlife fee fund. On July 1, 2000, all
liabilities of the wildlife fee fund ADA renovation fishery enhancements account of the
wildlife fee fund are hereby transferred to and imposed on the wildlife fee fund ADA
renovation account of the wildlife fee fund and the wildlife fee fund ADA renovation fishery
enhancements account of the wildlife fee fund is hereby abolished.

 (dd) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
state fishing lake dam repair account of the wildlife fee fund to the wildlife fee fund state
fishing lake projects account of the wildlife fee fund. On July 1, 2000, all liabilities of the
state fishing lake dam repair account of the wildlife fee fund are hereby transferred to and
imposed on the wildlife fee fund state fishing lake projects account of the wildlife fee fund
and the state fishing lake dam repair account of the wildlife fee fund is hereby abolished.

 (ee) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
renovate state fishing lakes account of the wildlife fee fund to the wildlife fee fund state
fishing lake projects account of the wildlife fee fund. On July 1, 2000, all liabilities of the
renovate state fishing lakes account of the wildlife fee fund are hereby transferred to and
imposed on the wildlife fee fund state fishing lake projects account of the wildlife fee fund
and the renovate state fishing lakes account of the wildlife fee fund is hereby abolished.

 (ff) On July 1, 2000, any unencumbered balance as of June 30, 2000, in each of the
following accounts of the wildlife fee fund is hereby lapsed: Wildlife fee fund shooting range
development; Pratt museum renovation; renovate Cheyenne Bottoms; wildlife fee fund flood
damage repair in wildlife areas; Wichita education center; dam maintenance and repair.

 (gg) On July 1, 2000, the director of accounts and reports shall transfer all moneys in the
construct boat slips at Prairie Dog state park account of the parks fee fund to the rehabili-
tation and repair projects account of the parks fee fund. On July 1, 2000, all liabilities of
the construct boat slips at Prairie Dog state park account of the parks fee fund are hereby
transferred to and imposed on the rehabilitation and repair projects account of the parks
fee fund and the construct boat slips at Prairie Dog state park account of the parks fee fund
is hereby abolished.

 Sec. 100.

STATE BOARD OF REGENTS
 (a) There is appropriated for the above agency from the Kansas educational building fund
for the fiscal year ending June 30, 2001, for the capital improvement project or projects
specified as follows:

  Rehabilitation and repair projects, Americans with disabilities act compliance projects, state fire marshal code compliance projects, and im-provements to classroom projects for institutions of highereducation$3,000,000
  Provided, That the state board of regents is hereby authorized to transfer moneys from the
rehabilitation and repair projects, Americans with disabilities act compliance projects, state
fire marshal code compliance projects, and improvements to classroom projects for insti-
tutions of higher education account to an account or accounts of the Kansas educational
building fund of any institution under the control and supervision of the state board of
regents to be expended by the institution for projects approved by the state board of regents:
Provided, however, That no expenditures shall be made from any such account until the
proposed projects have been reviewed by the joint committee on state building construction.

  Debt service--revenue bonds issued for major remodeling
and new construction projects at state educational
institutions
$15,000,000
   Sec. 101.

ADJUTANT GENERAL
 (a) There is appropriated for the above agency from the following special revenue fund
or funds for the fiscal year or fiscal years specified, all moneys now or hereafter lawfully
credited to and available in such fund or funds, except that expenditures shall not exceed
the following:

  Comprehensive armory construction and rehabilitation fund

For the fiscal year ending June 30, 2001No limit
For the fiscal year ending June 30, 2002No limit
For the fiscal year ending June 30, 2003No limit
For the fiscal year ending June 30, 2004No limit
For the fiscal year ending June 30, 2005No limit
  Provided, That the adjutant general is hereby authorized to make expenditures from the
comprehensive armory construction and rehabilitation fund for capital improvement pro-
jects for acquisition, construction, equipping, furnishing, renovation, reconstruction and
repair of armories or for payment of debt service on revenue bonds issued to finance such
projects: Provided further, That the adjutant general may make expenditures from this fund
for the payment of debt service on revenue bonds issued to finance such projects: And
provided further, That, prior to the issuance of any bonds authorized by this section or
making first expenditure from this fund for any such capital improvement project, the ad-
jutant general shall pursue the availability of alternative funding from local, state, federal
and private funding sources for all or part of the costs of such capital improvement project
and shall report to the state finance council concerning such capital improvement project
and the proposed issuance of bonds for such project: And provided further, That such report
to the state finance council shall specifically include information about the proposed utili-
zation of bond proceeds for such capital improvement project and the availability and use
of other sources including local, state, federal and private funds for such project: And pro-
vided further, That capital improvement projects for the acquisition, construction, equip-
ping, furnishing, renovation, reconstruction and repair of armories are hereby approved for
the adjutant general for the purposes of subsection (b) of K.S.A. 74-8905 and amendments
thereto and the authorization of one or more series of revenue bonds by the Kansas devel-
opment finance authority in accordance with that statute, except that no bonds shall be
issued for any such capital improvement project except upon approval of the state finance
council acting on this matter which is hereby characterized as a matter of legislative dele-
gation and subject to the guidelines prescribed by subsection (c) of K.S.A. 75-3711c and
amendments thereto, except that approval by the state finance council may be given when
the legislature is in session: And provided further, That the aggregate amount of all such
revenue bonds issued shall not exceed $22,000,000 plus all amounts required for costs of
any bond issuance, costs of interest on any bond issued or obtained for one or more of such
capital improvement projects and any required reserves for payment of principal and interest
on any such bonds: And provided further, That bonds authorized to be issued pursuant to
this section shall not exceed (1) the amount of $2,000,000 for the fiscal year ending June
30, 2001, (2) the amount of $2,000,000 for the fiscal year ending June 30, 2002, (3) the
amount of $6,000,000 for the fiscal year ending June 30, 2003, (4) the amount of $6,000,000
for the fiscal year ending June 30, 2004, and (5) the amount of $6,000,000 for the fiscal
year ending June 30, 2005: And provided further, That all moneys received from issuance
of any such bonds shall be deposited in the state treasury and credited to this fund.

 Sec. 102.

JUVENILE JUSTICE AUTHORITY
 (a) There is appropriated for the above agency from the state institutions building fund
for the fiscal year ending June 30, 2001, for the capital improvement project or projects
specified as follows:

  Capital improvements--rehabilitation, remodeling, renovation and
repair of juvenile correctional facilities
$1,000,000
  Provided, That the commissioner of juvenile justice is hereby authorized to transfer moneys
during the fiscal year ending June 30, 2001, from the capital improvements--rehabilitation,
remodeling, renovation and repair of juvenile correctional facilities account of the state
institutions building fund to an account or accounts of the state institutions building fund
of any institution or facility under the jurisdiction of the commissioner of juvenile justice to
be expended during fiscal year 2001 by the institution or facility for capital improvement
projects approved by the commissioner of juvenile justice.'';

 By renumbering the remaining sections accordingly;

 On page 166, preceding line 8, by inserting new material to read as follows:

 ``Sec. 112. Any correctional institutions building fund appropriation heretofore appropri-
ated to any state agency named in this or other appropriation act of the 2000 regular session
of the legislature, and having an unencumbered balance as of June 30, 2000, in excess of
$100 is hereby reappropriated for the fiscal year ending June 30, 2001, for the same uses
and purposes as originally appropriated unless specific provision is made for lapsing such
appropriation.

 Sec. 113. Any Kansas educational building fund appropriation heretofore appropriated to
any institution named in this or other appropriation act of the 2000 regular session of the
legislature and having an unencumbered balance as of June 30, 2000, in excess of $100 is
hereby reappropriated for the fiscal year ending June 30, 2001, for the same use and purpose
as originally appropriated, unless specific provision is made for lapsing such appropriation.

 Sec. 114. Any state institutions building fund appropriation heretofore appropriated to
any state agency named in this or other appropriation act of the 2000 regular session of the
legislature and having an unencumbered balance as of June 30, 2000, in excess of $100 is
hereby reappropriated for the fiscal year ending June 30, 2001, for the same use and purpose
as originally appropriated, unless specific provision is made for lapsing such appropriation.'';

 By renumbering remaining sections accordingly;

 Also on page 166, by striking all in line 19; in line 20, by striking all preceding ``its''; in
line 21, by striking ``statute book'' and inserting ``Kansas register'';

 On page 1, in the title, in line 10, by striking ``year'' and inserting ``years''; in line 11, by
striking ``2001'' and inserting ``2000, June 30, 2001, June 30, 2002, June 30, 2003, June 30,
2004 and June 30, 2005'';

                                                                                    \ And your committee on conference recommends the adoption of this report.

                                                                                   

                                                                                    David Adkins

                                                                                    Melvin J. Neufeld
 Conferees on the part of House
                                                                                   

                                                                                   

                                                                                    Dave Kerr

                                                                                    Alicia Salisbury
 Conferees on part of Senate


 On motion of Rep. Adkins to adopt the conference committee report to H. Sub. for
SB  326, the motion did not prevail and the conference committee report was not adopted.

 On roll call, the vote was: Yeas 49; Nays 76; Present but not voting: 0; Absent or not
voting: 0.

 Yeas: Aday, Adkins, Allen, Aurand, Ballou, Beggs, Benlon, Bethell, Boston, Compton,
Cox, Dahl, Dreher, Empson, Flower, Freeborn, Geringer, Glasscock, Hayzlett, Hermes,
Holmes, Horst, Huff, Humerickhouse, Hutchins, Jenkins, Jennison, Johnson, Phil Kline,
Krehbiel, Lane, Light, Lloyd, Loyd, Mason, Mays, Neufeld, J. Peterson, Pottorff, Ray,
Schwartz, Shultz, Sloan, Stone, Tanner, Tomlinson, Toplikar, Weber, Wilk.

 Nays: Alldritt, Ballard, Barnes, Burroughs, Campbell, Carmody, Crow, Dean, Edmonds,
Faber, Farmer, Feuerborn, Findley, Flaharty, Flora, Garner, Gatewood, Gilbert, Grant,
Gregory, Haley, Helgerson, Henderson, Henry, Howell, Johnston, Kirk, Klein, Phill Kline,
Kuether, Landwehr, Larkin, Lightner, M. Long, P. Long, Mayans, McClure, McCreary,
McKechnie, McKinney, Merrick, Minor, Mollenkamp, Jim Morrison, Judy Morrison, My-
ers, Nichols, O'Brien, O'Connor, O'Neal, Osborne, Palmer, Pauls, E. Peterson, Phelps,
Powell, Powers, Reardon, Rehorn, Reinhardt, Ruff, Sharp, Showalter, Shriver, Spangler,
Storm, Swenson, Tedder, Thimesch, Toelkes, Vickrey, Vining, Wagle, Weiland, Wells, Wel-
shimer.

 Present but not voting: None.

 Absent or not voting: None.

REPORT ON ENGROSSED BILLS
 S. Sub. for HB 2476; HB 2589, 2985 reported correctly engrossed April 5, 2000.

 HB 2580, 2757, 2860, 2883 reported correctly re-engrossed April 5, 2000.

     On motion of Rep. Glasscock, the House adjourned until 9:00 a.m., Friday, April 7, 2000.

CHARLENE SWANSON, Journal Clerk.

JANET E. JONES, Chief Clerk.