California 2025-2026 Regular Session

California Assembly Bill ABX15 Latest Draft

Bill / Introduced Version Filed 01/20/2025

                            CALIFORNIA LEGISLATURE 2025 2026 1st Ext.   Assembly Bill  No. 5       Introduced by Assembly Member Gabriel and Senator Wiener   January 20 , 2025       An act to amend the Budget Act of 2024 (Chs. 22, 35, and 994, Stats. 2024), by amending Items 2240-001-0001 and 7760-001-0001 of Section 2.00 of, by amending Sections 39.00 and 99.50 of, and by adding Section 90.01 to, that act, relating to the state budget, and making an appropriation therefor, to take effect immediately, budget bill. LEGISLATIVE COUNSEL'S DIGEST AB5, as introduced, Gabriel . Budget Act of 2024.  The Budget Act of 2024 made appropriations for the support of state government for the 202425 fiscal year. This bill would amend the Budget Act of 2024 by amending and adding appropriations and making other changes. This bill would declare that it is to take effect immediately as a Budget Bill. Digest Key Vote: MAJORITY  Appropriation: YES  Fiscal Committee: YES  Local Program: NO   Bill Text  The people of the State of California do enact as follows:   SECTION 1. Item 2240-001-0001 of Section 2.00 of the Budget Act of 2024 is amended to read:      2240-001-0001For support of Department of Housing and Community Development ........................   39,120,00043,120,000     Schedule:      (1)  1660-Codes and Standards Program ........................   3,879,000     (2)  1665-Financial Assistance Program ........................   8,109,000     (3)  1670-Housing Policy Development Program ........................   27,132,00031,132,000      Provisions:      1.  Of the amount available in Schedule (3), $1,440,000 shall be made available for payment of legal services provided by the Department of Justice.       2. Of the amount appropriated in Schedule 3, $2,400,000 is for the California Surplus Land Unit pursuant to Section 54902 of the Health and Safety Code.      3. Of the amount appropriated in Schedule (3), $4,000,000 shall be awarded to the City of Los Angeles, the County of Los Angeles, the City of Malibu, the City of Pasadena, and other local governments, if needed, to provide additional planning review and building inspection resources for the purpose of expediting building approvals during the recovery period after the January 2025 wildfires. Use of the funds shall be restricted to expediting planning review and building inspections for rebuilding of residential properties still owned by the same homeowners on record as of January 7, 2025. Funds shall be allocated promptly to the local governments, with the allocation to the local governments determined by the Department of Housing and Community Development after conferring with local officials. Funds provided must supplement, not supplant, previously existing resources for planning review and building inspections. The funds described in this provision are available for encumbrance until June 30, 2028.          SEC. 2. Item 7760-001-0001 of Section 2.00 of the Budget Act of 2024 is amended to read:      7760-001-0001For support of Department of General Services ........................   32,414,00033,414,000     Schedule:      (1)  6324046-Facilities Management Division ........................   18,879,000     (2) 6325064-Project Management and Development Branch ........................  550,000     (3)  6330073-Contracted Fiscal Services ........................   8,218,000     (4)  6330082-Office of Sustainability ........................   4,167,000     (4.5)  6320010-Division of the State Architect ........................   250,000     (5)  6320019-Public School Construction ........................   750,000     (6)  9900100-Administration ........................   1,599,000     (7)  9900200-AdministrationDistributed ........................   999,000      Provisions:      1.  Of the amount appropriated in Schedule (4), $2,500,000 shall be available for implementation of Chapter 368 of the Statutes of 2022 (SB 1203).       2.  Of the amount appropriated in Schedule (1), $11,800,000 is for projects to upgrade direct digital control systems. This funding shall be limited to such projects at the (a) Ronald Reagan State Building; (b) Elihu M. Harris Building; (c) Governor Edmund G. Pat Brown Building; (d) Junipero Serra Office Building; (e) California Tower; (f) Mission Valley State Building; and (g) Van Nuys State Building. This funding shall be made available for these projects only after project plans specifications are completed and final project estimates are submitted to the Department of Finance. Should final project estimates total less than $11,800,000, the difference between these estimates and the amount made available pursuant to this provision shall revert to the General Fund.       3. Of the amount appropriated in Schedule (2), $50,000 shall be available for a small associated monument in Capitol Park, to acknowledge the victims and survivors of Californias wildfires.      4. Of the amount appropriated in Schedule (2), $500,000 shall be available for ventilation repair at the States central plant mushroom steam vent located on Capitol Mall, adjacent to the Employment Development Department headquarters building.      5. Notwithstanding any other law, the amount appropriated in Schedule (4.5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.      6. The amount appropriated in Schedule (5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.       7. The Director of Finance may add schools or local educational agencies to the list of entities receiving assistance pursuant to Provisions 5 and 6 of this item. These additions shall not be effective sooner than 10 days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.         SEC. 3. Section 39.00 of the Budget Act of 2024 is amended to read:      SEC. 39.00. The Legislature hereby finds and declares that the following bills are other bills providing for appropriations related to the Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution: AB 153, AB 155, AB 156, AB 159, AB 160, AB 161, AB 162, AB 163, AB 164, AB 165, AB 166, AB 167, AB 168, AB 169, AB 170, AB 171, AB 172, AB 173, AB 174, AB 175, AB 176, AB 177, AB 178, AB 179, AB 181, AB 182, AB 183, AB 184, AB 185, AB 218, SB 153, SB 155, SB 156, SB 159, SB 160, SB 161, SB 162, SB 163, SB 164, SB 165, SB 166, SB 167, SB 168, SB 169, SB 170, SB 171, SB 172, SB 173, SB 174, SB 175, SB 176, SB 177, SB 178, SB 179, SB 181, SB 182, SB 183, SB 184, SB 185, and SB 218. 218 of the 202324 Regular Session, and AB 6, AB 7, SB 5, and SB 6 of the 202526 First Extraordinary Session.        SEC. 4. Section 90.01 is added to the Budget Act of 2024, to read:      SEC. 90.01. (a) The Director of Finance may increase the augmentation authority provided in subdivision (a) of Section 90.00 of this act by up to an additional $1,000,000,000.  (b) Augmentations pursuant to subdivision (a) are hereby appropriated for use by state departments and entities for uses consistent with the purposes of the Disaster Response-Emergency Operations Account concerning areas of the state affected by wildfire states of emergency that were declared by the Governor in January 2025. Those uses include, but are not limited to, emergency protective measures, evacuations, sheltering for survivors, household hazardous waste removal, assessment and remediation of post-fire hazards such as flash flooding and debris flows, traffic control, air quality and water and other environmental testing, and other actions to protect health, protect the safety of persons or property, and expedite recovery.  (c) Increases in augmentation authority pursuant to subdivision (a) shall not be made sooner than three days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.  (d) This section does not change, alter, limit, or constrain the emergency powers of the Governor and the executive branch in state law, including, but not limited to, the Governors fiscal authority related to emergencies.  (e) (1) The Director of Finances authority to increase augmentation authority pursuant to subdivision (a) shall expire on April 30, 2025.  (2) It is the intent of the Legislature to consider extending or amending the augmentation authority before that date, at which time the Legislature also intends to begin the process, following budget committee review, of appropriating bond funds from the Safe Drinking Water, Wildfire Prevention, Drought Preparedness, and Clean Air Fund, which was established by voter approval of Proposition 4 at the November 5, 2024, statewide general election, for wildfire and forest resilience activities.  (f) Funds appropriated pursuant to this section shall be available for encumbrance or expenditure until the applicable declarations of states of emergency in January 2025 are terminated or an alternate date as determined by the Director of Finance.  (g) The Department of Finance shall post on its internet website a Los Angeles Wildfire Response and Recovery Expenditure Report, including, to the extent feasible, summaries of the amounts and uses of funding spent by each department for the purposes described in subdivision (b). The report shall include funding provided under this section and Section 90.00, as well as other state funding concerning the response to and recovery from the January 2025 wildfires. This expenditure report shall be posted on or about February 7, 2025, and updated on or before February 28, 2025, March 31, 2025, and April 30, 2025. It is the intent of the Legislature to consider extending or amending these reporting requirements before April 30, 2025.  (h) The executive and legislative branches jointly express their intent that departments receiving funding for January 2025 wildfire response and recovery shall continue to keep the Legislature informed pursuant to the reporting requirements in subdivision (g) and other means consistent with the comity of coequal branches of government.  (i) The Department of Finance may create new items as necessary to facilitate the expenditures of funds augmented pursuant to this section and Section 90.00.  (j) The executive branch shall seek reimbursements from the federal government for the maximum possible amount of funds related to response and recovery from the January 2025 wildfires.        SEC. 5. Section 99.50 of the Budget Act of 2024 is amended to read:     INDEX FOR CONTROL SECTIONS  SEC. 99.50. The following is an index to the general sections of this act. These sections serve to define terms and identify restrictions concerning the appropriations contained in this act.     1.00   Budget Act Citation     1.50   Intent and Format     1.51   Citations to Prior Budget Acts      1.80   Availability of Appropriations     2.00   Items of Appropriation     3.00   Defines Purposes of Appropriations     3.10   Subschedule Transfers for Capital Projects     3.50   Benefit Charges Against Salaries and Wages     3.60   Contribution to Public Employees Retirement Benefits      3.61   Contribution to Prefund Other Postemployment Benefits     4.05   Budget Adjustment Authority     4.11   Position Vacancy Report     4.12   Vacant Position Savings     4.13   AB 85 Repayments to Counties     4.20   Contribution to Public Employees Contingency Reserve Fund     4.30   Lease-Revenue Payment Adjustments     4.72   Electric Vehicle Charging Infrastructure     4.75   Statewide Surcharge     4.80   State Public Works Board Interim Financing     4.90   Architectural Revolving Fund Transfer     4.95   Inmate and Ward Construction Revolving Account Transfer      5.25   Attorneys Fees     5.26   Legal Services Grant Funding     6.00   Project Alterations Limits     8.00   Antiterrorism Federal Reimbursements     8.50   Federal Funds Receipts     8.51   Federal Funds Accounts     8.52   Federal Reimbursements     8.53   Notice of Federal Audits     8.54   Enforce Recovery of Federal Funds for Statewide Indirect Costs     8.75   Infrastructure Investment and Jobs Act     9.30   Federal Levy of State Funds      9.50   Minor Capital Outlay Projects     11.00   Information Technology Reporting Requirements     11.10   Reporting of Statewide Software License Agreements     11.11   Privacy of Information in Pay Stubs     11.93   Disaster Response-Emergency Operations Account Reconciliation Adjustments     11.95   Federal American Rescue Plan Act of 2021 Home and Community-Based Services Funding     11.96   Coronavirus Fiscal Relief     11.97   State Appropriation Limit Excludable Federal Fund Appropriations for Capital Outlay     12.00   State Appropriations Limit (SAL)     12.30   Special Fund for Economic Uncertainties     12.32   Proposition 98-Funding Guarantee      12.35   Financial Aid Policy Change Requirements     12.45   June to July Payroll Deferral     13.00   Legislative Counsel Bureau     13.40   Budgetary Loan Borrowing from Special Funds     14.00   Special Fund Loans Between Boards of the Department of Consumer Affairs     15.14   Allocation of Greenhouse Gas Reduction Fund     15.25   Data Center Rate Adjustment     15.45   Trial Court Funding Offsets     15.80   Reparations Legislation Funding     20.00   Reappropriations and Reversions     24.00   State School Fund Allocations     24.03   Reading Control     24.30   Transfer School Building Rental Income to the General Fund     24.60   Report of Lottery Funds Received     24.70   Local Educational Agency Fiscal Accountability     25.40   Contracted Fiscal Services Costs     25.50   SCO Apportionment Payment System Assessments     26.00   Intraschedule Transfers      28.00   Program Change Notification     28.50   Agency Reimbursement Payments     29.00   Position Estimates of Governors Budget, May Revision, and Final Change Book     30.00   Continuous Appropriations     31.00   Budget Act Administrative Procedures for Salaries and Wages     32.00   Prohibits Excess Expenditures     33.00   Item Veto Severability     34.00   Constitutional Severability     35.21   Application of Net Final Payment Accrual Methodology     35.35   FI$CalShort-Term Cash Loans     35.50   Estimated General Fund Revenues and Various Estimates Related to the Budget Stabilization Account     38.00   Provides That This Bill Is a Budget Bill     39.00   Identification of Bills Related to the Budget Bill     90.00   Funding for Fire Response and Recovery     90.01   Additional Funding for Fire Response and Recovery     99.00   Alphabetical Organization Index     99.50   Numerical Control Section Index           SEC. 6. This act is a Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution and shall take effect immediately.     

         CALIFORNIA LEGISLATURE 2025 2026 1st Ext.   Assembly Bill  No. 5       Introduced by Assembly Member Gabriel and Senator Wiener   January 20 , 2025       An act to amend the Budget Act of 2024 (Chs. 22, 35, and 994, Stats. 2024), by amending Items 2240-001-0001 and 7760-001-0001 of Section 2.00 of, by amending Sections 39.00 and 99.50 of, and by adding Section 90.01 to, that act, relating to the state budget, and making an appropriation therefor, to take effect immediately, budget bill. LEGISLATIVE COUNSEL'S DIGEST AB5, as introduced, Gabriel . Budget Act of 2024.  The Budget Act of 2024 made appropriations for the support of state government for the 202425 fiscal year. This bill would amend the Budget Act of 2024 by amending and adding appropriations and making other changes. This bill would declare that it is to take effect immediately as a Budget Bill. Digest Key Vote: MAJORITY  Appropriation: YES  Fiscal Committee: YES  Local Program: NO 

        



 CALIFORNIA LEGISLATURE 2025 2026 1st Ext.

Assembly Bill No. 5

    Introduced by Assembly Member Gabriel and Senator Wiener   January 20 , 2025     

Introduced by Assembly Member Gabriel and Senator Wiener
January 20 , 2025

 An act to amend the Budget Act of 2024 (Chs. 22, 35, and 994, Stats. 2024), by amending Items 2240-001-0001 and 7760-001-0001 of Section 2.00 of, by amending Sections 39.00 and 99.50 of, and by adding Section 90.01 to, that act, relating to the state budget, and making an appropriation therefor, to take effect immediately, budget bill.

 LEGISLATIVE COUNSEL'S DIGEST 

## LEGISLATIVE COUNSEL'S DIGEST

AB5, as introduced, Gabriel . Budget Act of 2024.

 The Budget Act of 2024 made appropriations for the support of state government for the 202425 fiscal year. This bill would amend the Budget Act of 2024 by amending and adding appropriations and making other changes. This bill would declare that it is to take effect immediately as a Budget Bill.

The Budget Act of 2024 made appropriations for the support of state government for the 202425 fiscal year.

This bill would amend the Budget Act of 2024 by amending and adding appropriations and making other changes.

This bill would declare that it is to take effect immediately as a Budget Bill.

## Digest Key

## Bill Text

  The people of the State of California do enact as follows:   SECTION 1. Item 2240-001-0001 of Section 2.00 of the Budget Act of 2024 is amended to read:      2240-001-0001For support of Department of Housing and Community Development ........................   39,120,00043,120,000     Schedule:      (1)  1660-Codes and Standards Program ........................   3,879,000     (2)  1665-Financial Assistance Program ........................   8,109,000     (3)  1670-Housing Policy Development Program ........................   27,132,00031,132,000      Provisions:      1.  Of the amount available in Schedule (3), $1,440,000 shall be made available for payment of legal services provided by the Department of Justice.       2. Of the amount appropriated in Schedule 3, $2,400,000 is for the California Surplus Land Unit pursuant to Section 54902 of the Health and Safety Code.      3. Of the amount appropriated in Schedule (3), $4,000,000 shall be awarded to the City of Los Angeles, the County of Los Angeles, the City of Malibu, the City of Pasadena, and other local governments, if needed, to provide additional planning review and building inspection resources for the purpose of expediting building approvals during the recovery period after the January 2025 wildfires. Use of the funds shall be restricted to expediting planning review and building inspections for rebuilding of residential properties still owned by the same homeowners on record as of January 7, 2025. Funds shall be allocated promptly to the local governments, with the allocation to the local governments determined by the Department of Housing and Community Development after conferring with local officials. Funds provided must supplement, not supplant, previously existing resources for planning review and building inspections. The funds described in this provision are available for encumbrance until June 30, 2028.          SEC. 2. Item 7760-001-0001 of Section 2.00 of the Budget Act of 2024 is amended to read:      7760-001-0001For support of Department of General Services ........................   32,414,00033,414,000     Schedule:      (1)  6324046-Facilities Management Division ........................   18,879,000     (2) 6325064-Project Management and Development Branch ........................  550,000     (3)  6330073-Contracted Fiscal Services ........................   8,218,000     (4)  6330082-Office of Sustainability ........................   4,167,000     (4.5)  6320010-Division of the State Architect ........................   250,000     (5)  6320019-Public School Construction ........................   750,000     (6)  9900100-Administration ........................   1,599,000     (7)  9900200-AdministrationDistributed ........................   999,000      Provisions:      1.  Of the amount appropriated in Schedule (4), $2,500,000 shall be available for implementation of Chapter 368 of the Statutes of 2022 (SB 1203).       2.  Of the amount appropriated in Schedule (1), $11,800,000 is for projects to upgrade direct digital control systems. This funding shall be limited to such projects at the (a) Ronald Reagan State Building; (b) Elihu M. Harris Building; (c) Governor Edmund G. Pat Brown Building; (d) Junipero Serra Office Building; (e) California Tower; (f) Mission Valley State Building; and (g) Van Nuys State Building. This funding shall be made available for these projects only after project plans specifications are completed and final project estimates are submitted to the Department of Finance. Should final project estimates total less than $11,800,000, the difference between these estimates and the amount made available pursuant to this provision shall revert to the General Fund.       3. Of the amount appropriated in Schedule (2), $50,000 shall be available for a small associated monument in Capitol Park, to acknowledge the victims and survivors of Californias wildfires.      4. Of the amount appropriated in Schedule (2), $500,000 shall be available for ventilation repair at the States central plant mushroom steam vent located on Capitol Mall, adjacent to the Employment Development Department headquarters building.      5. Notwithstanding any other law, the amount appropriated in Schedule (4.5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.      6. The amount appropriated in Schedule (5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.       7. The Director of Finance may add schools or local educational agencies to the list of entities receiving assistance pursuant to Provisions 5 and 6 of this item. These additions shall not be effective sooner than 10 days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.         SEC. 3. Section 39.00 of the Budget Act of 2024 is amended to read:      SEC. 39.00. The Legislature hereby finds and declares that the following bills are other bills providing for appropriations related to the Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution: AB 153, AB 155, AB 156, AB 159, AB 160, AB 161, AB 162, AB 163, AB 164, AB 165, AB 166, AB 167, AB 168, AB 169, AB 170, AB 171, AB 172, AB 173, AB 174, AB 175, AB 176, AB 177, AB 178, AB 179, AB 181, AB 182, AB 183, AB 184, AB 185, AB 218, SB 153, SB 155, SB 156, SB 159, SB 160, SB 161, SB 162, SB 163, SB 164, SB 165, SB 166, SB 167, SB 168, SB 169, SB 170, SB 171, SB 172, SB 173, SB 174, SB 175, SB 176, SB 177, SB 178, SB 179, SB 181, SB 182, SB 183, SB 184, SB 185, and SB 218. 218 of the 202324 Regular Session, and AB 6, AB 7, SB 5, and SB 6 of the 202526 First Extraordinary Session.        SEC. 4. Section 90.01 is added to the Budget Act of 2024, to read:      SEC. 90.01. (a) The Director of Finance may increase the augmentation authority provided in subdivision (a) of Section 90.00 of this act by up to an additional $1,000,000,000.  (b) Augmentations pursuant to subdivision (a) are hereby appropriated for use by state departments and entities for uses consistent with the purposes of the Disaster Response-Emergency Operations Account concerning areas of the state affected by wildfire states of emergency that were declared by the Governor in January 2025. Those uses include, but are not limited to, emergency protective measures, evacuations, sheltering for survivors, household hazardous waste removal, assessment and remediation of post-fire hazards such as flash flooding and debris flows, traffic control, air quality and water and other environmental testing, and other actions to protect health, protect the safety of persons or property, and expedite recovery.  (c) Increases in augmentation authority pursuant to subdivision (a) shall not be made sooner than three days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.  (d) This section does not change, alter, limit, or constrain the emergency powers of the Governor and the executive branch in state law, including, but not limited to, the Governors fiscal authority related to emergencies.  (e) (1) The Director of Finances authority to increase augmentation authority pursuant to subdivision (a) shall expire on April 30, 2025.  (2) It is the intent of the Legislature to consider extending or amending the augmentation authority before that date, at which time the Legislature also intends to begin the process, following budget committee review, of appropriating bond funds from the Safe Drinking Water, Wildfire Prevention, Drought Preparedness, and Clean Air Fund, which was established by voter approval of Proposition 4 at the November 5, 2024, statewide general election, for wildfire and forest resilience activities.  (f) Funds appropriated pursuant to this section shall be available for encumbrance or expenditure until the applicable declarations of states of emergency in January 2025 are terminated or an alternate date as determined by the Director of Finance.  (g) The Department of Finance shall post on its internet website a Los Angeles Wildfire Response and Recovery Expenditure Report, including, to the extent feasible, summaries of the amounts and uses of funding spent by each department for the purposes described in subdivision (b). The report shall include funding provided under this section and Section 90.00, as well as other state funding concerning the response to and recovery from the January 2025 wildfires. This expenditure report shall be posted on or about February 7, 2025, and updated on or before February 28, 2025, March 31, 2025, and April 30, 2025. It is the intent of the Legislature to consider extending or amending these reporting requirements before April 30, 2025.  (h) The executive and legislative branches jointly express their intent that departments receiving funding for January 2025 wildfire response and recovery shall continue to keep the Legislature informed pursuant to the reporting requirements in subdivision (g) and other means consistent with the comity of coequal branches of government.  (i) The Department of Finance may create new items as necessary to facilitate the expenditures of funds augmented pursuant to this section and Section 90.00.  (j) The executive branch shall seek reimbursements from the federal government for the maximum possible amount of funds related to response and recovery from the January 2025 wildfires.        SEC. 5. Section 99.50 of the Budget Act of 2024 is amended to read:     INDEX FOR CONTROL SECTIONS  SEC. 99.50. The following is an index to the general sections of this act. These sections serve to define terms and identify restrictions concerning the appropriations contained in this act.     1.00   Budget Act Citation     1.50   Intent and Format     1.51   Citations to Prior Budget Acts      1.80   Availability of Appropriations     2.00   Items of Appropriation     3.00   Defines Purposes of Appropriations     3.10   Subschedule Transfers for Capital Projects     3.50   Benefit Charges Against Salaries and Wages     3.60   Contribution to Public Employees Retirement Benefits      3.61   Contribution to Prefund Other Postemployment Benefits     4.05   Budget Adjustment Authority     4.11   Position Vacancy Report     4.12   Vacant Position Savings     4.13   AB 85 Repayments to Counties     4.20   Contribution to Public Employees Contingency Reserve Fund     4.30   Lease-Revenue Payment Adjustments     4.72   Electric Vehicle Charging Infrastructure     4.75   Statewide Surcharge     4.80   State Public Works Board Interim Financing     4.90   Architectural Revolving Fund Transfer     4.95   Inmate and Ward Construction Revolving Account Transfer      5.25   Attorneys Fees     5.26   Legal Services Grant Funding     6.00   Project Alterations Limits     8.00   Antiterrorism Federal Reimbursements     8.50   Federal Funds Receipts     8.51   Federal Funds Accounts     8.52   Federal Reimbursements     8.53   Notice of Federal Audits     8.54   Enforce Recovery of Federal Funds for Statewide Indirect Costs     8.75   Infrastructure Investment and Jobs Act     9.30   Federal Levy of State Funds      9.50   Minor Capital Outlay Projects     11.00   Information Technology Reporting Requirements     11.10   Reporting of Statewide Software License Agreements     11.11   Privacy of Information in Pay Stubs     11.93   Disaster Response-Emergency Operations Account Reconciliation Adjustments     11.95   Federal American Rescue Plan Act of 2021 Home and Community-Based Services Funding     11.96   Coronavirus Fiscal Relief     11.97   State Appropriation Limit Excludable Federal Fund Appropriations for Capital Outlay     12.00   State Appropriations Limit (SAL)     12.30   Special Fund for Economic Uncertainties     12.32   Proposition 98-Funding Guarantee      12.35   Financial Aid Policy Change Requirements     12.45   June to July Payroll Deferral     13.00   Legislative Counsel Bureau     13.40   Budgetary Loan Borrowing from Special Funds     14.00   Special Fund Loans Between Boards of the Department of Consumer Affairs     15.14   Allocation of Greenhouse Gas Reduction Fund     15.25   Data Center Rate Adjustment     15.45   Trial Court Funding Offsets     15.80   Reparations Legislation Funding     20.00   Reappropriations and Reversions     24.00   State School Fund Allocations     24.03   Reading Control     24.30   Transfer School Building Rental Income to the General Fund     24.60   Report of Lottery Funds Received     24.70   Local Educational Agency Fiscal Accountability     25.40   Contracted Fiscal Services Costs     25.50   SCO Apportionment Payment System Assessments     26.00   Intraschedule Transfers      28.00   Program Change Notification     28.50   Agency Reimbursement Payments     29.00   Position Estimates of Governors Budget, May Revision, and Final Change Book     30.00   Continuous Appropriations     31.00   Budget Act Administrative Procedures for Salaries and Wages     32.00   Prohibits Excess Expenditures     33.00   Item Veto Severability     34.00   Constitutional Severability     35.21   Application of Net Final Payment Accrual Methodology     35.35   FI$CalShort-Term Cash Loans     35.50   Estimated General Fund Revenues and Various Estimates Related to the Budget Stabilization Account     38.00   Provides That This Bill Is a Budget Bill     39.00   Identification of Bills Related to the Budget Bill     90.00   Funding for Fire Response and Recovery     90.01   Additional Funding for Fire Response and Recovery     99.00   Alphabetical Organization Index     99.50   Numerical Control Section Index           SEC. 6. This act is a Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution and shall take effect immediately.    

 The people of the State of California do enact as follows:

## The people of the State of California do enact as follows:

  SECTION 1. Item 2240-001-0001 of Section 2.00 of the Budget Act of 2024 is amended to read:      2240-001-0001For support of Department of Housing and Community Development ........................   39,120,00043,120,000     Schedule:      (1)  1660-Codes and Standards Program ........................   3,879,000     (2)  1665-Financial Assistance Program ........................   8,109,000     (3)  1670-Housing Policy Development Program ........................   27,132,00031,132,000      Provisions:      1.  Of the amount available in Schedule (3), $1,440,000 shall be made available for payment of legal services provided by the Department of Justice.       2. Of the amount appropriated in Schedule 3, $2,400,000 is for the California Surplus Land Unit pursuant to Section 54902 of the Health and Safety Code.      3. Of the amount appropriated in Schedule (3), $4,000,000 shall be awarded to the City of Los Angeles, the County of Los Angeles, the City of Malibu, the City of Pasadena, and other local governments, if needed, to provide additional planning review and building inspection resources for the purpose of expediting building approvals during the recovery period after the January 2025 wildfires. Use of the funds shall be restricted to expediting planning review and building inspections for rebuilding of residential properties still owned by the same homeowners on record as of January 7, 2025. Funds shall be allocated promptly to the local governments, with the allocation to the local governments determined by the Department of Housing and Community Development after conferring with local officials. Funds provided must supplement, not supplant, previously existing resources for planning review and building inspections. The funds described in this provision are available for encumbrance until June 30, 2028.       

 SECTION 1. Item 2240-001-0001 of Section 2.00 of the Budget Act of 2024 is amended to read: 

### SECTION 1.

    2240-001-0001For support of Department of Housing and Community Development ........................   39,120,00043,120,000     Schedule:      (1)  1660-Codes and Standards Program ........................   3,879,000     (2)  1665-Financial Assistance Program ........................   8,109,000     (3)  1670-Housing Policy Development Program ........................   27,132,00031,132,000      Provisions:      1.  Of the amount available in Schedule (3), $1,440,000 shall be made available for payment of legal services provided by the Department of Justice.       2. Of the amount appropriated in Schedule 3, $2,400,000 is for the California Surplus Land Unit pursuant to Section 54902 of the Health and Safety Code.      3. Of the amount appropriated in Schedule (3), $4,000,000 shall be awarded to the City of Los Angeles, the County of Los Angeles, the City of Malibu, the City of Pasadena, and other local governments, if needed, to provide additional planning review and building inspection resources for the purpose of expediting building approvals during the recovery period after the January 2025 wildfires. Use of the funds shall be restricted to expediting planning review and building inspections for rebuilding of residential properties still owned by the same homeowners on record as of January 7, 2025. Funds shall be allocated promptly to the local governments, with the allocation to the local governments determined by the Department of Housing and Community Development after conferring with local officials. Funds provided must supplement, not supplant, previously existing resources for planning review and building inspections. The funds described in this provision are available for encumbrance until June 30, 2028.      

2240-001-0001For support of Department of Housing and Community Development ........................ 39,120,00043,120,000
 Schedule:
 (1) 1660-Codes and Standards Program ........................ 3,879,000
 (2) 1665-Financial Assistance Program ........................ 8,109,000
 (3) 1670-Housing Policy Development Program ........................ 27,132,00031,132,000
 Provisions:
 1. Of the amount available in Schedule (3), $1,440,000 shall be made available for payment of legal services provided by the Department of Justice.
 2. Of the amount appropriated in Schedule 3, $2,400,000 is for the California Surplus Land Unit pursuant to Section 54902 of the Health and Safety Code.
 3. Of the amount appropriated in Schedule (3), $4,000,000 shall be awarded to the City of Los Angeles, the County of Los Angeles, the City of Malibu, the City of Pasadena, and other local governments, if needed, to provide additional planning review and building inspection resources for the purpose of expediting building approvals during the recovery period after the January 2025 wildfires. Use of the funds shall be restricted to expediting planning review and building inspections for rebuilding of residential properties still owned by the same homeowners on record as of January 7, 2025. Funds shall be allocated promptly to the local governments, with the allocation to the local governments determined by the Department of Housing and Community Development after conferring with local officials. Funds provided must supplement, not supplant, previously existing resources for planning review and building inspections. The funds described in this provision are available for encumbrance until June 30, 2028.

2240-001-0001For support of Department of Housing and Community Development ........................ 

Schedule:

1660-Codes and Standards Program ........................ 

1665-Financial Assistance Program ........................ 

1670-Housing Policy Development Program ........................ 

Provisions:

Of the amount available in Schedule (3), $1,440,000 shall be made available for payment of legal services provided by the Department of Justice. 

  SEC. 2. Item 7760-001-0001 of Section 2.00 of the Budget Act of 2024 is amended to read:      7760-001-0001For support of Department of General Services ........................   32,414,00033,414,000     Schedule:      (1)  6324046-Facilities Management Division ........................   18,879,000     (2) 6325064-Project Management and Development Branch ........................  550,000     (3)  6330073-Contracted Fiscal Services ........................   8,218,000     (4)  6330082-Office of Sustainability ........................   4,167,000     (4.5)  6320010-Division of the State Architect ........................   250,000     (5)  6320019-Public School Construction ........................   750,000     (6)  9900100-Administration ........................   1,599,000     (7)  9900200-AdministrationDistributed ........................   999,000      Provisions:      1.  Of the amount appropriated in Schedule (4), $2,500,000 shall be available for implementation of Chapter 368 of the Statutes of 2022 (SB 1203).       2.  Of the amount appropriated in Schedule (1), $11,800,000 is for projects to upgrade direct digital control systems. This funding shall be limited to such projects at the (a) Ronald Reagan State Building; (b) Elihu M. Harris Building; (c) Governor Edmund G. Pat Brown Building; (d) Junipero Serra Office Building; (e) California Tower; (f) Mission Valley State Building; and (g) Van Nuys State Building. This funding shall be made available for these projects only after project plans specifications are completed and final project estimates are submitted to the Department of Finance. Should final project estimates total less than $11,800,000, the difference between these estimates and the amount made available pursuant to this provision shall revert to the General Fund.       3. Of the amount appropriated in Schedule (2), $50,000 shall be available for a small associated monument in Capitol Park, to acknowledge the victims and survivors of Californias wildfires.      4. Of the amount appropriated in Schedule (2), $500,000 shall be available for ventilation repair at the States central plant mushroom steam vent located on Capitol Mall, adjacent to the Employment Development Department headquarters building.      5. Notwithstanding any other law, the amount appropriated in Schedule (4.5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.      6. The amount appropriated in Schedule (5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.       7. The Director of Finance may add schools or local educational agencies to the list of entities receiving assistance pursuant to Provisions 5 and 6 of this item. These additions shall not be effective sooner than 10 days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.      

 SEC. 2. Item 7760-001-0001 of Section 2.00 of the Budget Act of 2024 is amended to read: 

### SEC. 2.

    7760-001-0001For support of Department of General Services ........................   32,414,00033,414,000     Schedule:      (1)  6324046-Facilities Management Division ........................   18,879,000     (2) 6325064-Project Management and Development Branch ........................  550,000     (3)  6330073-Contracted Fiscal Services ........................   8,218,000     (4)  6330082-Office of Sustainability ........................   4,167,000     (4.5)  6320010-Division of the State Architect ........................   250,000     (5)  6320019-Public School Construction ........................   750,000     (6)  9900100-Administration ........................   1,599,000     (7)  9900200-AdministrationDistributed ........................   999,000      Provisions:      1.  Of the amount appropriated in Schedule (4), $2,500,000 shall be available for implementation of Chapter 368 of the Statutes of 2022 (SB 1203).       2.  Of the amount appropriated in Schedule (1), $11,800,000 is for projects to upgrade direct digital control systems. This funding shall be limited to such projects at the (a) Ronald Reagan State Building; (b) Elihu M. Harris Building; (c) Governor Edmund G. Pat Brown Building; (d) Junipero Serra Office Building; (e) California Tower; (f) Mission Valley State Building; and (g) Van Nuys State Building. This funding shall be made available for these projects only after project plans specifications are completed and final project estimates are submitted to the Department of Finance. Should final project estimates total less than $11,800,000, the difference between these estimates and the amount made available pursuant to this provision shall revert to the General Fund.       3. Of the amount appropriated in Schedule (2), $50,000 shall be available for a small associated monument in Capitol Park, to acknowledge the victims and survivors of Californias wildfires.      4. Of the amount appropriated in Schedule (2), $500,000 shall be available for ventilation repair at the States central plant mushroom steam vent located on Capitol Mall, adjacent to the Employment Development Department headquarters building.      5. Notwithstanding any other law, the amount appropriated in Schedule (4.5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.      6. The amount appropriated in Schedule (5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.       7. The Director of Finance may add schools or local educational agencies to the list of entities receiving assistance pursuant to Provisions 5 and 6 of this item. These additions shall not be effective sooner than 10 days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.     

7760-001-0001For support of Department of General Services ........................ 32,414,00033,414,000
 Schedule:
 (1) 6324046-Facilities Management Division ........................ 18,879,000
 (2) 6325064-Project Management and Development Branch ........................ 550,000
 (3) 6330073-Contracted Fiscal Services ........................ 8,218,000
 (4) 6330082-Office of Sustainability ........................ 4,167,000
 (4.5) 6320010-Division of the State Architect ........................ 250,000
 (5) 6320019-Public School Construction ........................ 750,000
 (6) 9900100-Administration ........................ 1,599,000
 (7) 9900200-AdministrationDistributed ........................ 999,000
 Provisions:
 1. Of the amount appropriated in Schedule (4), $2,500,000 shall be available for implementation of Chapter 368 of the Statutes of 2022 (SB 1203).
 2. Of the amount appropriated in Schedule (1), $11,800,000 is for projects to upgrade direct digital control systems. This funding shall be limited to such projects at the (a) Ronald Reagan State Building; (b) Elihu M. Harris Building; (c) Governor Edmund G. Pat Brown Building; (d) Junipero Serra Office Building; (e) California Tower; (f) Mission Valley State Building; and (g) Van Nuys State Building. This funding shall be made available for these projects only after project plans specifications are completed and final project estimates are submitted to the Department of Finance. Should final project estimates total less than $11,800,000, the difference between these estimates and the amount made available pursuant to this provision shall revert to the General Fund.
 3. Of the amount appropriated in Schedule (2), $50,000 shall be available for a small associated monument in Capitol Park, to acknowledge the victims and survivors of Californias wildfires.
 4. Of the amount appropriated in Schedule (2), $500,000 shall be available for ventilation repair at the States central plant mushroom steam vent located on Capitol Mall, adjacent to the Employment Development Department headquarters building.
 5. Notwithstanding any other law, the amount appropriated in Schedule (4.5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.
 6. The amount appropriated in Schedule (5) is available for encumbrance through June 30, 2026, to provide assistance to the Los Angeles Unified School District, Pasadena Unified School District, and any impacted charter schools located within those school districts, to rebuild and recover school facilities damaged as a result of fires leading to any states of emergency declared by the Governor in January 2025.
 7. The Director of Finance may add schools or local educational agencies to the list of entities receiving assistance pursuant to Provisions 5 and 6 of this item. These additions shall not be effective sooner than 10 days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.

7760-001-0001For support of Department of General Services ........................ 

Schedule:

6324046-Facilities Management Division ........................ 

6330073-Contracted Fiscal Services ........................ 

6330082-Office of Sustainability ........................ 

6320010-Division of the State Architect ........................ 

6320019-Public School Construction ........................ 

9900100-Administration ........................ 

9900200-AdministrationDistributed ........................ 

Provisions:

Of the amount appropriated in Schedule (4), $2,500,000 shall be available for implementation of Chapter 368 of the Statutes of 2022 (SB 1203). 

Of the amount appropriated in Schedule (1), $11,800,000 is for projects to upgrade direct digital control systems. This funding shall be limited to such projects at the (a) Ronald Reagan State Building; (b) Elihu M. Harris Building; (c) Governor Edmund G. Pat Brown Building; (d) Junipero Serra Office Building; (e) California Tower; (f) Mission Valley State Building; and (g) Van Nuys State Building. This funding shall be made available for these projects only after project plans specifications are completed and final project estimates are submitted to the Department of Finance. Should final project estimates total less than $11,800,000, the difference between these estimates and the amount made available pursuant to this provision shall revert to the General Fund. 

  SEC. 3. Section 39.00 of the Budget Act of 2024 is amended to read:      SEC. 39.00. The Legislature hereby finds and declares that the following bills are other bills providing for appropriations related to the Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution: AB 153, AB 155, AB 156, AB 159, AB 160, AB 161, AB 162, AB 163, AB 164, AB 165, AB 166, AB 167, AB 168, AB 169, AB 170, AB 171, AB 172, AB 173, AB 174, AB 175, AB 176, AB 177, AB 178, AB 179, AB 181, AB 182, AB 183, AB 184, AB 185, AB 218, SB 153, SB 155, SB 156, SB 159, SB 160, SB 161, SB 162, SB 163, SB 164, SB 165, SB 166, SB 167, SB 168, SB 169, SB 170, SB 171, SB 172, SB 173, SB 174, SB 175, SB 176, SB 177, SB 178, SB 179, SB 181, SB 182, SB 183, SB 184, SB 185, and SB 218. 218 of the 202324 Regular Session, and AB 6, AB 7, SB 5, and SB 6 of the 202526 First Extraordinary Session.     

 SEC. 3. Section 39.00 of the Budget Act of 2024 is amended to read: 

### SEC. 3.

    SEC. 39.00. The Legislature hereby finds and declares that the following bills are other bills providing for appropriations related to the Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution: AB 153, AB 155, AB 156, AB 159, AB 160, AB 161, AB 162, AB 163, AB 164, AB 165, AB 166, AB 167, AB 168, AB 169, AB 170, AB 171, AB 172, AB 173, AB 174, AB 175, AB 176, AB 177, AB 178, AB 179, AB 181, AB 182, AB 183, AB 184, AB 185, AB 218, SB 153, SB 155, SB 156, SB 159, SB 160, SB 161, SB 162, SB 163, SB 164, SB 165, SB 166, SB 167, SB 168, SB 169, SB 170, SB 171, SB 172, SB 173, SB 174, SB 175, SB 176, SB 177, SB 178, SB 179, SB 181, SB 182, SB 183, SB 184, SB 185, and SB 218. 218 of the 202324 Regular Session, and AB 6, AB 7, SB 5, and SB 6 of the 202526 First Extraordinary Session.    

   SEC. 39.00. The Legislature hereby finds and declares that the following bills are other bills providing for appropriations related to the Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution: AB 153, AB 155, AB 156, AB 159, AB 160, AB 161, AB 162, AB 163, AB 164, AB 165, AB 166, AB 167, AB 168, AB 169, AB 170, AB 171, AB 172, AB 173, AB 174, AB 175, AB 176, AB 177, AB 178, AB 179, AB 181, AB 182, AB 183, AB 184, AB 185, AB 218, SB 153, SB 155, SB 156, SB 159, SB 160, SB 161, SB 162, SB 163, SB 164, SB 165, SB 166, SB 167, SB 168, SB 169, SB 170, SB 171, SB 172, SB 173, SB 174, SB 175, SB 176, SB 177, SB 178, SB 179, SB 181, SB 182, SB 183, SB 184, SB 185, and SB 218. 218 of the 202324 Regular Session, and AB 6, AB 7, SB 5, and SB 6 of the 202526 First Extraordinary Session.   

  SEC. 39.00. The Legislature hereby finds and declares that the following bills are other bills providing for appropriations related to the Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution: AB 153, AB 155, AB 156, AB 159, AB 160, AB 161, AB 162, AB 163, AB 164, AB 165, AB 166, AB 167, AB 168, AB 169, AB 170, AB 171, AB 172, AB 173, AB 174, AB 175, AB 176, AB 177, AB 178, AB 179, AB 181, AB 182, AB 183, AB 184, AB 185, AB 218, SB 153, SB 155, SB 156, SB 159, SB 160, SB 161, SB 162, SB 163, SB 164, SB 165, SB 166, SB 167, SB 168, SB 169, SB 170, SB 171, SB 172, SB 173, SB 174, SB 175, SB 176, SB 177, SB 178, SB 179, SB 181, SB 182, SB 183, SB 184, SB 185, and SB 218. 218 of the 202324 Regular Session, and AB 6, AB 7, SB 5, and SB 6 of the 202526 First Extraordinary Session.  

 SEC. 39.00. The Legislature hereby finds and declares that the following bills are other bills providing for appropriations related to the Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution: AB 153, AB 155, AB 156, AB 159, AB 160, AB 161, AB 162, AB 163, AB 164, AB 165, AB 166, AB 167, AB 168, AB 169, AB 170, AB 171, AB 172, AB 173, AB 174, AB 175, AB 176, AB 177, AB 178, AB 179, AB 181, AB 182, AB 183, AB 184, AB 185, AB 218, SB 153, SB 155, SB 156, SB 159, SB 160, SB 161, SB 162, SB 163, SB 164, SB 165, SB 166, SB 167, SB 168, SB 169, SB 170, SB 171, SB 172, SB 173, SB 174, SB 175, SB 176, SB 177, SB 178, SB 179, SB 181, SB 182, SB 183, SB 184, SB 185, and SB 218. 218 of the 202324 Regular Session, and AB 6, AB 7, SB 5, and SB 6 of the 202526 First Extraordinary Session. 

### SEC. 39.00.

  SEC. 4. Section 90.01 is added to the Budget Act of 2024, to read:      SEC. 90.01. (a) The Director of Finance may increase the augmentation authority provided in subdivision (a) of Section 90.00 of this act by up to an additional $1,000,000,000.  (b) Augmentations pursuant to subdivision (a) are hereby appropriated for use by state departments and entities for uses consistent with the purposes of the Disaster Response-Emergency Operations Account concerning areas of the state affected by wildfire states of emergency that were declared by the Governor in January 2025. Those uses include, but are not limited to, emergency protective measures, evacuations, sheltering for survivors, household hazardous waste removal, assessment and remediation of post-fire hazards such as flash flooding and debris flows, traffic control, air quality and water and other environmental testing, and other actions to protect health, protect the safety of persons or property, and expedite recovery.  (c) Increases in augmentation authority pursuant to subdivision (a) shall not be made sooner than three days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.  (d) This section does not change, alter, limit, or constrain the emergency powers of the Governor and the executive branch in state law, including, but not limited to, the Governors fiscal authority related to emergencies.  (e) (1) The Director of Finances authority to increase augmentation authority pursuant to subdivision (a) shall expire on April 30, 2025.  (2) It is the intent of the Legislature to consider extending or amending the augmentation authority before that date, at which time the Legislature also intends to begin the process, following budget committee review, of appropriating bond funds from the Safe Drinking Water, Wildfire Prevention, Drought Preparedness, and Clean Air Fund, which was established by voter approval of Proposition 4 at the November 5, 2024, statewide general election, for wildfire and forest resilience activities.  (f) Funds appropriated pursuant to this section shall be available for encumbrance or expenditure until the applicable declarations of states of emergency in January 2025 are terminated or an alternate date as determined by the Director of Finance.  (g) The Department of Finance shall post on its internet website a Los Angeles Wildfire Response and Recovery Expenditure Report, including, to the extent feasible, summaries of the amounts and uses of funding spent by each department for the purposes described in subdivision (b). The report shall include funding provided under this section and Section 90.00, as well as other state funding concerning the response to and recovery from the January 2025 wildfires. This expenditure report shall be posted on or about February 7, 2025, and updated on or before February 28, 2025, March 31, 2025, and April 30, 2025. It is the intent of the Legislature to consider extending or amending these reporting requirements before April 30, 2025.  (h) The executive and legislative branches jointly express their intent that departments receiving funding for January 2025 wildfire response and recovery shall continue to keep the Legislature informed pursuant to the reporting requirements in subdivision (g) and other means consistent with the comity of coequal branches of government.  (i) The Department of Finance may create new items as necessary to facilitate the expenditures of funds augmented pursuant to this section and Section 90.00.  (j) The executive branch shall seek reimbursements from the federal government for the maximum possible amount of funds related to response and recovery from the January 2025 wildfires.     

 SEC. 4. Section 90.01 is added to the Budget Act of 2024, to read: 

### SEC. 4.

    SEC. 90.01. (a) The Director of Finance may increase the augmentation authority provided in subdivision (a) of Section 90.00 of this act by up to an additional $1,000,000,000.  (b) Augmentations pursuant to subdivision (a) are hereby appropriated for use by state departments and entities for uses consistent with the purposes of the Disaster Response-Emergency Operations Account concerning areas of the state affected by wildfire states of emergency that were declared by the Governor in January 2025. Those uses include, but are not limited to, emergency protective measures, evacuations, sheltering for survivors, household hazardous waste removal, assessment and remediation of post-fire hazards such as flash flooding and debris flows, traffic control, air quality and water and other environmental testing, and other actions to protect health, protect the safety of persons or property, and expedite recovery.  (c) Increases in augmentation authority pursuant to subdivision (a) shall not be made sooner than three days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.  (d) This section does not change, alter, limit, or constrain the emergency powers of the Governor and the executive branch in state law, including, but not limited to, the Governors fiscal authority related to emergencies.  (e) (1) The Director of Finances authority to increase augmentation authority pursuant to subdivision (a) shall expire on April 30, 2025.  (2) It is the intent of the Legislature to consider extending or amending the augmentation authority before that date, at which time the Legislature also intends to begin the process, following budget committee review, of appropriating bond funds from the Safe Drinking Water, Wildfire Prevention, Drought Preparedness, and Clean Air Fund, which was established by voter approval of Proposition 4 at the November 5, 2024, statewide general election, for wildfire and forest resilience activities.  (f) Funds appropriated pursuant to this section shall be available for encumbrance or expenditure until the applicable declarations of states of emergency in January 2025 are terminated or an alternate date as determined by the Director of Finance.  (g) The Department of Finance shall post on its internet website a Los Angeles Wildfire Response and Recovery Expenditure Report, including, to the extent feasible, summaries of the amounts and uses of funding spent by each department for the purposes described in subdivision (b). The report shall include funding provided under this section and Section 90.00, as well as other state funding concerning the response to and recovery from the January 2025 wildfires. This expenditure report shall be posted on or about February 7, 2025, and updated on or before February 28, 2025, March 31, 2025, and April 30, 2025. It is the intent of the Legislature to consider extending or amending these reporting requirements before April 30, 2025.  (h) The executive and legislative branches jointly express their intent that departments receiving funding for January 2025 wildfire response and recovery shall continue to keep the Legislature informed pursuant to the reporting requirements in subdivision (g) and other means consistent with the comity of coequal branches of government.  (i) The Department of Finance may create new items as necessary to facilitate the expenditures of funds augmented pursuant to this section and Section 90.00.  (j) The executive branch shall seek reimbursements from the federal government for the maximum possible amount of funds related to response and recovery from the January 2025 wildfires.    

   SEC. 90.01. (a) The Director of Finance may increase the augmentation authority provided in subdivision (a) of Section 90.00 of this act by up to an additional $1,000,000,000.  (b) Augmentations pursuant to subdivision (a) are hereby appropriated for use by state departments and entities for uses consistent with the purposes of the Disaster Response-Emergency Operations Account concerning areas of the state affected by wildfire states of emergency that were declared by the Governor in January 2025. Those uses include, but are not limited to, emergency protective measures, evacuations, sheltering for survivors, household hazardous waste removal, assessment and remediation of post-fire hazards such as flash flooding and debris flows, traffic control, air quality and water and other environmental testing, and other actions to protect health, protect the safety of persons or property, and expedite recovery.  (c) Increases in augmentation authority pursuant to subdivision (a) shall not be made sooner than three days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.  (d) This section does not change, alter, limit, or constrain the emergency powers of the Governor and the executive branch in state law, including, but not limited to, the Governors fiscal authority related to emergencies.  (e) (1) The Director of Finances authority to increase augmentation authority pursuant to subdivision (a) shall expire on April 30, 2025.  (2) It is the intent of the Legislature to consider extending or amending the augmentation authority before that date, at which time the Legislature also intends to begin the process, following budget committee review, of appropriating bond funds from the Safe Drinking Water, Wildfire Prevention, Drought Preparedness, and Clean Air Fund, which was established by voter approval of Proposition 4 at the November 5, 2024, statewide general election, for wildfire and forest resilience activities.  (f) Funds appropriated pursuant to this section shall be available for encumbrance or expenditure until the applicable declarations of states of emergency in January 2025 are terminated or an alternate date as determined by the Director of Finance.  (g) The Department of Finance shall post on its internet website a Los Angeles Wildfire Response and Recovery Expenditure Report, including, to the extent feasible, summaries of the amounts and uses of funding spent by each department for the purposes described in subdivision (b). The report shall include funding provided under this section and Section 90.00, as well as other state funding concerning the response to and recovery from the January 2025 wildfires. This expenditure report shall be posted on or about February 7, 2025, and updated on or before February 28, 2025, March 31, 2025, and April 30, 2025. It is the intent of the Legislature to consider extending or amending these reporting requirements before April 30, 2025.  (h) The executive and legislative branches jointly express their intent that departments receiving funding for January 2025 wildfire response and recovery shall continue to keep the Legislature informed pursuant to the reporting requirements in subdivision (g) and other means consistent with the comity of coequal branches of government.  (i) The Department of Finance may create new items as necessary to facilitate the expenditures of funds augmented pursuant to this section and Section 90.00.  (j) The executive branch shall seek reimbursements from the federal government for the maximum possible amount of funds related to response and recovery from the January 2025 wildfires.   

  SEC. 90.01. (a) The Director of Finance may increase the augmentation authority provided in subdivision (a) of Section 90.00 of this act by up to an additional $1,000,000,000.  (b) Augmentations pursuant to subdivision (a) are hereby appropriated for use by state departments and entities for uses consistent with the purposes of the Disaster Response-Emergency Operations Account concerning areas of the state affected by wildfire states of emergency that were declared by the Governor in January 2025. Those uses include, but are not limited to, emergency protective measures, evacuations, sheltering for survivors, household hazardous waste removal, assessment and remediation of post-fire hazards such as flash flooding and debris flows, traffic control, air quality and water and other environmental testing, and other actions to protect health, protect the safety of persons or property, and expedite recovery.  (c) Increases in augmentation authority pursuant to subdivision (a) shall not be made sooner than three days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee.  (d) This section does not change, alter, limit, or constrain the emergency powers of the Governor and the executive branch in state law, including, but not limited to, the Governors fiscal authority related to emergencies.  (e) (1) The Director of Finances authority to increase augmentation authority pursuant to subdivision (a) shall expire on April 30, 2025.  (2) It is the intent of the Legislature to consider extending or amending the augmentation authority before that date, at which time the Legislature also intends to begin the process, following budget committee review, of appropriating bond funds from the Safe Drinking Water, Wildfire Prevention, Drought Preparedness, and Clean Air Fund, which was established by voter approval of Proposition 4 at the November 5, 2024, statewide general election, for wildfire and forest resilience activities.  (f) Funds appropriated pursuant to this section shall be available for encumbrance or expenditure until the applicable declarations of states of emergency in January 2025 are terminated or an alternate date as determined by the Director of Finance.  (g) The Department of Finance shall post on its internet website a Los Angeles Wildfire Response and Recovery Expenditure Report, including, to the extent feasible, summaries of the amounts and uses of funding spent by each department for the purposes described in subdivision (b). The report shall include funding provided under this section and Section 90.00, as well as other state funding concerning the response to and recovery from the January 2025 wildfires. This expenditure report shall be posted on or about February 7, 2025, and updated on or before February 28, 2025, March 31, 2025, and April 30, 2025. It is the intent of the Legislature to consider extending or amending these reporting requirements before April 30, 2025.  (h) The executive and legislative branches jointly express their intent that departments receiving funding for January 2025 wildfire response and recovery shall continue to keep the Legislature informed pursuant to the reporting requirements in subdivision (g) and other means consistent with the comity of coequal branches of government.  (i) The Department of Finance may create new items as necessary to facilitate the expenditures of funds augmented pursuant to this section and Section 90.00.  (j) The executive branch shall seek reimbursements from the federal government for the maximum possible amount of funds related to response and recovery from the January 2025 wildfires.  

 SEC. 90.01. (a) The Director of Finance may increase the augmentation authority provided in subdivision (a) of Section 90.00 of this act by up to an additional $1,000,000,000. 

### SEC. 90.01.

(b) Augmentations pursuant to subdivision (a) are hereby appropriated for use by state departments and entities for uses consistent with the purposes of the Disaster Response-Emergency Operations Account concerning areas of the state affected by wildfire states of emergency that were declared by the Governor in January 2025. Those uses include, but are not limited to, emergency protective measures, evacuations, sheltering for survivors, household hazardous waste removal, assessment and remediation of post-fire hazards such as flash flooding and debris flows, traffic control, air quality and water and other environmental testing, and other actions to protect health, protect the safety of persons or property, and expedite recovery. 

(c) Increases in augmentation authority pursuant to subdivision (a) shall not be made sooner than three days following the transmittal of the approval to the chairperson of the Joint Legislative Budget Committee or an earlier date as determined by the chairperson of the joint committee, or the chairpersons designee. 

(d) This section does not change, alter, limit, or constrain the emergency powers of the Governor and the executive branch in state law, including, but not limited to, the Governors fiscal authority related to emergencies. 

(e) (1) The Director of Finances authority to increase augmentation authority pursuant to subdivision (a) shall expire on April 30, 2025. 

(2) It is the intent of the Legislature to consider extending or amending the augmentation authority before that date, at which time the Legislature also intends to begin the process, following budget committee review, of appropriating bond funds from the Safe Drinking Water, Wildfire Prevention, Drought Preparedness, and Clean Air Fund, which was established by voter approval of Proposition 4 at the November 5, 2024, statewide general election, for wildfire and forest resilience activities. 

(f) Funds appropriated pursuant to this section shall be available for encumbrance or expenditure until the applicable declarations of states of emergency in January 2025 are terminated or an alternate date as determined by the Director of Finance. 

(g) The Department of Finance shall post on its internet website a Los Angeles Wildfire Response and Recovery Expenditure Report, including, to the extent feasible, summaries of the amounts and uses of funding spent by each department for the purposes described in subdivision (b). The report shall include funding provided under this section and Section 90.00, as well as other state funding concerning the response to and recovery from the January 2025 wildfires. This expenditure report shall be posted on or about February 7, 2025, and updated on or before February 28, 2025, March 31, 2025, and April 30, 2025. It is the intent of the Legislature to consider extending or amending these reporting requirements before April 30, 2025. 

(h) The executive and legislative branches jointly express their intent that departments receiving funding for January 2025 wildfire response and recovery shall continue to keep the Legislature informed pursuant to the reporting requirements in subdivision (g) and other means consistent with the comity of coequal branches of government. 

(i) The Department of Finance may create new items as necessary to facilitate the expenditures of funds augmented pursuant to this section and Section 90.00. 

(j) The executive branch shall seek reimbursements from the federal government for the maximum possible amount of funds related to response and recovery from the January 2025 wildfires. 

  SEC. 5. Section 99.50 of the Budget Act of 2024 is amended to read:     INDEX FOR CONTROL SECTIONS  SEC. 99.50. The following is an index to the general sections of this act. These sections serve to define terms and identify restrictions concerning the appropriations contained in this act.     1.00   Budget Act Citation     1.50   Intent and Format     1.51   Citations to Prior Budget Acts      1.80   Availability of Appropriations     2.00   Items of Appropriation     3.00   Defines Purposes of Appropriations     3.10   Subschedule Transfers for Capital Projects     3.50   Benefit Charges Against Salaries and Wages     3.60   Contribution to Public Employees Retirement Benefits      3.61   Contribution to Prefund Other Postemployment Benefits     4.05   Budget Adjustment Authority     4.11   Position Vacancy Report     4.12   Vacant Position Savings     4.13   AB 85 Repayments to Counties     4.20   Contribution to Public Employees Contingency Reserve Fund     4.30   Lease-Revenue Payment Adjustments     4.72   Electric Vehicle Charging Infrastructure     4.75   Statewide Surcharge     4.80   State Public Works Board Interim Financing     4.90   Architectural Revolving Fund Transfer     4.95   Inmate and Ward Construction Revolving Account Transfer      5.25   Attorneys Fees     5.26   Legal Services Grant Funding     6.00   Project Alterations Limits     8.00   Antiterrorism Federal Reimbursements     8.50   Federal Funds Receipts     8.51   Federal Funds Accounts     8.52   Federal Reimbursements     8.53   Notice of Federal Audits     8.54   Enforce Recovery of Federal Funds for Statewide Indirect Costs     8.75   Infrastructure Investment and Jobs Act     9.30   Federal Levy of State Funds      9.50   Minor Capital Outlay Projects     11.00   Information Technology Reporting Requirements     11.10   Reporting of Statewide Software License Agreements     11.11   Privacy of Information in Pay Stubs     11.93   Disaster Response-Emergency Operations Account Reconciliation Adjustments     11.95   Federal American Rescue Plan Act of 2021 Home and Community-Based Services Funding     11.96   Coronavirus Fiscal Relief     11.97   State Appropriation Limit Excludable Federal Fund Appropriations for Capital Outlay     12.00   State Appropriations Limit (SAL)     12.30   Special Fund for Economic Uncertainties     12.32   Proposition 98-Funding Guarantee      12.35   Financial Aid Policy Change Requirements     12.45   June to July Payroll Deferral     13.00   Legislative Counsel Bureau     13.40   Budgetary Loan Borrowing from Special Funds     14.00   Special Fund Loans Between Boards of the Department of Consumer Affairs     15.14   Allocation of Greenhouse Gas Reduction Fund     15.25   Data Center Rate Adjustment     15.45   Trial Court Funding Offsets     15.80   Reparations Legislation Funding     20.00   Reappropriations and Reversions     24.00   State School Fund Allocations     24.03   Reading Control     24.30   Transfer School Building Rental Income to the General Fund     24.60   Report of Lottery Funds Received     24.70   Local Educational Agency Fiscal Accountability     25.40   Contracted Fiscal Services Costs     25.50   SCO Apportionment Payment System Assessments     26.00   Intraschedule Transfers      28.00   Program Change Notification     28.50   Agency Reimbursement Payments     29.00   Position Estimates of Governors Budget, May Revision, and Final Change Book     30.00   Continuous Appropriations     31.00   Budget Act Administrative Procedures for Salaries and Wages     32.00   Prohibits Excess Expenditures     33.00   Item Veto Severability     34.00   Constitutional Severability     35.21   Application of Net Final Payment Accrual Methodology     35.35   FI$CalShort-Term Cash Loans     35.50   Estimated General Fund Revenues and Various Estimates Related to the Budget Stabilization Account     38.00   Provides That This Bill Is a Budget Bill     39.00   Identification of Bills Related to the Budget Bill     90.00   Funding for Fire Response and Recovery     90.01   Additional Funding for Fire Response and Recovery     99.00   Alphabetical Organization Index     99.50   Numerical Control Section Index       

 SEC. 5. Section 99.50 of the Budget Act of 2024 is amended to read: 

### SEC. 5.

   INDEX FOR CONTROL SECTIONS  SEC. 99.50. The following is an index to the general sections of this act. These sections serve to define terms and identify restrictions concerning the appropriations contained in this act.     1.00   Budget Act Citation     1.50   Intent and Format     1.51   Citations to Prior Budget Acts      1.80   Availability of Appropriations     2.00   Items of Appropriation     3.00   Defines Purposes of Appropriations     3.10   Subschedule Transfers for Capital Projects     3.50   Benefit Charges Against Salaries and Wages     3.60   Contribution to Public Employees Retirement Benefits      3.61   Contribution to Prefund Other Postemployment Benefits     4.05   Budget Adjustment Authority     4.11   Position Vacancy Report     4.12   Vacant Position Savings     4.13   AB 85 Repayments to Counties     4.20   Contribution to Public Employees Contingency Reserve Fund     4.30   Lease-Revenue Payment Adjustments     4.72   Electric Vehicle Charging Infrastructure     4.75   Statewide Surcharge     4.80   State Public Works Board Interim Financing     4.90   Architectural Revolving Fund Transfer     4.95   Inmate and Ward Construction Revolving Account Transfer      5.25   Attorneys Fees     5.26   Legal Services Grant Funding     6.00   Project Alterations Limits     8.00   Antiterrorism Federal Reimbursements     8.50   Federal Funds Receipts     8.51   Federal Funds Accounts     8.52   Federal Reimbursements     8.53   Notice of Federal Audits     8.54   Enforce Recovery of Federal Funds for Statewide Indirect Costs     8.75   Infrastructure Investment and Jobs Act     9.30   Federal Levy of State Funds      9.50   Minor Capital Outlay Projects     11.00   Information Technology Reporting Requirements     11.10   Reporting of Statewide Software License Agreements     11.11   Privacy of Information in Pay Stubs     11.93   Disaster Response-Emergency Operations Account Reconciliation Adjustments     11.95   Federal American Rescue Plan Act of 2021 Home and Community-Based Services Funding     11.96   Coronavirus Fiscal Relief     11.97   State Appropriation Limit Excludable Federal Fund Appropriations for Capital Outlay     12.00   State Appropriations Limit (SAL)     12.30   Special Fund for Economic Uncertainties     12.32   Proposition 98-Funding Guarantee      12.35   Financial Aid Policy Change Requirements     12.45   June to July Payroll Deferral     13.00   Legislative Counsel Bureau     13.40   Budgetary Loan Borrowing from Special Funds     14.00   Special Fund Loans Between Boards of the Department of Consumer Affairs     15.14   Allocation of Greenhouse Gas Reduction Fund     15.25   Data Center Rate Adjustment     15.45   Trial Court Funding Offsets     15.80   Reparations Legislation Funding     20.00   Reappropriations and Reversions     24.00   State School Fund Allocations     24.03   Reading Control     24.30   Transfer School Building Rental Income to the General Fund     24.60   Report of Lottery Funds Received     24.70   Local Educational Agency Fiscal Accountability     25.40   Contracted Fiscal Services Costs     25.50   SCO Apportionment Payment System Assessments     26.00   Intraschedule Transfers      28.00   Program Change Notification     28.50   Agency Reimbursement Payments     29.00   Position Estimates of Governors Budget, May Revision, and Final Change Book     30.00   Continuous Appropriations     31.00   Budget Act Administrative Procedures for Salaries and Wages     32.00   Prohibits Excess Expenditures     33.00   Item Veto Severability     34.00   Constitutional Severability     35.21   Application of Net Final Payment Accrual Methodology     35.35   FI$CalShort-Term Cash Loans     35.50   Estimated General Fund Revenues and Various Estimates Related to the Budget Stabilization Account     38.00   Provides That This Bill Is a Budget Bill     39.00   Identification of Bills Related to the Budget Bill     90.00   Funding for Fire Response and Recovery     90.01   Additional Funding for Fire Response and Recovery     99.00   Alphabetical Organization Index     99.50   Numerical Control Section Index      

  INDEX FOR CONTROL SECTIONS  SEC. 99.50. The following is an index to the general sections of this act. These sections serve to define terms and identify restrictions concerning the appropriations contained in this act.     1.00   Budget Act Citation     1.50   Intent and Format     1.51   Citations to Prior Budget Acts      1.80   Availability of Appropriations     2.00   Items of Appropriation     3.00   Defines Purposes of Appropriations     3.10   Subschedule Transfers for Capital Projects     3.50   Benefit Charges Against Salaries and Wages     3.60   Contribution to Public Employees Retirement Benefits      3.61   Contribution to Prefund Other Postemployment Benefits     4.05   Budget Adjustment Authority     4.11   Position Vacancy Report     4.12   Vacant Position Savings     4.13   AB 85 Repayments to Counties     4.20   Contribution to Public Employees Contingency Reserve Fund     4.30   Lease-Revenue Payment Adjustments     4.72   Electric Vehicle Charging Infrastructure     4.75   Statewide Surcharge     4.80   State Public Works Board Interim Financing     4.90   Architectural Revolving Fund Transfer     4.95   Inmate and Ward Construction Revolving Account Transfer      5.25   Attorneys Fees     5.26   Legal Services Grant Funding     6.00   Project Alterations Limits     8.00   Antiterrorism Federal Reimbursements     8.50   Federal Funds Receipts     8.51   Federal Funds Accounts     8.52   Federal Reimbursements     8.53   Notice of Federal Audits     8.54   Enforce Recovery of Federal Funds for Statewide Indirect Costs     8.75   Infrastructure Investment and Jobs Act     9.30   Federal Levy of State Funds      9.50   Minor Capital Outlay Projects     11.00   Information Technology Reporting Requirements     11.10   Reporting of Statewide Software License Agreements     11.11   Privacy of Information in Pay Stubs     11.93   Disaster Response-Emergency Operations Account Reconciliation Adjustments     11.95   Federal American Rescue Plan Act of 2021 Home and Community-Based Services Funding     11.96   Coronavirus Fiscal Relief     11.97   State Appropriation Limit Excludable Federal Fund Appropriations for Capital Outlay     12.00   State Appropriations Limit (SAL)     12.30   Special Fund for Economic Uncertainties     12.32   Proposition 98-Funding Guarantee      12.35   Financial Aid Policy Change Requirements     12.45   June to July Payroll Deferral     13.00   Legislative Counsel Bureau     13.40   Budgetary Loan Borrowing from Special Funds     14.00   Special Fund Loans Between Boards of the Department of Consumer Affairs     15.14   Allocation of Greenhouse Gas Reduction Fund     15.25   Data Center Rate Adjustment     15.45   Trial Court Funding Offsets     15.80   Reparations Legislation Funding     20.00   Reappropriations and Reversions     24.00   State School Fund Allocations     24.03   Reading Control     24.30   Transfer School Building Rental Income to the General Fund     24.60   Report of Lottery Funds Received     24.70   Local Educational Agency Fiscal Accountability     25.40   Contracted Fiscal Services Costs     25.50   SCO Apportionment Payment System Assessments     26.00   Intraschedule Transfers      28.00   Program Change Notification     28.50   Agency Reimbursement Payments     29.00   Position Estimates of Governors Budget, May Revision, and Final Change Book     30.00   Continuous Appropriations     31.00   Budget Act Administrative Procedures for Salaries and Wages     32.00   Prohibits Excess Expenditures     33.00   Item Veto Severability     34.00   Constitutional Severability     35.21   Application of Net Final Payment Accrual Methodology     35.35   FI$CalShort-Term Cash Loans     35.50   Estimated General Fund Revenues and Various Estimates Related to the Budget Stabilization Account     38.00   Provides That This Bill Is a Budget Bill     39.00   Identification of Bills Related to the Budget Bill     90.00   Funding for Fire Response and Recovery     90.01   Additional Funding for Fire Response and Recovery     99.00   Alphabetical Organization Index     99.50   Numerical Control Section Index     

 INDEX FOR CONTROL SECTIONS  SEC. 99.50. The following is an index to the general sections of this act. These sections serve to define terms and identify restrictions concerning the appropriations contained in this act.     1.00   Budget Act Citation     1.50   Intent and Format     1.51   Citations to Prior Budget Acts      1.80   Availability of Appropriations     2.00   Items of Appropriation     3.00   Defines Purposes of Appropriations     3.10   Subschedule Transfers for Capital Projects     3.50   Benefit Charges Against Salaries and Wages     3.60   Contribution to Public Employees Retirement Benefits      3.61   Contribution to Prefund Other Postemployment Benefits     4.05   Budget Adjustment Authority     4.11   Position Vacancy Report     4.12   Vacant Position Savings     4.13   AB 85 Repayments to Counties     4.20   Contribution to Public Employees Contingency Reserve Fund     4.30   Lease-Revenue Payment Adjustments     4.72   Electric Vehicle Charging Infrastructure     4.75   Statewide Surcharge     4.80   State Public Works Board Interim Financing     4.90   Architectural Revolving Fund Transfer     4.95   Inmate and Ward Construction Revolving Account Transfer      5.25   Attorneys Fees     5.26   Legal Services Grant Funding     6.00   Project Alterations Limits     8.00   Antiterrorism Federal Reimbursements     8.50   Federal Funds Receipts     8.51   Federal Funds Accounts     8.52   Federal Reimbursements     8.53   Notice of Federal Audits     8.54   Enforce Recovery of Federal Funds for Statewide Indirect Costs     8.75   Infrastructure Investment and Jobs Act     9.30   Federal Levy of State Funds      9.50   Minor Capital Outlay Projects     11.00   Information Technology Reporting Requirements     11.10   Reporting of Statewide Software License Agreements     11.11   Privacy of Information in Pay Stubs     11.93   Disaster Response-Emergency Operations Account Reconciliation Adjustments     11.95   Federal American Rescue Plan Act of 2021 Home and Community-Based Services Funding     11.96   Coronavirus Fiscal Relief     11.97   State Appropriation Limit Excludable Federal Fund Appropriations for Capital Outlay     12.00   State Appropriations Limit (SAL)     12.30   Special Fund for Economic Uncertainties     12.32   Proposition 98-Funding Guarantee      12.35   Financial Aid Policy Change Requirements     12.45   June to July Payroll Deferral     13.00   Legislative Counsel Bureau     13.40   Budgetary Loan Borrowing from Special Funds     14.00   Special Fund Loans Between Boards of the Department of Consumer Affairs     15.14   Allocation of Greenhouse Gas Reduction Fund     15.25   Data Center Rate Adjustment     15.45   Trial Court Funding Offsets     15.80   Reparations Legislation Funding     20.00   Reappropriations and Reversions     24.00   State School Fund Allocations     24.03   Reading Control     24.30   Transfer School Building Rental Income to the General Fund     24.60   Report of Lottery Funds Received     24.70   Local Educational Agency Fiscal Accountability     25.40   Contracted Fiscal Services Costs     25.50   SCO Apportionment Payment System Assessments     26.00   Intraschedule Transfers      28.00   Program Change Notification     28.50   Agency Reimbursement Payments     29.00   Position Estimates of Governors Budget, May Revision, and Final Change Book     30.00   Continuous Appropriations     31.00   Budget Act Administrative Procedures for Salaries and Wages     32.00   Prohibits Excess Expenditures     33.00   Item Veto Severability     34.00   Constitutional Severability     35.21   Application of Net Final Payment Accrual Methodology     35.35   FI$CalShort-Term Cash Loans     35.50   Estimated General Fund Revenues and Various Estimates Related to the Budget Stabilization Account     38.00   Provides That This Bill Is a Budget Bill     39.00   Identification of Bills Related to the Budget Bill     90.00   Funding for Fire Response and Recovery     90.01   Additional Funding for Fire Response and Recovery     99.00   Alphabetical Organization Index     99.50   Numerical Control Section Index    

# INDEX FOR CONTROL SECTIONS

 SEC. 99.50. The following is an index to the general sections of this act. These sections serve to define terms and identify restrictions concerning the appropriations contained in this act. 

### SEC. 99.50.

1.00 Budget Act Citation
1.50 Intent and Format
1.51 Citations to Prior Budget Acts
1.80 Availability of Appropriations
2.00 Items of Appropriation
3.00 Defines Purposes of Appropriations
3.10 Subschedule Transfers for Capital Projects
3.50 Benefit Charges Against Salaries and Wages
3.60 Contribution to Public Employees Retirement Benefits
3.61 Contribution to Prefund Other Postemployment Benefits
4.05 Budget Adjustment Authority
4.11 Position Vacancy Report
4.12 Vacant Position Savings
4.13 AB 85 Repayments to Counties
4.20 Contribution to Public Employees Contingency Reserve Fund
4.30 Lease-Revenue Payment Adjustments
4.72 Electric Vehicle Charging Infrastructure
4.75 Statewide Surcharge
4.80 State Public Works Board Interim Financing
4.90 Architectural Revolving Fund Transfer
4.95 Inmate and Ward Construction Revolving Account Transfer
5.25 Attorneys Fees
5.26 Legal Services Grant Funding
6.00 Project Alterations Limits
8.00 Antiterrorism Federal Reimbursements
8.50 Federal Funds Receipts
8.51 Federal Funds Accounts
8.52 Federal Reimbursements
8.53 Notice of Federal Audits
8.54 Enforce Recovery of Federal Funds for Statewide Indirect Costs
8.75 Infrastructure Investment and Jobs Act
9.30 Federal Levy of State Funds
9.50 Minor Capital Outlay Projects
11.00 Information Technology Reporting Requirements
11.10 Reporting of Statewide Software License Agreements
11.11 Privacy of Information in Pay Stubs
11.93 Disaster Response-Emergency Operations Account Reconciliation Adjustments
11.95 Federal American Rescue Plan Act of 2021 Home and Community-Based Services Funding
11.96 Coronavirus Fiscal Relief
11.97 State Appropriation Limit Excludable Federal Fund Appropriations for Capital Outlay
12.00 State Appropriations Limit (SAL)
12.30 Special Fund for Economic Uncertainties
12.32 Proposition 98-Funding Guarantee
12.35 Financial Aid Policy Change Requirements
12.45 June to July Payroll Deferral
13.00 Legislative Counsel Bureau
13.40 Budgetary Loan Borrowing from Special Funds
14.00 Special Fund Loans Between Boards of the Department of Consumer Affairs
15.14 Allocation of Greenhouse Gas Reduction Fund
15.25 Data Center Rate Adjustment
15.45 Trial Court Funding Offsets
15.80 Reparations Legislation Funding
20.00 Reappropriations and Reversions
24.00 State School Fund Allocations
24.03 Reading Control
24.30 Transfer School Building Rental Income to the General Fund
24.60 Report of Lottery Funds Received
24.70 Local Educational Agency Fiscal Accountability
25.40 Contracted Fiscal Services Costs
25.50 SCO Apportionment Payment System Assessments
26.00 Intraschedule Transfers
28.00 Program Change Notification
28.50 Agency Reimbursement Payments
29.00 Position Estimates of Governors Budget, May Revision, and Final Change Book
30.00 Continuous Appropriations
31.00 Budget Act Administrative Procedures for Salaries and Wages
32.00 Prohibits Excess Expenditures
33.00 Item Veto Severability
34.00 Constitutional Severability
35.21 Application of Net Final Payment Accrual Methodology
35.35 FI$CalShort-Term Cash Loans
35.50 Estimated General Fund Revenues and Various Estimates Related to the Budget Stabilization Account
38.00 Provides That This Bill Is a Budget Bill
39.00 Identification of Bills Related to the Budget Bill
90.00 Funding for Fire Response and Recovery
90.01 Additional Funding for Fire Response and Recovery
99.00 Alphabetical Organization Index
99.50 Numerical Control Section Index

 Budget Act Citation

 Intent and Format

 Citations to Prior Budget Acts 

 Availability of Appropriations

 Items of Appropriation

 Defines Purposes of Appropriations

 Subschedule Transfers for Capital Projects

 Benefit Charges Against Salaries and Wages

 Contribution to Public Employees Retirement Benefits 

 Contribution to Prefund Other Postemployment Benefits

 Budget Adjustment Authority

 Position Vacancy Report

 Vacant Position Savings

 AB 85 Repayments to Counties

 Contribution to Public Employees Contingency Reserve Fund

 Lease-Revenue Payment Adjustments

 Electric Vehicle Charging Infrastructure

 Statewide Surcharge

 State Public Works Board Interim Financing

 Architectural Revolving Fund Transfer

 Inmate and Ward Construction Revolving Account Transfer 

 Attorneys Fees

 Legal Services Grant Funding

 Project Alterations Limits

 Antiterrorism Federal Reimbursements

 Federal Funds Receipts

 Federal Funds Accounts

 Federal Reimbursements

 Notice of Federal Audits

 Enforce Recovery of Federal Funds for Statewide Indirect Costs

 Infrastructure Investment and Jobs Act

 Federal Levy of State Funds 

 Minor Capital Outlay Projects

 Information Technology Reporting Requirements

 Reporting of Statewide Software License Agreements

 Privacy of Information in Pay Stubs

 Disaster Response-Emergency Operations Account Reconciliation Adjustments

 Federal American Rescue Plan Act of 2021 Home and Community-Based Services Funding

 Coronavirus Fiscal Relief

 State Appropriation Limit Excludable Federal Fund Appropriations for Capital Outlay

 State Appropriations Limit (SAL)

 Special Fund for Economic Uncertainties

 Proposition 98-Funding Guarantee 

 Financial Aid Policy Change Requirements

 June to July Payroll Deferral

 Legislative Counsel Bureau

 Budgetary Loan Borrowing from Special Funds

 Special Fund Loans Between Boards of the Department of Consumer Affairs

 Allocation of Greenhouse Gas Reduction Fund

 Data Center Rate Adjustment

 Trial Court Funding Offsets

 Reparations Legislation Funding

 Reappropriations and Reversions

 State School Fund Allocations

 Reading Control

 Transfer School Building Rental Income to the General Fund

 Report of Lottery Funds Received

 Local Educational Agency Fiscal Accountability

 Contracted Fiscal Services Costs

 SCO Apportionment Payment System Assessments

 Intraschedule Transfers 

 Program Change Notification

 Agency Reimbursement Payments

 Position Estimates of Governors Budget, May Revision, and Final Change Book

 Continuous Appropriations

 Budget Act Administrative Procedures for Salaries and Wages

 Prohibits Excess Expenditures

 Item Veto Severability

 Constitutional Severability

 Application of Net Final Payment Accrual Methodology

 FI$CalShort-Term Cash Loans

 Estimated General Fund Revenues and Various Estimates Related to the Budget Stabilization Account

 Provides That This Bill Is a Budget Bill

 Identification of Bills Related to the Budget Bill

 Funding for Fire Response and Recovery

 Additional Funding for Fire Response and Recovery

 Alphabetical Organization Index

 Numerical Control Section Index

   SEC. 6. This act is a Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution and shall take effect immediately.   

  SEC. 6. This act is a Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution and shall take effect immediately.  

 SEC. 6. This act is a Budget Bill within the meaning of subdivision (e) of Section 12 of Article IV of the California Constitution and shall take effect immediately. 

### SEC. 6.