Second Regular Session Seventy-third General Assembly STATE OF COLORADO REVISED This Version Includes All Amendments Adopted on Second Reading in the Second House LLS NO. 22-0459.01 Carolyn Kampman x4959 HOUSE BILL 22-1173 House Committees Senate Committees Appropriations Appropriations A BILL FOR AN ACT C ONCERNING A SUPPLEMENTAL APPR OPRIATION TO THE DEPARTMENT101 OF HEALTH CARE POLICY AND FINANCING .102 Bill Summary (Note: This summary applies to this bill as introduced and does not reflect any amendments that may be subsequently adopted. If this bill passes third reading in the house of introduction, a bill summary that applies to the reengrossed version of this bill will be available at http://leg.colorado.gov .) Supplemental appropriations are made to the department of health care policy and financing. Be it enacted by the General Assembly of the State of Colorado:1 SENATE 2nd Reading Unamended February 16, 2022 HOUSE 3rd Reading Unamended February 10, 2022 HOUSE 2nd Reading Unamended February 9, 2022 HOUSE SPONSORSHIP McCluskie, Herod, Ransom, Bacon, Bernett, Bird, Boesenecker, Cutter, Duran, Esgar, Exum, Hooton, Jodeh, Kipp, Lontine, Michaelson Jenet, Mullica, Ricks, Snyder, Titone, Valdez A., Woodrow, Young SENATE SPONSORSHIP Moreno, Hansen, Rankin Shading denotes HOUSE amendment. Double underlining denotes SENATE amendment. Capital letters or bold & italic numbers indicate new material to be added to existing law. Dashes through the words or numbers indicate deletions from existing law. SECTION 1. Appropriation to the department of health care1 policy and financing for the fiscal year beginning July 1, 2021. In2 Session Laws of Colorado 2021, section 2 of chapter 504, (SB 21-205),3 amend Part V as follows:4 Section 2. Appropriation.5 1173 -2- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ PART V 1 DEPARTMENT OF HEALTH CARE POLICY AND FINANCING 2 3 (1) EXECUTIVE DIRECTOR'S OFFICE 4 (A) General Administration 5 Personal Services 6 S ERVICES 12a 7 44,938,868 8 47,459,421 9 (541.4 FTE) 10 (590.9 FTE) Health, Life, and Dental 11 D ENTAL 12b 12 6,863,806 13 7,208,595 1173 -3- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Short-term Disability 1 D ISABILITY 12c 2 102,458 3 106,047 S.B. 04-257 Amortization 4 Equalization Disbursement 5 D ISBURSEMENT 12d 6 2,360,586 7 2,472,763 S.B. 06-235 Supplemental 8 Amortization Equalization 9 Disbursement 10 D ISBURSEMENT 12e 11 2,360,586 12 2,472,763 Salary Survey 13 1,273,930 PERA Direct Distribution 14 1,077,009 Workers' Compensation 15 160,589 1173 -4- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Operating Expenses 1 E XPENSES 12f 2 2,600,669 3 2,873,637 Legal Services 4 1,172,759 Administrative Law Judge 5 Services 6 807,180 Payment to Risk 7 Management and Property 8 Funds 9 173,686 Leased Space S PACE 12g 10 2,790,748 11 3,017,349 Capitol Complex Leased 12 Space 13 651,086 Payments to OIT 14 8,470,924 15 8,174,764 1173 -5- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ CORE Operations 1 112,780 General Professional 2 Services and Special 3 Projects 13 P ROJECTS 13, 13a 4 20,596,523 5 51,453,397 6 96,514,187 36,013,200 10,655,931 a 2,392,563 b 47,452,493 (I) 7 130,667,755 27,732,713 a 64,529,279(I) 8 1173 -6- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a Of this amount, $17,076,782 SHALL BE FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND CREATED IN S ECTION 25.5-6-1805 (1), C.R.S., $8,586,603 shall be 1 from the Healthcare Affordability and Sustainability Fee Cash Fund created in Section 25.5- 4-402.4 (5)(a), C.R.S., $500,000 sha ll be from the Nursing Home Penalty Cash Fund created 2 in Section 25.5-6-205 (3)(a), C.R.S., $381,983 shall be from the Me dicaid Nursing Facility Cash F und created in Section 25.5-6- 203 (2)(a), C.R.S., $267,397 shall be from the Adult 3 Dental Fund created in Section 25.5-5-207 (4)(a), C.R.S., $257, 628 shall be from the Intellectual and Developmental Disab ilities Services Cash Fund created in Section 25.5-10-207 4 (1), C.R.S., $195,136 shall be from the Primary Care Fund cr eated in Section 24-22-117 (2)(b)(I), C.R.S., $166,355 shall be fro m the Children's Basic Health Plan Trust created in Section 5 25.5-8-105 (1), C.R.S., $76,467 shall be from an intergovernmental transfer from the University of Colorado School of Medicine, $64,784 shall be from the Service Fee Fund created 6 in Section 25.5-6-204 (1)(c)(II), C.R.S., $60,458 shall be from esta te recoveries,$51,310 shall be from the Colorado Autism Tre atment Fund created in Section 25.5-6-805 (1), C.R.S., 7 and $47,810 shall be from the Breast and Cervical Cancer Prevention and Treatment Fund created in Section 25.5-5-308 (8)(a)(I), C.R.S. 8 b Of this amount, $890,057 shall be from statewide indirect cost recoveries, $845,835 shall be transferred from the Colorado Ben efits Management System, Health Care and Economic 9 Security Staff Development Center line item appropriation in this department, $435,291 shall be transferred from the Department of Higher Education from the Fee-for-service Contracts 10 with State Institutions for Speciality Education Programs line item, and $221,380 shall be transferred from the Department of H uman Services from the Health Care and Economic Security 11 Staff Development Center line item appropriation. 12 13 14 15 1173 -7- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (B) Transfers to/from Other Departments 1 Transfer to Department of 2 Education for Public School 3 Health Services 4 193,926 96,962(M) 96,964 Transfer from Department 5 of Human Services for 6 Nurse Home Visitor 7 Program 8 3,010,0001,505,000 a 1,505,000(I) Transfer to Department of 9 Local Affairs for Host 10 Home Regulation 11 133,445 66,722(M) 66,723 Transfer to Department of 12 Local Affairs for Home 13 Modifications Benefit 14 Administration 15 296,989 148,495(M) 148,494 1173 -8- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Transfer to Department of 1 Public Health and 2 Environment for Facility 3 Survey and Certification 4 8,507,461 3,163,819(M) 5,343,642 Transfer to Department of 5 Public Health and 6 Environment for Prenatal 7 Statistical Information 8 5,887 2,944(M) 2,943 Transfer to Department of 9 Regulatory Agencies for 10 Nurse Aide Certification 11 324,041 147,369(M) 14,652 b 162,020 Transfer to Department of 12 Regulatory Agencies for 13 Regulation of Medicaid 14 Transportation 15 103,503 66,00337,500(I) 1173 -9- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Transfer to Department of 1 Regulatory Agencies for 2 Reviews 3 3,750 1,875(M) 1,875 4 12,579,002 5 a This amount shall be transferred from the Department of Huma n Services from the Nurse Home Visitor Program line item appropria tion. 6 b This amount shall be transferred from the Department of Regulatory Agencies from the Payments to Department of Health Care Poli cy and Financing line item appropriation. 7 8 (C) Information Technology Contracts and Projects 9 Medicaid Management 10 Information System 11 Maintenance and Projects 12 P ROJECTS 13b 13 89,189,774 15,254,694 6,694,114 a 12,204 b 67,228,762 (I) 14 99,897,467 12,047,960 a 72,582,609(I) 1173 -10- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Colorado Benefits 1 Management Systems, 2 Operating and Contract 3 Expenses 14, 15 4 47,868,322 10,862,506(M) 5,553,164 c 1,637 b 31,451,015 Colorado Benefits 5 Management Systems, 6 Health Care and Economic 7 Security Staff Development 8 Center 14 9 2,005,074 634,715(M) 354,194 d 73 b 1,016,092 Office of eHealth 10 Innovations Operations 11 6,465,845 3,372,367 3,093,478(I) 12(3.0 FTE) All-Payer Claims Database 13 3,795,498 2,962,231833,267(I) 14 149,324,513 15 160,032,206 1173 -11- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 1 2 a Of this amount, $5,860,968 shall be from the Healthcare Affordab ility and Sustainability Fee Cash Fund created in Section 25.5 -4-402.4 (5)(a), C.R.S., $5,353,846 SHALL BE FROM THE 3 H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND CREATED IN S ECTION 25.5-6-1805 (1), C.R.S., $711,203 shall be from the Children's Basic Health Plan Trust created in 4 Section 25.5-8-105 (1), C.R.S., and $121,943 shall be from the Department of Health Care Policy and Financing Cash Fund created in Section 25.5-1-109, C.R.S. 5 b These amounts shall be transferred from the Old Age Pension State Medical Program line item appropriation in the Other Medical Services division of this department. 6 c Of this amount, $5,096,032 shall be from the Healthcare Affordab ility and Sustainability Fee Cash Fund created in Sec tion 25.5-4-402.4 (5)(a), C.R.S., and $457,132 shall be from 7 the Children's Basic Health Plan Trust created in Section 25.5-8-105 (1), C.R.S. 8 d Of this amount, $333,908 shall be from the Healthcare Affordability and Sustainab ility Fee Cash Fund created in Section 25.5-4-402. 4 (5)(a), C.R.S. and $20,286 shall be from the 9 Children's Basic Health Plan Trust created in Section 25.5-8-105 (1), C.R.S. 10 11 (D) Eligibility Determinations and Client Services 12 Contracts for Special 13 Eligibility Determinations 14 5,890,755 1,129,071(M) 1,269,068 a 3,492,616 County Administration 15 103,297,536 15,285,529(M) 22,530,491 b 65,481,516 1173 -12- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Medical Assistance Sites 1 1,531,968 402,984 c 1,128,984(I) Administrative Case 2 Management 3 869,744 434,872(M) 434,872 Customer Outreach 4 3,461,071 1,393,915(M) 336,621 c 1,730,535 Centralized Eligibility 5 Vendor Contract Project 6 5,053,644 1,745,342 c 3,308,302 (I) 7 6,332,292 2,384,666 c 3,947,626(I) Connect for Health 8 Colorado Eligibility 9 Determinations 10 9,653,251 3,798,350 d 5,854,901 (I) 11 11,919,481 5,345,159 d 6,574,322(I) Eligibility Overflow 12 Processing Center 13 1,853,731 277,689(M) 185,744 c 1,390,298 Returned Mail Processing 14 3,298,808 985,808(M) 244,919 e 111,942 f 1,956,139 1173 -13- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Work Number Verification 1 3,305,114 1,089,815(M) 545,013 c 1,670,286 2 138,215,622 3 141,760,500 4 a Of this amount, $1,264,068 shall be from the Healthcare Affordab ility and Sustainability Fee Cash Fund created in Section 25.5 -4-402.4 (5)(a), C.R.S., and $5,000 shall be from the 5 Colorado Autism Treatment Fund created in Section 25.5-6-805 (1), C.R.S. 6 b Of this amount, $16,671,232(I) shall be from local funds and $5,859,259 shall be from the Healthcare Affordability and Sustain ability Fee Cash Fund created in Section 25.5-4-402.4 7 (5)(a), C.R.S. 8 c These amounts shall be from the Healthcare Affordability and Su stainability Fee Cash Fund creat ed in Section 25.5-4-402.4 (5)( a), C.R.S. 9 d This amount represents public funds certified as expenditures incurred by Connect for Health Colorado that are eligible for fe deral financial participation under the Medicaid program. 10 e Of this amount, $206,183 shall be from the Healthcare Affordability and Sustainability Fee Cash Fund created in Section 25.5-4 -402.4 (5)(a), C.R.S. and $38,736 shall be from the 11 Children's Basic Health Plan Trust created in Section 25.5-8-105 (1), C.R.S. 12 f Of this amount, $111,929 shall be transferred from the Department of Human Services from the Colorado Benefits Management Syst em, Ongoing Expenses line item and $13 shall 13 be transferred from the Old Age Pension State Medical Program line item appropriation in the Other Medical Services division of this department. 14 15 1173 -14- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (E) Utilization and Quality Review Contracts 1 Professional Services 2 Contracts 3 21,975,940 6,038,953(M) 1,503,937 a 14,433,050 4 a Of this amount, $1,376,366 shall be from the Healthcare Affordab ility and Sustainability Fee Cash Fund created in Section 25.5- 4-402.4 (5)(a), C.R.S., $88,750 shall be from the Adult 5 Dental Fund created in Section 25.5-5-207 (4)(a), C.R.S., $36,875 shall be from the Me dicaid Nursing Facility Cash Fund created in Section 25.5-6-203 (2)(a), C.R.S., and $1,946 shall 6 be from the Children's Basic Health Plan Trust created in Section 25.5-8-105 (1), C.R.S. 7 8 (F) Provider Audits and Services 9 Professional Audit Contracts 10 5,122,382 1,858,780 (M) 622,963 a 2,640,639 11 4,972,382 1,809,280(M) 597,463 a 2,565,639 12 a Of this amount, $404,395 $378,895 shall be from the Healthcare Affordability and Sustainab ility Fee Cash Fund created in Section 25.5-4-402.4 (5)(a), C .R.S., $103,160 shall be from 13 the Primary Care Fund created in Section 24-22-117 (2)(b)(I), C. R.S., and $102,988 shall be from the Children's Basic Health Pl an Trust created in Section 25.5-8-105 (1), C.R.S. and 14 $12,420 shall be from the Medicaid Nursing Facility Cash Fund created in Section 25.5-6-203 (2)(a), C.R.S. 15 1173 -15- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 1 (G) Recoveries and Recoupment Contract Costs 2 Estate Recovery 3 700,000 350,000 a 350,000(I) Third-Party Liability Cost 4 Avoidance Contract 5 16,787,286 5,539,804(M) 2,853,839 b 8,393,643 6 17,487,286 7 a This amount shall be from estate recoveries. 8 b This amount shall be from the Healthcare Affordability and Su stainability Fee Cash Fund creat ed in Section 25.5-4-402.4 (5)(a) , C.R.S. 9 10 (H) Indirect Cost Recoveries 11 Indirect Cost Assessment 12 890,057 270,035 a 106,490 b 513,532(I) 13 1173 -16- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a Of this amount, $221,205 shall be from the Healthcare Affordability and Sustainability Fee Cash Fund created in Section 25.5-4- 402.4 (5)(a), C.R.S., $15,184 shall be from the Medical 1 Nursing Facility Cash Fund created in S ection 25.5-6-203 (2)(a), C.R.S., $10,635 shall be from the Adult Dental Fund created in Section 25.5-5-207 (4)(a), C.R.S., $8,998 shall be from 2 the Intellectual and Developmental Disabilities Services Cash F und created in Section 25.5-10- 207 (1), C.R.S., $7,838 shall be from the Primary Care Fund created in Section 24-22-117 3 (2)(b)(I), C.R.S., $2,205 shall be from the Service Fee Fund created in Section 25.5-6-204 (1)(c)(II), C.R.S., $2,042 shall be from the Colorado Autism Treatment Fund created in Section 4 25.5-6-805 (1), C.R.S., and $1,928 shall be from the Breast and Cervical Cancer Prevention and Treatment Fund created in Sectio n 25.5-5-308 (8)(a)(I), C.R.S. 5 b Of this amount, $66,615 shall be from transferred from the Colorado Benefits Management System, Health Care and Economic Secur ity Staff Development Center line item 6 appropriation in this department, $22,605 shall be transferred from the Department of Higher Education from the Fee-for-service Contracts with State Institutions for Speciality 7 Education Programs line item, and $17,270 shall be transferred from the Department of Human Services from the Health Care and E conomic Security Staff Development Center 8 line item appropriation. 9 10 11 442,108,989 12 490,365,128 13 14 15 1173 -17- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (2) MEDICAL SERVICES PREMIUMS 1 Medical and Long-Term 2 Care Services for Medicaid 3 Eligible Individuals 4 I NDIVIDUALS 15a 5 10,003,435,624 1,595,590,299 (M) 865,284,199 a 1,137,856,496 b 93,549,998 c 6,311,154,632 6 9,874,916,611 1,493,249,682(M) 1,176,323,220 b 92,814,399 c 6,247,245,111 7 a This amount shall be from the General Fund Exempt Account created in Section 24-77-103.6 (2), C.R.S. 8 1173 -18- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ b Of this amount, $842,130,412 $860,482,154 shall be from the Healthcare Affordability and Sustai nability Fee Cash Fund created in Section 25.5-4-402.4 (5)(a ), C.R.S.,$72,663,833 1 $76,033,048 shall be from recoveries and recoupments, $62,174,980 $62,393,703 shall be from the Health Care Expansion Fund created in Section 24-22-117 (2)(a)(I), C.R.S., 2 $55,009,785 $52,674,382 shall be from the Medicaid Nu rsing Facility Cash Fund created in Section 25.5-6-203 (2)(a), C.R.S., $27,436,097 SHALL BE FROM THE H OME - AND 3 C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND CREATED IN S ECTION 25.5-6-1805 (1), C.R.S., $29,571,304 $24,352,104 shall be from the Adult Dental Fund created in Section 4 25.5-5-207 (4)(a), C.R.S., $29,346,986 $30,459,249 represents public funds certified as expenditures incurred by public emergency medical transportation providers, $ 26,495,300 5 $21,592,068 represents public funds certified as expenditures incurred by public hospitals and agencies that are eligible for f ederal financial participation under the Medicaid program, 6 $11,488,599 shall be from an intergovernmental transfer from the University of Colorado School of Medicine, $2,545,187 $3,391,977 shall be from the Medicaid Buy-In Cash Fund 7 created in Section 25.5-6-1404 (3)(b), C.R.S., $2,027,445 $1,996,170 shall be from the Tobacco Tax Cash Fund created in section 24-22-117 (1)(a), C.R.S., and meets the requirement 8 to appropriate a portion of the revenues collected from the imposition of additional state cigarette and tobacco taxes to the O ld Age Pension program for health related purposes pursuant 9 to Section 21 of Article X of the State Constitution, $1,541,757 $1,491,308 shall be from the Colorado Autism Treatment Fund created in Section 25.5-6-805 (1), C.R.S., $1,103,297 10 $774,750 shall be from the Breast and Cervical Cancer Prevention and Treatment Fund created in Section 25.5-5-308 (8)(a)(I), C. R.S., $857,151 shall be from the Tobacco Education 11 Programs Fund created in Section 24-22-117 (2)(c)(I), C.R.S.,$700,000 shall be from an intergovernmental transfer from Denver H ealth, and $200,460 shall be from the Service Fee 12 Fund created in Section 25.5-6-204 (1)(c)(II), C.R.S. 13 c Of this amount, $82,509,561 $81,808,761 shall be transferred from the Department of Higher Ed ucation from the Fee-for-service Contracts with State Institu tions for Speciality 14 Education Programs line item, $9,882,263 $9,847,464 shall be transferred from the Old Age Pension State Medical Program line item appropriation in the Other Medical Se rvices division 15 of this department, and $1,158,174 shall be transferred from Public School Health Services line item in the Other Medical Servi ces division of this department. 16 1173 -19- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 1 (3) BEHAVIORAL HEALTH COMMUNITY PROGRAMS 2 Behavioral Health 3 Capitation Payments 4 983,572,421 227,833,272 (M) 69,037,834 a 686,701,315 5 1,082,206,910 241,687,254(M) 77,960,445 a 762,559,211 Behavioral Health 6 Fee-for-service Payments 7 15,151,534 2,923,821 (M) 1,037,775 a 11,189,938 8 16,852,110 3,103,619(M) 839,837 a 12,908,654 9 998,723,955 10 1,099,059,020 11 a Of these amounts, $70,040,257 $78,770,052 shall be from the Healthcare Affordability and Sustai nability Fee Cash Fund created in Section 25.5-4-402.4 (5)(a) , C.R.S. and $35,352 12 $30,230 shall be from the Breast and Cervical Cancer Prevention and Treatment Fund created in Section 25.5-5-308 (8)(a)(I), C.R .S. 13 14 15 1173 -20- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (4) OFFICE OF COMMUNITY LIVING 1 (A) Division of Intellectual and Developmental Disabilities 2 (1) Administrative Costs 3 Personal Services 4 3,469,613 1,603,367(M) 255,113 a 1,611,133 5 (37.5 FTE) Operating Expenses 6 281,510 112,261(M) 52,375 a 116,874 Community and Contract 7 Management System 8 137,480 89,362(M) 48,118 Support Level 9 Administration 10 59,984 29,658(M) 255 b 30,071 11 3,948,587 12 a These amounts shall be from the Intellectual and Developmenta l Disabilities Services Cash Fund created in Section 25.5-10-207 (1), C.R.S. 13 b This amount shall be from the Healthcare Affordability and Su stainability Fee Cash Fund creat ed in Section 25.5-4-402.4 (5)(a) , C.R.S. 14 15 1173 -21- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (2) Medicaid Programs 16 1 Adult Comprehensive 2 Services S ERVICES 16a 3 587,780,599 4 624,532,652 Adult Supported Living 5 Services S ERVICES 16b 6 76,430,552 7 83,936,285 Children’s Extensive 8 Support Services 9 S ERVICES 16c 10 36,844,096 11 41,540,014 Children's Habilitation 12 Residential Program 13 P ROGRAM 16d 14 9,328,155 15 11,737,177 1173 -22- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Case Management for 1 People with Disabilities 2 D ISABILITIES 16e 3 98,633,608 4 91,780,356 5 809,017,010 318,982,389 a 7,080,904 b 482,953,717 6 853,526,484 296,941,695 a 48,367,922 b 508,216,867 7 a Of this amount, the (M) notation applies to $315,933,602. $294,430,036. 8 b Of this amount, $23,522,777 SHALL BE FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND CREATED IN S ECTION 25.5-6-1805 (1), C.R.S. $6,280,903 $5,716,149 9 shall be from the Healthcare Affordability and Sustainability F ee Cash Fund created in Sectio n 25.5-4-402.4 (5)(a), C.R.S., $80 0,000 $19,128,995 shall be from the Intellectual and 10 Developmental Disabilities Services Cash Fund created in Sectio n 25.5-10-207 (1), C.R.S., and $1 shall be from the Health Care Expansion Fund created in Section 24-22-117 (2)(a)(I), 11 C.R.S. 12 13 (3) State-only Programs 17 14 Family Support Services 15 7,679,672 1173 -23- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ State Supported Living 1 Services 2 10,174,870 State Supported Living 3 Services Case Management 4 2,475,277 Preventive Dental Hygiene 5 66,460 Supported Employment 6 Provider and Certification 7 Reimbursement 8 303,158 Supported Employment 9 Pilot Program 10 575,000 11 21,274,437 19,407,847 1,866,590 a 1219,332,833 1,941,604 a 13 a This amount shall be from the Intellectual and Developmenta l Disabilities Services Cash Fund created in Section 25.5-10-207 (1 ), C.R.S. 14 15 1173 -24- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 1 2 834,240,034 3 878,749,508 4 (5) INDIGENT CARE PROGRAM 5 Safety Net Provider 6 Payments 7 257,909,481 119,466,874 a 138,442,607 (I) 8 227,071,084 79,321,378 a 147,749,706(I) Pediatric Specialty Hospital 9 10,764,010 5,048,321 (M) 5,715,689 104,714,637(M) 6,049,373 Appropriation from 11 Tobacco Tax Cash Fund to 12 the General Fund 13 420,001 420,001 b Primary Care Fund Program 14 25,373,115 25,373,115 c 1173 -25- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Children's Basic Health Plan 1 Administration 2 5,033,274 1,652,424 (H) d 3,380,850 3 5,147,447 1,688,662(H) d 3,458,785 Children's Basic Health Plan 4 Medical and Dental Costs 5 170,754,875 20,639,364 420,001 e 35,628,900 (H) f 114,066,610 6 161,976,673 15,288,255 37,883,046(H) f 108,385,371 7 470,254,756 8 430,752,330 9 a This amount shall be from the Healthcare Affordability and Su stainability Fee Cash Fund creat ed in Section 25.5-4-402.4 (5)(a) , C.R.S. 10 b This amount shall be from the Tobacco Tax Cash Fund created in Section 24-22-117 (l)(a), C.R.S. This appropriation partially m eets the requirement to appropriate a portion of the 11 revenues collected from imposition of additional state cigarette and tobacco taxes to the General Fund pursuant to Section 21 o f Article X of the State Constitution. 12 c This amount shall be from the Primary Care Fund created in Section 24-22-117 (2)(b)(I), C.R.S. 13 d Of this amount, $1,645,814 $1,682,052 shall be from the Children's Basic Health Plan Trust created in Section 25.5-8- 105 (1), C.R.S., and $6,610 shall be from the Healthcare 14 Affordability and Sustainability Fee Cash Fund created in Section 25.5-4-402.4 (5)(a), C.R.S. 15 1173 -26- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ e This amount shall be from General Fund Exempt pursuant to Section 24-22-117 (1)(c)(I)(B), C.R.S., and is not subject to the st atutory limitation on General Fund appropriations imposed 1 by Section 24-75-201.1, C.R.S. 2 f Of this amount, $23,844,726 $25,606,238 shall be from the Healthcare Affordability and Sustai nability Fee Cash Fund created in Section 25.5-4-402.4 (5)(a) , C.R.S., $11,316,598 3 $11,810,207 shall be from the Children's Basic Health Plan Trust created in Section 25.5-8-105 (1), C.R.S., $367,575 $366,600 shall be from the Colorado Immunization Fund created 4 in Section 25-4-2301, C.R.S., $100,000 shall be from recoveries and recoupments, $1 shall be from the Health Care Expansion Fun d created in Section 24-22-117 (2)(a)(I), C.R.S. 5 6 (6) OTHER MEDICAL SERVICES 7 Old Age Pension State 8 Medical Program 9 10,000,000 10,000,000 a Senior Dental Program 10 3,990,358 3,962,510 27,848 b Commission on Family 11 Medicine Residency 12 Training Programs 13 9,400,725 4,197,890 (M) 211,050 c 4,991,785 143,920,418(M) 197,100 c 5,283,207 1173 -27- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Medicare Modernization 1 Act State Contribution 2 Payment 3 193,398,121 193,398,121 4 197,201,203 197,201,203 Public School Health 5 Services Contract 6 Administration 7 2,000,000 1,000,000(M) 1,000,000 Public School Health 8 Services 9 167,386,604 79,454,838 d 87,931,766 (I) 1074,208,965 d 93,177,639(I) Screening, Brief 11 Intervention, and Referral to 12 Treatment Training Grant 13 Program 18 14 750,000 750,000 e 1173 -28- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ A MERICAN R ESCUE P LAN 1 A CT H OME - AND 2 C OMMUNITY - BASED 3 S ERVICES S TATE - ONLY 4 P ROGRAMS 18a 5 13,260,976 13,260,976 f 6 (4.0 FTE) 7 386,925,808 8 403,989,866 9 a This amount shall be from the Old Age Pension Health and Medical Care Fund created in Section 25.5-2-101 (2), C.R.S. 10 b This amount shall be from the Department of Health Care Policy and Financing Cash Fund created in Section 25.5-1-109, C.R.S. 11 c This amount shall be transferred from the Department of Highe r Education from the Fee-for-service Contracts with State Institu tions for Speciality Education Programs line item. 12 d This amount represents funds certified as public expenditures incurred by school districts or boards of cooperative educationa l services that are eligible for federal financial 13 participation under Medicaid. 14 e This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. 15 1173 -29- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ f T HIS AMOUNT SHALL BE FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND CREATED IN S ECTION 25.5-6-1805 (1), C.R.S. 1 2 (7) DEPARTMENT OF HUMAN SERVICES MEDICAID-FUNDED PROGRAMS 3 (A) Executive Director's 4 Office - Medicaid 5 Funding 19 6 14,794,888 7,397,445(M) 7,397,443 7 (B) Office of Information 8 Technology Services - 9 Medicaid Funding 10 Regional Centers Electronic 11 Health Record System 12 680,382 340,191(M) 340,191 13 (C) Division of Child Welfare - Medicaid Funding 14 Administration 15 65,019 32,509(M) 32,510 1173 -30- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Child Welfare Services 1 13,421,808 6,294,828 (M) 7,126,980 25,878,752(M) 7,543,056 3 13,486,827 4 (D) Office of Early Childhood - Medicaid Funding 5 Division of Community and 6 Family Support, Early 7 Intervention Services 8 7,968,022 3,737,003 (M) 4,231,019 93,489,993(M) 4,478,029 10 (E) Office of Self Sufficiency - Medicaid Funding 11 Systematic Alien 12 Verification for Eligibility 13 28,307 14,153(M) 14,154 14 15 1173 -31- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (F) Office of Behavioral Health - Medicaid Funding 1 Community Behavioral 2 Health Administration 3 514,476 257,238(M) 257,238 Children and Youth Mental 4 Health Treatment Act 5 128,478 60,256 (M) 68,222 656,274(M) 72,204 High Risk Pregnant Women 7 Program 8 1,865,775 875,048 (M) 990,727 9817,210(M) 1,048,565 Mental Health Institutes 10 8,219,072 3,854,745 (M) 4,364,327 113,599,955(M) 4,619,117 12 10,727,801 13 14 15 1173 -32- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (G) Services for People with Disabilities - Medicaid Funding 1 Regional Centers 2 54,771,068 23,798,727 (M) 1,888,903 a 29,083,438 322,100,825(M) 30,781,340 Regional Center 4 Depreciation and Annual 5 Adjustments 6 691,725 324,420 (M) 367,305 7302,976(M) 388,749 8 55,462,793 9 a This amount shall be from the Service Fee Fund created in Section 25.5-6-204 (1)(c)(II), C.R.S. 10 11 (H) Adult Assistance 12 Programs, Community 13 Services for the Elderly - 14 Medicaid Funding 15 1,001,800 500,900(M) 500,900 1173 -33- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 1 (I) Division of Youth 2 Services - Medicaid 3 Funding 4 1,161,560 557,302 (M) 604,258 5 770,196 337,346(M) 432,850 6 (J) Other 7 Federal Medicaid Indirect 8 Cost Reimbursement for 9 Department of Human 10 Services Programs 11 500,000500,000(I) a Department of Human 12 Services Indirect Cost 13 Assessment 14 17,863,051 8,931,526(M) 8,931,525 15 18,363,051 1173 -34- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 1 a This amount reflects estimated Medicaid federal indirect cost re imbursements for Department of Human Services programs, and is shown for informational purposes only. 2 3 4 123,675,431 5 123,284,067 6 7 TOTALS PART V 8 (HEALTH CARE 9 POLICY AND 10 FINANCING) 20 11 $13,259,364,597 $2,558,622,911 $865,704,200 a $1,551,766,954 b $97,905,609 $8,185,364,923 c 12 $13,301,116,530 $2,443,072,685 $1,635,071,635 b $97,156,060 $8,260,111,950 c 13 a Of this amount, $865,284,199 shall be from the General Fund Exempt Account created in Section 24-77-103.6 (2), C.R.S., and $42 0,001 shall be General Fund Exempt pursuant to 14 Section 24-22-117 (1)(c)(I)(B), C.R.S. Said $420,001 is not subject to the statutory limitation on General Fund appropriations imposed by Section 24-75-201.1, C.R.S. 15 1173 -35- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ b Of this amount, $16,671,232 contains an (I) notation. 1 c Of this amount, $358,180,592 $396,522,942 contains an (I) notation. 2 3 FOOTNOTES -- The following statements are referenced to the numbered footnotes throughout section 2. 4 5 12a D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , G ENERAL A DMINISTRATION , P ERSONAL S ERVICES -- O F THIS 6 APPROPRIATION , THE $1,260,277 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAINS AVAILABLE 7 FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 8 9 12b D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , G ENERAL A DMINISTRATION , H EALTH , L IFE , AND D ENTAL -- O F THIS 10 APPROPRIATION , THE $172,394 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAINS AVAILABLE 11 FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 12 13 12c D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , G ENERAL A DMINISTRATION , S HORT - TERM D ISABILITY -- O F THIS 14 APPROPRIATION , THE $1,794 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAINS AVAILABLE FOR 15 EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 16 1173 -36- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 12d D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , G ENERAL A DMINISTRATION , S.B. 04-257 A MORTIZATION 1 E QUALIZATION D ISBURSEMENT -- O F THIS APPROPRIATION , THE $56,088 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED S ERVICES 2 I MPROVEMENT F UND REMAINS AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 3 4 12e D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , G ENERAL A DMINISTRATION , S.B. 06-235 S UPPLEMENTAL 5 A MORTIZATION E QUALIZATION D ISBURSEMENT -- O F THIS APPROPRIATION , THE $56,088 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED 6 S ERVICES I MPROVEMENT F UND REMAINS AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 7 8 12f D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , G ENERAL A DMINISTRATION , O PERATING E XPENSES -- O F THIS 9 APPROPRIATION , THE $136,484 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAINS AVAILABLE 10 FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 11 12 12g D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , G ENERAL A DMINISTRATION , L EASED S PACE -- O F THIS 13 APPROPRIATION , THE $113,300 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAINS AVAILABLE 14 FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 15 16 1173 -37- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 13 Department of Health Care Policy and Financing, Executive Director's Office, General Administration, General Professional Ser vices and Special Projects 1 -- This line item includes $62,000 total funds, including $31,000 General Fund, the purpose of which is the autism waiver progr am evaluation required by 2 Section 25.5-6-806 (2)(c)(I), C.R.S. It is the General Assembly's intent that the Department also use the $62,000 total funds t o evaluate the new behavioral 3 therapy benefit through the Early and Periodic Screening, Diagnostic, and Treatment (EPSDT) program. 4 5 13a D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , G ENERAL A DMINISTRATION , G ENERAL P ROFESSIONAL S ERVICES AND 6 S PECIAL P ROJECTS -- O F THIS APPROPRIATION , THE $15,280,357 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT 7 F UND REMAINS AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 8 9 13b D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , E XECUTIVE D IRECTOR 'S O FFICE , I NFORMATION T ECHNOLOGY C ONTRACTS AND P ROJECTS , M EDICAID 10 M ANAGEMENT I NFORMATION S YSTEM M AINTENANCE AND P ROJECTS -- O F THIS APPROPRIATION , THE $5,353,846 CASH FUNDS APPROPRIATED FROM THE H OME - 11 AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAINS AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 12 13 14 Department of Health Care Policy and Financing, Executive Dir ector's Office, Information Technology Contracts and Projects, C olorado Benefits Management 14 Systems, Operating and Contract Expenses and Colorado Benefits Management Systems, Health Care and Economic Security Staff Deve lopment Center -- 15 In addition to the transfer authority provid ed in Section 24-75-108, C.R.S., the Department is authorized to transfer up to 5.0 percent of the total appropriations 16 1173 -38- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ within the line items designated with this footnote. The Department is also authorized to transfer up to 5.0 percent of the tot al appropriations within the line 1 items designated with this footnote to line item appropriations within the Department of Human Services, Office of Information Technology Services, Colorado 2 Benefits Management System subsection. 3 4 15 Department of Health Care Policy and Financing, Executive Dir ector's Office, Information Technology Contracts and Projects, C olorado Benefits Management 5 Systems, Colorado Benefits Management Systems, Health Care and Economic Security Staff Development Center -- Of this appropriat ion, $2,500,000 remains 6 available for expenditure until the close of the 2022-23 state fiscal year. 7 8 15a D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , M EDICAL S ERVICES P REMIUMS , M EDICAL AND L ONG -T ERM C ARE S ERVICES FOR M EDICAID E LIGIBLE 9 I NDIVIDUALS -- O F THIS APPROPRIATION , THE $27,436,097 CASH FUNDS APPROPRIATED FROM THE H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT 10 F UND REMAINS AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 11 12 16 Department of Health Care Policy and Financing, Office of Community Living, Division of Intellectual and Developmental Disabi lities, Medicaid Programs 13 - It is the General Assembly's intent that expenditures for these services be recorded only against the Long Bill group total f or Medicaid Programs. 14 15 16 1173 -39- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 16a D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , O FFICE OF C OMMUNITY L IVING , D IVISION OF I NTELLECTUAL AND D EVELOPMENTAL D ISABILITIES , 1 M EDICAID P ROGRAMS , A DULT C OMPREHENSIVE W AIVER S ERVICES -- O F THIS APPROPRIATION , THE $17,098,856 CASH FUNDS APPROPRIATED FROM THE H OME - 2 AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAIN AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 3 4 16b D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , O FFICE OF C OMMUNITY L IVING , D IVISION OF I NTELLECTUAL AND D EVELOPMENTAL D ISABILITIES , 5 M EDICAID P ROGRAMS , A DULT S UPPORTED L IVING W AIVER S ERVICES -- O F THIS APPROPRIATION , THE $3,381,600 CASH FUNDS APPROPRIATED FROM THE H OME - 6 AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAIN AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 7 8 16c D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , O FFICE OF C OMMUNITY L IVING , D IVISION OF I NTELLECTUAL AND D EVELOPMENTAL D ISABILITIES , 9 M EDICAID P ROGRAMS , C HILDREN 'S E XTENSIVE S UPPORT S ERVICES -- O F THIS APPROPRIATION , THE $2,192,450 CASH FUNDS APPROPRIATED FROM THE H OME - 10 AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAIN AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 11 12 16d D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , O FFICE OF C OMMUNITY L IVING , D IVISION OF I NTELLECTUAL AND D EVELOPMENTAL D ISABILITIES , 13 M EDICAID P ROGRAMS , C HILDREN 'S H ABILITATION R ESIDENTIAL P ROGRAM -- O F THIS APPROPRIATION , THE $1,664 CASH FUNDS APPROPRIATED FROM THE H OME - 14 AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAIN AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 15 16 1173 -40- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 16e D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , O FFICE OF C OMMUNITY L IVING , D IVISION OF I NTELLECTUAL AND D EVELOPMENTAL D ISABILITIES , 1 M EDICAID P ROGRAMS , C ASE MANAGEMENT FOR P EOPLE WITH D ISABILITIES -- O F THIS APPROPRIATION , THE $848,207 CASH FUNDS APPROPRIATED FROM THE 2 H OME - AND C OMMUNITY - BASED S ERVICES I MPROVEMENT F UND REMAIN AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 3 4 17 Department of Health Care Policy and Financing, Office of Community Living, Division of Intellectual and Developmental Disabi lities, State-only Programs 5 - It is the General Assembly's intent that expenditures for these services be recorded only against the Long Bill group total f or State-only Programs. 6 7 18 Department of Health Care Policy and Financing, Other Medical Services, Screening, Brief Intervention, and Referral to Treatm ent Training Grant Program 8 -- It is the General Assembly's intent that this appropriation be used to sustain the grant program for screening, brief interv ention, and referral to treatment 9 for individuals at risk of substance abuse that is authorized in Section 25.5-5-208, C.R.S., in accordance with the requirement s set forth in that section. 10 11 18a D EPARTMENT OF H EALTH C ARE P OLICY AND F INANCING , O THER M EDICAL S ERVICES , A MERICAN R ESCUE P LAN A CT H OME - AND C OMMUNITY - BASED S ERVICES 12 S TATE - ONLY P ROGRAMS -- T HIS APPROPRIATION REMAINS AVAILABLE FOR EXPENDITURE UNTIL THE CLOSE OF THE 2023-24 STATE FISCAL YEAR . 13 14 15 16 1173 -41- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 19 Department of Health Care Policy and Financing, Department of Human Services Medicaid-Funded Programs, Executive Director's O ffice - Medicaid Funding 1 -- The appropriation in this Health Care Policy and Financing line item corresponds to the Medicaid funding in the Department o f Human Services, Executive 2 Director's Office, General Administration. As such, the appropr iation contains amounts that co rrespond to centralized appropria tion amounts in the Department 3 of Human Services. Consistent with the headnotes to the Long Bill, the Department of Human Services is authorized to transfer t he centralized appropriations 4 to other line item appropriations in the Department of Human Services. In order to aid budget reconciliation between the Depart ment of Health Care Policy 5 and Financing and the Department of Human Services, the Department of Health Care Policy and Financing is hereby authorized to make line item transfers 6 out of this appropriation to other Department of Human Services Medicaid-funded programs appropriations in this section (7) in amounts equal to the 7 centralized appropriation transfers made by the Department of Human Services for Medicaid-funded programs in the Department of Human Services. 8 9 20 Department of Health Care Policy and Financing, Grand Totals; Department of Higher Education, College Opportunity Fund Progra m, Fee-for-service 10 Contracts with State Institutions, Fee-for-service Contracts with State Institutions for Specialty Education Programs; and Gove rning Boards, Regents of the 11 University of Colorado -- The Department of Higher Education shall transfer $800,000 to the Department of Health Care Policy an d Financing for 12 administrative costs and family medicine residency placements asso ciated with care provided by the faculty of the health scienc es center campus at the 13 University of Colorado that are eligible for payment pursuant to Section 25.5-4-401, C.R.S. If the federal Centers for Medicare and Medicaid services continues 14 to allow the Department of Health Care Policy and Financing to make supplemental payments to the University of Colorado School of Medicine, the 15 Department of Higher Education shall transfer the amount approved, up to $81,709,561, to the Department of Health Care Policy a nd Financing pursuant to 16 1173 -42- APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Section 23-18-304(1)(c), C.R.S. If permission is discontinued, or is granted for a lesser amount, the Department of Higher Educ ation shall transfer any portion 1 of the $81,709,561 that is not transferred to the Department of Health Care Policy and Financing to the Regents of the Universi ty of Colorado. In addition, 2 it is assumed that the University of Colorado School of Medicine will use clinical revenues to make an intergovernmental transf er in the amount approved, 3 up to $11,668,599 to the Department of Health Care Policy and Financing, including up to $180,000 for actual administrative cos ts. 4 1173 -43- SECTION 2. Appropriation to the department of health care1 policy and financing for the fiscal year beginning July 1, 2020.2 (1) For the 2020-21 state fiscal year, $887,397 is appropriated to the3 department of health care policy and financing and is for the payment of4 overexpenditures of line item appropriations contained in Part V of5 section 2 of chapter 326 (HB 20-1360), Session Laws of Colorado 2020,6 as follows:7 (a) $150,021 from the healthcare affordability and sustainability8 fee cash fund created in Section 25.5-4-402.4 (5)(a), C.R.S., for9 behavioral health capitation payments;10 (b) $206,066 from the general fund for behavioral health11 fee-for-service payments;12 (c) $50,955 from the healthcare affordability and sustainability fee13 cash fund created in Section 25.5-4-402.4 (5)(a), C.R.S., for behavioral14 health fee-for-service payments; and15 (d) $480,355 from the healthcare affordability and sustainability16 fee cash fund created in Section 25.5-4-402.4 (5)(a), C.R.S., for children's17 basic health plan medical and dental costs.18 (2) In accordance with section 24-75-109 (4)(a), C.R.S., all19 restrictions on funds for the department of health care policy and20 financing for the 2021-22 state fiscal year for the amounts and items of21 appropriation listed in this section are released.22 SECTION 3. Safety clause. The general assembly hereby finds,23 determines, and declares that this act is necessary for the immediate24 preservation of the public peace, health, and safety.25 1173-44-