HOUSE BILL 22-1175 BY REPRESENTATIVE(S) McCluskie, Herod, Ransom, Bacon, Bernett, Bird, Boesenecker, Cutter, Esgar, Exum, Gray, Hooton, Kipp, Lindsay, McLachlan, Michaelson Jenet, Snyder, Valdez A., Young; also SENATOR(S) Moreno, Hansen, Rankin, Gonzales. C ONCERNING A SUPPLEMENTAL APPROPRIATION TO THE DEPARTMENT OF HUMAN SERVICES . Be it enacted by the General Assembly of the State of Colorado: SECTION 1. Appropriation to the department of human services for the fiscal year beginning July 1, 2021. In Session Laws of Colorado 2021, section 2 of chapter 504, (SB 21-205), amend Part VII as follows: Section 2. Appropriation. NOTE: This bill has been prepared for the signatures of the appropriate legislative officers and the Governor. To determine whether the Governor has signed the bill or taken other action on it, please consult the legislative status sheet, the legislative history, or the Session Laws. ________ Capital letters or bold & italic numbers indicate new material added to existing law; dashes through words or numbers indicate deletions from existing law and such material is not part of the act. APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ PART VII DEPARTMENT OF HUMAN SERVICES (1) EXECUTIVE DIRECTOR'S OFFICE (A) General Administration Personal Services 2,138,713 1,148,292 990,421 a (14.3 FTE) Health, Life, and Dental 55,229,907 34,812,167 2,417,019 b 9,217,351 c 8,783,370 d Short-term Disability 489,614323,737 17,818 b 69,799 c 78,260 d S.B. 04-257 Amortization Equalization Disbursement 15,809,143 10,442,308 566,270 b 2,290,594 c 2,509,971 d S.B. 06-235 Supplemental Amortization Equalization Disbursement 15,809,143 10,442,308 566,270 b 2,290,594 c 2,509,971 d Salary Survey 10,160,374 6,719,407 369,133 b 1,458,114 c 1,613,720 d PERA Direct Distribution 8,630,333 5,824,670 2,805,663 a Shift Differential 8,698,621 5,489,915 116,348 b 2,062,273 c 1,030,085 d Workers' Compensation 8,081,048 4,544,549 3,536,499 a Operating Expenses 498,811 213,707 284,154 a 950 d Legal Services 4,102,399 2,428,914 95,377 b 1,578,108 a Administrative Law Judge Services 856,423 303,457 552,966 a Payment to Risk Management and Property Funds 3,062,183 2,153,472 908,711 a Injury Prevention Program 106,755 67,090 39,665 a 133,673,467 a These amounts shall be from departmental indirect cost recoveri es or the Indirect Costs Excess Recovery Fund created in Sectio n 24-75-1401 (2), C.R.S. PAGE 2-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ b Of these amounts, $914,028 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., an estimated $ 95,377 shall be from the COVID Heroes Collaboration Fund created in Section 24-50-104 (1)(k), C.R.S., and $3,138,830 shall be from various sources of cash funds. c Of these amounts, $14,794,888 shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing and $2,593,837 shall be from various sources of reappropriated funds. d Of these amounts, $707,332 shall be from the Temporary Assistance for Needy Families Block Grant, $411,825 shall be from Child Care Development Funds, an estimated $240,604(I) shall be from the Substance Abuse Prevention and Treatment Block Grant, and $15,166,566(I) shall be from various sources of fed eral funds. (B) Special Purpose Employment and Regulatory Affairs 33 A FFAIRS 6,094,360 2,179,950 3,914,410 a (68.5 FTE) SNAP Quality Assurance 1,269,045 634,306 634,739(I) b (15.3 FTE) Administrative Review Unit 3,284,059 2,472,410 811,649(I) c (33.2 FTE) Records and Reports of Child Abuse or Neglect 1,079,887 1,079,887 d (9.0 FTE) Records and Reports of At-Risk Adult Abuse or Neglect 439,434 439,434 d (7.5 FTE) Juvenile Parole Board 383,261 271,507 111,754 e (3.2 FTE) Developmental Disabilities Council 997,778997,778(I) f (6.0 FTE) PAGE 3-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Colorado Commission for the Deaf, Hard of Hearing, and DeafBlind 2,349,571 103,214 2,246,357 g (13.3 FTE) Office of the Ombudsman for Behavioral Health Access to Care 131,287 131,287 (1.5 FTE) Health Insurance Portability and Accountability Act of 1996 - Security Remediation 222,070 110,903 111,019 a 148(I) c (1.0 FTE) CBMS Emergency Processing Unit 214,909 81,869 133,040(I) c (4.0 FTE) 16,465,661 a These amounts shall be from departmental indirect cost recoveri es or the Indirect Costs Excess Recovery Fund created in Sectio n 24-75-1401 (2), C.R.S. b This amount shall be from various sources of federal funds. c These amounts shall be from Title IV-E of the Social Security Act. These amounts are reflected pursuant to Section 26-1-111 ( 2)(d)(II)(B), C.R.S., and shall be used in determining the amount to be deposited to the Excess Federal Title IV-E Re imbursements Cash Fund pursuant to Section 26-1-111 (2)(d)(II)(C) , C.R.S. d These amounts shall be from the Records and Reports Fund created in Section 19-1-307 (2.5), C.R.S. e This amount shall be from the Victims Assistance and Law Enforcement Fund created in Section 24-33.5-506 (1), C.R.S., transfer red from the Department of Public Safety, Division of Criminal Justice. f This amount shall be from Title I of the Developmental Disabilities Assistance and Bill of Rights Act of 2000. g This amount shall be from the Colorado Commission for the Deaf and Hard of Hearing Cash Fund created in Section 26-21-107 (1), C.R.S., and from the Commission for the Deaf and Hard of Hearing Cash Fund line item in the Department of Regulatory Agencies, Public Utilities Commission. (C) Indirect Cost Assessment876,578 716,154(I) a 138,803 b 21,621(I) c PAGE 4-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a This amount shall be from various sources of cash funds. b This amount shall be from the Colorado Commission for the Deaf and Hard of Hearing Cash Fund created in Section 26-21-107 (1), C.R.S., and from the Commission for the Deaf and Hard of Hearing Cash Fund line item in the Department of Regulatory Agencies, Public Utilities Commission. c This amount shall be from various sources of federal funds. 151,015,706 (2) OFFICE OF INFORMATION TECHNOLOGY SERVICES (A) Information Technology Operating Expenses 305,130 125,706 179,424 a Microcomputer Lease Payments 539,344 214,233 325,111 a County Financial Management System 1,494,325 419,762 1,074,563 a Client Index Project 17,698 6,610 11,088 a Colorado Trails 7,589,619 4,326,985 3,262,634 b National Aging Program Information System 55,821 13,95541,866(I) c Child Care Automated Tracking System 2,709,9332,709,933 d Health Information Management System 146,611 125,000 21,611 e Adult Protective Services Data System 260,629 238,229 22,400 f Payments to OIT 38,964,830 15,091,952 23,872,878 a CORE Operations 1,128,619 620,262 508,357 a DYC Education Support 394,042 394,042 IT Systems Interoperability 5,492,211 1,698,352 3,793,859 a PAGE 5-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Enterprise Content Management 742,367 456,764 285,603 a Electronic Health Record and Pharmacy System 2,528,802 2,528,802 Regional Centers Electronic Health Record System 698,688698,688 g Behavioral Health Capacity Tracking System 42,611 42,611 h 63,111,280 a These amounts shall be from departmental indirect cost recoveri es or the Indirect Costs Excess Recovery Fund created in Sectio n 24-75-1401 (2), C.R.S. b Of this amount, an estimated $2,086,199(I) shall be from Title IV-E of the Social Security Act, an estimated $972,485 shall be from the Temporary Assistance for Needy Families Block Grant, $171,704 shall be from Title XX of the Social Security Ac t, and an estimated $32,246 shall be from Child Care Developmen t Funds. c This amount shall be from Title III Older Americans Act funds. d This amount shall be from Child Care Development Funds. e Of this amount, an estimated $12,021 shall be transferred from the Department's Regional Centers and an estimated $9,590 shall be transferred from the Division of Youth Services. f This amount shall be from the Records and Reports Fund created in Section 19-1-307 (2.5), C.R.S. g Of this amount, $680,382 shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing and $18,306 shall be transferred from the Department's Regional Centers. h This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. (B) Colorado Benefits Management System 34 (1) Ongoing Expenses Personal Services 1,009,671 455,572 70,162(I) a 483,937 b Centrally Appropriated Items 117,046 52,812 8,134(I) a 56,100 b Operating and Contract Expenses 35, 36 20,655,511 9,780,505 615,091(I) a 10,259,915 b 21,782,228 PAGE 6-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a These amounts shall be from the Old Age Pension Fund created in Section 1 of Article XXIV of the State Constitution. b Of these amounts, an estimated $8,015,120(I) shall be from the U. S. Department of Agriculture for the Supplemental Nutrition As sistance Program, an estimated $2,676,444 shall be from the Temporary Assistance for Needy Families Block Grant, an estimated $26,488 shall be from Child Care Development Funds, and an estimated $81,900(I) shall be from various sources of federal funds. (2) Special Projects Health Care and Economic Security Staff Development Center 586,591 264,675 40,762(I) a 281,154 b (11.0 FTE) a This amount shall be from the Old Age Pension Fund created in Section 1 of Article XXIV of the State Constitution. b Of this amount, an estimated $249,560(I) shall be from the U.S. Department of Agriculture for the Supplemental Nutrition Assis tance Program and an estimated $31,594 shall be from the Temporary Assistance for Needy Families Block Grant. 85,480,099 (3) OFFICE OF OPERATIONS (A) Administration Personal Services 30,415,505 19,630,715 3,291 a 10,781,499 b (409.3 FTE) Operating Expenses 4,417,294 3,012,867 1,404,427 b Vehicle Lease Payments 1,152,215 581,830 570,385 b Leased Space 1,688,328 445,093 1,243,235 b Capitol Complex Leased Space 1,750,416 632,375 1,118,041 b Annual Depreciation-Lease Equivalent Payment 1,561,967 1,561,967 Utilities 10,047,146 6,805,165 3,241,981 b 51,032,871 PAGE 7-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. b Of these amounts, an estimated $17,520,667 shall be from departmental indirect cost recoveries or the Indirect Costs Excess Re covery Fund created in Section 24-75-1401 (2), C.R.S., and an estimated $838,901 shall be from statewide indirect cost recoveries or the Indirect Costs Excess Recovery Fund created i n Section 24-75-1401 (2), C.R.S. (B) Special Purpose Buildings and Grounds Rental 1,193,530 1,193,530 a (6.5 FTE) State Garage Fund 763,233763,233 b (2.6 FTE) 1,956,763 a This amount shall be from the Department of Human Services Buildings and Grounds Cash Fund created in Section 26-1-133.5 (2), C.R.S. b This amount shall be from moneys in the State Garage Fund co llected from various Department of Human Services divisions and ot her state agencies pursuant to Section 24-30-1104 (2)(b), C.R.S. (C) Indirect Cost Assessment276,004 246,263(I) a 29,741(I) b a This amount shall be from various sources of cash funds. b This amount shall be from various sources of reappropriated funds. 53,265,638 (4) COUNTY ADMINISTRATION County Administration 37 77,780,485 25,891,760 (M) 15,556,096 a 36,332,629 b 84,280,485 27,841,760(M) 16,856,096 a 39,582,629 b County Tax Base Relief 3,879,756 3,879,756 PAGE 8-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ County Share of Offsetting Revenues 2,986,000 2,986,000 c County Incentive Payments 38 4,113,000 4,113,000 d 88,759,241 95,259,241 a This amount shall be from local funds. The (L ) notation and the (I) notation apply to this amount. b This amount shall be from various sources of federal funds. c This amount shall be from the counties' share of offsetting cash funds revenues, including retained child support collections, retained fraud refunds, state revenue intercepts, and other refunds pursuant to Section 26-13-108, C.R.S. d This amount shall be from the State's share of retained child support collections and fraud refunds, pursuant to Section 26-13 -108, C.R.S. (5) DIVISION OF CHILD WELFARE Administration 7,775,620 6,671,114 65,019 a 1,039,487(I) b (67.5 FTE) Continuous Quality Improvement 504,178 426,28877,890(I) b (6.0 FTE) Training 39 6,797,102 3,686,370 61,224 c 3,049,508 d (7.0 FTE) Foster and Adoptive Parent Recruitment, Training, and Support 39 1,622,454 1,210,486 411,968(I) b (2.0 FTE) Adoption and Relative Guardianship Assistance 41,935,128 22,699,217 4,227,544 c 15,008,367 e Child Welfare Services 39 384,862,777 f 203,424,641 72,128,217 c 13,421,808 a 95,888,111 e County Level Child Welfare Staffing 27,140,851 19,757,355 2,733,258 c 4,650,238 e PAGE 9-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Permanency Services 232,500 232,500 Residential Placements for Children with Intellectual and Developmental Disabilities 2,401,637 2,383,97017,667(I) b (1.0 FTE) Family and Children's Programs 39 56,684,676 47,706,452 5,926,307 c 3,051,917(I) g Adoption Savings 1,394,000 1,394,000 h 1,785,321 1,785,321 h Child Welfare Prevention and Intervention Services 598,953 598,953 i Child Welfare Legal Representation 6,996,778 6,996,778 j 7,024,160 7,024,160 j Performance-based Collaborative Management Incentives 4,500,000 1,500,000 3,000,000 k Collaborative Management Program Administration and Evaluation 356,476 356,476 (1.5 FTE) Independent Living Programs 2,681,7562,681,756(I) l (4.0 FTE) Federal Child Abuse Prevention and Treatment Act Grant 477,600477,600(I) m (3.0 FTE) PAGE 10-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Hotline for Child Abuse and Neglect 39 3,425,372 3,373,64551,727(I) b (6.0 FTE) Public Awareness Campaign for Child Welfare 1,008,890 1,008,890 (1.0 FTE) Interagency Prevention Programs Coordination 142,419 142,419 (1.0 FTE) Tony Grampsas Youth Services Program 10,324,557 1,717,475 8,107,082 n 500,000 o (3.0 FTE) Appropriation to the Youth Mentoring Services Cash Fund 500,000 500,000 p Indirect Cost Assessment 11,896,909 101,708 q 62,515 r 11,732,686 s 574,260,633 574,679,336 a These amounts shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing, Department of Human Services Medicaid-funded Programs. b These amounts shall be from Title IV-E of the Social Secur ity Act. They are reflected pursuant to Section 26-1-111 (2)(d)(II) (B), C.R.S., and shall be used in determining the amount to be deposited to the Excess Federal Title IV-E Reimbursemen ts Cash Fund pursuant to Section 26-1-111 (2)(d)(II)(C), C.R.S. c These amounts shall be from local funds. The (L ) notation and the (I) notation apply to these amounts. d Of this amount, $2,798,328(I) shall be from Title IV-E of the Social Security Act and $251,180 shall be from the Title XX Soci al Services Block Grant. e Of these amounts, $90,773,411(I) shall be from Title IV-E of the Social Security Act, $18,195,852 shall be from the Title XX S ocial Services Block Grant, $3,827,125(I) shall be from Title IV-B, Subpart 1, of the Social Security Act, and $2,750,328 shall be from the Temporary Assistance for Needy Families Blo ck Grant. These amounts were assumed in developing the appropriated fund source amounts in these line items. The amount from Title IV-E of the Social Security Act is reflected p ursuant to Section 26-1-111 (2)(d)(II)(B), C.R.S., and shall be used in determining the amount to be deposited to the Excess Federal Title IV-E Reimbursements Cash Fund pursuant to S ection 26-1-111 (2)(d)(II)(C), C.R.S. PAGE 11-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ f For informational purposes, this amount includes $7,355,339 that is anticipated to be initially held out from state and federa l funds that are allocated to county departments of social services for the administration and provision of child welfare services, including the following estimated amounts: $3,208,511 for parental fee reimbursements to counties pursuant to Section 26-5-104 (2), C.R.S., $2,750,328 for transportation services for foster children and youth pursuant to Section 22-32-10 8, C.R.S., $950,000 for department-approved child welfare services that promote the safety and well-being of Native American children and youth, $346,500 for a statewide insurance polic y for county-administered foster homes, and $100,000 for contractual services related to the allocation of funds among counties. The remaining $377,507,438 includes the state and federal funds to be allocated to county departments of social services pursuant to Section 26-5-104, C.R.S., the estimated local share of child welfare services expenditures, and federal Me dicaid funds estimated to be available to county departments of social services for certain expenditures. g This amount shall be from Title IV-E of the Social Security Act and is reflected for informational purposes pursuant to Sectio n 26-1-111 (2)(d)(II)(B), C.R.S., and shall be used in determining the amount to be deposited to the Excess Federal Title IV-E Reimbursements Cash Fund pursuant to Section 26-1-111 ( 2)(d)(II)(C), C.R.S. h This amount shall be from the Excess Federal Title IV-E Reimbursements Cash Fund created in Section 26-1-111 (2)(d)(II)(C), C. R.S. i This amount shall be from the Child Welfare Prevention and Intervention Services Cash Fund created in Section 26-5-104 (7)(a)( I), C.R.S. j This amount shall be from the Title IV-E Administrative Costs Cash Fund created in Section 26-2-102.5 (3)(b)(I), C.R.S. k This amount shall be from the Performance-based Collaborative Management Incentive Cash Fund created in Section 24-1.9-104 (1) , C.R.S. l This amount shall be from Title IV-E of the Social Security Act, including an estimated $1,962,068 for the Chafee Foster Care Independence Program and $719,688 for the Education and Training Voucher Program. m This amount shall be from the Child Abuse Prevention and Treatment Act state grant. n Of this amount, $6,483,410 shall be from the Youth Services Program Fund created in Section 26-6.8-102 (2)(d), C.R.S., which i s received as a damage award and, as such, does not constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution, and $1, 623,672 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. o This amount shall be from the Youth Mentoring Services Cash Fund created in Section 26-6.8-104, C.R.S. p This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. q Of this amount, an estimated $50,000(I) shall be from the Youth Services Program Fund created in Section 26-6.8-102 (2)(d), C. R.S., $38,983 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., and an estimated $12,725(I) shall be from various sources of cash funds. The a mount from the Youth Services Program Fund is received as a damage award and, as such, does not constitute fiscal year spending for the purposes of Section 20 of Article X of the Sta te Constitution. r This amount shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing, Department of Hu man Services Medicaid-funded Programs, Indirect Cost Assessment. s Of this amount, $6,099,461 shall be from the Title XX Social Services Block Grant, an estimated $3,678,619(I) shall be from Ti tle IV-E of the Social Security Act, an estimated $232,862(I) shall be from Title IV-B, Subpart 1, of the Social S ecurity Act, and an estimated $1,721,744(I) shall be from vario us sources of federal funds. PAGE 12-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (6) OFFICE OF EARLY CHILDHOOD (A) Division of Early Care and Learning Early Childhood Councils 40 1,991,1331,991,133 a (1.0 FTE) Child Care Licensing and Administration 10,772,640 2,715,871 1,633,856 b 6,422,913 c 10,899,5506,549,823 c (63.0 FTE) (63.9 FTE) Fine Assessed Against Licensees 10,000 10,000(I) d Child Care Assistance Program 135,323,468 29,998,226 14,768,652 e 90,556,590 f Intrastate Child Care Assistance Program Redistribution 500,000500,000 g Colorado Child Care Assistance Program Rate Setting Study 75,000 55,00020,000 g Child Care Grants for Quality and Availability and Federal Targeted Funds Requirements 10,684,480 3,204,426 385 h 7,479,669 g 10,810,0717,605,260 g (3.0 FTE) School-readiness Quality Improvement Program 2,239,0372,239,037 g (1.0 FTE) Child Care Services and Substance Use Disorder Treatment Pilot Program 500,000 500,000 PAGE 13-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Continuation of Child Care Quality Initiatives 2,917,156 2,917,156 g 3,666,1153,666,115 g (14.6 FTE) (14.9 FTE) Child Care Assistance Program Support 1,200,0001,200,000 g 166,212,914 167,214,374 a This amount shall be from Child Care Development Funds. b This amount shall be from the Child Care Licensing Cash Fund created in Section 26-6-105 (4), C.R.S. c Of this amount, $6,272,913 $6,399,823 shall be from Child Care Development Funds and $150,000 sha ll be from Title IV-E of the Social Security Act. The a mount from Title IV-E of the Social Security Act is reflected pursuant to Section 26-1-111 (2)(d)(II)(B), C.R.S., and shall be used in determining th e amount to be deposited to the Excess Federal Title IV-E Reimbursements Cash Fund pursuant to Section 26-1-111 (2)(d)(II)(C), C.R.S. d This amount shall be from the Child Care Cash Fund created in Section 26-6-114 (5), C.R.S. This amount is shown for informatio nal purposes as it is continuously appropriated to the Department of Human Services for activities related to the improvement of the quality of child care in Colorado, pursuant to Se ction 26-6-114 (5), C.R.S. e This amount shall be from local funds and reflects the local sh are of the costs of administering the Child Care Assistance Prog ram and the local share of child care subsidies. The (L) notation and the (I) notation apply to this amount. f Of this amount, $90,456,590 shall be from Child Care Developm ent Funds and $100,000 shall be from the Title XX Social Services Block Grant. g These amounts shall be from Child Care Development Funds. h This amount shall be from various sources of cash funds. (B) Division of Community and Family Support Promoting Safe and Stable Families 4,626,992 55,519 1,074,400 a 3,497,073(I) b (2.0 FTE) Early Childhood Mental Health Services 41 3,116,638 1,189,634 1,927,004 c (0.2 FTE) (0.5 FTE) PAGE 14-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Early Intervention Services 62,747,158 36,918,733 10,509,980(I) d 7,968,022 e 7,350,423(I) f (7.5 FTE) Early Intervention Evaluations 2,456,185 2,256,185 200,000(I) f Colorado Children's Trust Fund 1,171,018 362,050 g 808,968(I) h (1.5 FTE) Nurse Home Visitor Program 25,697,933 23,934,596 i 1,763,337(I) j (3.0 FTE) Family Support Services 1,287,451 1,287,451 (0.5 FTE) Community-based Child Abuse Prevention Services 8,292,755 8,292,755 (2.0 FTE) Home Visiting for School Readiness 586,245 586,245 Incredible Years Program 864,773 864,773 k (1.1 FTE) 110,847,148 a This amount shall be from local funds. The (L ) notation and the (I) notation apply to this amount. b This amount shall be from Title IV-B, Subpart 2, of the Social Security Act. c This amount shall be from Child Care Development Funds. d This amount shall be from the Early Intervention Services Trust Fund created in Section 27-10.5-709 (2)(a), C.R.S. This amount is shown for informational purposes only as this fund is not subject to appropriation by the General Assembly. This amount is exempt from the restrictions on state spending imposed by Section 20 of Article X of the State Constitution pursuant to Section 27-10.5-709 (2)(a), C.R.S. e This amount shall be from Medicaid funds transferred from the Division of Community and Family Support, Early Intervention Ser vices line item in the Department of Health Care Policy and Financing. f These amounts reflect funds anticipated to be received pursuant to Part C of the federal Individuals with Disabilities Educati on Improvement Act. g This amount shall be from the Colorado Children's Trust Fund created in Section 19-3.5-106 (1), C.R.S. PAGE 15-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ h This amount shall be from the Community-based Child Abuse Prevention Grant fund. i This amount shall be from the Nurse Home Visitor Program F und created in Section 26-6.4-107 (2)(b), C.R.S., which is received as a damage award and, as such, does not constitute fiscal year spending for the purposes of Section 20 of Article X of the State Constitution. j This amount shall be from the Maternal, Infant and Early Childhood Home Visiting Grant program. k This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. (C) Indirect Cost Assessment3,839,745 193,702(I) a 3,646,043 b a This amount shall be from various sources of cash funds. b Of this amount, $3,366,399 shall be from Child Care Developmen t Funds and $279,644(I) shall be from various sources of federal funds. 280,899,807 281,901,267 (7) OFFICE OF SELF SUFFICIENCY (A) Administration Personal Services 42 953,195 376,713 576,482(I) a (15.0 FTE) Operating Expenses 42 27,883 27,883 981,078 a This amount shall be from various sources of federal funds. (B) Colorado Works Program Administration 4,093,6084,093,608 a (20.0 FTE) PAGE 16-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ County Block Grants 38, 43, 44, 45 150,548,087 22,349,730 b 128,198,357 a County Training 392,827392,827 a (2.0 FTE) Domestic Abuse Program 1,891,913 1,262,236 c 629,677 a (2.7 FTE) Works Program Evaluation 495,440495,440 a Workforce Development Council 111,211111,211 a Transitional Jobs Program 2,569,393 2,569,393 (2.0 FTE) Employment Opportunities With Wages Program 2,000,0002,000,000 a Child Support Services Program 1,819,9661,819,966 a (1.0 FTE) Short-term Non-recurrent Benefits for Colorado Works Participants 13,502,98213,502,982 a 177,425,427 a These amounts shall be from the Temporary Assistance for Needy Families Block Grant. b Of this amount, an estimated $22,149,730(I)(L) shall be from local funds and shall represent the local cash funds expenditure obligation pursuant to Section 26-2-714 (6)(c)(I), C.R.S., and an estimated $200,000 shall be from the State's share of cash funds recoveries, including retained fraud refunds, state rev enue intercepts, and other refunds. c This amount shall be from the Colorado Domestic Abuse Program Fund established pursuant to Section 39-22-802 (1), C.R.S., and shall include donations and money generated from fees pursuant to Section 26-7.5-105, (1)(b), C.R.S. PAGE 17-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (C) Special Purpose Welfare Programs Low Income Energy Assistance Program 48,185,763 4,250,000(I) a 43,935,763(I) b (5.2 FTE) Supplemental Nutrition Assistance Program Administration 42 3,775,842 1,835,788 1,940,054(I) c (15.0 FTE) Supplemental Nutrition Assistance Program State Staff Training 25,000 12,50012,500(I) c Food Stamp Job Search Units - Program Costs 2,099,506 190,705 413,436 d 1,495,365(I) c (6.2 FTE) Food Stamp Job Search Units - Supportive Services 261,452 78,435 52,291 d 130,726(I) c Food Distribution Program 46 P ROGRAM 2,712,447 1,650,948 323,825 e 737,674(I) c (6.9 FTE) Income Tax Offset 4,128 2,0642,064(I) c Electronic Benefits Transfer Service 3,782,558 1,019,559 1,011,174(I) f 1,751,825 g (7.0 FTE) Refugee Assistance 10,884,79110,884,791 h (10.0 FTE) Systematic Alien Verification for Eligibility 45,898 6,386 2,541(I) i 28,307 j 8,664 k (1.0 FTE) 71,777,385 PAGE 18-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a Of this amount, $3,250,000 shall be from the Department of Human Services Low-income Energy Assistance Fund created in Section 40-8.7-112 (1)(a), C.R.S., based on allocations from the Severance Tax Operational Fund to the Low-income Energy Assistance Fund pursuant to Section 39-29-109.3 (2)(f)(V)(A), C.R.S., and $1,000,000 shall be from the Energy Outreach Colorado Low-income Energy Assistance Fund created in Section 40-8.7-112 (2)(a), C.R.S. These amounts are shown for in formational purposes as they are continuously appropriated for activities related to low-income energy assistance, pursuant to Section 40-8.7-112, C.R.S. b This amount is estimated to be received from the federal Department of Health and Human Services, Office of Energy Assistance. c These amounts shall be from the U.S. Department of Agriculture. Although these federal funds amounts are not appropriated, th ey were assumed in developing the appropriated fund source amounts in these line items. d Of these amounts, an estimated $264,927(L)(I) shall be from county matching funds and an estimated $200,800 shall be from in-k ind donations. e This amount shall be from recipient non-governmental agencies. f Of this amount, an estimated $755,344(L)(I) shall be from local funds and is shown for informational purposes only, and an est imated $255,830 shall be from the Old Age Pension Fund established in Section 1, Article XXIV, of the State Cons titution. For purposes of complying with the limitation on state fiscal year spending imposed by Section 20, Article X, of the State Constitution, the Old Age Pension Fund moneys are included for informational purposes as they are continuously app ropriated by Article XXIV of the State Constitution. g Of this amount, an estimated $205,406 shall be from the Tempor ary Assistance for Needy Families Block Grant, an estimated $35, 701 shall be from Child Care Development Funds, and an estimated $1,510,718(I) shall be from various sources of federal funds. Altho ugh the various sources of federal funds amount is not appropriated, this amount was assumed in developing the appropriated fund source amounts in this line item. h Of this amount, an estimated $8,078,849(I) is to be received from the federal Department of Health and Human Services, Office of Refugee Resettlement, and an estimated $2,805,942 shall be from the Temporary Assistance for Needy Families Block Grant. i This amount shall be from the Old Age Pension Fund pursuant to Section 1, Article XXIV, of the State Constitution. For purpos es of complying with the limitation on state fiscal year spending imposed by Section 20, Article X, of the State Constitution, these moneys are included for informational purposes as t hey are continuously appropriated by Article XXIV of the State Constitution. j This amount shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing, Department of Hu man Services Medicaid-funded Programs. k Of this amount, an estimated $2,421 shall be from the Tempor ary Assistance for Needy Families Block Grant and an estimated $6, 243(I) shall be from various sources of federal funds. (D) Child Support Enforcement Automated Child Support Enforcement System 9,411,896 2,631,644 877,141 a 5,903,111 b (16.9 FTE) Child Support Enforcement 38 7,523,725 5,643,683 171,955 c 1,708,087 b (24.5 FTE) 16,935,621 PAGE 19-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a Of this amount, an estimated $304,999 shall be from the state's share of retained child support collections and fraud refunds, an estimated $281,509 shall be from the federal government's share of revenues earned on funds in the Family Support Registry Fund created in Section 26-13-115.5 (1), C.R.S., an estimated $146,983 shall be from the State's share of revenues earned on funds in the Family Support Registry Fund, and estimated $143,650 shall be from various sources of cash funds. b These amounts shall be from Title IV-D of the Social Security Act. c This amount shall be from the state's share of retained child support collections and fraud refunds. (E) Disability Determination Services Program Costs 18,923,09218,923,092(I) a (121.7 FTE) a This amount shall be from Titles II and XVI of the Social Security Act. (F) Indirect Cost Assessment24,167,712 119,011(I) a 5,846,444 b 18,202,257 c a This amount shall be from various sources of cash funds. b This amount shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing, Department of Hu man Services Medicaid-funded Programs, Indirect Cost Assessment line item. c Of this amount, $4,612,852 shall be from the Temporary Assistance for Needy Families Block Grant, an estimated $3,308,929(I) s hall be from Titles II and XVI of the Social Security Act, an estimated $3,146,232(I) shall be from the U.S. Department of Agriculture, an estimated $2,908,429(I) shall be from Title IV-D of the Social Security Act, and an estimated $4,225,815(I) shall be from various sources of federal funds. 310,210,315 (8) OFFICE OF BEHAVIORAL HEALTH (A) Community Behavioral Health Administration Personal Services 8,602,142 2,633,369 1,667,589 a 802,250 b 3,498,934(I) c (84.0 FTE) Operating Expenses 354,455 43,960 79,608 a 12,226 b 218,661(I) c 8,956,597 PAGE 20-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a Of these amounts, $789,058 shall be funds transferred from the Alcohol and Drug Driving Safety Program created in Section 42-4 -1301.3 (3)(a), C.R.S., $734,823 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., $95,221 shall be from patient revenues collected by the Men tal Health Institutes, $33,919 shall be from the Law Enforcement Assistance Fund created in Section 43-4-401, C.R.S., $26,221 shall be from the Persistent Dr unk Driver Cash Fund created in Section 42-3- 303 (1), C.R.S., $13,915 shall be from the Addiction Counselor Training Fund created in Section 27-80-111 (2), C.R.S., $5,719 shall be from the Controlled Sub stances Program Fund created in Section 27-80-206, C.R.S., and $48,321 shall be from various sources of cash funds. b Of these amounts, $514,476 shall be transferred from Medicaid Fund s appropriated to the Department of Health Care Policy and F inancing and $300,000 shall be from various sources of reappropriated funds. c Of these amounts, it is estimated that $2,080,496 shall be from the Substance Abuse Prevention and Treatment Block Grant, $1,05 2,212 shall be from the Mental Health Services Block Grant, and $584,887 shall be from various sources of federal funds. (B) Community-based Mental Health Services Mental Health Community Programs 36,294,501 28,054,924 8,239,577(I) a Assertive Community Treatment Programs and Other Alternatives to the Mental Health Institutes 47 17,139,032 17,139,032 Mental Health Services for Juvenile and Adult Offenders 5,795,078 5,795,078 b Children and Youth Mental Health Treatment Act 3,130,788 2,578,953 423,357 b 128,478 c Family First Prevention Services Act 631,309 631,309 62,990,708 a Of this amount, am estimated $7,261,337 shall be from the Mental Health Services Block Grant and an estimated $978,240 shall b e from the Projects for Assistance in Transition from Homelessness (PATH) Grant. b These amounts shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. c This amount shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing. PAGE 21-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (C) Substance Use Treatment and Prevention Services Treatment and Detoxification Programs 48 40,441,682 14,595,588 6,652,627 a 19,193,467(I) b (2.1 FTE) Increasing Access to Effective Substance Use Disorder Services (SB 16-202) 15,806,622 15,806,622 c Prevention Programs 6,418,993 36,828 51,149 d 6,331,016(I) b Community Prevention and Treatment Programs 5,868,558 10,339 2,470,401 e 3,387,818(I) b Offender Services 4,602,018 3,096,845 1,505,173 f High Risk Pregnant Women Program 1,865,7751,865,775 g 75,003,648 a Of this amount, $6,192,376 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., $264,596 shal l be from the Persistent Drunk Driver Cash Fund created in Section 42-3-303 (1), C.R.S., and $195,655 shall be from the Adolescent Substance Abuse Prevention and Treatment Fund create d in Section 18-13-122 (18), C.R.S. b These amounts shall be from the Substance Abuse Prevention and Treatment Block Grant. c This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. d Of this amount, $41,149 shall be from the Adolescent Substance Abuse Prevention and Treatment Fund created in Section 18-13-12 2 (18), C.R.S., and $10,000 shall be from the Cigarette, Tobacco Product, and Nicotine Product Use by Mi nors Prevention Fund created in Section 44-7-107, C.R.S. e Of this amount, $1,270,000 shall be from the Persistent Dr unk Driver Cash Fund created in Section 42-3- 303 (1), C.R.S., $794,201 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., $255,000 shall be from the Law Enforcement Assistance Fund created in Section 43-4-401, C.R .S., and $151,200 shall be from the Rural Alcohol and Substance Abuse Cash Fund created in Section 27-80-117 (3)(a), C.R.S. f This amount shall be transferred from the Judicial Department, Probation and Related Services, from the Correctional Treatment Cash Fund Expenditures line item appropriation. g This amount shall be Medicaid funds transferred from the Department of Health Care Policy and Financing. (D) Integrated Behavioral Health Services Behavioral Health Crisis Response System Services 29,426,188 25,369,839 4,056,349 a PAGE 22-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Behavioral Health Crisis Response System Secure Transportation Pilot Programs 554,839 554,839 a Behavioral Health Crisis Response System Telephone Hotline 3,933,5773,590,807 342,770 a Behavioral Health Crisis Response System Public Information Campaign 600,000 600,000 Community Transition Services 7,414,874 7,414,874 Criminal Justice Diversion Programs 7,363,860 1,590,927 5,772,933 a (1.0 FTE) (1.3 FTE) Jail-based Behavioral Health Services 14,653,000 7,370,295 7,282,705 b Circle Program and Other Rural Treatment Programs for People with Co-occurring Disorders 49 8,326,221 595,608 5,730,613 a 2,000,000 b Medication Consistency and Health Information Exchange 760,700 760,700 a 73,033,259 a These amounts shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. b These amounts shall be transferred from the Judicial Depart ment, Probation and Related Services, from the Correctional Treatme nt Cash Fund Expenditures line item appropriation. PAGE 23-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (E) Mental Health Institutes 50 (1) Mental Health Institute at Ft. Logan Personal Services 51 23,487,985 (216.2 FTE) Contract Medical Services 815,297 Operating Expenses 1,066,793 Capital Outlay 112,916 Pharmaceuticals 1,328,473 26,811,464 24,817,113 1,853,788 a 140,563 b a Of this amount, $1,661,999 shall be from Medicare and other so urces of patient revenues and $191,789 shall be from the Marijua na Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. b This amount shall be from patient revenues. For informational purposes only, patient revenues are estimated to include $105,85 3 earned from regional accountable entities through the Behavioral Health Capitation Payments line item appropriation, and $34,710 Medicaid funds transferred from the Department o f Health Care Policy and Financing from the Mental Health Institutes line item appropriation. (2) Mental Health Institute at Pueblo Personal Services 51 97,177,601 (1,056.2 FTE) Contract Medical Services 3,384,664 Operating Expenses 7,966,424 Capital Outlay 324,068 Pharmaceuticals 4,114,182 Educational Programs 236,402 (2.7 FTE) 113,203,341 97,774,324 4,350,946 a 11,078,071 b a Of this amount, $4,001,290 shall be from Medicare and other sour ces of patient revenues and $349,656 shall be from the Marijuan a Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. PAGE 24-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ b Of this amount, $8,161,925 shall be from patient revenues, $2,710, 838 shall be transferred from the Department of Corrections, and $205,308 shall be transferred from the Department of Education. For informational purposes only, patient revenues are estimated to include $8,161,925 Medicaid funds transferred from the Department of Health Care Policy and Financing from the Mental Health Institutes line item appropriation. (3) Forensic Services Forensic Services Administration 1,060,688 1,060,688 (13.9 FTE) Court Services 7,669,525 7,669,525 (77.1 FTE) Forensic Community-based Services 3,466,819 3,466,819 (20.4 FTE) Jail-based Competency Restoration Program 13,753,286 13,753,286 (4.3 FTE) Purchased Psychiatric Bed Capacity 3,335,351 3,335,351 (1.0 FTE) Outpatient Competency Restoration Program 3,701,882 3,701,882 (1.0 FTE) 32,987,551 (4) Consent Decree Fines and Fees 6,000,000 6,000,000 (F) Indirect Cost Assessment6,753,934 3,670,381 a 1,519,464 b 1,564,089(I) c PAGE 25-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ a Of this amount, an estimated $1,831,780(I) shall be from Medicare and other sources of patient revenues earned by the mental he alth institutes, an estimated $1,582,240 shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S., and an estimated $256,361(I) shall be from various sour ces of cash funds. b This amount shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing, Department of Hu man Services Medicaid-funded Programs, Department of Human Services Indirect Cost Assessment. c Of this amount, an estimated $470,702 shall be from the Substance Abuse Prevention and Treatment Block Grant, an estimated $174 ,051 shall be from the Mental Health Services Block Grant, and an estimated $919,336 shall be from various sources of federal funds. 405,740,502 (9) SERVICES FOR PEOPLE WITH DISABILITIES (A) Regional Centers for People with Developmental Disabilities (1) Wheat Ridge Regional Center Wheat Ridge Regional Center Intermediate Care Facility 52 26,536,606 779,589 a 25,757,017 b (373.0 FTE) Wheat Ridge Regional Center Provider Fee 1,435,6121,435,612 b Wheat Ridge Regional Center Depreciation 180,718180,718(I) b 28,152,936 a This amount shall be from client cash revenues. b These amounts shall be from Medicaid funds transferred from the Regional Centers line item in the Department of Health Care Po licy and Financing. PAGE 26-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (2) Grand Junction Regional Center Grand Junction Regional Center Intermediate Care Facility 52 7,341,491 1,037,320 a 6,304,171 b (98.8 FTE) Grand Junction Regional Center Provider Fee 453,291453,291 b Grand Junction Regional Center Waiver Services 53 11,057,981 350,000 398,264 a 10,309,717 b (174.2 FTE) Grand Junction Regional Center Depreciation 323,681323,681(I) b 19,176,444 a These amounts shall be from client cash revenues. b These amounts shall be from Medicaid funds transferred from the Regional Centers line item in the Department of Health Care Po licy and Financing. (3) Pueblo Regional Center Pueblo Regional Center Waiver Services 53 11,301,116 250,000 539,856 a 10,511,260 b (181.8 FTE) Pueblo Regional Center Depreciation 187,326187,326(I) b 11,488,442 a This amount shall be from client cash revenues. b These amounts shall be from Medicaid funds transferred from the Regional Centers line item in the Department of Health Care Po licy and Financing. PAGE 27-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (B) Work Therapy Program584,532 584,532 a (1.5 FTE) a This amount shall be from the Work Therapy Cash Fund created in Section 26-8-107 (2)(a), C.R.S. (C) Brain Injury Program Appropriation to the Colorado Brain Injury Trust Fund 450,000 450,000 Colorado Brain Injury Trust Fund 3,487,113 3,037,113 a 450,000 b (1.5 FTE) 3,937,113 a This amount shall be from the Colorado Brain Injury Trust Fund created in Section 26-1-309 (1), C.R.S. b This amount shall be from the Colorado Brain Injury Trust Fund created in Section 26-1-309 (1), C.R.S. (D) Veterans Community Living Centers Administration 2,039,507 2,039,507(I) a (5.0 FTE) Fitzsimons Veterans Community Living Center 24,506,708 965,580 12,027,928(I) a 11,513,200(I) b (236.4 FTE) Florence Veterans Community Living Center 12,558,427 513,096 7,674,231(I) a 4,371,100(I) b (135.0 FTE) Homelake Veterans Community Living Center 8,688,170 567,049 5,180,621(I) a 2,940,500(I) b (95.3 FTE) PAGE 28-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Homelake Military Veterans Cemetery 67,786 60,121 7,665(I) a (0.5 FTE) Rifle Veterans Community Living Center 10,394,500 624,197 7,163,303(I) a 2,607,000(I) b (110.6 FTE) Walsenburg Veterans Community Living Center 373,985 373,985(I) a (1.0 FTE) Appropriation to the Central Fund Pursuant to Section 26-12-108 (1)(a.5), C.R.S. 800,000 800,000 59,429,083 a These amounts are shown for informational purposes only and shall be from the Central Fund for Veterans Community Living Cente rs created in Section 26-12-108 (1)(a), C.R.S. These amounts reflect estimated operating costs for the veterans co mmunity living centers that are funded with resident payment s for care and other revenues. The veterans community living centers have continuous spending authority pursuant to Sections 26-12-108 and 110, C.R.S. The veterans community living centers and Homelake Domiciliary are also anticipated to qualify as enterprises as defined by Section 20, Article X of the State Constitution. b These amounts are shown for informational purposes only and reflect estimated operating costs for the veterans community livin g centers that are funded by federal per diem payments for veteran residents that are deposited to the Central Fund for Veterans Community Living Centers. The veterans community liv ing centers have continuous spending authority pursuant to Sections 26-12-108 and 110, C.R.S. (E) Indirect Cost Assessment14,972,964 4,030,937(I) a 10,934,402 b 7,625(I) c a This amount shall be from various sources of cash funds. b This amount shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing, Department of Hu man Services Medicaid-funded Programs. c This amount shall be from various sources of federal funds. 137,741,514 PAGE 29-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (10) ADULT ASSISTANCE PROGRAMS (A) Administration1,129,551 1,000,087 129,464 a (11.8 FTE) a This amount shall be from refunds and state revenue intercepts. (B) Old Age Pension Program Cash Assistance Programs 78,905,051 78,905,051(I) a Refunds 588,362 588,362 b Burial Reimbursements 918,364 918,364(I) a State Administration 441,277 441,277(I) a (3.5 FTE) County Administration 2,566,974 2,566,974(I) a 83,420,028 a These amounts shall be from the Old Age Pension Fund pursuant to Section 1, Article XXIV, of the State Constitution. For purpo ses of complying with the limitation on state fiscal year spending imposed by Section 20, Article X of the State Cons titution, this money is included for informational purposes as it is continuously appropriated by Article XXIV of the State Constitution. b This amount shall be from various sources of cash funds, including refunds and state revenue intercepts. (C) Other Grant Programs Administration - Home Care Allowance SEP Contract 1,063,259 1,063,259 Aid to the Needy Disabled Programs 16,144,238 9,854,065 6,290,173 a Burial Reimbursements 508,000 402,985 105,015 b Home Care Allowance 8,720,437 8,218,473 501,964 b SSI Stabilization Fund Programs 1,000,000 1,000,000(I) c PAGE 30-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Disability Benefits Application Assistance Program 2,000,000 2,000,000 29,435,934 a Of this amount, an estimated $3,413,687(L)(I) shall be from local funds, an estimated $2,279,944 shall be from federal interim assistance reimbursement payments, and an estimated $596,542 shall be from other refunds and state revenue intercepts. b These amounts shall be from local funds. The (L ) notation and the (I) notation apply to these amounts. c This amount shall be from the State Supplemental Security Income Stabilization Fund, created pursuant to Section 26-2-210 (1), C.R.S. This amount is shown for informational purposes only, as the State Supplemental Security Income Stabilization Fund is continuously appropriated to the Department of Human Serv ices for qualified expenditures pursuant to Section 26-2-210 (1), C.R.S. (D) Community Services for the Elderly Administration 1,132,267 282,289 849,978(I) a (7.0 FTE) Colorado Commission on Aging 88,632 22,04166,591(I) a (1.0 FTE) Senior Community Services Employment 860,205860,205(I) b (0.5 FTE) Older Americans Act Programs 54 20,918,207 990,653 3,079,710 c 16,847,844(I) a National Family Caregiver Support Program 2,173,936 142,041 423,805 d 1,608,090(I) a State Ombudsman Program 923,570 590,148 173,289 e 1,800 f 158,333(I) g (1.0 FTE) State Funding for Senior Services 54 28,495,459 14,487,707 13,007,752 h 1,000,000 f PAGE 31-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Area Agencies on Aging Administration 1,375,3841,375,384(I) a Respite Services 398,370 350,000 48,370 i 56,366,030 a These amounts shall be from Title III of the Older Americans Act. A state match is required to expend these funds, except in t he Area Agencies on Aging Administration line item, where local expenditures provide the required non-federal match. b This amount shall be from Title V of the Older Americans Act. c Of this amount, an estimated $3,039,710(L)(I) shall be from local funds and an estimated $40,000 shall be from the Older Color adans Cash Fund created in Section 26-11-205.5 (5)(a), C.R.S. d This amount shall be from local funds. The (L ) notation and the (I) notation apply to this amount. e This amount shall be from the PACE Ombudsman Fund created in Section 26-11.5-113 (4)(b), C.R.S. f These amounts shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing, Department of Human Services Medicaid-funded Programs. g This amount shall be from Title III and Title VII of the Older Americans Act. A state match is required to expend these funds, except in the Area Agencies on Aging Administration line item, where local expenditures provide the required non-federal match. h This amount shall be from the Older Coloradans Cash Fund created in Section 26-11-205.5 (5)(a), C.R.S. i This amount shall be from the Crimes Against At-Risk Persons Surcharge Fund created in Section 18-6.5-107 (4)(a), C.R.S. (E) Adult Protective Services State Administration 1,049,713 978,913 70,800 a (8.5 FTE) Adult Protective Services 37 18,618,424 12,753,620 3,723,685 b 2,141,119 c 19,668,137 a This amount shall be from the Records and Reports Fund created in Section 19-1-307 (2.5), C.R.S. b This amount shall be from local funds. The (L ) notation and the (I) notation apply to this amount. c This amount shall be from the Title XX Social Services Block Grant. PAGE 32-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ (F) Indirect Cost Assessment164,741 58(I) a 164,683(I) b a This amount shall be from various sources of cash funds. b This amount shall be from various sources of federal funds. 190,184,421 (11) DIVISION OF YOUTH SERVICES (A) Administration Personal Services 1,735,944 1,675,878 60,066 a (15.3 FTE) Operating Expenses 30,357 30,357 Victim Assistance 43,52543,525 b (0.3 FTE) 1,809,826 a This amount shall be transferred from the Office of the Governor, Office of State Planning and Budgeting, Evidence-based Polic ymaking Evaluation and Support. b This amount shall be from the Victims Assistance and Law Enforcement Fund created in Section 24-33.5-506 (1), C.R.S., transfer red from the Department of Public Safety, Division of Criminal Justice, Victims Assistance, State Victims Assistance and Law Enforcement Program. (B) Institutional Programs Personal Services 55, 56 68,197,988 68,197,988 (961.0 FTE) Operating Expenses 55 4,620,603 3,142,790 70,000 a 1,392,668(I) b 15,145(I) Medical Services 12,804,074 12,804,074 (84.2 FTE) Educational Programs 8,248,874 7,898,869 350,005 c (44.1 FTE) PAGE 33-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Prevention/Intervention Services 50,88650,886 d (1.0 FTE) 93,922,425 a This amount shall be from the contractors for the Ridg e View, Robert E. DeNier, and Betty K. Marler facilities. b This amount shall be transferred from the Department of Edu cation, Assistance to Public Schools, Grant Programs, Distributions , and Other Assistance, Health and Nutrition, Federal Nutrition Programs for the federal school breakfast and lunch program. c This amount shall be transferred from the Department of Higher Education, Division of Occupational Education, Area Vocational School Support, and the Department of Education, Assistance to Public Schools, from the line items for Grant Programs, Distributions, and Other Assistance, Other Assistance, Ap propriated Sponsored Programs; and Categorical Programs, District Programs Required by Statute, Special Education Programs for Children with Disabilities. d This amount shall be transferred from the Office of Behavioral Health, Substance Use Treatment and Prevention Services, Commun ity Prevention and Treatment Programs line item appropriation. (C) Community Programs Personal Services 57 6,951,108 6,057,051 82,698 a 150,585 b 660,774(I) c (82.2 FTE) Operating Expenses 57 539,705 523,860 6,281 a 9,564 b Purchase of Contract Placements 56 8,301,639 7,221,164 572,669 b 507,806(I) c Managed Care Project 1,527,233 1,489,855 37,378 b S.B. 91-094 Programs15,527,376 12,403,061 3,124,315 d Parole Program Services 4,769,063 4,769,063 Juvenile Sex Offender Staff Training 45,548 7,120 38,428 e 37,661,672 a These amounts shall be from the contractor for the Ridg e View facility pursuant to Section 19-2-411.5 (2)(e), C.R.S. b These amounts shall be from Medicaid funds transferred from the Department of Health Care Policy and Financing, Department of Human Services Medicaid-funded Programs. c These amounts shall be from Title IV-E of the Social Security Act. PAGE 34-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ d This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. e This amount shall be from the Sex Offender Surcharge Fund created in Section 18-21-103 (3), C.R.S. (D) Indirect Cost Assessment126,676 126,676 a a This amount shall be from the Marijuana Tax Cash Fund created in Section 39-28.8-501 (1), C.R.S. 133,520,599 TOTALS PART VII (HUMAN SERVICES)$2,411,078,475 $1,070,428,168 $441,578,967 a $209,274,140 b $689,797,200 c $2,418,998,638 $1,072,378,168 $443,297,670 a $209,274,140 b $694,048,660 c a Of this amount, $150,853,565 $152,153,565 contains an (L) notation and $292,371,962 $293,671,962 contains an (I) notation and are included for informational purposes only. b Of this amount, $2,114,134 contains an (I) notation and is included for informational purposes only. c Of this amount, $322,543,382 contains an (I) notation and is included for informational purposes only. FOOTNOTES -- The following statements are referenced to the numbered footnotes throughout section 2. 33 Department of Human Services, Executive Director's Office, Speci al Purpose, Employment and Regulatory Affairs - The Departmen t is requested to provide to the Joint Budget Committee, by November 1 of each fiscal y ear, a report including aggregate data by program area and job cla ssification for the previous five fiscal years, including, but not limited to: employee recruitment and retention activities; time-to-fill (positions) data ; staff turn-over rates; and direct care professional to client ratios. 34 Department of Human Services, Office of Information Technology Services, Colorado Benefits Management System -- In addition t o the transfer authority provided in Section 24-75-108, C.R.S., the Department is authorized to transfer up to 5.0 percent of the total appropriations i n this subsection among line items in this subsection. The Department is also authorized to transf er up to 5.0 percent of the total appropriations in this subsect ion to the following line item appropriations within the Department of Health Care Policy and Financing: Executive Director's Office, Information Technology C ontracts and Projects, PAGE 35-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Colorado Benefits Management Systems, Operating and Contract Expenses and Colorado Benefits Management System, Health Care and Economic Security Staff Development Center. 35 Department of Human Services, Office of Information Technology Services, Colorado Benefits Management System, Ongoing Expense s, Operating and Contract Expenses -- Of this appropriation, $2,500,000 remains available for expenditure until the close of the 2022-23 state f iscal year. 36 Department of Human Services, Office of Information Technology Services, Colorado Benefits Management System, Ongoing Expense s, Operating and Contract Expenses -- Of this appropriation, $61,301 General Fund, $9,973 cash funds, and $64,966 federal funds remain available for expenditure until the close of the 2022-23 state fiscal year. It is the General Assembly's intent that this appropriation be used to implement S.B. 1 9-235. 37 Department of Human Services, County Administration, County Administration; and Adult Assistance Programs, Adult Protective S ervices, Adult Protective Services -- Any amount in the Adult Protective Services line item that is not required for the provision of adult protective se rvices may be transferred to the County Administration line item and used to provide additional benefits under that program. Further, if county spending exceeds the total appropriations from the Adult Protective Services line item, any amount in the County Administration line item that is not required for the provisi on of services under that program may be transferred to the Adult Protective Services line item and used to provide adult protective services. 38 Department of Human Services, County Administration, County Incentive Payments; Office of Self Sufficiency, Colorado Works Pr ogram, County Block Grants; Child Support Enforcement, Child Support Enforcement -- Pursuant to Sections 26-13-108 and 26-13-112.5 (2), C.R.S., the Department shall distribute child support incentive payments to counties. Further, all of the State share of recoveries of amounts of support for public as sistance recipients, less annual appropriations from this fund source for state child support enforcement operations, shall be distributed to counties, as descr ibed in Sections 26-13-108 and 26-2-108, C.R.S. If the total amount of the State share of recoveries is greater than the total a nnual appropriations from this fund source, the Department is authorized to distribute to counties, for county incentive payments, the actual State share of any additional recoveries. 39 Department of Human Services, Division of Child Welfare, Training; Foster and Adoptive Parent Recruitment, Training, and Supp ort; Child Welfare Services; Family and Children's Programs; and Hotline for Child Abuse and Neglect -- It is the General Assembly's intent to encourage cou nties to serve children in the most appropriate and least restrictive manner. For this purpose, the Department may transfer funds between the specified l ine items in the Division of Child Welfare. 40 Department of Human Services, Office of Early Childhood, Division of Early Care and Learning, Early Childhood Councils -- It is the General Assembly's intent that these funds be allocated to existing Early Childhood Councils. PAGE 36-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 41 Department of Human Services, Office of Early Childhood, Division of Community and Family Support, Early Childhood Mental Hea lth Services -- It is the General Assembly's intent that this appropriation be used for the purpose of supporting early childhood mental health specialis ts in each community mental health center. 42 Department of Human Services, Office of Self Sufficiency, Admi nistration, Personal Services and Operating Expenses; and Speci al Purpose Welfare Programs, Supplemental Nutrition Assistance Program Administration -- In addition to the transfer authority provided in Section 24-75-108 , C.R.S., the Department is authorized to transfer up to 5.0 percent of the total appropriations between these line items. 43 Department of Human Services, Office of Self Sufficiency, Colo rado Works Program, County Block Grants -- Pursuant to Sections 26-2-714 (7) and 26-2-714 (9), C.R.S., under certain conditions, a county may tr ansfer federal Temporary Assistance for Needy Fam ilies (TANF) funds within its Colorado Works Program Block Grant to the federal child care development fund or to programs funded by Title XX of the federal Social Security Act. One of the conditions specified is that the amount a county transfers must be specified by the Department of Human Services as being available for tr ansfer within the limitation imposed by federal law. The Department may allow individual coun ties to transfer a greater percent of federal TANF funds than t he state is allowed under federal law as long as: (a) Each county has had an opportunity to transfer an amount up to the federal maximum allowed; and, (b ) the total amount transferred statewide does not exceed the federal maximum. 44 Department of Human Services, Office of Self Sufficiency, Colorado Works Program, County Block Grants -- The appropriation of local funds for Colorado Works program county block grants may be decreased by a maximum of $100,000 to reduce one or more small counties' fiscal year 2 021-22 targeted or actual spending level pursuant to Section 26-2-714 (8), C.R.S. 45 Department of Human Services, Office of Self Sufficiency, Colorado Works Program, County Block Grants -- The Department may c omply with the provisions of Section 26-2-714 (10), C.R.S., by reduci ng required county Temporary Assistance for Needy Families (TANF) maintenance of eff ort expenditures in the fiscal year after the State is notified that it has met federal work participation rates and qualifies for a percent reduction in the state's maintenance of effort. If the State is notified during state FY 2021-22 that it has met federal work participation rates for a prior year and therefor e qualifies for a percent reduction in the state's maintenance of effort, local cash funds expenditure obligations that are established in this line item pursuant to Section 26-2-714 (6)(c)(I), C.R.S., shall be reduced by $5,524,726. 47 Department of Human Services, Office of Behavioral Health, Community-based Mental Health Services, Assertive Community Treatm ent Programs and Other Alternatives to the Mental Health Institutes -- It is the Gene ral Assembly's intent that $534,932 of this General Fund appropri ation be allocated to at least one community mental health center in western Colorado for the purpose of providing behavioral health services for individuals who seek intensive behavioral health care from a community mental health center or an emergency department of a rural, frontier or regional medical center and who may be diagnosed with physical health conditions that may be exacerbated by co-occurring mental health conditions. PAGE 37-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ 48 Department of Human Services, Office of Behavioral Health, Su bstance Use Treatment and Prevention Services, Treatment and Deto xification Programs -- It is the General Assembly's intent that this appropriation be used to pr ovide services and to expand access to residential treatment ser vices for individuals with substance use disorders, including initial expenses necessary to establish, license, and begin operating one or more programs that provide th ese services, such as building renovations, furnishing, and equipment. 49 Department of Human Services, Office of Behavioral Health, Inte grated Behavioral Health Services, Circle Program and Other Ru ral Treatment Programs for People with Co-occurring Disorders -- It is the General Assembly's intent that this appropriation be used to: support the c ommunity-based Circle Program; support the provision of a full conti nuum of co-occurring behavioral health treatment services in southern Colorado and the Arkansas Valley; and expand access to residential treatment services in one or more rural areas of Colorado for individuals with co-occurring mental health and substance use disorders. It is also the General Assembly's intent that the appropriation may be used to provide services and to cover initial expenses n ecessary to establish, license, and begin operating one or more programs that provide these services, such as building renovations, furnishing, and equipment. 50 Department of Human Services, Office of Behavioral Health, Mental Health Institutes -- In addition to the transfer authority provided in Section 24-75-108, C.R.S., the Department is authorized to transfer up to 5.0 pe rcent of the total appropriations in this subsection among line it ems in this subsection. 51 Department of Human Services, Office of Behavioral Health, Ment al Health Institutes, Mental Health Institute at Ft. Logan, Pe rsonal Services; and Mental Health Institute at Pueblo, Personal Services -- It is the General Assembly's intent that $1,148,010 of these appropriations be used to increase salaries for contract medical personnel in a manner that appropriately cons iders relevant factors such as certifications and experience. 52 Department of Human Services, Services for People with Disabilities, Regional Centers for People with Developmental Disabilit ies, Wheat Ridge Regional Center, Wheat Ridge Regional Center Intermediate Care Facility; and Grand Junction Regional Center, Grand Junction Regional Cen ter Intermediate Care Facility -- In addition to the transfer au thority provided in Section 24-75-108, C.R.S ., the Department may transfer up to 5.0 percent of the total appropriation for Intermediate Care Facilities between the Wheat Ridge Regional Center and the Grand Junction Regional Center. 53 Department of Human Services, Services for People with Disabilities, Regional Centers for People with Developmental Disabilit ies, Grand Junction Regional Center, Grand Junction Regional Center Waiver Services; and Pueblo Regional Center, Pueblo Regional Center Waiver Services -- In addition to the transfer authority provided in Section 24-75-108, C.R.S., the Department may transfer up to 5.0 percent of the total appropriation for R egional Center waiver services between the Grand Junction Regional Center and the Pueblo Regional Center. 54 Department of Human Services, Adult Assistance Programs, Community Services for the Elderly, Older Americans Act Programs, an d State Funding for Senior Services -- Amounts in the Older Americans Act Programs line item are calculated based on a requirement for a non-federal match of at least 15 percent, including a 5.0 percent state match, pursuant to Title III of th e federal Older Americans Act. In addition to the transfer auth ority provided in Section 24-75-108, C.R.S., the Department is authorized to transfer General Fund and cash funds from the State Funding for Senior Services line it em to the Older Americans PAGE 38-HOUSE BILL 22-1175 APPROPRIATION FROM ITEM & SUBTOTAL TOTAL GENERAL FUND GENERAL FUND EXEMPT CASH FUNDS REAPPROPRIATED FUNDS FEDERAL FUNDS $$$$$ $ $ Act Programs line item to comply with the 5.0 percent state match requirement for the Older Americans Act Programs. This approp riation is based on the assumption that all federal Title III funds requiring a state match that are not for purposes of administration or included in the appropriations for other line items will be expended from the Older Americans Act Programs line item. 55 Department of Human Services, Division of Youth Services, In stitutional Programs, Personal Serv ices and Operating Expenses -- The Department is authorized to transfer up to $300,000 of the total appropriations within the line items designated with this footnote. 56 Department of Human Services, Division of Youth Services, In stitutional Programs, Personal Services; and Community Programs, Purchase of Contract Placements -- The Department is authorized to transfer up to $1,000,000 of the total appropriations within the line items desig nated with this footnote. 57 Department of Human Services, Division of Youth Services, Community Programs, Personal Services and Operating Expenses -- The Department is authorized to transfer up to $50,000 of the total appropriations within the line items designated with this footnote. PAGE 39-HOUSE BILL 22-1175 SECTION 2. Appropriation to the department of human services for the fiscal year beginning July 1, 2020. In Session Laws of Colorado 2021, amend section 6 of chapter 243, (SB 21-236), as follows: Section 6. Appropriation. (1) (a) For the 2020-21 state fiscal year, $8,800,000 is appropriated to the department of human services for use by the office of early childhood. This appropriation is from the general fund. To implement this act, the office of early childhood may use this appropriation as follows: (I) $100,000 for administration, which amount is based on an assumption that the office will require an additional 1.0 FTE; and (II) $8,700,000 for the employer-based child care facility grant program created in section 26-6-804 (1), C.R.S. (b) Any money appropriated in subsection (1) (1)(a)(I) of this section not expended prior to July 1, 2021, is further appropriated to the department of human services for use by the office of early childhood for the 2021-22 state fiscal year for the same purposes. (c) A NY MONEY APPROPRIATED IN SUBSECTION (1)(a)(II) OF THIS SECTION NOT EXPENDED PRIOR TO JULY 1, 2021, IS FURTHER APPROPRIATED TO THE DEPARTMENT OF HUMAN SERVICES FOR USE BY THE OFFICE OF EARLY CHILDHOOD FROM JULY 1, 2021, THROUGH JUNE 30, 2023, FOR THE SAME PURPOSES. (2) For the 2021-22 state fiscal year, $320,241,576 is appropriated to the department of human services for use by the office of early childhood. This appropriation is from federal funds from child care development funds. To implement this act, the office of early childhood may use this appropriation as follows: (a) $292,700,664 for the child care sustainability grant program created in section 26-6-802 (2), C.R.S., which amount is based on an assumption that the office will require an additional 3.0 FTE. Any money appropriated in this subsection (2)(a) not expended prior to July 1, 2022, is further appropriated for use by the office of early childhood for the 2022-23 state fiscal year FROM JULY 1, 2022, THROUGH SEPTEMBER 30, 2023, for the same purposes; (b) $16,800,000 for the community innovation and resilience for care and learning equity (CIRCLE) grant program created in section PAGE 40-HOUSE BILL 22-1175 26-6-807 (2), C.R.S., which amount is based on an assumption that the office will require an additional 1.0 FTE. Any money appropriated in this subsection (2)(b) not expended prior to July 1, 2022, is further appropriated for use by the office of early childhood for the 2022-23 state fiscal year FROM JULY 1, 2022, THROUGH SEPTEMBER 30, 2023, for the same purposes; (c) $7,200,000 for the early care and education recruitment and retention grant and scholarship program created in section 26-6-805 (2), C.R.S., which amount is based on an assumption that the office will require an additional 4.0 FTE; (d) $3,000,000 for the child care teacher salary grant program created in section 26-6-806 (2), C.R.S., which amount is based on an assumption that the office will require an additional 1.0 FTE; and (e) $540,912 for the administration, monitoring, compliance, and reporting requirements associated with the money appropriated in this subsection (2), which amount is based on an assumption that the office will require an additional 4.0 FTE. (3) For the 2021-22 state fiscal year, $58,622,936 $46,595,713 is appropriated to the department of human services for use by the office of early childhood. This appropriation is from federal funds from child care development funds. The office of early childhood may use this appropriation as follows: (a) $23,845,252 for the child care assistance program; (b) $32,455,511 $20,428,288 for child care grants for quality and availability and federal targeted funds requirements, which amount is based on an assumption that the office will require an additional 6.0 FTE; (c) $2,150,000 for the early childhood mental health consultation program created in section 26-6.5-402 (1)(a), C.R.S., which amount is based on an assumption that the office will require an additional 1.0 FTE; and (d) $172,173 for the administration, monitoring, compliance, and reporting requirements associated with the money appropriated in this subsection (3), which amount is based on an assumption that the office will require an additional 2.0 FTE. PAGE 41-HOUSE BILL 22-1175 SECTION 3. Safety clause. The general assembly hereby finds, determines, and declares that this act is necessary for the immediate preservation of the public peace, health, and safety. ____________________________ ____________________________ Alec Garnett Steve Fenberg SPEAKER OF THE HOUSE PRESIDENT OF OF REPRESENTATIVES THE SENATE ____________________________ ____________________________ Robin Jones Cindi L. Markwell CHIEF CLERK OF THE HOUSE SECRETARY OF OF REPRESENTATIVES THE SENATE APPROVED________________________________________ (Date and Time) _________________________________________ Jared S. Polis GOVERNOR OF THE STATE OF COLORADO PAGE 42-HOUSE BILL 22-1175