Delaware 2023 2023-2024 Regular Session

Delaware Senate Bill SB326 Draft / Bill

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0211520023 
SPONSOR:     Sen.   Paradee &   Rep.  
Brown     
Hansen     
Sturgeon 
Buckson 
Lawson  
Williams 
Bolden 
Chukwuocha 
Griffith 
Hensley 
Postles 
DELAWARE STATE SENATE 
152nd GENERAL ASSEMBLY 
SENATE BILL NO. 326 
JUNE 1
2, 2024 
AN ACT M AKING A ONE-TIME S UPPLEMENTAL A	PPROPRIATION F	OR THE FISCAL 
YEAR ENDING 
JUNE 30, 202 5 TO THE OF FICE OF M ANAGEMENT A ND BUDGET. 
BE 
IT ENACTED BY THE GENERAL ASSEMBLY OF THE STATE OF DELAWARE	: 
 Section 1. There is hereby appropriat ed $168,362,517 (One Hundred Sixty-	Eight Million, Three Hundred 1 
Sixty-Two Thousand, Five Hundred Seventeen Dollars) in General Funds to Executive, Office of Management 2 
and Budget, Contingencies and One-Time Items (10-02-11) for the following purposes: 3 
(01-08-02) Technology 	$2,000,000 4 
(02-03-10) Board of Canvass 	$80,000 5 
(02-03-10) Permit to Purchase 	$30,600 6 
(02-06-10) Equipment 	$16,900 7 
(02-08-10) Equipment 	$34,100 8 
(10-02-11) ERP Cloud Migration  $1,243,200 9 
(10-02-11) State Fleet Electric Vehicles 	$250,000 10 
(10-02-11) Trauma Informed Services Contingency $2,200,000 11 
(10-02-11) Gubernatorial Transition 	$325,000 12 
(10-02-11) Criminal Justice Systems Programming Updates $505,100 13 
(10-02-11) Post-Retirement Increase Supplement – FY25 $51,000,000 14   
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(10-02-32) Other Post-Employment Benefits 	$56,067,167 15 
(10-02-50) Sign Replacement 	$300,000 16 
(10-07-01) Technology  	$200,000 17 
(10-07-01) Equipment 	$4,000 18 
(10-07-02) Permit to Purchase   $226,300 19 
(12-03-01) Insurance Revenue Shortfall 	$3,200,000 20 
(12-05-06) Delaware EARNS 	$300,000 21 
(15-02-02) Equipment 	$3,800 22 
(15-02-02) Equipment 	$9,900 23 
(16-01-01) Records Digitization 	$270,000 24 
(35-02-01) Medicaid 	$10,443,700 25 
(35-02-01) Medicaid Technology Contingency – HS2 for HB110 $250,000 26 
(35-02-01) Medicaid Technology Contingency – SS1 for SB13 $87,500 27 
(35-05-10) Equipment Contingency – HB124 	$14,450  28 
(35-05-20) Residential Lead Remediation 	$2,500,000 29 
(35-05-20) Childhood Lead Poisoning Prevention $1,000,000 30 
(35-05-30) Equipment  	$62,000 31 
(35-06-30) Technology  	$368,500 32 
(35-07-01) Child Care Contingency 	$15,000,000 33 
(35-09-01) Health Care Licensing Surveys 	$207,700 34 
(37-01-50) Security and Safety Equipment 	$140,700 35 
(38-01-02) Equipment  	$6,700 36 
(38-01-03) Prison Research Innovation Network 	$105,500 37 
(38-04-01) Equipment  	$201,700 38 
(38-04-01) Security and Safety Equipment 	$444,700 39 
(38-04-04) Renovation  	$100,900 40 
(38-04-04) Equipment  	$83,300 41 
(38-04-06) Renovation  	$69,000 42   
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(38-04-20) Kitchen Equipment   	$275,300 43 
(38-06-13) Security and Safety Equipment 	$13,500 44 
(40-01-07) Special Fund Revenue Contingency $2,500,000 45 
(40-03-03) Hunting Enforcement 	$97,700 46 
(40-04-03) Non-Tidal Wetlands Study 	$150,000 47 
(40-04-05) Equipment 	$21,200 48 
(45-02-10) Equipment 	$83,500 49 
(45-02-10) Security and Safety Equipment 	$92,400 50 
(45-04-10) Equipment  	$28,800 51 
(45-06-08) Permit to Purchase   $1,560,300 52 
(65-01-01) Veterinary Analysis 	$45,000 53 
(70-01-01) Early Voting Contingency 	$2,949,600 54 
(70-01-01) Primary and General Elections 	$1,476,400 55 
(70-01-01) Voting Machine Equipment 	$1,318,400 56 
(70-01-01) Voting Machine Battery Replacement $271,400 57 
(70-02-01) Specialty Vehicle   	$80,000 58 
(70-02-01) Primary and General Elections 	$2,818,500 59 
(70-03-01) Specialty Vehicle  	$80,000 60 
(70-03-01) Primary and General Elections 	$1,533,300 61 
(70-04-01) Specialty Vehicle   	$80,000 62 
(70-04-01) Primary and General Elections 	$1,686,800 63 
(75-01-01) Security and Safety Equipment 	$36,000 64 
(75-01-01) Technology  	$80,000 65 
(75-03-01) Equipment 	$37,000 66 
(95-02-02) School Cell Phone Pilot Program 	$250,000 67 
(95-03-20) School-Based Behavioral Health Technology $1,200,000 68 
(95-03-20) Pre-K Summer Tutoring Pilot Program $245,000 69   
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 Section 2. Section 1 of this Act appropriates $250,000 to Executive, Office of Management and Budget, 70 
Contingencies and One-Time Items (10-02-11) for State Fleet Electric Vehicles. The expenditure of these funds 71 
shall be contingent upon the passage of House Bill 9 or similar legislation of the 152nd General Assembly. 72 
 Section 3. Section 1 of this Act appropriates $505,100 for Criminal Justice Systems Programming Updates to 73 
Executive, Office of Management and Budget, Contingencies and One-Time Items (10-02-11). The expenditure of 74 
these funds shall be used for updates to various criminal justice systems that require one-time enhancements, 75 
modifications, or programming changes based on the requirements of legislation enacted by the General Assembly. 76 
 Section 4. Section 1 of this Act appropriates $56,067,167 to Executive, 	Office of Management and Budget, 77 
Pensions (10- 02-32) for Other Post-Employment Benefits. In accordance with 29 Del. C. § 5544 (c) (2), the Director 78 
of Office of Management and Budget shall transfer these funds to the Other Post-Employment Benefits Fund as 79 
established by 29 Del. C. § 5281. 80 
 Section 5. Section 1 of this Act appropriates 	$4,000 for Equipment to Executive, Criminal Justice, Criminal 81 
Justice Council (10-	07-01). The expenditure of these funds shall be contingent upon the passage of House Bill 340 82 
or similar legislation of the 152nd General Assembly. 83 
 Section 6. Section 1 of this Act appropriates 	$9,900 for Equipment to Legal, Office of Defense Services, 84 
Public Defender (15-02-02). The expenditure of these funds shall be contingent upon the passage of House Bill 86 85 
or similar legislation of the 152nd General Assembly. 86 
 Section 7. Section 1 of this Act appropriates 	$250,000 to the Department of Health and Social Services, 87 
Division of Medicaid and Medical Assistance, Medicaid and Medical Assistance (35-02-01) for Medicaid 88 
Technology. The expenditure of these funds shall be contingent upon the passage of House Substitute 2 for House 89 
Bill 110 or similar legislation of the 152nd General Assembly. 90 
 Section 8. Section 1 of this Act appropriates 	$87,500 to the Department of Health and Social Services, 91 
Division of Medicaid and Medical Assistance, Medicaid and Medical Assistance (35-02-01) for Medicaid 92 
Technology. The expenditure of these funds shall be contingent upon the passage of Senate Substitute 1 for Senate 93 
Bill 13 or similar legislation of the 152nd General Assembly. 94 
 Section 9. Section 1 of this Act appropriates 	$14,450 to the Department of Health and Social Services, 95 
Division of Public Health, Director’s Office/Support Services (35-	05-10) for Equipment. The expenditure of these 96 
funds shall be contingent upon the passage of House Bill 124 or similar legislation of the 152nd General Assembly. 97   
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 Section 10. Section 1 of this Act appropriates $1,000,000 to the Department of Health and Social Services, 98 
Public Health, Community Health (35-05-20) for implementing the Childhood Lead Poisoning Prevention Advisory 99 
Committee recommendations. 100 
 Section 11. Section 1 of this Act appropriat	es $6,700 for Equipment to the Department of Correction, 101 
Administration, Human Resources (38-	01-02). The expenditure of these funds shall be contingent upon the passage 102 
of Senate Substitute 1 for Senate Bill 164 or similar legislation of the 152nd General Assembly. 103 
 Section 12. Section 1 of this Act appropriates 	$150,000 to the Department of Natural Resources and 104 
Environmental Control (DNREC), Division of Water (40-04-03) for a Non -Tidal Wetlands Study. The expenditure 105 
of these funds shall be used to provide contractual support to lead a collaborative stakeholder process, which shall 106 
include those engaged in the current wetlands stakeholder working group, to complete a programmatic review and 107 
feasibility study, and to develop guidelines and the permitting process for a comprehensive, combined tidal and 108 
nontidal wetland program as recommended in the Senate Joint Resolution 2, of the 151st General Assembly, Report 109 
to the Governor and Legislature, prepared by DNREC, September 29, 2023. 110 
Section 13. Section 1 of this Act appropriates $28,800 for Equipment to the Department of Safety and 111 
Homeland Security, Division of Alcohol and Tobacco Enforcement (45-04-10). The expenditure of these funds shall 112 
be contingent upon the passage of Senate Bill 166 or similar legislation of the 152nd General Assembly. 113 
Section 14. Section 1 of this Act appropriates $	10,464,600 to the Department of Elections. Any funds 114 
remaining after election expenses may be used by the Department of Elections for one-time initiatives upon 115 
approval from the Director of the Office of Management and Budget and the Controller General. These funds shall 116 
not revert to the General Fund. 117 
Section 15. Section 1 of this Act appropriates $250,000 to the Department of Education, District and 118 
Charter operations, Other Items (95-02-02) for a School Cell Phone Pilot Program. These funds shall be used to 119 
establish a voluntary school cell phone pouch pilot program for local education agencies serving students in grades 120 
6-12 to provide technology solutions that reduce the usage of cell phone distractions during learning hours. The 121 
Department of Education shall establish an application and disbursement process for the program and shall provide a 122 
report to the Co-Chairs of the Joint Finance Committee, the Controller General, and the Director of the Office of 123 
Management and Budget on the number of applicants, expenditure of funds, and related performance metrics, such 124 
as changes in school climate, academic performance, etc. as a result of the program by May 1, 2025. 125   
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 Section 16. Section 1 of this Act appropriates $1,200,000 to the Department of Education, Pass Through and 126 
Other Support Programs, Special Needs 	Programs (95-03-20) for School-Based Behavioral Health Technology. The 127 
expenditure of these funds shall be contingent upon passage of House Substitute 1 for House Bill 5 or similar 128 
legislation of the 152nd General Assembly. Prior to the expenditure of these funds, the Department of Education 129 
shall pursue any federal funding opportunities in lieu of these funds. Should federal funds become available, the 130 
funds appropriated under Section 1 of this Act may be reallocated upon approval from the Joint Finance Committee 131 
Co-Chairs, the Director of the Office of Management and Budget, and the Controller General. 132 
 Section 17. Section 1 of this Act appropriates $245,000 to the Department of Education, Pass Through 133 
Programs, Special Needs Programs (95-03-20) for Pre-K Summer Tutoring Pilot 	Program.  The Department of 134 
Education is authorized to transfer the funds to the Red Clay Consolidated School District to manage this program. 135 
Notwithstanding 29 Del. C. c. 69, the Red Clay Consolidated School District is authorized to execute a contract for 136 
services with Reading Assist to pilot this program. 137 
 Section 18. Section 1 of 83 Del. Laws c. 326 appropriated 	$8,730,000 in UCS Server Replacements to 138 
Executive, Office of Management and Budget, Contingencies and One-Time Items (10-02-11). These funds shall be 139 
reprogrammed to ERP Cloud Migration for modernizing the State’s Enterprise Resource Programs. 140 
 Section 19. (a) Amend §5532, Chapter 55, Title 29, Delaware Code, by making deletions as shown by strike 141 
through and insertions as shown by underline as follows: 142 
§ 5532. Increases in pensions 143 
(s) Any monthly service, disability, and survivor pension based on a former service or disability pension 144 
that was effective on or before June 30, 2004, and is payable on July 1, 2024, shall be increased effective 145 
July 1, 2024, by 2%. Any monthly service, disability, and survivor pension based on a former service or 146 
disability pension that was effective on or before June 30, 2019, but after June 30, 2004, and is payable on 147 
July 1, 2024, shall be increased effective July 1, 2024, by 1%. These increases shall continue to be paid 148 
through June 30, 2025, and every fiscal year thereafter, provided that funds are appropriated by the General 149 
Assembly in accordance with § 5544 of this title. 150 
(b) The increases provided by this Act shall not apply to pensions awarded under §5527(d)(1), Chapter 55, 151 
Title 29, Delaware Code. 152   
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(c) Amend §5544, Chapter 55, Title 29, Delaware Code, by making deletions as shown by strike through 153 
and insertions as shown by underline as follows: 154 
§ 5544. Actuarial valuations and appropriations. 155 
(u) (1) The State’s obligation to the State Employees’ Pension Plan, the State Judiciary Retirement Fund, 156 
and the New State Police Retirement Fund to implement the provisions of §5532(s) of this Chapter shall be 157 
funded through the appropriation contained in the Fiscal Year 2025 One-Time Supplemental 158 
Appropriations Act for “Post Retirement Increase Supplement - 	FY 25” and through the Post Retirement 159 
Fund established in §5548 of this title. 160 
(2) The State’s obligation to the Special Pension Fund authorized by Volume 61, Chapter 455, Laws of 161 
Delaware, to implement the provisions of §5532(s) of this title shall be treated as an actuarial loss during 162 
the next actuarial valuation process of the Special Pension Fund. 163 
 
SYNOPSIS 
This Act appropriates $168,362,517 to provide one-time funded projects through the Office of Management 
and Budget. 
 
 
Author: Joint Finance Committee