SPONSOR: Sen. Sokola & Rep. Townsend Lockman Paradee Minor-Brown Harris Osienski Williams DELAWARE STATE SENATE 153rd GENERAL ASSEMBLY SENATE BILL NO. 30 JANUARY 10, 2025 A BOND AND CAPITAL IMPROVEMENTS ACT OF THE STATE OF DELAWARE AND CERTAIN OF ITS AUTHORITIES FOR THE FISCAL YEAR ENDING JUNE 30, 2026; AUTHORIZING THE ISSUANCE OF GENERAL OBLIGATION BONDS OF THE STATE; APPROPRIATING FUNDS FROM THE TRANSPORTATION TRUST FUND; AUTHORIZING THE ISSUANCE OF REVENUE BONDS OF THE DELAWARE TRANSPORTATION AUTHORITY; APPROPRIATING SPECIAL FUNDS OF THE DELAWARE TRANSPORTATION AUTHORITY; APPROPRIATING GENERAL FUNDS OF THE STATE ; REPROGRAMMING CERTAIN FUNDS OF THE STATE; SPECIFYING CERTAIN PROCEDURES, CONDITIONS AND LIMITATIONS FOR THE EXPENDITURE OF SUCH FUNDS; AND AMENDING CERTAIN STATUTORY PROVISIONS. BE IT ENACTED BY THE GENERAL ASSEMBLY OF THE STATE OF DELAWARE (Three -fourths of all members elected to each house thereof concurring therein): Section 1. Fiscal Year 2025 2026 Capital Improvements Project Schedule Addendum. The General 1 Assembly hereby authorizes the following projects in the following amounts for the purposes set forth in this Section and as 2 described in the Fiscal Year 2025 2026 Governor’s Recommended Capital Budget and Project Information document. Any 3 authorization balance (excluding Transportation Trust Fund balances) remaining unexpended or unencumbered by June 30, 4 2027 2028, shall be subject to reversion or reauthorization. 5 OMB:GOV 0211530003 Page 1 of 69 SECTION 1 ADDENDUM FISCAL YEAR 2026 CAPITAL PROJECT SCHEDULE AGENCY/PROJECT INTERNAL PROGRAM UNIT BOND AUTHORIZATION REAUTHORIZATIONS AND REPROGRAMMING TRANSPORTATION TRUST FUNDS GENERAL FUNDS TOTAL 10-02OFFICE OF MANAGEMENT AND BUDGET ERP Cloud Migration 10-02-11 -$ -$ -$ 50,000,000$ 50, 000,000$ Architectural Barrier Removal 10-02-50 - 10,000 - 140,000 150, 000 Carvel State Office Building Maintenance and Restoration 10-02-50 8,000,000 - - - 8,000,000 Department of Labor - Sussex Facility 10-02-50 7,000,000 - - - 7,000,000 Emily P. Bissell Renovation 10-02-50 30,000,000 - - - 30,000,000 Environmental Compliance (UST/Asbestos/Other) 10-02-50 - - - 1,500,000 1, 500,000 Legislative Hall A&E Renovation/Expansion/Parking Garage 10-02-50 50,000,000 - - - 50,000,000 Legislative Hall Minor Capital Improvements and Equipment 10-02-50 - - - 500,000 500,000 Leonard L. Williams Justice Center Improvements 10-02-50 1,800,000 - - - 1,800,000 Minor Capital Improvement and Equipment 10-02-50 9,263,250 61,060 - 675,690 10, 000,000 Old Family Courthouse Renovation Kent 10-02-50 3,500,000 - - - 3,500,000 Old Family Courthouse Renovation Sussex 10-02-50 3,500,000 - - - 3,500,000 Old Troop 4 - Georgetown Renovation 10-02-50 - - - 4,000,000 4, 000,000 Richardson and Robbins Building - Renovation Laboratory Space 10-02-50 1,000,000 - - - 1,000,000 Roof Replacements 10-02-50 5,000,000 - - - 5,000,000 Statewide Deferred Maintenance 10-02-50 5,300,000 - - - 5,300,000 02Judicial Projects Combined Facility for Justice of the Peace Courts 8 Smyrna and 9 Middletown 10-02-50 4,000,000 - - - 4,000,000 Customs House 10-02-50 5,000,000 - - - 5,000,000 Minor Capital Improvement and Equipment 10-02-50 - 84,800 - 826,262 911, 062 Reconfiguration of Justice of the Peace Court 4 Seaford 10-02-50 1,000,000 - - - 1,000,000 15Legal Project Georgetown Renovations - 18 The Circle 10-02-50 - - - 3,500,000 3, 500,000 35Health and Social Services Projects Herman Holloway Campus Mitchell Building Security System Replacement - Phase II 10-02-50 2,500,000 - - - 2,500,000 Minor Capital Improvement and Equipment 10-02-50 - - - 5,750,000 5, 750,000 Roof Replacements 10-02-50 4,500,000 - - - 4,500,000 37Services for Children, Youth and Their Families Projects Minor Capital Improvement and Equipment 10-02-50 - - - 1,000,000 1, 000,000 Secure Care Roof Replacements 10-02-50 1,700,000 - - - 1,700,000 Stockley Building C-6 Renovation 10-02-50 6,000,000 - - - 6,000,000 38Correction Projects Automatic Transfer Switch and Emergency Generator Replacements (HRYCI, BWCI, JTVCC and SCI) 10-02-50 - 2,500,000 - - 2,500,000 Baylor Women's Correctional Institution (BWCI) Infirmary Expansion 10-02-50 8,600,000 - - - 8,600,000 HRYCI West Side, JTVCC Infirmary Roof Top and PCCC Administration Building HVAC Replacements 10-02-50 - 5,886,560 - - 5,886,560 JTVCC Building 13 Roof Replacement 10-02-50 231,654 1,468,346 - - 1,700,000 JTVCC Security Tunnel Repair and Weather Proofing 10-02-50 1,200,000 - - - 1,200,000 Minor Capital Improvement and Equipment 10-02-50 - - - 5,000,000 5, 000,000 A-1 SECTION 1 ADDENDUM FISCAL YEAR 2026 CAPITAL PROJECT SCHEDULE AGENCY/PROJECT INTERNAL PROGRAM UNIT BOND AUTHORIZATION REAUTHORIZATIONS AND REPROGRAMMING TRANSPORTATION TRUST FUNDS GENERAL FUNDS TOTAL 45Safety and Homeland Security Projects Local Law Enforcement Laptop Replacement 10-02-11 - - - 257, 900 257, 900 800 MHz Shelter and Tower Replacement 10-02-50 1,000,000 - - - 1, 000,000 DEMA Facility Maintenance 10-02-50 2,500,000 - - - 2, 500,000 DivComm Radio Shop Renovation 10-02-50 1,500,000 - - - 1, 500,000 Minor Capital Improvement and Equipment 10-02-50 - - - 700, 000 700, 000 65Agriculture Project Minor Capital Improvement and Equipment 10-02-50 - - - 200, 000 200, 000 75State Fire School Project Pole Barn - New Castle Division 10-02-50 750,000 - - - 750, 000 76Delaware National Guard Project Minor Capital Improvement and Equipment 10-02-50 - - - 2, 300,000 2, 300,000 Subtotal 164,844,904$ 10,010,766 $ - $ 76,349,852$ 251,205,522$ 10-08DELAWARE STATE HOUSING AUTHORITY Delaware Workforce Housing Program 10-08-01 - $ - $ - $ 8, 000,000$ 8, 000,000$ Housing Development Fund - Affordable Rental Housing Program 10-08-01 - - - 16, 000,000 16, 000,000 Strong Neighborhoods Housing Fund 10-08-01 - - - 4, 000,000 4, 000,000 Urban Redevelopment 10-08-01 - - - 12, 500,000 12, 500,000 Subtotal - $ - $ - $ 40,500,000$ 40,500,000$ A-2 SECTION 1 ADDENDUM FISCAL YEAR 2026 CAPITAL PROJECT SCHEDULE AGENCY/PROJECT INTERNAL PROGRAM UNIT BOND AUTHORIZATION REAUTHORIZATIONS AND REPROGRAMMING TRANSPORTATION TRUST FUNDS GENERAL FUNDS TOTAL 20STATE Museum Maintenance 20-06-01 459,600$ 40, 400 $ - $ -$ 500, 000$ Glasgow Library 20-08-01 - - - 150, 000 150, 000 Lewes Public Library 20-08-01 118,729 - - - 118, 729 Milford Public Library 20-08-01 622,855 - - - 622, 855 Newark Free Library 20-08-01 200,000 - - - 200, 000 Wilmington Institute Library 20-08-01 125,000 - - - 125, 000 Bioscience Center for Advanced Technology (CAT) 20-10-01 - 32, 000 - 968, 000 1, 000,000 City of Dover/Downtown Dover Partnership 20-10-01 - - - 5, 000,000 5, 000,000 City of Wilmington - Land Bank 20-10-01 - - - 5, 000,000 5, 000,000 City of Wilmington - Kingswood Community Center 20-10-01 - - - 5, 500,000 5, 500,000 City of Wilmington - Workforce Facility 20-10-01 - - - 2, 000,000 2, 000,000 City of Wilmington - Youth Athletic and Recreation 20-10-01 - - - 1, 000,000 1, 000,000 Delaware Clinical and Translational Research (CTR) 20-10-01 - - - 1, 500,000 1, 500,000 Delaware Prosperity Partnership 20-10-01 - 1, 509 - 2, 348,491 2, 350,000 Delaware Strategic Fund 20-10-01 - - - 20, 000,000 20, 000,000 Experimental Program to Stimulate Competitive Research - Research Infrastructure Improvement (EPSCOR-RII) 20-10-01 - 800,000 - - 800,000 IDeA Network for Biomedical Research Excellence (INBRE) 20-10-01 - - - 2, 000,000 2, 000,000 Laboratory Space 20-10-01 - - - 4, 700,000 4, 700,000 National Institute for Innovation in Manufacturing Biopharmaceuticals (NIIMBL) 20-10-01 - - - 5, 000,000 5, 000,000 Riverfront Development Corporation 20-10-01 - - - 9, 750,000 9, 750,000 Site Readiness Fund 20-10-01 - - - 10, 000,000 10, 000,000 Subdivision Street Pavement Management 20-10-01 - - - 10, 000,000 10, 000,000 Transportation Infrastructure Investment Fund 20-10-01 - 980, 000 - 4, 020,000 5, 000,000 Subtotal 1,526,184$ 1,853,909 $ - $ 88,936,491$ 92,316,584$ 35HEALTH AND SOCIAL SERVICES Production and Non-production Storage Access Network (SANS) 35-01-20 - $ - $ - $ 1, 133,000$ 1, 133,000$ Maintenance and Restoration 35-01-30 - 47, 104 - 7, 452,896 7, 500,000 Drinking Water State Revolving Fund 35-05-20 - - - 5, 529,200 5, 529,200 Subtotal - $ 47,104 $ - $ 14,115,096$ 14,162,200$ 37SERVICES FOR CHILDREN, YOUTH AND THEIR FAMILIES Maintenance and Restoration 37-01-15 - $ - $ - $ 200, 000$ 200, 000 $ Subtotal - $ - $ - $ 200,000$ 200,000 $ 38CORRECTION Level IV and V Security Camera Equipment 38-04-40 - $ 6, 158,160$ - $ 6, 158,160$ Maintenance and Restoration 38-04-40 - - - 5, 000,000 5, 000,000 Subtotal - $ 6,158,160 $ - $ 5,000,000$ 11,158,160$ A-3 SECTION 1 ADDENDUM FISCAL YEAR 2026 CAPITAL PROJECT SCHEDULE AGENCY/PROJECT INTERNAL PROGRAM UNIT BOND AUTHORIZATION REAUTHORIZATIONS AND REPROGRAMMING TRANSPORTATION TRUST FUNDS GENERAL FUNDS TOTAL 40NATURAL RESOURCES AND ENVIRONMENTAL CONTROL Delaware Bayshore Initiative 40-01-01 - $ - $ - $ 500, 000$ 500, 000 $ Minor Capital Improvement and Equipment 40-01-01 - - - 1, 000,000 1, 000,000 Clean Water State Revolving Fund 40-01-06 - - - 7, 634,400 7, 634,400 Park Facility Rehab and Public Recreational Infrastructure 40-03-02 - - - 12, 500,000 12, 500,000 Redevelopment of Strategic Sites (Fort DuPont) 40-03-02 - - - 2, 250,000 2, 250,000 Statewide Trails and Pathways 40-03-02 - - - 3, 000,000 3, 000,000 Conservation Cost Share 40-03-04 - - - 3, 200,000 3, 200,000 Conservation Reserve Enhancement Program (CREP) 40-03-04 - - - 25, 000 25, 000 Debris Pits 40-03-04 - - - 1, 000,000 1, 000,000 Dikes/Dams 40-03-04 - - - 1, 000,000 1, 000,000 Resource, Conservation and Development 40-03-04 - - - 5, 000,000 5, 000,000 Shoreline and Waterway Management 40-03-04 - - - 10, 000,000 10, 000,000 Tax Ditches 40-03-04 - - - 2, 148,700 2, 148,700 Statewide Groundwater Monitoring Network 40-04-03 - - - 250, 000 250, 000 Subtotal - $ - $ - $ 49,508,100$ 49,508,100$ 65AGRICULTURE Critical Equipment for Operations 65-01-01 - $ - $ - $ 250, 000$ 250, 000 $ Cover Crop Investment 65-01-12 - - - 4, 000,000 4, 000,000 Subtotal - $ - $ - $ 4,250,000$ 4,250,000$ 75FIRE SCHOOL Hydraulic Rescue Tools Replacement 75-02-01 - $ - $ - $ 142, 500$ 142, 500 $ Subtotal - $ - $ - $ 142,500$ 142,500 $ 76DELAWARE NATIONAL GUARD Cheswold Readiness Center - Design/Site Prep/Construction 76-01-01 3,850,000$ - $ - $ -$ 3, 850,000$ Civil Support Team (CST) Expansion 76-01-01 1,500,000 - - - 1, 500,000 Maintenance and Restoration 76-01-01 - - - 200, 000 200, 000 Subtotal 5,350,000$ - $ - $ 200,000$ 5,550,000$ 90-01UNIVERSITY OF DELAWARE Biden Hall 90-01-01 - $ - $ - $ 20, 000,000$ 20, 000,000$ Deferred Maintenance / Campus Improvements 90-01-01 - - - 20, 000,000 20, 000,000 Subtotal - $ - $ - $ 40,000,000$ 40,000,000$ 90-03DELAWARE STATE UNIVERSITY Campus Improvements / Deferred Maintenance 90-03-01 - $ - $ - $ 20, 000,000$ 20, 000,000$ Subtotal - $ - $ - $ 20,000,000$ 20,000,000$ 90-04DELAWARE TECHNICAL COMMUNITY COLLEGE Critical Capital Needs / Deferred Maintenance 90-04-01 - $ - $ - $ 20, 000,000$ 20, 000,000$ Subtotal - $ - $ - $ 20,000,000$ 20,000,000$ A-4 SECTION 1 ADDENDUM FISCAL YEAR 2026 CAPITAL PROJECT SCHEDULE AGENCY/PROJECT INTERNAL PROGRAM UNIT BOND AUTHORIZATION REAUTHORIZATIONS AND REPROGRAMMING TRANSPORTATION TRUST FUNDS GENERAL FUNDS TOTAL 95EDUCATION Architectural Barrier Removal 95-01-01 102,201$ 57, 799 $ - $ -$ 160, 000$ Minor Capital Improvement and Equipment 95-01-01 23,055,473 6, 944,527 - - 30, 000,000 School Safety and Security 95-01-01 - - - 9, 138,000 9, 138,000 Smyrna, Clayton Intermediate Addition (77/23) 95-24-00 6,056,400 - - - 6, 056,400 Smyrna, North Smyrna ES Addition/Renovation (77/23) 95-24-00 8,411,200 - - - 8, 411,200 Appoquinimink, New MS/HS at Summit Campus (77/23) 95-29-00 18,438,958 - - - 18,438,958 Red Clay, AI duPont MS Renovations (60/40) 95-32-00 4,218,068 - - - 4,218,068 Red Clay, Brandywine Springs School Renovations (60/40) 95-32-00 5,622,207 - - - 5,622,207 Red Clay, Conrad Schools of Science Renovations (60/40) 95-32-00 1,065,187 - - - 1,065,187 Red Clay, Dickinson HS Renovations (60/40) 95-32-00 8,074,280 - - - 8,074,280 Red Clay, Forest Oak ES Renovations (60/40) 95-32-00 513,187 - - - 513,187 Red Clay, Johnson ES Renovations (60/40) 95-32-00 3,736,569 - - - 3,736,569 Red Clay, Lewis ES Renovations (60/40) 95-32-00 5,321,668 - - - 5,321,668 Red Clay, Linden Hill ES Renovations (60/40) 95-32-00 530,549 - - - 530,549 Red Clay, McKean HS Renovations (60/40) 95-32-00 13,042,741 - - - 13,042,741 Red Clay, Mote ES Renovations (60/40) 95-32-00 7,519,821 - - - 7,519,821 Red Clay, Richardson Park ES Renovations (60/40) 95-32-00 581,468 - - - 581,468 Red Clay, Skyline MS Renovations (60/40) 95-32-00 515,944 - - - 515,944 Red Clay, Stanton MS Renovations (60/40) 95-32- 00 9,725,786 - - - 9,725,786 Red Clay, Warner ES Renovations (60/40) 95-32-00 858,043 - - - 858,043 Colonial, Gunning Bedford MS Renovations (60/40) 95-34-00 2,245,049 - - - 2,245,049 Colonial, McCullough MS Renovations (60/40) 95-34-00 383,179 - - - 383,179 Colonial, New Castle ES Renovations (60/40) 95-34-00 5,642,233 - - - 5,642,233 Colonial, William Penn HS Renovations (60/40) 95-34-00 10,817,207 26,678,593 - - 37,495,800 Colonial, Wilmington Manor ES Renovations (60/40) 95-34-00 227,078 - - - 227,078 NCCVT, Paul M. Hodgson Replacement (62/38) 95-38-00 16,777,572 - - - 16,777,572 Sussex Tech, New Sussex Tech HS (60/40) 95-40-00 10,698,900 - - - 10,698,900 Christina, Delaware School for the Deaf Renovations (100% State) 95-51-00 1,685,070 22,946 - - 1,708,016 Red Clay, Meadowood School Renovations (60/40) 95-54-00 1,917,874 - - - 1,917,874 Subtotal 167,783,912$ 33,703,865 $ - $ 9,138,000$ 210,625,777$ SUBTOTAL NON-TRANSPORTATION 339,505,000$ 51,773,804$ - $ 368, 340,039$ 759, 618,843$ 55DEPARTMENT OF TRANSPORTATION Road System 55-05-00 - $ - $ 167, 890,836$ - $ 167, 890,836$ Grants and Allocations 55-05-00 - - 38, 680,000 - 38, 680,000 Transit System 55-05-00 - - 6, 278,400 - 6, 278,400 Support System 55-05-00 - - 42, 372,523 - 42, 372,523 Subtotal - $ - $ 255,221,759$ - $ 255,221,759$ GRAND TOTAL 339,505,000$ 51,773,804 $ 255,221,759$ 368,340,039$ 1,014,840,602$ A- 5 Section 2. Authorization of Twenty-Year Bonds. The State hereby authorizes the issuance of bonds, to 1 which the State shall pledge its full faith and credit, such bonds to be issued in such principal amount as necessary to 2 provide proceeds to the State in the amount of $317,480,000 $339,505,000 and in the amount of $90,357,205 3 $90,828,738 local share of school bonds, at the discretion of the school district. Bonds authorized to be used by this 4 Section shall mature not later than 20 years from their date of issuance. The proceeds of such bonds, except for local 5 share of school bonds, are hereby appropriated for a portion of the purposes set forth in Section 1 Addendum of this 6 Act and summarized as follows: 7 Department, Agency or Instrumentality A mount 8 Office of Management and Budget $125, 808,600 $164,844,904 9 Department of State 7,946 ,417 1,526,184 10 Department of Health and Social Services 4,750 ,000 11 Department of Agriculture 200,0 00 12 Delaware National Guard 791,8 75 5,350,000 13 Education $177,983 ,108 $167,783,912 14 Max imum 15 Purpose St ate Share Local Share Total Cost 16 Minor Capital Improvement and Equipment 18,1 76,150 8,648,415 26,824,565 17 Smyrna, Clayton Intermediate Addition (77/23) 11, 769,900 5,324,700 17,094,600 18 Smyrna, New 600 Student E/S (77/23) 6, 800,600 2,031,400 8,832,000 19 Smyrna, North Smyrna ES Addition/Renovation (77/23) 16,3 59,500 7,399,000 23,758,500 20 Appoquinimink, New MS and HS at Summit 21 Campus (100% Local) 10,00 0,000 10,000,000 22 Red Clay, AI duPont MS Renovations (60/40) 3 49,322 232,882 582,204 23 Red Clay, Brandywine Springs School Renovations (60/40) 4 65,607 310,405 776,012 24 Red Clay, Dickinson HS Renovations (60/40) 6 68,677 445,785 1,114,462 25 Red Clay, Heritage ES Renovations (60/40) 3, 418,310 2,278,873 5,697,183 26 Red Clay, Johnson ES Renovations (60/40) 30 9,447 206,298 515,745 27 Red Clay, Lewis ES Renovations (60/40) 44 0,718 293,812 734,530 28 Red Clay, McKean HS Renovations (60/40) 1,080,144 720,096 1,800,240 29 2 Red Clay, Mote ES Renovations (60/40) 622,760 415,173 1,037,933 1 Red Clay, Stanton MS Renovations (60/40) 8 05,449 536,965 1,342,414 2 Colonial, Eisenberg ES Renovations (60/40) 4 21,923 281,282 703,205 3 Colonial, Gunning Bedford MS Renovations (60/40) 6 53,191 435,461 1,088,652 4 Colonial, William Penn HS Renovations (60/40) 3, 105,242 2,070,162 5,175,404 5 NCCVT, Howard HS Stadium Planning and Design (60/40) 666,667 666,667 6 NCCVT, Paul M. Hodgson Replacement (62/38) 33,599,895 20,520,618 54,120,513 7 NCCVT, Paul M. Hodgson Vocational Technical 8 High School Field House (100% Local) 3, 599,138 3,599,138 9 Polytech, Polytech HS Roof Replacement (79/21) 2, 499,224 664,351 3,163,575 10 Polytech, Polytech HS Walkway Enclosure (79/21) 4 53,873 120,650 574,523 11 Sussex Tech, New Sussex Tech HS (60/40) 34,2 36,300 22,824,216 57,060,516 12 Christina, Delaware School for the 13 Deaf Renovations (100% State) 3, 795,593 3,795,593 14 Colonial, New Leach School (100% State) 37,4 55,000 37,455,000 15 Red Clay, Meadowood School Extended 16 Renovations (60/40) 3 37,453 224,969 562,422 17 Red Clay, Meadowood School Renovations (60/40) 1 58,830 105,887 264,717 18 Subtotal 177,9 83,108 90,357,205 268,340,313 19 TOTA L $317,480,000 20 Max imum 21 Purpose St ate Share Local Share Total Cost 22 Architectural Barrier Removal 10 2,201 106,700 208,901 23 Minor Capital Improvement and Equipment 23,05 5,473 14,030,406 37,085,879 24 Smyrna, Clayton Intermediate Addition (77/23) 6, 056,400 1,809,000 7,865,400 25 Smyrna, North Smyrna ES Addition/Renovation (77/23) 8, 411,200 2,512,400 10,923,600 26 Appoquinimink, New MS and HS at Summit 27 Campus (77/23) 18,43 8,958 5,507,741 23,946,699 28 Red Clay, AI duPont MS Renovations (60/40) 4, 218,068 2,812,045 7,030,113 29 Red Clay, Brandywine Springs School Renovations (60/40) 5, 622,207 3,748,138 9,370,345 30 Red Clay, Conrad Schools for Science Renovations (60/40) 1,065,187 710,124 1,775,311 31 3 Red Clay, Dickinson HS Renovations (60/40) 8,074,280 5,382,852 13,457,132 1 Red Clay, Forest Oak ES Renovations (60/40) 5 13,187 342,125 855,312 2 Red Clay, Johnson ES Renovations (60/40) 3, 736,569 2,491,046 6,227,615 3 Red Clay, Lewis ES Renovations (60/40) 5, 321,668 3,547,778 8,869,446 4 Red Clay, Linden Hill ES Renovations (60/40) 5 30,549 353,699 884,248 5 Red Clay, McKean HS Renovations (60/40) 13,042,741 8,695,161 21,737,902 6 Red Clay, Mote ES Renovations (60/40) 7, 519,821 5,013,214 12,533,035 7 Red Clay, Richardson Park ES Renovations (60/40) 5 81,468 387,645 969,113 8 Red Clay, Skyline MS Renovations (60/40) 515,944 343,963 859,907 9 Red Clay, Stanton MS Renovations (60/40) 9, 725,786 6,483,858 16,209,644 10 Red Clay, Warner ES Renovations (60/40) 8 58,043 572,029 1,430,072 11 Colonial, Gunning Bedford MS Renovations (60/40) 2, 245,049 1,496,698 3,741,747 12 Colonial, McCullough MS Renovations (60/40) 3 83,179 255,452 638,631 13 Colonial, New Castle ES Renovations (60/40) 5, 642,233 3,761,489 9,403,722 14 Colonial, Wil liam Penn HS Renovations (60/40) 10,817,207 10,817,207 15 Colonial, Wilmington Manor ES Renovations (60/40) 2 27,078 151,385 378,463 16 NCCVT, Paul M. Hodgson Replacement (62/38) 16, 777,572 10,283,028 27,060,600 17 NCCVT, Paul M. Hodgson Vocati onal Technical 18 High School Field House (100% Local) 1, 619,612 1,619,612 19 Sussex Tech, New Sussex Tech HS (60/40) 10,6 98,900 7,132,568 17,831,468 20 Christina, Delaware School for the 21 Deaf Renovations (100% State) 1, 685,070 1,685,070 22 Red Clay, Meadowood School Renovations (60/40) 1, 917,874 1,278,582 3,196,456 23 Subtotal 167,7 83,912 90,828,738 258,612,650 24 TOTA L $339,505,000 25 Section 3. Appropriation of Ge neral Funds. It is the intent of the General Assembly that $427,464,897 26 $368,340,039 be appropriated to the following departments of the State and in the following amount for the purposes 27 set forth in the Section 1 Addendum of this Act. Any funds remaining unexpended or unencumbered by June 30, 2027 28 2028 shall revert to the General Fund of the State of Delaware. 29 4 Department, Agency or Instrumentality Amount 1 Office of Management and Budget $108, 296,751 $76,349,852 2 Delaware State Housing Authority 15,50 0,000 40,500,000 3 Department of Technology and Information 18,56 7,000 4 State 146,8 75,000 88,936,491 5 Finance 5,000 ,000 6 Health and Social Services 13,00 0,000 14,115,096 7 Services for Children, Youth and their Families 200,0 00 8 Correction 5,000 ,000 9 Natural Resources and Environmental Control 37,29 8,700 49,508,100 10 Safety and Homeland Security 3,500 ,000 11 Agriculture 6,290 ,000 4,250,000 12 Fire Prevention Commission 142,5 00 13 Delaware National Guard 200,0 00 14 University of Delaware 17,00 0,000 40,000,000 15 Delaware State University 17,00 0,000 20,000,000 16 Delaware Technical Community College 17,00 0,000 20,000,000 17 Education 22,13 7,446 9,138,000 18 TOTA L $427,464,897 $368,340,039 19 Section 4. T ra nsfer to the State Treasurer’s Agency Bond Reversion Account. 20 Department, Agency, Instrumentality Appropriation Code Amount 21 Office of Management and Budget 22 N 2012-10-02-11-50369 $1,958,125.01 23 New Troop 7 - Lewes 2017-10-02-50-50055 173.85 24 Veteran’s Home Generator 2021-10 -02-50-50212 900,000.00 25 Motor Pool Building Conversion 2020-10 -02-50-50200 $221,903.61 26 Veteran’s Home Generator 2021-10 -02-50-50212 61,060.60 27 BWCI HVAC Replacement 2022-10 -02-50-50304 262,692.00 28 New JTVCC Sally Port/Intake 2025-10 -02-50-50042 8,000,000.00 29 Department of Health and Social Services 30 Wellness Center 2022-35 -05-20-50257 47,103.75 31 Delaware National Guard 32 FMS #1 Conversion Project 2024-76 -01-01-50535 2,250,000.00 33 5 Department of Education 1 Brandywine, Environmental Compliance 2018-95 -31-00-50002 33.00 2 NCC Votech, Environmental Compliance 2018-95 -38-00-50002 19,161.70 3 TOTA L $5,127,493.56 $8,592,759.96 4 Section 5. Tr an sfer from the State Treasurer’s Agency Bond Reversion Account. 5 Notwithstanding the provisions of any other state law, the State Treasurer shall transfer, as funds become 6 available, the sum of $5,127,493.56 $8,592,759.96 from the State Treasurer’s Bond Reversion Account (94 - 7 12-05-03-50015) to the following departments in the following amount for the purpose set forth in the Section 8 1 Addendum of this Act. 9 Department, Agency, Instrumentality Amount 10 Office of Management and Budget 11 OMB Project 12 E 13 Minor Capital Improvement and Equipment $61,060.60 14 Correction Projects 15 A nts 16 ( 900,000.00 2,500,000.00 17 HYRCI West Side, JTVCC Infirmary Roof Top and PCCC 18 Administration Building HVAC Replacements 5, 886,560.00 19 JTVCC Building 13 Roof Replacement 98,035.61 20 Safety and Homeland Security Project 21 New Troop 4 - Georgetown 173.85 22 Department of Health and Social Services 23 Maintenance and Restoration 47,103.75 24 Delaware National Guard 25 Dagsboro Readiness Center Design and Expansion 1,708,125.01 26 Scannell Readiness Center Expansion/Renovations 2, 500,000.00 27 TOTA L $5,127,493.56 $8,592,759.96 28 Section 6. Transfer to the State Treasurer’s School Bond Reversion Account. 29 Project Appropriation Code Amount 30 Minor Capital Improvement and Equipment 2019/ 20-95-01-01-50022 $46,679.00 31 Minor Capital Improvement and Equipment 2014/1 5/16/17/18-95-01-05-50022 37,521.43 32 Minor Capital Improvement and Equipment 2020-95-10 -00-50022 2,442.50 33 Minor Capital Improvement and Equipment 2017/ 18-95-15-00-50022 33.44 34 Minor Capital Improvement and Equipment 2016/1 7/18-95-31-00-50022 1,997.63 35 Voc Equipment Replacement 2015/1 6/17/18- 95-31-00-50324 2.00 36 Architectural Barrier Removal 2013/1 7/21-95-31-00-50392 6.82 37 Minor Capital Improvement and Equipment 2013/1 4-95-32-00-50022 640.75 38 Minor Capital Improvement and Equipment 2014/1 7/18-95-33-00-50022 1,480.48 39 Voc Equipment Replacement 2013/1 4/15/16/17/18/20-95-33-00-50324 3,596.35 40 Architectural Barrier Removal 2013/1 4/16-95-33-00-50392 3,570.68 41 6 Minor Capital Improvement and Equipment 2017/ 19-95-34-00-50022 3,138.67 1 Voc Equipment Replacement 2013-95-34 -00-50324 2,453.00 2 Voc Equipment Replacement 2019-95-35 -00-50324 687.83 3 Minor Capital Improvement and Equipment 2020-95-36 -00-50022 .01 4 Minor Capital Improvement and Equipment 2021-95-37 -00-50022 .49 5 Voc Equipment Replacement 2020-95-37 -00-50324 335.60 6 Roof Repairs at Howard HS Skill Center 2015-95-38 -00-50017 787.00 7 Voc Equipment Replacement 2017/1 9/21-95-38-00-50324 .17 8 Minor Capital Improvement and Equipment 2019-95-53 -00-50022 469.43 9 Minor Capital Improvement and Equipment 2014/1 5/16/17- 95-54-00-50022 22,371.38 10 Minor Capital Improvement and Equipment 2014-95-68 -00-50022 .03 11 Minor Capital Improvement and Equipm ent 2018-95-76-00-50022 .20 12 Minor Capital Improvement and Equipment 2017-95-82 -00-50022 .01 13 Minor Capital Improvement and Equipment 2023-95-01 -01-50022 $1,465.00 14 Caesar Rodney, St. Thomas More Renovations 2023-95-10 -00-50347 6,824,920.00 15 TOTA L $128,214.90 $6,826,385.00 16 Section 7. Transfer from the State Treasurer’s School Bond Reversion Account. Notwithstanding 17 t he provisions of any other state law, the State Treasurer shall transfer, as funds become available, the sum of 18 $128,214.90 $6,826,385.00 from the State Treasurer’s Bond Reversion Account (94- 12-05-03-50229) to the 19 following department in the following amount for the purpose set forth in the Section 1 Addendum of this Act. 20 Department, Agency or Instrumentality Amount 21 Education 22 M $123,850.40 $6,826,385.00 23 Architectural Barrier Removal 3,577.50 24 NCCVT, Paul M. Hodgson Replacement (62/38) 787. 00 25 TOTA L $128,214.90 $6,826,385.00 26 Section 8. General Fund Reprogramming. (a) Notwithstanding the provisions of any other state 27 law, the General Assembly hereby directs the State Treasurer to transfer appropriation balances, not in excess 28 of the balances below from the following General Fund projects and reauthorizes the funds to the departments 29 listed in subsection (b) of this Section, according to the purposes in the Section 1 Addendum of this Act. 30 Department, Agency or Instrumentality Appropriation Code Amount 31 Office of Management and Budget 32 C 2019-10-02-11-10092 $337,779 33 Baylor Women’s Residential 34 Treatment Unit 2022-10 -02-50-10258 3,276,000 35 JTVCC New Sally Port/Intake Facility 2023-10 -02-50-10302 $2,934,770.28 36 JTVCC New Sally Port/Intake Facility 2024-10 -02-50-10302 4,593,700.00 37 Department of State 38 Veterans Home Bus Replacement 2024-20 -09-01-10051 40,400.00 39 Experimental Program to Stimulate 40 Competitive Research (EPSCOR-RII) 2023-20-10-01-10066 32,000.00 41 7 E 1 Competitive Research (EPSCOR-R II) 2024-20-10-01-10066 800,000.00 2 Transportation Infrastructure 3 Investment Fund 2022-20 -10-01-10185 900,000.00 4 Transportation Infrastructure 5 Investment F und 2023-20-10-01-10185 80,000.00 6 Department of Education 7 DOE Market Pressure 2024-95 -01-01-10187 26,678,593.12 8 Minor Capital Improvement 9 and Equipment 2024-95 -01-01-10230 1,769.00 10 TOTA L $3,613,779 $36,061,232.40 11 (b) Department, Agency or Instrumentality A mount 12 Office of Management and Budget 13 James T. Vaughn Correctional Center - B uilding 13 Roof Replacement $1,370,310.28 14 Department of State 15 Museum Maintenance 40, 400.00 16 Bioscience Center for Advanced Technology (CAT) 32, 000.00 17 Experimental Program to Stimulate 18 Competitive Research (EPSCOR-R II) 800,000.00 19 Transportation Infrastructure 20 Investment Fund 980, 000.00 21 Department of Correction 22 M 3,276,000.00 23 Level IV and V Security Camera Equipment 6, 158,160.00 24 Delaware National Guard 25 Maintenance and Restoration 200,000.00 26 Cheswold Readiness Center – D esign 137,779.00 27 Department of Education 28 Minor Capital Improvement and Equipment 1, 769.00 29 Colonial, William Penn HS Renovations 26, 678,593.12 30 TOTA L $3,613,779.00 $36,061,232.40 31 Section 9. Special Fund Reprogramming. (a ) Notwithstanding the provisions of any other state law, 32 the General Assembly hereby directs the State Treasurer to transfer appropriation balances not in excess of the 33 balances below from the following Special Funds and reauthorizes the funds to the departments listed in 34 subsection (b) of this Section, according to the purposes in the Section 1 Addendum of this Act. 35 Department, Agency, or Instrumentality Appr opriation Code Amount 36 Judicial 37 Tech Fund 2018-02-17 -01-25000 $0.77 38 Court Security 2014-02-17 -01-25199 84,797.20 39 Office of Management and Budget 40 Complete Communities 2012-10-02 -11-25117 10,000.00 41 8 Department of State 1 Urban Redevelopment 2020-20-10 -01-25374 1,508.50 2 Department of Safety and Homeland Security 3 Twin Engine Helicopter 2021-45-01 -01-25375 2.53 4 Department of Education 5 Architectural Barrier 2012-95-01 -05-25029 1,465.00 6 Minor Capital Improvements 7 and Equipment 2012-95-01 -05-25102 116,373.00 8 Architectural Barrier 2015-95-01 -05-25348 54,280.82 9 Architectural Barrier 2012-95-31 -00-25029 2,053.45 10 Christina Renovate Brennan School 2018-95-33 -00-25392 22,945.37 11 TOTA L $293,426.64 12 (b) Department, Agency, or Instrumentality Appr opriation Code Amount 13 Judicial 14 Minor Capital Improvements 15 and Equipment $84,800.50 16 Office of Management and Budget 17 Architectural Barrier 10, 000.00 18 Department of State 19 Delaware Prosperity Partnership 1, 508.50 20 Department of Education 21 Architectural Barrier 57, 799.27 22 Minor Capital Improvements and Equipment 116,3 73.00 23 Christina, Delaware School for the Deaf Renovations 22, 945.37 24 TO TAL $293,426.64 25 Section 10. Co ntinuing Appropriations. For the fiscal year ending June 30, 202 4 2025, any sums 26 in the following accounts shall remain as continuing appropriations and shall not be subject to reversion until 27 June 30, 2025 2026. 28 Fiscal Year(s) A ppropriation Code Description 29 2022/23 01 -08-02-10093 Community Reinvestment Fund 30 2019 01-08-02-10113 Technology Fund 31 2022 02-03-10-10020 MCI – Judicial 32 2020 02-06-10-10 020 MCI – Judicial 33 2020/22 02-13-10-10 020 MCI – Judicial 34 2019/22 02-17-01-10 020 MCI – Judicial 35 2023 10-02-11-10 009 ERP 36 2019 10-02-11-10 092 Construction/Federal Contingency 37 2020 10-02-11-10 093 Community Reinvestment Fund 38 2020 10-02-11-10094 Municipal Infrastructure Fund 39 2019 10-02-11-10113 Technology Fund 40 2023 10-02-11-10918 Clean Water 41 2012 10-02-11-50 369 New Jobs Infrastructure 42 2023 10-02-50-10 001 Legislative Hall Improvements 43 9 2023 10-02-50-10005 CSOB Maintenance and Restoration 1 2022/23 10-02-50-10 020 MCI/Judicial 2 2022/23 10-02-50-10 023 MCI/DHSS 3 2022/23 10-02-50-10 025 MCI/Safety 4 2022/23 10-02-50-10 026 MCI/STATE 5 2020/ 2022/2 3 10-02-50-10027 MCI/DSCYF 6 2020/ 2022/2 3 10-02-50-10031 MCI/DOC 7 2021 10-02-50-10 035 MCI/DNG 8 2022 10-02-50-10075 Security, Technology 9 2023 10-02-50-10091 Roof Replacements 10 2022/23 10-02-50-10 122 Deferred Maintenance 11 2019 10-02-50-10125 Veterans Home Bathing 12 2020 10-02-50-10156 Veterans Home Dental Suite 13 2023 10-02-50-10172 800 MHz Shelter Replacement 14 2022/23 10-02-50-10 181 CSOB Mechanical Upgrades 15 2022/23 10-02-50-10 186 Cleveland White Renovations 16 2023 10-02-50- 10187 Market Pressure 17 2023 10-02-50-10 206 CSOB Mechanical Upgrades 18 2022 10-02-50-10214 Richardson and Robinson Mech Upgrades 19 2022/23 10 -02-50-10220 Kent and Sussex Family Court Facilities 20 2022/23 10-02-50-10 221 Customs House 21 2022 10-02-50-10222 Delaware Psychiatric Center Anti-Ligature 22 2022 10-02-50-10223 Holloway Campus Electrical System Replacement 23 2022 10-02-50-10224 Holloway Campus Mitchell Building HVAC 24 2022 10-02-50-10227 State Service Center Redesign and Improvements 25 2022/23 10 -02-50-10230 MCI Equipment 26 2022/23 10-02-50-10 238 Absalom Jones Performing Arts Center 27 2022 10-02-50-10 255 JVTCC Security Door 28 2022 10-02-50-10256 SCI Door & Door Jamb Replacements 29 2022 10-02-50-10257 HRYCI Security Door Replacements 30 2022 202 10-02-50-10258 BWCI Residential Treatment Unit 31 2022/23 10-02-50-10 259 New Troop 6 - Wilmington 32 2022/23 10-02-50-10280 MCI & Eq DDA 33 2022 10-02-50-10282 Generator – New Castle Fire Training Center 34 2023 10-02-50-10286 Herman Holloway Campus Improvements 35 2023 10-02-50-10 287 Howard R Young Improvements 36 2023 10-02-50-10 288 Planning/Engineering Studies 37 2023 10-02-50-10 290 DHCI Renovations 38 2023 10-02-50-10 291 Jesse Cooper Building Improvements 39 2023 10-02-50-10 292 LL Williams Justice Center Improvements 40 2023 10-02-50-10 293 900 King Street Renovations 41 2023 10-02-50-10 298 BWCI Renovations 42 2023 10-02-50-10 300 HRYCI Renovations 43 2023 10-02-50-10 302 JVTCC Renovations 44 2023 10-02-50-10 303 New Troop 4 – Georgetown 45 2023 10-02-50-10 316 Planning and Engineering 46 2023 10-02-50-10 318 Fire School Renovation 47 2023 10-02-50-10 325 Domestic Violence Coordinating Council 48 2023 10-02-50-10 343 Land and Buildings Acquisition 49 2022 10-02-50-50 005 Roof Replacements OMB 50 2009 10-02-50-50 006 800 MHz 51 2020/22 10-02-50-50009 Kent and Sussex Judicial Court Facilities 52 2021 10-02-50-50010 Veterans Home Bathing 53 2016/17/22 10-02-50-50021 HRYCI Old Kitchen Space Renovation 54 10 2019 10-02-50-50055 New Troop 7, Lewes 1 2021 10-02-50-50060 MCI - Judicial 2 2021 10-02-50-50061 MCI – Dept of State 3 2021 10-02-50-50 066 MCI – Safety & Homeland 4 2020 10-02-50-50199 JTVCC Perimeter Fence 5 2020 10-02-50-50200 Motor Pool Bldg Conver 6 2021 10-02-50-50212 Veterans Home Generator 7 2021 10-02-50-50220 Minor Capital Imp & Eq 8 2022 10-02-50-50243 Sussex County Courthouse Improvements 9 2021 10-02-50-50301 Leonard L. Williams Justice Center Improvement 10 2022 10-02-50-50302 Legislative Hall Improvements 11 2022 10-02-50-50303 Absalom Jones Improvements 12 2022 10-02-50-50304 BWCI HVAC Replacement 13 2021 10-02-50-50306 MCI OMB 14 2020 10-02-50-50 370 Roof Replacement – DHSS 15 2023 10-02-50-50 523 New Troop 4 - Georgetown 16 2015 10-02-50-59920 G enerator Replacements 17 2022 10-02-50-59 952 Environmental Compliance 18 2022 10-02-50-59964 Leonard L. Williams Justice 19 2020 10-02-50-59965 Veterans Home Bathing 20 2021/ 20 22 10-02-50-59976 Minor Cap Improv & Equ 21 2023 10-02-50-59 987 Minor Cap Improvements 22 2023 10-07-01-10 325 Domestic Violence Coordinating Council 23 1994 12-05-03-50015 Agency Reversions 24 1994 12-05-03-50229 School Reversions 25 2020 20-06-01-10122 Deferred Maintenance 26 2023 20-06-01-10132 Park Rehab – Fort Christina 27 2020/23 20-06-01-10 184 Weldin House Improvements 28 2022 20-06-01-10265 Nassau School 29 2022 20-06-01-10268 Read House 30 2022 20-06-01-50 069 Museum Maintenance 31 2020 20-06-01-59966 John Dickinson Plantation 32 2023 20-08-01-10104 Harrington Public Library 33 2022/23 20-08-01-10 261 North Wilmington Public Library 34 2023 20-08-01-10 310 Corbit-Calloway Memorial Library 35 2023 20-08-01-10 311 Duck Creek Regional Library 36 2023 20-08-01-10 312 Newark Free Library 37 2023 20- 08-01-10313 Rehoboth Beach Public Library 38 2023 20-08-01-10 314 Selbyville Public Library 39 2018 20-08-01-50 065 Harrington Public Library 40 2021 20-08-01-50 116 Selbyville Public Library 41 2021 20-08-01-50214 Rehoboth Beach Public Library 42 2017/18/ 20 20-08-01-50364 Duck Creek Regional Library 43 2019 20-08-01-59958 Duck Creek Regional Library 44 2020 20-08-01-59967 North Wilmington Public Library 45 2020/21 20-08-01-59968 Rehoboth Beach Public Library 46 2023 20-10-01-10066 EPSCoR-Exper Program 47 2023 20-10-01-10 167 Laboratories 48 2022/23 20-10-01-10 185 Transportation Infrastructure Investment Fund 49 2022/23 20-10-01-10 262 Site Readiness Fund 50 2022 20-10-01-10267 Grand Opera House 51 2023 25-05-01-10009 ERP 52 2022 2023 35-01-30-10118 Maintenance and Restoration DHSS 53 2022 35-01-30-50088 DPH Lab Renovation and Expansion 54 11 2023 35-05-20-10074 Drinking Water State Revolving Fund 1 2022 35-05-20-50257 School Wellness Center 2 2021 35-05-20-59979 Drinking Water State Revolving Fund 3 2022 35-07-02-10229 State Service Center CAPS Replacement 4 2022 35-12-30-10 229 State Service Center CAPS Replacement 5 2022/23 38-04-40-10 075 Level IV and V Security Camera Equipment 6 2021 38-04-40-10 207 700 MHz Radio System Upgrade 7 2022 38-04-40-10218 Technology Systems 8 2022 38-04-40-10255 JVTCC Security Door 9 2022/23 40-01-01-10 044 Delaware Bayshore Initiative 10 2023 40-01-01-10 277 MCI & Eq DNREC 11 2020/21 40 -01-01-50194 Delaware Bayshore Initiative 12 2022/23 40 -01-06-10079 Clean Water State Revolving Fund 13 2020 40-01-06-10918 Clean Water State Revolving Fund 14 2021 40-01-06-59981 Clean Water State Revolving Fund 15 2023 40-03-02-10132 Lums Pond Cabins/Trap Pond Splash Pad/White 16 Cl ay Creek Nature Center 17 2020/21/ 2022/ 23 40-03-02-10159 Prk Fctly Rehab Publ Rec Infrastructure 18 2022 40-03-02-10191 Bellevue State Park Improvements 19 2022 40-03-02-10193 White Clay Creek Big Pond 20 2022 40-03-02-10273 Fox Point Park 21 2022 40-03-02-10274 Garrisons Renovations 22 2023 40-03-02-10331 Open Space 23 2023 40-03-02-10 345 Trails and Pathways 24 2017/22 40 -03-02-50086 Statewide Trails and Pathways 25 2020 40-03-02-59922 Redevelopment of Strategic Sites 26 (NVF/Fort DuPont) 27 2019 40-03-02-59960 Park Facility Rehab 28 2019/21/22/2 3 40-03-04-10078 Conservation Reserve Enhancement 29 2022/23 40-03-04-10 129 Dikes and Dams 30 2023 40-03-04-10 138 Tax Ditches 31 2022/23 40-03-04-10 164 Debris Pits 32 2019/20/22 /23 40 -03-04-10165 Resource Conservation & Development 33 2022 40-03-04-10166 New Castle Pier 34 2020 40-03-04-10197 Marshallton Drainage 35 2014 40-03-04-10246 Holts Landing Dredging 36 2020/ 20 22/23 40-03-04-10251 Shoreline and Waterway 37 2022 40-03-04-10275 Meeting House Branch and Tarr Ditch Drainage 38 2014/ 40-03-04-50087 Dikes/Dams 39 2017 40-03-04-50125 Pier and Dredging Project 40 2020/21 40-03-04-59910 Dikes/Dams 41 2023 40-03-04-59936 Tax Ditches 42 2018 40-03-04-59943 High Hazard Dam and Dike 43 2019 40-03-04-59961 Dikes/Dams 44 2020 40-03-04-59969 Conservation Reserve 45 2021/22 40-03-04-59983 Resource Conservation & Development 46 2023 40-04-04-10272 Christina/Brandywine River Remediation 47 2021 2023 45-01-20-10208 800 MHz Technology Refresh 48 2022 45-01-20-50108 800 MHz Technology Refresh 49 2023 45-01-30-10171 School Safety and Security 50 2022 45-01-30-10279 Emergency Management Resiliency Fund 51 2010 55-05-00-95401 FHWA 52 2010 55-05-00-95402 FTA 53 2010 55-05-00-95403 Federal-Other 54 12 2010 55-05-00-95404 TIFIA Loan 1 2010/11/12/13/14/15/16/17/18/19/ 2 20/21/ /23 55-05-00-95601 Grants & Allocations 3 2010/11/12/13/14/15/16/17/18/19/ 4 20/21/22 /2 55-05-00-97301 Transit System 5 2010/11/12/13/14/15/16/17/18/19/ 6 20/21/22 /2 55-05-00-97601 Support System 7 2010/11/12/13/14/15/16/17/18/19/ 8 20/21/22 /2 55-05-00-97701 Road System 9 2021 55-05-00-97801 GARVEE Fund 10 2016 55-05-00-97802 US 301 Toll Revenue Bond 11 2022 60-01-10-10218 Technology Systems 12 2023 65-01-12-10202 Cover Crop Investment 13 2020 65-01-12-10203 Irrigation System Conversion 14 2023 75-02-01-10281 Concrete Repair – Dover Fire School 15 2020/21/22 202 3 76-01-01-10035 Minor Cap Imprv Equip DNG 16 2023 76-01-01-10 075 Security and Technology 17 2023 76-01-01-10 213 River Road Readiness Center 18 2022 76-01-01-50238 Bethany Beach Training Site Barracks 19 2019 90-01-01-10134 HED Econ Dvlpt Invest 20 2023 90-01-01-10167 Laboratories 21 2022 2023 90 -01-01-10283 Shellfish Aquaculture 22 2022 90-01-01-50088 Laboratories 23 2022 90-03-01-10122 Deferred Maintenance 24 2020/ 20 22/23 90-03-01-10168 Campus Improvements 25 2022/23 90-03-01-10 212 Excellence Through Technology 26 2020/21/22 90 -03-01-50093 Campus Improvements 27 2020 90-03-01-50198 New Land Grant Facility 28 2021 90-03-01-50273 Excellence Through Technology 29 2020/22 90 -04-01-10134 HED Economic Development 30 Investment Fund 31 2022 202 90-04-01-10170 Critical Capital Needs 32 2021/22 90-04-01-50353 Critical Capital Needs 33 2023 95-01-01-10337 Enhanced MCI 34 2023 95-10-00-10 337 Enhanced MCI 35 2022 95-10-00-50 022 MCI 36 2023 95-10-00-50 347 Caesar Rodney, St. Thomas More Renovation 37 2022 95-13-00-10284 Capital, William Henry MS Restoration 38 2023 95-13-00-10337 Enhanced MCI 39 2022/23 95-13-00-50 311 Capital, Construct 800 Student MS Bldg 2 40 2022/23 95-13-00-50 312 Capital, Convert Wm Henry MS to Kent County 41 Secondary ILC Renovation 42 2022/23 95-13-00-50 313 Capital, Convert Wm Henry MS to Kent County 43 Community School Renovation 44 2020/21/22 95 -13-00-50345 Capital, Construct 800 Student MS Bldg 1 45 2021 95-13-00-50498 Capital, Construct Kent County Community 46 School Classrooms at MS Building 1 47 2023 95-15-00-50324 Voc Equipment Replacement 48 2023 95-16-00-10 337 Enhanced MCI 49 2022 95-16-00-50 022 MCI 50 2022 95-16-00-50 324 Voc Equipment Replacement 51 2013/14/15 95 -16-00-50394 Laurel, Construct 1200 Student ES 52 2022/23 95 -17-00-10187 Cape Henlopen Market Pressure 53 2023 95-17-00-10 337 Enhanced MCI 54 13 2021 95-17-00-50467 Renovate Milton ES 1 2019/21 95-17-00-50482 Renovate Lewes School and Demolish 2 Shields 3 2019/21 95-17-00-50492 Addition to Cape Henlopen HS 4 2020 95-17-00-50497 Sussex Consortium Expansion 5 2021/22/2 95-17-00-50499 Cape Henlopen, Construct New 600 Student MS 6 2023 95-18-00-10 337 Enhanced MCI 7 2022 95-18-00-50 022 MCI 8 2022 2023 95 -18-00-50316 Milford, Revitalize Milford MS 9 2022 95-23-00-50 022 MCI 10 2023 95-24-00-10 337 Enhanced MCI 11 2022 2023 95-24-00-50022 MCI 12 2022 95-24-00-50 314 Smyrna, Land Purchase 13 2023 95-24-00-50 319 Smyrna Market Pressure 14 2021 95-24-00-50504 Smyrna, N Smyrna ES Roof Replacement 15 2023 95-24-00-50517 Smyrna, Clayton Intermediate Addition 16 2023 95-24-00-50 518 Smyrna, New 600 Student ES 17 2023 95-24-00-50 519 Smyrna, North Smyrna ES Addition/Renovation 18 2022 95-29-00-10187 Appoquinimink Market Pressure 19 2023 95-29-00-10337 Enhanced MCI 20 2023 95-29-00-50 319 Appoquinimink Market Pressure 21 2019/21/22 95-29-00-50 484 Replace Everett Meredith MS 22 2021 95-29-00-50 486 Renovate Silver Lake ES 23 2021/ 2022 95-29-00-50500 Appo New 330 Student Kindergarten Center 24 2022 2023 95-29-00-50501 Appo New 840 Student ES 25 2021 95-29-00-50509 Appo HS Turf Fields (2) Replacements 26 2021/ 20 22 95-29-00-50512 Appo Middletown HS Roof and HVAC 27 Replacement 28 2021/23 95-29-00-50520 Appoquinimink Louis L Redding MS 29 2023 95-31-00-10 338 Brandywine, Bush School 30 2022 95-31-00-50317 Brandywine, Bush School 31 2020 95-31-00-59970 School Safety and Security 32 2022 95-32-00-50 022 MCI 33 2022 95-32-00-50 324 Voc Equipment Replacement 34 2022/23 95-33-00-10 135 City of Wilmington Education Initiatives 35 2022 95-33-00-10187 City of Wilmington Education Initiatives 36 Market Pressure 37 2020 95-33-00-10213 City of Wilmington Education Initiatives 38 2023 95-33-00-10 321 Christina, Brennen Renovations 39 2021/22 95-33-00-50 022 MCI 40 2022 95-33-00-50134 City of Wilmington Education Initiatives 41 2020/ 20 21 95-33-00-50140 City of Wilmington Education Initiatives 42 2022 95-33-00-50 324 Voc Equipment Replacement 43 2022 95-33-00-50 355 Architectural Barrier Removal 44 2021 95-33-00-50506 Christina Early Education Center Mechanical 45 And Electrical Renovation 46 2021 95-33-00-50507 Christina Marshall ES HVAC 47 2021 95-33-00-59950 City of Wilmington Education Initiatives 48 2020 95-33-00-59970 School Safety and Security 49 2023 95-34-00-10 337 Enhanced MCI 50 2022 95-34-00-50 022 MCI 51 2023 95-36-00-10 171 School Safety and Security 52 2022 95-36-00-10187 Sussex Central HS Market Pressure 53 2023 95-36-00-10323 Indian River, Ennis Classrooms at the 54 14 N ew Sussex Central HS 1 2019 95-36-00-50 488 Replace Howard T. Ennis 2 2021/22/23 95 -36-00-50503 IR Const New Sussex Central HS 3 2023 95-37-00-10 337 Enhanced MCI 4 2019 95-38-00-10112 Delaware Skills Center 5 2023 95-38-00-10187 NCCVT, Hodgson Market Pressure 6 2023 95-38-00-10 337 Enhanced MCI 7 2023 95-38-00-50 319 NCCVT, Hodgson Market Pressure 8 2022 2023 95 -38-00-50324 Voc Equipment Replacement 9 2023 95-38-00-50 521 NCCVT, Paul M. Hodgson HS Replacement 10 2018 95-38-00-50 526 Delcastle Technical HS 11 2023 95-39-00-10 337 Enhanced MCI 12 2023 95-39-00-10 340 Polytech, Drainage and Stormwater 13 2021 95-39-00-50 022 MCI 14 2022 95-39-00-50 324 Voc Equipment Replacement 15 2023 95-40-00-50 522 Sussex Tech, New Sussex Tech HS 16 2023 95-51-00-50 022 MCI 17 2023 95-53-00-50 524 Colonial, Leach Land Purchase 18 2023 95-69-00-10 337 Enhanced MCI 19 2023 95-70-00-10 171 School Safety and Security 20 2021 95-76-00-50 022 MCI 21 2023 95-77-00-10 171 School Safety and Security 22 2023 95-86-00-10 171 School Safety and Security 23 2023 96-04-00-10 171 School Safety and Security 24 2023 96-05-00-10 337 Enhanced MCI 25 2023 96-07-00-10 337 Enhanced MCI 26 Se 11. Prefatory Language. This Act has been prepared in conformance with 78 Del. Laws, c. 27 90. For all sections with the exception of Section 1 Addendum, all comparisons to the previous year’s Budget 28 Act are shown noting insertions by underlining and deletions by strikethrough. 29 Section 12. Conservation Districts - Federal Acquisition Regulations. Conservation Districts shall not 30 be required to follow the provisions of the Federal Acquisition Regulations unless specifically required under a 31 contract(s) with a federal agency or federal grant. If the Conservation Districts are required to follow subpart 31.2 of 32 the Federal Acquisition Regulations, then the Conservation Districts are hereby authorized to charge an additional 10 33 percent to their overhead cost rate to enable the Conservation Districts to continue to fulfill their statutory duties and 34 responsibilities. 35 Section 13. First State Preservation Revolving Fund, Inc. For the current fiscal year, First State 36 Preservation Revolving Fund, Inc. may continue to expend, for administrative expenses, the interest generated by the 37 Community Redevelopment Fund appropriations of $250,000 in each of Fiscal Years 1999 and 2000. 38 Section 14. Laurel Redevelopment Corporation. Any proceeds from the sale of property funded in whole 39 or in part from Community Redevelopment Fund grants to Laurel Redevelopment Corporation shall be reinvested in 40 redevelopment projects within the Town of Laurel. 41 15 Section 15. Bond Bill Reporting Requirements. All state agencies and public school districts receiving 1 funds from the Bond and Capital Improvements Act shall submit a quarterly expenditure status report to the Director 2 of the Office of Management and Budget and the Controller General on all incomplete projects that are wholly or 3 partially funded with state and/or local funds, including bond funds. The format and information required in these 4 quarterly reports shall include, but not be limited to, expenditures of both bond and cash funds. The report format 5 will be developed by the Office of Management and Budget and include information as needed by the Department of 6 Finance, the Office of the State Treasurer and the Office of Management and Budget to anticipate cash and bond 7 requirements for the upcoming fiscal year. 8 Section 16. Notification. The Director of the Office of Management and Budget and the Controller 9 General shall notify affected state agencies and other instrumentalities of the State as to certain relevant provisions of 10 this Act. Additionally, the Director of the Office of Management and Budget and the Controller General shall notify 11 the President Pro Tempore of the Senate and the Speaker of the House as to any legislative appointments required by 12 this Act. 13 Section 17. Higher Education Research and Education. The Section 1 Addendum of this Act makes 14 appropriations to the Department of Transportation and the Department of Natural Resources and Environmental 15 Control. In an effort to best utilize resources available to the State, including federal funding, to the State’s benefit 16 and, notwithstanding 29 Del. C. c. 69 or any other statutory provision to the contrary, the General Assembly hereby 17 permits the departments, within the limits of funding provided to support research and education efforts to enter into 18 agreements directly with the University of Delaware, Delaware State University and Delaware Technical Community 19 College. This authorization is limited to conducting basic or applied research; transferring knowledge regarding 20 scientific and technological advancements; and providing practical training to the state and local governments in the 21 application of science or technology, and encourages the departments to consider these three institutions as the 22 resource of first resort in meeting any of their research and/or educational needs. 23 16 LEGISLATIVE 1 Section 18. Legislative Building Committee. (a) The Legislative Building Committee (“Committee”) is 2 established to do all of the following: 3 (1) Serve as a liaison between the General Assembly and the Division of Facilities Management, architect, 4 general contractor, and others involved in the design of , construction of , and furnishing of equipment for the 5 addition to, and parking garage for, Legislative Hall. The Committee may make decisions related to the design, 6 construction, and furnishing of equipment for the addition to, and parking garage for, Legislative Hall or may 7 make recommendations to Legislative Council on needed decisions related to the design, construction, and 8 furnishing of equipment for the addition to, and parking garage for, Legislative Hall. 9 (2) Engage legislators, legislative staff, others who routinely appear before the General Assembly, and the 10 publ ic regarding the design of, construction of, and furnishing of equipment for the addition to, and parking 11 garage for, Legislative Hall. 12 (3) Provide periodic reports to Legislative Council and the Governor on the progress of the design of, 13 construction of, and furnishing of equipment for the addition to, and parking garage for, Legislative Hall. 14 (b) The Committee is comprised of the following members, or a designee selected by a member serving by virtue 15 of position: 16 (1) Two members of the House of Representatives, 1 member of the majority caucus and 1 member of the 17 minority caucus, appointed by the Speaker of the House of Representatives. 18 (2) Two members of the Senate, 1 member from the majority caucus and 1 member of the minority caucus, 19 appointed by the President Pro Tempore of the Senate. 20 (3) Three citizens of this State, 1 appointed by the Governor, 1 appointed by the Speaker of the House of 21 Representatives, and 1 appointed by the President Pro Tempore of the Senate. 22 (4) The Chief Clerk of the House of Representatives. 23 (5) The Secretary of the Senate. 24 (6) The Controller General. 25 (7) The Chief of the Capitol Police. 26 (8) The Director of the Division of Research, who shall serve as Secretary to the Committee. 27 (9) The Director of Legislative Information Systems. 28 (10) The Chief of Staff for the Senate Majority Caucus. 29 17 (11) The Chief of Staff for the Senate Minority Caucus. 1 (12) The Chief of Staff for the House Majority Caucus. 2 (13) The Chief of Staff for the House Minority Caucus. 3 (c) The Secretary of the Senate is the Chair in odd -numbered years and Vice- Chair in even- numbered years, and 4 the Chief Clerk of the House of Representatives is Chair in even-numbered years and Vice-Chair in odd- numbered 5 years. 6 (d) ( 7 (2) Official action by the Committee, including making decisions, findings, and recommendations, requires 8 the approval of a quorum of the Committee. 9 (3) The Committee may adopt rules necessary for its operation. 10 (4) The Chair may invite individuals with relevant expertise to participate in Committee discussions. 11 (5) A member of the Committee with the ability to designate another individual to attend a Committee 12 meeting must provide the designation in writing to the Chair. An individual attending a meeting for a 13 member as a designee has the same duties and rights as the member. 14 (e) The Chair is responsible for guiding the administration of the Committee by doing, at a minimum, all of the 15 following: 16 (1) Setting a date, time, and place for the initial organizational meeting. 17 (2) Notifying the individuals who are members of the Committee of the formation of the Committee and, if 18 applicable, notifying a person of the need to appoint a member. 19 (3) Supervising the Secretary’s preparation and distribution of meeting notices, agendas, minutes, 20 correspondence, and reports of the Committee. 21 (4) Sending to the President Pro Tempore of the Senate, the Speaker of the House of Representatives, after 22 the first meeting of the Committee, the names of the members of the Committee as follows: 23 a. By position, including if serving as a designee of a member serving by virtue of position. 24 b. By appointment, including the group the member represents. 25 (5) Ensuring that periodic written reports are submitted to the President Pro Tempore of the Senate and the 26 Speaker of the House of Representatives, with copies to all members of the General Assembly, the Governor, 27 the Librarian of the Division of Research of Legislative Council, and the Delaware Public Archives. 28 18 JUDICIAL 1 Section 19. Court Facilities Improvement Working Group. Recognizing that there are critical unmet 2 court space needs statewide, including addressing operational deficiencies of the Family Court facilities in Sussex and 3 Kent Counties, and other downstate court facilities, as identified in the Southern Court Facilities Space Study 4 (October 31, 2006), a court facilities improvement working group shall be established, consisting of representatives 5 from the Judicial Branch, the Office of the Governor, the Office of Management and Budget, including Facilities 6 Management, and the Office of the Controller General, to develop a plan for implementing flexible, cost-effective 7 and potentially innovative solutions to these and other court facility space issues. The working group shall engage 8 with the Delaware State Bar Association to obtain input from practitioners who practice in the affected courts 9 regarding the best manner to ensure that litigants have access to high- quality, dignified, and safe courthouses within 10 reasonable proximity to their residences, and what combination of courthouses will accomplish that goal in the 11 manner most cost-effective to taxpayers in the long term. For the same reason, the working group will obtain input 12 from other state agencies that provide services related to litigants in the affected courts, to consider whether the co-13 location of offices would be helpful to those receiving services and be more efficient for state taxpayers in the long 14 term. 15 Section 20. Kent and Sussex County Judicial Court Facilities. (a) The Section 1 Addendum of this Act 16 includes an appropriation of $25,000,000 for Kent and Sussex Family Court Facilities. The Section 1 Addendum of 80 17 Del. Laws c. 78 and c. 299, 81 Del. Laws c. 303, 82 Del. Laws c. 86, and 83 Del. Laws c. 56, and 83 Del. Laws c. 340, 18 and 84 Del. Laws, c. 83 appropriated funding and Section 21 of 81 Del. Laws c. 59 provided spending authority to be 19 used toward preliminary costs, including planning and design, architectural and engineering work, construction costs 20 and costs associated with relocating the Department of Justice offices. Efficiencies shall be achieved in this process 21 through the combining of planning, design, architectural and engineering work for both facilities, in all circumstances 22 where combined efforts are appropriate and will likely achieve cost savings to the overall project. 23 (b)(a) Of th the amount, $3,610,000 appropriated in Section 1 Addendum of 83 Del. Laws c. 340, a portion 24 shall be used for the acquisition of tax parcel ID # 135 -19.08- 154.00, 135-19.08- 146.01, and 135 -15.17- 148.00 for 25 final space and utility relocations. 26 (c)(b) Of the total funds appropriated for the new Kent and Sussex Family Court Facilities, any residual funds 27 from these appropriations may be used for the renovations of the Customs House and/or the Old Kent/Sussex Family 28 Courthouses. 29 19 OFFICE OF MANAGEMENT AND BUDGET 1 Section 21. Construction Management. Notwithstanding any other s tate law, the Office of Management 2 and Budget shall be responsible for the design and construction of all the projects listed under Office of Management 3 and Budget in the Section 1 Addendum of this Act. For those projects that are solely for the purchase of equipment, 4 including projects that are funded in any Minor Capital Improvement (MCI ) and Equipment line, the Office of 5 Management and Budget shall transfer the appropriate funding necessary to purchase the equipment to the agency for 6 which the equipment is being purchased. The appropriate amount of funding shall be determined and agreed to by 7 the Office of Management and Budget and the agen cy for which the equipment is being purchased by September 1 of 8 each fiscal year. For those projects for which the appropriation is passed to an entity and for which the State is not a 9 party to the construction contract, the Office of Management and Budget shall provide technical assistance. 10 ( s tate law, there is hereby created an Appeals Board, to be composed of the 11 Lieutenant Governor, the Director of the Office of M anagement and B udget, and the Controller General. The 12 Appeals Board shall approve the use of all unencumbered monies after that project is deemed substantially complete. 13 A project shall be deemed substantially complete when the project is occupied by 75 percent of the planned tenants or 14 when deemed complete by the Appeals Board. One year after a project is deemed substantially complete, any 15 unencumbered authorization balance shall revert. In no case shall this s ection empower the Appeals Board to allow 16 for the expenditure of funds for uses other than for the funds authorized purpose(s). The Controller General shall 17 notify the Co -Chairs of the Joint Committee on Capital Improvements of any decisions of the Appeals Board. 18 ( 19 involving construction of a new facility is prohibited unless the use of such funds are necessary due to a legal 20 settlement or emergency or unforeseen conditions as determined by the Director of the O ffice of Management and 21 Budget, the Controller General and the Co -Chairs of the Joint Committee on Capital Improvements. 22 (c) A quarterly status report shall be submitted to the Controller General on all incomplete projects. 23 (d) No project’s budget should be increased beyond what is appropriated in any Bond and Capital Improvements 24 Act, either with special funds or private funds, unless the use of those funds is approved by the appropriate cabinet 25 secretary, the Director of the Office of Management and Budget , the Controller General and the Co -Chairs of the 26 Joint Committee on Capital Improvements. 27 Section 22. Construction Manager. It is the intent of the General Assembly that all public works 28 projects, including all public school projects, that utilize a construction manager on the project, utilize the delivery 29 20 methodology which requires the construction manager to secure a performance and payment bond for their portion of 1 the work. All subcontractors shall be listed at the start of the project and shall provide a performance and payment 2 bond which names the c onstruction manager and the State of Delaware as additional insureds. All provisions of 29 3 Del. C. c. 69 are in effect for projects which utilize a construction m anager. 4 Section 23. Judicial Construction Oversight. It is the intent of the General Assembly that a nine-member 5 Executive Committee be created to oversee construction of new or major renovation of judicial facilities. The 6 Executive Committee shall include two members of the legislature appointed by the Co -Chairs of the Joint 7 Committee on Capital Improvements; the respective Chairs of the House and Senate Judiciary Committees; two 8 members of the Judiciary as appointed by the Chief Justice; and three members of the Executive Department to 9 include the Director of Facilities Management, the Director of the Office of Management and Budget and their 10 designee. The Executive Committee shall work in conformation with existing construction oversight guidelines as 11 written in the Construction Management section of this Act. The Executive Committee is hereby empowered to: 12 (a) Select appropriate professionals necessary to program, site, design, construct, furnish and equip the 13 facility; 14 (b) Provide such oversight to ensure that the final facility provides optimal security and incorporates 15 maximum operational efficiencies both within the Judiciary and in conjunction with other criminal justice agencies; 16 (c) Ensure that new construction and/or renovations are completed on schedule; and 17 (d) Ensure that the cost of new construction and/or renovations does not exceed the authorized budget. 18 This section shall apply to the following projects: Sussex County Family Court; Kent County Family Court; and any 19 Judicial construction or renovation project requested by either the Judicial Branch or recommended by the Office of 20 Management and Budget for the Judicial Branch where the total project cost estimate exceeds $10,000,000. 21 Section 24. New Castle County Courthouses. Notwithstanding any law or local government ordinance, 22 resolution, or any deed restrictions to the contrary, the Director of the Office of Management and Budget shall 23 designate the name of any state-owned or state-operated courthouse or other judicial building or facility in New 24 Castle County purchased, constructed, or improved by funds appropriated pursuant to an act of the General Assembly 25 and shall have the sole authority to approve or disapprove the placement of any statues or memorials in or on the 26 grounds of such courthouse or judicial building or facility. 27 Section 25. Ca rd Access Security Systems. Notwithstanding the provisions of any law to the contrary, the 28 Office of Management and Budget, the Department of Safety and Homeland Security (DSHS), and the Department of 29 21 Technology and Information ( DTI) shall jointly develop and maintain specifications and standards for card access 1 security systems for all state facilities. Security system communications using s tate infrastructure will observe 2 enterprise standards and policies as defined by DTI pursuant to 29 Del. C. c. 90C . The specifications and standards 3 shall enable a single-card security solution for all state-owned facilities, require the ability for concurrent central and 4 local administration of card access functions and shall include a registry of approved card readers and associated 5 hardware required to implement card access security systems. It is the intent of this section to authorize the Office of 6 Management and Budget, DSHS, and DTI to jointly select a single supplier, manufacturer or technology of access 7 cards and security management software for use by all state agencies. T he Office of Management and Budget, DSHS, 8 and DTI shall develop procedures and standards required for the evaluation and approval of agency requests for new 9 or modified security systems of any type. Before a state agency may install a new security system or modify an 10 existing system, the agency shall obtain the approval of the Office of Management and Budget, DSHS, and DTI. 11 Section 26. De sign-Build Contracts. The Office of Management and Budget is hereby authorized to 12 utilize or approve the design- build contract mechanism for up to twelve construction projects that are deemed 13 necessary by the Director for the efficient construction and improvement of state facilities. Design- build is a project 14 delivery method under which a project owner, having defined its initial expectations to a certain extent, executes a 15 single contract for both architectural/engineering services and construction. The selection processes and other terms 16 of such contracts may vary considerably from project to project. The design- build entity may be a single firm, a 17 consortium, joint venture, or other organization. However, the fundamental element of design- build delivery remains 18 that one entity assumes primary responsibility for design and construction of the project. The Office of Management 19 and Budget is authorized to use this approach in completing its projects, subject to the following conditions: 20 (a) T 21 Department of Labor, as provided in 29 Del. C. § 6960, in conjunction with federal prevailing wage rates for such 22 work; 23 (b) The following additional provisions of 29 Del. C. c. 69 shall also be incorporated into these design-build 24 contracts: § 6962(d)(4)a. (anti-pollution, conservation environmental measures or Energy Star Equipment not covered 25 by contract specifications); § 6962(d)(7) (equality of employment opportunity); and § 6962(d)(8)(9) (bonding 26 requirements); and 27 (c) Any such contracts using federal funding shall conform to all applicable federal laws and regulations 28 concerning design-build contracting. 29 22 (d) The Section 1 Addendum of this Act makes an appropriation funding for a renovation project at 704 N. 1 King Street. This project shall be designated as a design -build project. 2 (e) A 3 Section 27. Carvel State Office Building. As office space becomes available on the 6th floor of the Carvel 4 State Office Building, the Director of the Office of Management and Budget shall consider Legislative space needs 5 when reallocating available space. 6 Section 28. 312 Cherry Lane. The use of 312 Cherry Lane, New Castle, located in Riveredge Industrial 7 Park, being tax parcel 10- 015.40- 371, as it relates to zoning, subdivision, parking approvals, land development, 8 construction, permitting, and code enforcement, shall not be subject to the jurisdiction of New Castle County or any 9 other municipality, provided that it or a portion thereof, is leased by the State of Delaware or an agency thereof, 10 including if it is thereafter subleased to a private provider, as a medically assisted treatment facility for drug and other 11 addiction services, including any ancillary related uses such as offices or other treatment programs. 12 Section 29. Emily P. Bissell. An advisory committee shall be convened as necessary for the purpose of 13 maintaining communications between the state entities and neighboring communities of the Emily P. Bissell site. The 14 advisory committee shall consist of the following individuals: 15 (1) The Director of the Office of Management and Budget or their designee. 16 (2) The Controller General or their designee. 17 (3) The Secretary of State or their designee. 18 (4) The Secretary of the Department Safety and Homeland Security or their designee. 19 (5) One member of the House of Representatives chosen by the Speaker of the House. 20 (6) One member of the Delaware State Senate chosen by the President Pro Tempore. 21 (7) Two members of the public appointed by the Governor representing the surrounding area. 22 The Office of Management and Budget is authorized to expend Minor Capital Improvement s funds 23 authorized in the Section 1 Addendum to support this process. 24 The Office of Management and Budget is authorized to utilize any residual fun ds appropriated to the Office 25 of Management and Budget, Division of Facilities Management capital projects toward the Emily P. Bissell 26 renovation. 27 Section 30. Fund Recoveries. Notwithstanding any other provision of the Delaware Law or this Act to the 28 contrary, pursuant to federal rules and regulations promulgated by the U.S. Department of the Treasury, all records 29 23 and expenditures are subject to a review or audit conducted by, or on behalf of, the U.S. Department of Treasury, the 1 State Auditor’s Office or designee. Any misrepresentation, misuse, or mishandling of these funds may be subject to 2 claw-back and other appropriate measures, including the possible reduction or withholding of other State funds. 3 Section 31. Land and Building Acquisition. Notwithstanding the provisions of 29 Del. C. c. 95 to the 4 contrary, the Office of Management and Budget, Division of Facilities Management is hereby authorized to acquire 5 land, buildings, and assets as necessary for capital improvement projects and to reduce leased property, with the 6 approval of the Director of the Office of Management and Budget, the Co- Chairs of the Joint Committee on Capital 7 Improvements, and the Controller General. 8 Section 32. IPA Clean Water Infrastructure. Section 1 Addendum of 83 Del. Laws c. 340 appropriated 9 $1,770,000 to the Office of Management and Budget. This funding is intended to be used to provide technical grant 10 assistance to local governments related to infrastructure initiatives and other competitive and formula grant 11 opportunities available. Funds may be made available to the University of Delaware, Institute for Public 12 Administration (IPA), Biden School of Public Policy and Administration for direct services to governments at 13 $354,000 annually for a five-year term. The University of Delaware may not charge an overhead or administrative 14 fee to the state in relation to this program. 15 Section 33. Community Workforce Agreement – Office of Management and Budget. The Office of 16 Management and Budget (OMB) is authorized to engage in a pilot program to include Community Workforce 17 Agreements as part of large public works projects. There will be two different approaches: 1) Community Workforce 18 projects and 2) Disadvantaged Business Enterprise (DBE). The pilot program shall include no more than four 19 projects. 20 For the three Community Workforce projects, the awarded contractors for the projects will be required to 21 enter into a Community Workforce Agreement with the agency. The Community Workforce Agreement shall permit 22 all contractors to subcontract project work or to retain a percentage of their current workforce in order to meet the 23 requirements of the pilot. OMB shall set the percentage of work for each project to be performed by local labor 24 organization(s). To achieve the percentages for the projects, the awarded contractors will either hold a separate 25 contract containing a Collective Bargaining Agreement, contract with a subcontractor that holds a Collective 26 Bargaining Agreement, or enter into arrangements with local labor organizations that permit the contractors to hire 27 union workers. In addition, the Community Workforce Agreement may include a minority workforce requirement. 28 24 For the Community Workforce projects, the contract award will be based on a form of best value, for which, 1 29 Del. C. § 6962 (d)(13)a.4. is waived. OMB will establish a best value process, which may include the price, 2 schedule, and method of complying with the specific requirements of the Community Workforce projects. All bids 3 are subject to an evaluation for responsiveness and responsibility. 4 For the purpose of this pilot, Disadvantaged Business Enterprise is defined as for-profit businesses in which 5 at least 51 percent of the business is owned by one or more individuals who are both socially and economically 6 disadvantaged; and whose daily operations are managed by one or more individuals who are both socially and 7 economically disadvantaged. If the project involves a Vocational Technical school, there is a requirement to include a 8 cooperative program in which students from Vocational Technical schools will work on the project for a set number 9 of hours at a paid wage rate appropriate for the individual student’s skill level and scope of work. The wage rate will 10 be established by OMB and the Vocational Technical School District where the project is located and will not be 11 below the minimum wage rate. This wage rate shall be recognized by the Department of Labor as “OMB Pilot 12 Program Coop Student Rate” in lieu of a Prevailing Wage rate on the pilot project. This Student Rate is applicable to 13 this pilot project only. 14 For projects that are part of the DBE pilot program, the contract award will be based on a form of best value, 15 for which, 29 Del. C. § 6962 (d)(13)a.4. is waived. The agency will establish a best value process, which may include 16 the price, schedule, and method of complying with the specific requirements of the pilot project whether it is for 17 DBE. All bids are subject to an evaluation for responsiveness and responsibility. 18 To assist the agency in evaluating the success of these pilot programs, the agency shall establish reporting 19 requirements for the contractors on each project to be included in the awarded contract. 20 The Office of Management and Budget shall report annually on or before January 1st to the Joint Committee 21 on Capital Improvement their assessment of the pilot, including, but not limited to, employee hiring statistics, cost 22 savings, project quality, worker safety, and the effectiveness of contracting disadvantaged businesses, including but 23 not limited to, subcontractors. 24 Section 34. St ockley Campus Feasibility Study. The Section 1 Addendum to this Act makes an 25 appropriation of 84 Del. Laws c. 297 appropriated funds to the Department of Health and Social Services, Minor 26 Capital Improvement and Equipment. Of this amount, $250,000 shall be used by the Department of Health and Social 27 Services, Division of Developmental Disabilities Services, to conduct a feasibility study for the revitalization of 28 Stockley Campus. The purpose of this study is to develop a Stockley Campus revitalization plan to ensure efficient 29 25 utilization of the campus to support the community wellness of Delawareans and to ensure community stakeholder 1 feedback opportunities. The Department of Health and Social Services shall submit a report of findings to the 2 members of the General Assembly, the Director of the Office of Management and Budget, and the Controller 3 General, on or before September 15, 2025. 4 Section 35. Carvel State Office Building Mechanical Upgrades. The Office of Management and Budget , 5 Division of Facilities Management is authorized to utilize any remaining funds from the Carvel State Office Building 6 Mechanical Upgrades appropriated under Section 1 Addendum of 84 Del. Laws, c. 83, to be used on the Carvel State 7 Office Building Window Replacements and Roof Replacements (Tatnall Building and Sussex County Court of 8 Chancery). 9 Section 36. T roop 6 Residual Appropriation for Troop 4 and DATE Evidence Storage Building. The 10 Office of Management and Budget, Division of Facilities Management is authorized to utilize any remaining funds 11 from the New Troop 6 - Wilmington appropriated under Section 1 Addendum of 83 Del. Laws, c. 340 for the New 12 Troop 4 - Georgetown and DATE Evidence Storage Building. 13 Section 37. T roop 7. The former State Police Troop 7 in Lewes (Tax ID 334- 6.00-526.01) shall not be 14 declared surplus, transferred to another entity, or subject to improvement without the approval of the co- chairs of the 15 Joint Committee on Capital Improvement. 16 Section 38. F amily Justice Centers . The Office of Management and Budget is authorized to transfer 17 any remaining funds from Domestic Violence Coordinating Feasibility Study appropriation to the Criminal 18 Justice Council for Family Justice Centers startup costs. 19 Section 39. Le gislative Hall Improvements. The Office of Management and Budget, Division of 20 Facilities Management is authorized to utilize any remaining funds from Legislative Hall major and minor 21 capital improvement appropriations for the Legislative Hall Garage/Expansion project. 22 26 DELAWARE STATE HOUSING AUTHORITY 1 Section 40. Housing Development Fund - Affordable Rental Housing Program. Section 1 Addendum 2 of this Act makes an appropriation for the Housing Development Fund - Affordable Rental Housing Program. It is 3 the intent of the General Assembly and the Administration that said funds are to be used to leverage other funding 4 sources, such as Low -Income Housing Tax Credits and tax- exempt bonds to help create and/or improve affordable 5 rental housing stocks in Delaware. This investment in affordable rental housing will increase economic activity in the 6 State of Delaware. The D irector of the Delaware State Housing Authority (DSHA) shall report to the Controller 7 General and the Director of the Office of Management and Budget no later than April 30, on the expenditure of the 8 Housing Development Fund appropriated in the Section 1 Addendum of this Act. Said report shall also include the 9 amount and expenditure of any non-state funds received by the State for said affordable rental housing projects. 10 Section 41. Urban Redevelopment. Section 1 Addendum of this Act m akes an appropriation for a 11 statewide urban redevelopment initiative. DSHA shall administer these funds to incentivize investment in designated 12 Downtown Development Districts in accordance with state law authorizing the creation of the Districts and governing 13 the administration of the Downtown Development District Grant program. DSHA is authorized to use no more than 14 the greater of 5 percent or $350,000 of the appropriated amount for the support of DSHA administrative functions 15 associated with this initiative. 16 Section 42. Strong Neighborhoods Housing Fund. Section 1 Addendum of this Act makes an 17 appropriation to support housing development activities as part of comprehensive revitalization efforts in distressed 18 areas impacted by blight and crime. DSHA shall administer these funds and is authorized to use no more than the 19 greater of 5 percent or $150,000 of the appropriated amount for the support of DSHA administrative functions 20 associated with this initiative. 21 Section 43. Delaware Workforce Housing Program. Section 1 Addendum of this Act makes an 22 appropriation to support the Delaware Workforce Housing Program (DWHP) established by Senate Substitute 1 to 23 Senate Bill 22 of the 152nd General Assembly. DSHA shall administer these funds and is authorized to use no more 24 than the greater of 5 percent or $350,000 of the appropriated amount for the support of DSHA administrative 25 functions associated with this initiative. 26 Section 44. Ho using Development Fund – First-Time Homebuyer Program. Section 1 Addendum 27 of this Act makes an appropriation to the Housing Development Fund. Of this amount $10,000,000 shall be 28 allocated for down payment assistance in the First-Time Homebuyer Program. 29 27 DEPARTMENT OF TECHNOLOGY AND INFORMATION 1 Section 45. Data Center Projects. In no instance shall any information technology data center project be 2 initiated by a department/agency during this fiscal year until a formalized plan has been approved by the 3 department/agency head, Director of the Office of Management and Budget and the Chief Information Officer. This 4 includes, but is not limited to, relocating, renovating and/or constructing new information technology data centers. 5 28 DEPARTMENT OF STATE 1 Se 46. Museum Maintenance. Section 1 Addendum of this Act makes an appropriation to the 2 Department of State for museum maintenance. It is the intent of the General Assembly that these funds be retained by 3 the Department of State, Division of Historical and Cultural Affairs for use with the operations of state museums or 4 for repairs to those facilities grounds, lands, and buildings under the control of the Division of Historical and Cultural 5 Affairs; and/or for the purchase of any equipment necessary to facilitate those repairs. 6 Se 47. Library Construction. Proposals submitted by the Department of State to the Office of 7 Management and Budget under 29 Del. C. § 6604A shall include a statement as to whether or not each of the libraries 8 have the required 50 percent non- state share match as defined in 29 Del. C. § 6602A(2). 9 Section 48. Library Construction Review. Up to $50,000 of any Library Construction project as defined 10 in 29 Del. C. c. 66A shall be allocated to the Division of Libraries for the purpose of reviewing technology, workflow 11 and space planning to enable public libraries to meet standards established by the Division of Libraries with the 12 approval of the Council on Libraries. Pursuant to 29 Del. C. c. 66A, public libraries shall be responsible for 50 13 percent of the costs (not to exceed $25,000). 14 Section 49. Stabilization Endowment for the Arts. It is the intent of the General Assembly that 15 previously appropriated funds from the Department of State to the Stabilization Endowment for the Arts may be used 16 to fund operating expenses pursuant to appropriate controls and procedures adopted by the Board of the Arts 17 Consortium of Delaware and upon concurrence of the Division of Arts. 18 Se 50. Historic Preservation Tax Credits. Notwithstanding the provisions in 30 Del C. § 1816, the 19 maximum amount of Historic Preservation Tax Credits awarded under the provisions of 30 Del. C. c. 18 Subchapter 20 II shall not exceed $ 8,000,000 for the Fiscal Years 2025 – 2030 2026 - 2031. 21 Se 51. Composites Research. The Division of Small Business is authorized to provide a match of up 22 to $100,000 to the University of Delaware Center for Composite Materials for federal research grants received that 23 support the development and application of composite manufacturing technology for the benefit of Delaware 24 companies. Such match shall be disbursed from the Delaware Strategic Fund upon documentation of the receipt of 25 federal funds allocated to the center during the fiscal year for these purposes and upon documentation of the 26 relevance of these research projects to Delaware industries’ needs and their participation within said projects. 27 29 Section 52. Kalmar Nyckel. The scheduling of the Kalmar Nyckel by non- state entities shall require the 1 approval of the Riverfront Development Corporation of Delaware (RDC). Further, the RDC is encouraged to enter 2 into negotiations with interested parties to review the disposition of loans to the Kalmar Nyckel. 3 Section 53. Council on Development Finance. If the Division of Small Business makes an award not in 4 agreement with the recommendations of the Council on Development Finance, the Director of the Division of Small 5 Business shall notify the Co -Chairs of the Joint Committee on Capital Improvements within 10 business days. The 6 notification shall include details of the actual award, the Council recommendations on the proposal and a justification 7 for why the Division of Small Business did not follow the recommendations of the Council. 8 Section 54. New Markets Tax Credit Program. In the event that the Director of the Division of Small 9 Business and the Secretary of Finance determine that it is advisable to apply for participation in the New Markets Tax 10 Credit Program under the U.S. Treasury Department, the Director is authorized to form a business entity or 11 organization to apply for and manage this program on behalf of the State, as required by applicable federal legislation 12 and regulations. Any such application for said program shall be subject to the approval of the Co-Chairs of the Joint 13 Committee on Capital Improvements and the Delaware State Clearinghouse Committee. Should such application 14 receive final approval by the U.S. Treasury Department or other federal governmental entity charged with such 15 authority, at least one public hearing shall be held for the purpose of presenting the program, the availability of 16 financial assistance, and the selection process. 17 Section 55. Riverfront Development Corporation. (a) Funds appropriated for the RDC shall be disbursed 18 to a special fund to be known as the Riverfront Development Corporation Fund hereinafter referred to as the Fund. 19 (b) The Fund shall be invested by the State Treasurer in securities consistent with the policies established by20 the Cash Management Policy Board. All monies generated by the Fund shall be deposited in the Fund. 21 (c) Funds appropriated to the Division of Small Business for RDC shall be expended only with the approval22 of the Board of Directors of RDC. Funds may only be expended for activities related to the redevelopment of the 23 Brandywine and Christina riverfront areas, including: planning and design studies; the acquisition, construction and 24 improvement of real property; environmental remediation; costs of operations and administration; debt service; and 25 other expenses in furtherance of the mission of RDC. On October 1 of each year the RDC will submit a report to the 26 Division of Small Business which will outline how the funds awarded in the previous fiscal year were utilized. This 27 report will also outline and explain the RDC’s request for funding for the next fiscal year. 28 30 (d) The RDC is authorized to expend funds and utilize staff to support the operations of the Delaware 1 Stadium Corporation (DSC) in furtherance of a long- term commitment to minor league baseball at Frawley Stadium. 2 Section 56. Limited Investment for Financial Traction (LIFT) and Delaware Rural Irrigation 3 Program (DRIP) Initiatives. Notwithstanding any other law to the contrary, the Division of Small Business is 4 hereby authorized to pay administrative fees associated with LIFT and DRIP Initiatives from the Delaware Strategic 5 Fund not to exceed 2 two percent of the program total. 6 Section 57. Innovation Centers. The Division of Small Business shall utilize the Delaware Strategic Fund 7 to encourage and invite proposals targeted at innovation to support the establishment or expansion of one or more 8 Innovation Centers. The mission of the Innovation Center(s) shall be creation of wealth by new and growing high 9 tech businesses in Delaware that have global impact. The innovation process shall involve assisting in the 10 identification of new product and process ideas that will succeed and the means of taking these new ideas to market. 11 The Center(s) will facilitate the marrying of the resources of Delaware’s labor force, academic institutions and 12 technical resources to the expertise of a select group of entrepreneurs who understand opportunity, as well as the 13 means to develop it. 14 Section 58. Cultural Access Fund. The Department of State is hereby authorized to use funds reserved in 15 the Cultural Access Fund in order to help fund a matching grant program for capital projects and related programs 16 that will enhance the quality of availability of Delaware’s recreational and cultural offerings. Funds disbursed as part 17 of this matching grant program must be matched 2:1 to state funds. In the event the grant recipient does not have 18 funds to support match requirement, the Department may submit a request to the Director of the Office of 19 Management and Budget and the Controller General for approval to waive said requirement. 20 Section 59. B usiness Development Allocation. Notwithstanding any law to the contrary, the Division of 21 Small Business is authorized to utilize a portion of the funds allocated in the Section 1 Addendum of this Act to the 22 Delaware Strategic Fund to reimburse no more than 3 three percent of capital expenditures made by a commercial 23 developer who is undergoing a construction project that will cost at least $75,000,000 and result in the creation of at 24 least 500 new jobs. Before funding can be allocated, the project must be reviewed by the Council on Development 25 Finance and the Director of the Division of Small Business must submit written justification to the Director of the 26 Office of Management and Budget and the Co -Chairs of the Joint Committee on Capital Improvements. 27 Section 60. Small Business Financial Development Fund. Notwithstanding any law to the contrary, the 28 Division of Small Business is authorized to use up to $1,750,000 of the funds allocated in the Section 1 Addendum of 29 31 this Act to the Delaware Strategic Fund in order to help support programs that provide financial assistance to further 1 the development of small businesses in the state. Any programming that is to be allocated funding shall first be 2 reviewed by the Council on Development Finance. 3 Section 61. Historical and Cultural Affairs. (a) The Secretary of State is authorized to waive the 4 provisions of Chapter 69 of Title 29 of the Delaware Code to rapidly complete restoration and maintenance projects 5 for historic buildings and/or historic sites that the Secretary of State deems critical and/or are threatened by rapid 6 deterioration. Requirements contained in 29 Del. C. § 6960 shall remain in effect. 7 (b) The Secretary of State is authorized to waive the provisions of Chapters 5, 94 and 95 of Title 29 of the8 Delaware Code in order to sell, transfer, or acquire historic buildings and sites. Any properties which are transferred 9 shall be subject to an easement designed to protect the historical nature of the historic building or site. 10 Sec tion 62. Laboratory Space and Laboratory Space Development Fund. Section 1 Addendum of 11 this Act makes an appropriation of $5,000,000 to Department of State for Laboratory Space. Funds appropriated for 12 Laboratory Space shall be disbursed to a special fund to be known as the Laboratory Space Development Fund, 13 hereinafter referred to as the Fund. The purpose of the Fund is to provide grants and other financial assistance to 14 directly support the acquisition and expansion of high- quality modern laboratory space for business use and research 15 in the State. The Division of Small Business shall administer the Fund and distribution of any awards from the Fund. 16 Any laboratory space proposal that is to be allocated funding from the Fund shall first be reviewed and approved by 17 the Council on Development Finance. 18 Section 63. Transfer of Economic Development Funds. Section 1 Addendum of this Act makes 19 appropriations to the Delaware Strategic Fund, Site Readiness Fund and Laboratory Space. Upon request from the 20 Chairperson of the Delaware Economic Development Authority, and approval from the Director of Office of 21 Management and Budget and the Controller General, the Division of Small Business is authorized to transfer funds 22 among these appropriations in order to maximize economic development opportunities in the State. 23 Section 64. C ity of Dover and Downtown Dover Partnership. The Section 1 Addendum of 84 Del. 24 Laws. Ch. 297 this Act appropriates appropriated funds to the City of Dover and Downtown Dover 25 Partnership. Of this amount, $2,500,000 $1,800,000 shall be used for a City of Dover water-sewer line 26 project; $7,500,000 $8,200,000 is allocated to the Downtown Dover Partnership to support community 27 initiatives, including utility upgrades, redevelopment efforts, and/or building improvements; and $420,000 28 shall be used to support the City of Dover Police Department in capital needs of the police training facility. 29 32 Section 65. Del aware Grocery Initiative. Notwithstanding any law to the contrary, the Division of Small 1 Business is authorized to use up to $1,000,000 of the funds allocated in the Section 1 Addendum of this Act to the 2 Delaware Strategic Fund in order to support the Delaware Grocery Initiative established by Senate Substitute 1 for 3 Senate Bill 254 of the 152 nd General Assembly. 4 33 DEPARTMENT OF FINANCE 1 Section 66. Bond Proceeds Reimbursement. Unless not permitted by the Internal Revenue Code of 1986, 2 as amended (the Code), whenever the General Assembly authorizes the issuance of the State’s General Obligation 3 bonds or the Delaware Transportation Authority’s (the Authority) revenue bonds to finance the costs of specific 4 capital projects, it is the intent of the General Assembly that the interest on such bonds shall not be included in gross 5 income for federal income tax purposes under Section 103 of the Code, and the United States Treasury Regulations 6 (the Regulations) thereunder as they may be promulgated from time to time, or shall be qualified as Build America 7 Bonds pursuant to the Code and the Regulations . Pursuant to the State's budget and financial policies, other than 8 unexpected situations where surplus revenues render bond financing unnecessary or undesirable, no funds other than 9 the proceeds of such bonds, are or are reasonably expected to be, reserved, allocated on a long- term basis or 10 otherwise set aside by the State to pay the costs of such specific capital projects. Pursuant to the Authority’s budget 11 and financial policies, it is expected that approximately 50 percent of the costs of its capital projects shall be funded 12 on a long- term basis from the proceeds of such bonds. However, after the authorization of such bonds, but prior to 13 their issuance, non-bond funds from the State’s General Fund or the Authority’s Transportation Trust F und or other 14 funds may be advanced on a temporary basis to pay a portion of the costs of such specific capital projects. In that 15 event, it is expected that these non-bond funds will be reimbursed from the proceeds of such bonds when they are 16 issued. This reimbursement may cause a portion of such bonds to become reimbursement bonds within the meaning 17 of Section 1.150-2 of the Regulations. Under those Regulations, to preserve the exclusion of the interest on such 18 bonds from gross income for federal income tax purposes, it may be necessary to make a declaration of official intent. 19 The Secretary of Finance is hereby designated as the appropriate representative of the State and the Secretary of 20 Transportation is hereby designated as the appropriate representative of the Authority, and each is authorized to 21 declare official intent on behalf of the State or the Authority, as the case may be, within the meaning of Section 22 1.150-2 of the Regulations, whenever and to the extent that such declaration is required to preserve such tax 23 treatment. 24 Section 67. Amortization Requirements. Issuance of any bonds authorized in this Act or any previous 25 authorization act may be subject to any amortization requirements as shall be determined by the bond issuing officers 26 notwithstanding anything to the contrary contained in 29 Del. C. § 7406(b). 27 Section 68. Diamond State Port Corporation. The State Treasurer is authorized to and shall take custody 28 of certain reserve funds belonging to and transferred by the Diamond State Port Corporation ( DSPC). The 29 34 Department of Finance, Office of the Secretary (25-01-01) shall establish and maintain a special fund with the State 1 Treasurer on behalf of DSPC for the purpose of accounting for the receipt and disbursement of the reserve funds. 2 The reserve funds shall be invested with other State funds in accordance with the guidelines established by the Cash 3 Management Policy Board. The special fund shall receive interest at the school and special fund rate approved by the 4 Cash Management Policy Board. The State Treasurer shall release custody of the reserve funds upon receipt of 5 disbursement requests approved by the Department of Finance. 6 Section 69. Port of Wilmington. Notwithstanding § 8784 and Chapter 69 of Title 29, the provisions of 7 House Concurrent Resolution No. 76 (149th General Assembly) authorizing the Concession Agreement or any 8 provision of Delaware law to the contrary, the Diamond State Port Corporation, with the subsequent concurrence of 9 the co-chairs of the Bond and Capital Improvement Committee, the Controller General, the President Pro Tempore of 10 the Senate, and the Speaker of the House, shall have the authority to amend the Concession Agreement and/or enter 11 into a new concession agreement(s) in furtherance of the policy and purposes under § 8780 of Title 29. 12 35 DEPARTMENT OF CORRECTION 1 Se 70. Prison Construction. (a) The Director of the Office of Management and Budget, as provided 2 through construction management services, shall consult with the Commissioner of Correction to ensure expedient 3 programming, planning, and construction of authorized correctional facilities. None of the funds authorized herein or 4 in prior fiscal years are intended to supplant federal funds. 5 ( and approved by the Delaware State Clearinghouse Committee 6 for the purpose of constructing correctional facilities shall have the technical oversight of the Director of the Office of 7 Management and Budget as defined in the appropriate s ection of this Act pertaining to management of the 8 construction to ensure proper use and timely completion of all such construction projects authorized herein. 9 Se 71. Community Restoration. The Department of Correction may, to the extent resources and 10 appropriately classified offenders are available, direct these offenders to assist with community restoration projects. 11 These projects may include beautification, clean up and restoration efforts requested by civic, governmental, and 12 fraternal organizations approved by the Commissioner. 13 Se 72. Maintenance and Restoration. Section 1 Addendum of this Act makes an appropriation to the 14 Department of Correction for Maintenance and Restoration projects. The department must submit a bi-annual report 15 to the Director of the Office of Management and Budget and the Controller General, detailing the expenditure of such 16 funds and the respective projects. The department shall submit a preliminary plan to the Director of the Office of 17 Management and Budget and the Controller General for maintenance projects for the following fiscal year by October 18 31. 19 36 DEPARTMENT OF NATURAL RESOURCES AND ENVIRONMENTAL CONTROL 1 Section 73. Conservation Cost-Sharing Program. Section 1 Addendum of this Act makes an 2 appropriation to the Department of Natural Resources and Environmental Control (DNREC) for the Conservation 3 Cost-Sharing Program. Of this amount, $2,000,000 at 70 percent will be divided equally among the three 4 conservation districts to expand their water quality and water management programs. Preference should be given to 5 projects or conservation practices that improve water quality on lands covered by nutrient management plans, as 6 practicable and in consultation with the Secretary. The remaining 30 percent balance of the $2,000,000 will be 7 directed towards nutrient management and water quality efforts statewide as determined by the Secretary, in 8 consultation with the three conservation districts. The remaining balance of $1,200,000 will be directed toward 9 DNREC Division of Watershed Stewardship conservation priorities to match Federal and State funds to achieve 10 Delaware WIP goals by implementing priority best management practices. 11 Se 74. DNREC Land Acquisition. Except for land acquired by approval of the Open Space Council 12 or approved through a Bond and Capital Improvements Act, land shall not be purchased by DNREC without prior 13 approval of the Co -Chairs of the Joint Committee on Capital Improvements provided, however, that the D epartment 14 is not prohibited from conducting studies, surveys, or other contractual arrangements that would normally precede 15 land acquisition procedures. 16 Section 75. Army Corps of Engineers Project Cooperation Agreements. By using funds approved by 17 Bond and Capital Improvements Acts, the Secretary of DNREC is authorized to sign Project Cooperation 18 Agreements with the Department of the Army and other appropriate sponsors for planning, construction, operation, 19 and maintenance for projects entered into by said Agreements. 20 Section 76. Indian River Marina. In accordance with the provisions of 73 Del. Laws, c. 350, § 70, 21 DNREC, under the direction of the Director of the Office of Management and Budget may utilize up to $9,900,000 in 22 funds from the Twenty -First Century Fund for the Parks Endowment Account as established in 29 D el. C. § 23 6102A(e), for the purpose of revitalizing and enhancing public amenities within the Delaware Seashore State Park in 24 and around the Indian River Marina c omplex and related support facilities as presented to the Joint Committee on 25 Capital Improvements Program on May 15, 2002. DNREC will repay both the principal borrowed and interest on the 26 principal borrowed equal to that interest lost as a result of borrowing from the a ccount. Repayment shall not exceed 27 20 years. 28 37 Section 77. Newark Reservoir. Regardless of whether New Castle County retains, or if the City of 1 Newark annexes the property referred to as New Castle County Tax Parcel Number 08- 059.20- 002 and Tax Parcel 2 Number 08- 059.20-001, this property is prohibited from any commercial or more intense residential development that 3 would require a rezoning of the property. 4 Section 78. Seventh Street Marina. It is the intent of the General Assembly to classify the Seventh Street 5 Marina, located on East Seventh Street, being Tax Parcel Number 26-044.00-013 containing 7.86 acres of land (of 6 which 5.27 acres, more or less, is above the high water line) as existing marina for purposes of the State of Delaware 7 Marina Regulations, adopted on March 29, 1990 and amended on February 22, 1993. Such classification does not 8 exempt any person seeking to make physical improvements to the marina from permit application fees pursuant to 7 9 Del. C. c. 66 and c. 72. 10 Se 79. Waterway Management. DNREC is directed to provide dedicated, comprehensive waterway 11 management for state waters. DNREC will maintain design depths and mark navigational channels of the State that 12 are not maintained and marked by any entity of the federal government; remove nuisance macroalgae; remove 13 abandoned vessels; remove derelict structures, trees, and other debris that threaten safe navigation; and perform any 14 other waterway management services that may be identified to preserve, maintain, and enhance recreational use of 15 the State’s waters, as well as improve environmental conditions as warranted or directed by the Governor or 16 Secretary of DNREC. DNREC is further directed to undertake a study of the sediment sources and patterns of 17 sediment movement that result in deposition within state waterways to determine if there are methods to reduce the 18 dependency on dredging to remove deposited sediments. DNREC shall provide a report of the projects, priority 19 rankings, and timelines for completion of the dredging, navigation, and channel marking related projects within the 20 Inland Bays to the Joint Committee on Capital Improvements by September 1st of each year. 21 Section 80. Auburn Valley Project. The implementation of the transportation, stormwater m anagement, 22 demolition, remediation, redevelopment, and parks and recreation element of the Auburn Valley Master Plan shall 23 not be subject to the zoning, subdivision, land use, or building code ordinances or regulations of New Castle County. 24 Se 81. Conservation District Contracting. Notwithstanding any statutory provision or regulation to 25 the contrary, it is the intent of the General Assembly that DNREC may enlist Delaware’s conservation districts as 26 provided in 7 Del. C. c. 39 to advance the purposes of this chapter. All contracts shall be subject to the provisions of 27 29 Del. C. § 6960. 28 38 Section 82. Bay View. The New Castle Conservation District shall continue coordinating with New Castle 1 County’s Office of Emergency Services to work with the Bay View community as Resource Conservation and 2 Development (RC&D) funds drainage project and may use up to $200,000 from existing RC&D project funds should 3 the opportunity arise to fund an appropriate solution. For the purposes of Bay View, appropriate solutions may 4 include, but are not limited to, matching the $200,000 in RC&D pr oject funds with FEMA funding as a County-5 sponsored Hazard Mitigation Project. 6 Section 83. Redevelopment of Strategic Site. Section 1 Addendum of this Act makes an appropriation to 7 DNREC for the redevelopment of the following strategic site : 8 The Fort DuPont complex adjacent to Delaware City. Up to $400,000 of this appropriation may be utilized 9 for the operations and administration of the redevelopment corporation. Notwithstanding the provisions of 29 Del C. 10 c. 94 and upon request by the redevelopment corporation board pursuant to a duly authorized resolution, the Director 11 of the Office of Management and Budget may transfer real property of the Fort DuPont/Governor Bacon Complex to 12 the redevelopment corporation. 13 Section 84. Resource, Conservation and Development Projects. It is the intent of the General Assembly 14 that the Office of Natural Resources, Division of Watershed Stewardship and the Conservation District(s) as 15 established by 7 Del. C. c. 39 shall have the following authorities: 16 (a) Within the same county, funds appropriated in any fiscal year shall be used for the completion of any 17 Resource, Conservation and Development (RC&D) project approved by the Joint Committee on Capital 18 Improvements. Funds remaining from completed projects may be utilized for any project approved as part of any 19 fiscal year Bond and Capital Improvements Act. The funds appropriated are to be utilized for planning, surveying, 20 engineering, and construction of approved projects. 21 (b) For water management and drainage projects undertaken by DNREC, Office of Natural Resources, 22 Division of Watershed Stewardship and the Conservation Districts using RC&D Resource, Conservation and 23 Development funds, the required non -RC&D match shall be a minimum of 10 percent of the total project cost for any 24 project. 25 (c) Approved projects remain on the approved project list until completed or discontinued by the Division of 26 Watershed Stewardship or Conservation District(s) because of engineering, landowner consent or other issues that 27 render a cost-effective solution to drainage or flooding problems unlikely. The projects recommended to be 28 discontinued will be identified on the annual report submitted to the Joint Committee on Capital Improvements. 29 39 (d) In December and May of each year, the Division of Watershed Stewardship shall submit a financial 1 report of fund activity including expenditures by fiscal year appropriated for each county to the Office of 2 Management and Budget and the Office of the Controller General. Accounting and financial management for the 3 RC&D fund will be based on the current pro- rated allocation of funds for each county and not based on specific 4 project allocations. 5 (e) The Division of Watershed Stewardship will submit an annual report to the Joint Committee on Capital6 Improvements at the Resource, Conservation and Development hearing detailing project status including those 7 projects recommended for discontinuation. The annual report will also include a request for funding that will identify 8 the total unexpended balance of the fund and the total projected needs of the project estimates to date. A list of new 9 projects will also be identified and submitted for approval by the Joint Committee on Capital Improvements. 10 (f) When a proposed tax ditch project or other water management project traverses county lines, if approve d11 by the Joint Committee on Capital Improvements the project shall be added to the project list in both counties. 12 (g) Subject to the approval of the Co- Chairs of the Joint Committee on Capital Improvements, a project13 funded entirely from Community Transportation Funds may be added to the RC&D p roject list during the course of a 14 fiscal year when said project is deemed to be an emergency project affecting the health and safety of residents. 15 Section 85. Revenues. Prior to requesting the General Assembly approve fee changes for any 16 program or fee administered by the Department of Natural Resources, the Department must first complete the 17 following; 18 (1) Conduct an analysis of the Department’s costs to administer such permits, licenses, 19 approvals, or services provided in relation to the funds including fees, non-appropriated special funds, 20 general funds or other funding that are collected and used in connection with the permit, license, 21 approval, service or program. 22 (2) Perform a continuous improvement lean process study and implement any procedural a nd 23 other improvements to the subject permitting, licensing, approval, service or program to increase 24 efficiency, shorten permitting time frames, improve community engagement and outreach, and 25 minimize or avoid any fee increases. 26 (3 ) Provide for review and comment from any applicable advisory committee or, in the 27 absence of an advisory committee, a balanced group of stakeholders who utilize the permit, license, 28 approval, service, or program and are impacted by the regulated activities). 29 40 The Department shall inc lude the results of its analysis along with any proposed fee increases and explain 1 how an increase will approximate and reasonably reflect on those costs necessary to defray the expenses of each 2 permit, license, approval, or related service. 3 (a)The Governor and General Assembly herein acknowledges that certain programs within the department 4 are funded all or in part by fee-based revenues as specified in the appropriate chapter of the Delaware Code. The 5 Secretary shall perform a review of fees assessed and collected by the department to determine the revenue 6 sufficiency of the fees and programs they support, and a report shall be submitted to the Director of the Office of 7 Management and Budget and the Controller General on January 1, 2025, during the Department’s budgetary process 8 for FY2026 and every two years thereafter. The review shall identify program elements that are funded through fees 9 and other sources and shall include an evaluation of effectiveness and efficiency. The review may include, but is not 10 limited to, identification of operational changes that improve efficiency and effectiveness of operations and reduce 11 costs. The Secretary shall provide stakeholders and individuals familiar with the program opportunity to review and 12 provide comment on the department’s findings. Any changes in fees that require the approval of the General 13 Assembly shall be submitted by the department as part of the annual budgetary process. 14 (b) DNREC’s Division of Parks and Recreation, following adequate opportunity for public comment and the 15 approval of the Parks and Recreation Advisory Council and the Secretary, may establish, for activities, entrance fees 16 and services administered by the division, such appropriate fees as shall approximate and reasonably reflect costs 17 necessary to defray the expenses of each such activities or service. There may be a separate fee charged for each 18 service or activity, but no fee shall be charged for a purpose not specified in the appropriate chapter of the Delaware 19 Code. At the beginning of each calendar year, the department shall compute the appropriate fees for each separate 20 activity or service and provide to the Governor, Office of Management and Budget, and Controller General. All 21 revenue generated by any of the activities or services performed by the department shall be deposited in the 22 appropriated special fund account. These funds shall be used to defray the expenses of the department but may not 23 exceed the budget authority for any fiscal year. 24 Section 86. Clean Water Initiative. Section 1 Addendum of this Act makes an appropriation to Clean 25 Water State Revolving Fund. At least $4,600,000 of these funds shall be used for the development, administration 26 and implementation of a clean water financing program to benefit low -income and traditionally underserved 27 communities through lower interest rates and affordability grants. 28 41 Section 87. Buried Debris Pit Remediation Program. Section 1 Addendum of this Act makes an 1 appropriation of $1,000,000 to the Department of Natural Resources and Environmental Control for Debris Pits, New 2 Castle County shall match the state appropriation. 3 Section 88. O gletown Trail. For purposes of creating and maintaining public-use trails in the Ogletown 4 area, the Secretary of the Department of Natural Resources and Environmental Control is hereby directed to enter into 5 an easement agreement with the property owners of parcels with Tax IDs 11- 003.30- 049 and 09-028.00-009 located 6 on East Chestnut Hill Road in Newark. Upon entering into an easement agreement for public access, the d epartment 7 shall allocate $500,000 of its Park Facility Rehab and Public Recreational Infrastructure appropriation for the creation 8 and maintenance of trails, and enter into an agreement with a third- party organization related to easement monitoring, 9 trail development and maintenance, and habitat protection and restoration. 10 Section 89. Polly Drummond Yard Waste. Pursuant to 83 Del. Laws Chapter 340, the Department of 11 Natural Resources and Environmental Control has worked with members of the General Assembly to pursue a 12 permanent solution for relocation of the Polly Drummond Yard Waste Site and ensure New Castle County residents 13 have a safe and accessible drop-off site. The department shall work with the Delaware Solid Waste Authority 14 (DSWA) to transition operations under DSWA in the vicinity of the current Polly Drummond Yard Waste Site. 15 DNREC and DSWA will provide a status report back to the General Assembly and Governor by December 1 of each 16 fiscal year with a plan to address the alternative yard waste drop-off plan. 17 Section 90. Dela ware Bay Beach Initiative. The Section 1 Addendum of this Act appropriates 84 Del. 18 Laws c. 83 and 84 Del. Laws c. 297 appropriated funds for the Delaware Bay Beach Initiative. These funds shall be 19 used to provide the required 10 percent state match to leverage federal funds to ensure the completion of 20 renourishment projects for Delaware’s bay beaches. 21 Section 91. Tax D itches. (a) Section 1 Addendum of this Act makes an appropriation to the 22 Department of Natural Resources and Environmental Control (DNREC) for Tax Ditches. Of this amount, 23 $1,500,000 shall be retained by the DNREC Division of Watershed Stewardship to support and facilitate the 24 Tax Ditch Program. The remaining balance shall be divided at a rate based on the total number of miles of tax 25 ditches statewide and distributed to the three conservation districts based on the number of miles of tax ditches 26 in each county. This funding shall be used for tax ditch maintenance work to be completed at the direction of 27 the tax ditch organizations and/or their managers who are in compliance with 7 Del. C. c. 41. 28 42 (b) As the drainage and prevention of flooding and management of water for resource conservation is 1 considered a public benefit and conducive to public health, safety, and welfare, and as tax ditch organizations 2 operate under the supervision of DNREC, the Division of Watershed Stewardship shall have authority to act on 3 behalf of “inactive tax ditches,” defined as tax ditch organizations with zero (0) tax ditch officers for at least 4 one (1) year. The DNREC Division of Watershed Stewardship shall have full exercising powers, roles, 5 responsibilities, and duties of a tax ditch officer as granted in Title 7 Chapter 41 Drainage of Lands and 6 Management of Waters; Tax Ditches. The DNREC Division of Watershed Stewardship shall have the ability to 7 make and execute necessary maintenance activities on behalf of the tax ditch organization, and the DNREC 8 Division of Watershed Stewardship shall be granted access to the inactive tax ditch funds. The authority for the 9 DNREC Division of Watershed Stewardship to act on behalf of an inactive tax ditch shall be at the DNREC 10 Division of Watershed Stewardship's discretion, prioritized based on need, and expires upon the fulfillment of 11 an officer vacancy. The DNREC Division of Watershed Stewardship will continue to implement recruitment 12 strategies to obtain tax ditch officers for managing inactive tax ditches. 13 Section 92. P ark Facility Rehab and Public Recreational Infrastructure. The Section 1 14 Addendum of this Act makes an appropriation to the Department of Natural Resources and Environmental 15 Control for Park Facility Rehab and Public Recreational Infrastructure. Of this amount, $750,000 shall be used 16 toward improvements at the Brandywine Zoo to support accreditation efforts. 17 43 DEPARTMENT OF SAFETY AND HOMELAND SECURITY 1 Section 93. N ew Castle County Regional Training Facility. (a) Notwithstanding any provision or 2 requirement of the public trust doctrine or 10 Del. C. c. 62, and without the necessity of compliance therewith, New 3 Castle County is hereby authorized to utilize 40 acres, more or less, at 1205 River Road, New Castle, Delaware 4 19720, Tax Parcel Number 10-046.00-001, for the sole purpose of establishing and maintaining a law enforcement 5 firing range, and driving course thereon for use by federal, State of Delaware, New Castle County and local 6 municipal law enforcement personnel. 7 (b) Section 1 Addendum of 79 Del. Laws, c. 78 and c. 292 appropriated funding for the New Castle Count y8 Law Enforcement Firing Range. Said funding may be expended for portable equipment that will be utilized for the 9 range upon opening of the facility. 10 Section 94. M arijuana Social Equity Business Development Fund. The Section 1 Addendum of 11 this Act appropriates funding 84 Del. Laws c. 297 appropriated funds for the Social Equity Fund. These funds 12 shall be used by the Office of the Marijuana Commissioner to provide grants to applicants that have qualified 13 under the requirements found in 4 Del. C. and have received a conditional license. Grants may be used to pay 14 for ordinary and necessary expenses required to start and operate a marijuana establishment. 15 Beginning July 1, 2025, the Marijuana Commissioner shall publish online and send to the Governor, 16 t he Chief Clerk of the House, and the Secretary of the Senate an annual report on the following: 17 (1) The number of persons or businesses receiving financial assistance from the Fund.18 ( the amount in financial assistance awarded in the aggregate and the number of grants awarded.19 44 DEPARTMENT OF TRANSPORTATION 1 Section 95. General Provisions. The Department of Transportation (Department) is hereby authorized and 2 directed to use all its designated powers and resources to carry out the following legislative mandates: 3 ( $774,842,681 $673,606,963(State: 4 $328,702,090 $255,221,759; Federal: $404,747,357 $395,651,241; Other $41,393,234 $22,733,963) are authorized to 5 be withdrawn from the Transportation Trust Fund to carry out the projects and programs as set forth in the Section 1 6 Addendum of this Act. 7 (b) New Transportation Trust Fund Debt Authorization. To fund a portion of the projects authorized herein, 8 the Delaware Transportation Authority is hereby authorized to issue bonds in an amount not to exceed $160,160,258 9 $26,741,437 pursuant to the provisions of 2 Del. C. c. 13 and 14, of which not more than $150,000,000 $25,000,000 10 plus premium shall be used for purposes set forth in the Section 1 Addendum of this Act with the remainder, not to 11 exceed $10,160,258 $1,741,437 to be used to fund issuance costs and necessary reserves for the Reserve Account. 12 Section 96. M aintenance and Operations Facilities. Building structures and facilities constructed, or to 13 be constructed, within the Department of Transportation's operating right of way that facilitate maintaining the 14 highway system and are used to assist in the operational and maintenance activities for all roads, shall not be subject 15 to zoning, subdivision, or building code ordinances or regulations by any political subdivision of the State. Types of 16 structures may include equipment sheds, crew quarters, equipment maintenance, equipment washing, material storage 17 sheds (i.e. salt, sand and other bulk materials), fuel centers, and other maintenance structures required to maintain the 18 highway system such as security (cameras and fences) including necessary maintenance and replacement items such 19 as upgrades to existing facilities. The Department shall not construct any such facility without first conducting a 20 public workshop to describe such plans and gather public input into the effect of such plans. 21 Section 97. Grants and Allocations Section 1 Addendum of this Act makes an appropriation for projects 22 within the Grants and Allocations classification. The General Assembly further defines its intent with response to 23 those appropriations as follows: 24 (a) T $67,680,000 $53,680,000 (State/Other), of which $1,530,000 $630,000 is categorized as 25 Drainage Funds, shall be used for the Community Transportation Fund (CTF), in accordance with the rules and 26 regulations adopted by the Joint Committee on Capital Improvements, as amended from time to time. 27 (b) T 28 provisions of 30 Del. C. c. 51. 29 45 (c) Of the funds appropriated in subsection (a), $30,000,000 $20, 000,000 shall be used by the Department 1 to continue the Subdivision Street Pavement Management Fund (SSPMF), which replaces the previous Subdivision 2 Street Pilot Paving Program. The Department is directed to only use these funds for direct paving and rehabilitation 3 of community streets. The Department is further directed to use its existing road rating criteria as a basis to determine 4 the priority of paving and rehabilitating community streets. The Department will provide a monthly report to the Co-5 Chairs of the Joint Committee on Capital Improvements on the progress of the program. 6 Section 98. 531 0 Program. The Delaware Transit Corporation is authorized to expend up to $1,200,245 7 $573,245 (State portion $741,649, Federal portion $458,596) from the Transit System classification (97301) 8 appropriated in this Act for the 5310 Program, administered by the Federal Transit Administration 9 Section 99. Department Work Impacts on Private Property and its Owners. When the Department 10 and/or any of its contractors determines that it would be in the best interests of the State to undertake 11 construction/reconstruction work past 9:00 p.m. or before 7:00 a.m., and such work is to be conducted immediately 12 adjacent to a residential neighborhood: 13 (a)The De 14 the Department’s desire to undertake such work. It must explain the benefits and costs to the State and the 15 neighborhood of working under regular hours and the proposed extended hour schedule. Such notifications shall 16 include a description of the proposed work to be conducted, the proposed use of any equipment that may cause noise, 17 vibration, or odor disruptions to the neighborhood and an estimate of the time required to complete the project. The 18 Department may proceed with its extended hours of work if it does not receive a significant number of objections 19 from the notified residents. Pursuant to the provisions of the Delaware Code, it shall offer temporary relocation to 20 any residents who request such relocation. 21 (b)The Department may proceed with its extended hours of work, s o long as jack hammering or other hig h22 noise activities do not impose an excessive nuisance to residents within the designated work zone. 23 (c)If the Department determines that the proposed work (regardless of its scheduled time) will produce24 noise that exceeds the applicable noise ordinances of the appropriate jurisdiction, the Department shall ensure that it 25 seeks and receives a waiver from that jurisdiction before commencing the work. 26 (d)If the Department determines that the proposed work may cause any vibration or other damage t o27 neighboring property, it shall complete a pre-work survey of the potentially affected properties to determine the base-28 line condition of those properties. It shall monitor the properties during construction to e nsure that any vibration or 29 46 other damage is minimized. If any damage does occur, the Department must reimburse the private property owners 1 pursuant to the provisions of the Delaware Code. The Secretary of the Department (Secretary) may waive the 2 provisions of this section if he/she determines that any such work is necessary in order to respond effectively to an 3 emergency caused by a natural disaster, an accident or a failure of a transportation investment. 4 Section 100. City of Wilmington Beautification. In order to maintain the urban tree canopy available in 5 the City of Wilmington, and those properties that directly abut City limits, the General Assem bly authorizes and 6 directs the Department to establish, and maintain a program of tree maintenance and replacement in cooperation with 7 the Delaware Center for Horticulture and/or Urban Forestry in the Department of Agriculture. It is the intent of the 8 General Assembly that such program shall be funded exclusively by allocations made from time to time by members 9 of the General Assembly from their CTF. The Department shall make payments to the c enter and/or Urban Forestry 10 in the Department of Agriculture for work accomplished, and appropriately vouchered, from the CTF funds herein 11 identified. 12 Section 101. Supplies of Road Materials. 74 Del. Laws, c. 308 § 109 is suspended until such time as the 13 Department of Transportation shall suggest its re-institution and such suspension has been overridden by an Act of 14 the General Assembly. 15 Section 102. Wakefield Drive. The Department shall be prohibited from reopening Wakefield Drive in 16 Newark through Old Baltimore Pike. 17 Section 103. Community Transportation Funding Levels. The Department is directed to account for the 18 Community Transportation Program funds as cash, which shall be equal to the amounts authorized in Appendix A of 19 this Act. The funds authorized within the Community Transportation P rogram shall not be subject to deauthorization 20 or reallocation by the Department under any circumstances. 21 Section 104. New Development Road Widening. When planning and/or permitting additional road 22 widening directly related to new residential development, the Department of Transportation, Division of Planning, 23 shall make every attempt to require the necessary right-of-way land be acquired from the developer owned land. 24 Section 105. Buck Road. The Department is requested to refrain from issuing any entrance permit, 25 authorization or approval for use of any entrance way from New Castle County Tax Parcel Number 07-026.00-094 26 onto Buck Road, until such time as it also certifies by letter to the New Castle County Department of Land Use that 27 the developer’s proposed entrance design conforms with the Department’s subdivision requirements , pursuant to its 28 authority under 17 Del. C. § 146 and its related regulations, intended to protect public safety and maintain smooth 29 47 traffic flow. The government of New Castle County is also requested to solicit comments from and work with the 1 r esidents of surrounding communities, community organizations, and state and local officials to address traffic safety 2 and other legitimate land use concerns about the proposed development, after the receipt of the Department’s letter. 3 The design of the entrance on Buck Road for Greenville Center will include a sidewalk from the entrance to the 4 surrounding Greenville Manor Community on Ardleigh Drive. 5 Section 106. Rou tes 141 and 48. The Department is requested to refrain from issuing any permit, 6 authorization or approval for use of any new, additional, revised or modified entrances for New Castle County Tax 7 Parcel Numbers 07-032.20-003, 07-032.20-048 through and including 07- 032.20- 055, 07-032.20-057 and 8 07-032.30-072 onto or from Route 141 or Route 48, until such time as the Department obtains, reviews, a nd 9 comments upon a traffic operations analysis for the area, which among other elements addresses (1) the predicted 10 levels of service on intersections, roadways, or the Tyler McConnell Bridge affected by the proposed development of 11 these parcels, and (2) the roadway improvements necessary to accommodate the development of these parcels, based 12 upon the exploratory development plans submitted to the New Castle County Department of Land Use by the 13 developer, as required by the County’s Unified Development Code. To the extent that any submission of proposed 14 development plans is substantially different than the original exploratory development plans submitted to the County, 15 the Department is further requested to assess the impact of the new submission’s traffic generation upon the local 16 transportation network. The scope of the assessment shall be at the reasonable discretion of the Department. 17 Section 107. R ed Light Safety Enforcement. (a) The program shall continue to use recognized safety and 18 accident criteria in determining whether and where to add any new enforcement locations to this program. Prior to 19 any new locations, the incumbent state senator and representative for the districts in which such locations are 20 proposed, shall be notified prior to installation. 21 (b) To assure integrity and propriety, no person involved in the administration or enforcement of this22 program shall own any interest or equity in the vendor used by the Department to support the administrative elements 23 of the program. Any such person with an ownership or equity interest in such vendor must divest from this 24 ownership or investment no later than 90 days after the effective date of this Act. This restriction applies to anyone 25 with either direct involvement in administering or enforcing this program and those in any supervisory capacity above 26 such persons. 27 Section 108. Chestnut Hill Road Parcel. The provisions of 17 Del. C. § 137 notwithstanding, the 28 Department is authorized to enter into agreements with other governmental agencies, either directly or in concert with 29 48 a private entity, regarding a Department-owned parcel known as NC227, T ax Parcel Number 11-003.30- 027, on 1 terms the Secretary deems appropriate, for purposes of evaluating the costs and benefits of fuel cell technology from 2 environmental and economic development perspectives, which the General Assembly hereby finds is an appropriate 3 public purpose. 4 Section 109. R ehabilitation of Public Streets, Industrial Parks. In order to maintain a safe, attractive, 5 and efficient network of public streets serving the State’s growing inventory of industrial parks, the Department shall 6 be authorized to spend sums not exceeding $1,250,000 on the program first established by 78 Del. Laws c. 76, § 123 7 to address this issue. The Department shall prepare an inventory of all public streets within the State’s industrial 8 parks. It shall further rank all of these streets in the same manner that it prepares the annual program of roads eligible 9 for the Paving and Rehabilitation Program authorized elsewhere in this Act. The Secretary shall then distribute this 10 list to all members of the General Assembly, together with an estimate of the amounts necessary to address those 11 public streets in this inventory most in need of repair. If a member of the General Assembly elects to allocate funds 12 from their CTF to repair any of these public streets, the Secretary may draw on this appropriation to match those 13 individual CTF dollars on the basis of three dollars from this special account for every one dollar allocated by the 14 member. The Secretary shall notify all members of their intent to make such matching allocations and shall require 15 any member interested in participating to notify the Department of their interest within 30 days from the date of such 16 announcement. In the event that the sum of all individua l member requests exceeds the amounts authorized by this 17 section, the Department shall prioritize the industrial park streets to be improved on the basis of the ranking required 18 by this section, and shall share its decisions with all members of the General Assembly. For purposes of preparing 19 this inventory and ranking, the Department is authorized and directed to expend such sums as may be necessary from 20 the accounts established for statewide paving and rehabilitation activities. For purposes of eligibility, the industrial 21 park public streets shall be limited to those streets which meet department standards and are currently maintained by 22 the Department. 23 Section 110. C ommunity Transportation Fund. The Department will provide an annual financial report 24 regarding projects funded through CTF and will report to the Co -Chairs of the Joint Committee on Capital 25 Improvements by June 30 of each fiscal year. 26 Section 111. Route 1 Widening. The Department is encouraged to consider all feasible and prudent 27 options with respect to access issues for the proposed widening of State Route 1 between State Route 273 and the 28 49 Senator William V. Roth Bridge, i ncluding, but not limited to, the provision of new ramps in the vicinity of Newtown 1 Road. 2 Section 112. C ommunity Transportation Fund. The Department shall continue to allow the funding of 3 state historical markers through the CTF. Said CTF-funded markers shall be placed either within the right- of-way, or 4 as close thereto as safety conditions will permit and shall be positioned to be as visible as possible from the roadway 5 consistent with applicable highway safety standards. State historical markers, regardless of placement, shall be 6 exempt from all county or local signage regulations, ordinances, fees or licenses. Existing historical markers shall be 7 brought into compliance with current standards only as they require replacement, in which case CTF funding may be 8 used for said replacement and, if necessary, repositioning consistent with current safety standards. If a marker must 9 be relocated or replaced as the result of a transportation road project, the cost of said relocation or replacement, as 10 well as the cost of upgrading of the marker to current safety standards shall be borne by the Department as an expense 11 of the project. 12 Section 113. Research Programs. Section 1 Addendum of this Act makes various appropriations to the 13 Department. 14 (a )Of this amount, the Department shall fund a minimum amount of $250,000 for the purposes of funding15 research programs. 16 (b) Of this amount, $62,500 shall be used for infrastructure research and forums through the University of17 Delaware, Institute for Public Administration. An additional $50,000 shall be allocated for the purposes set forth in 18 this section to be funded from eligible federal funds. These activities funded by this appropriation shall be approved 19 by the Secretary. 20 Section 114. C onstruction Manager/General Contractor Projects. The U.S. Department of 21 Transportation is encouraging states to explore procurement alternatives for transportation project delivery, through 22 its Every Day Counts Initiative, aimed at shortening the time frame required for project completion and reducing 23 overall project costs, while still providing quality assurance for the results. Therefore, the Department is hereby 24 authorized to utilize Construction Manager/General Contractor (“CM/GC”) procurement mechanisms , for up to ten 25 transportation construction projects. “Construction Manager/General Contractor” is a project delivery method under 26 which an owner selects a General Contractor to provide consultation during the design of the project. After the 27 project design is completed, the General Contractor may submit a bid to perform the construction work. The owner 28 evaluates the bid and may decide to award the construction contract to the General Contractor, or advertise the 29 50 construction contract to be bid. CM/GC entities may be a single firm, a consortium, a joint venture, or a combination 1 of entities. The use of these experimental procurement approaches is further subject to the following conditions: 2 (a) The construction contract terms shall include provisions to pay prevailing wage rates as provided in 3 29 Del. C. § 6960, or the applicable Federal prevailing wage rate, whichever is higher. 4 (b) The following additional provisions of 29 Del. C. c. 69 shall also be incorporated into these contracts: 5 (1) § 6962(d)(4)a. (anti-pollution, conservation environmental measures); (2) § 6962(d)(7) (equal employment 6 opportunity assurances); and (3) § 6962(d)(8) (performance bonding requirements). 7 (c) Any such contracts shall conform to all applicable Federal laws and regulations concerning CM/GC 8 contracting, without regard to the source of funds. 9 (d) Any such contracts shall also be subject to the provisions of 17 Del. C. c. 8 (construction payments 10 held in trust for protection of subcontractors and suppliers). 11 (e) All other provisions of 29 Del. C. c. 69 shall not be applicable to these projects, except as referenced in 12 this section. 13 (f) T Co-Chairs of the Joint Committee on Capital Improvements and the Director of the Office of 14 Management and Budget shall approve all projects subject to this section. 15 Section 115. B eau Tree Lane. As it has been dedicated for public use by the residents, the section of Beau 16 Tree Lane located within the jurisdictional limits of the State of Delaware is eligible for the Department of 17 Transportation’s Snow Removal Reimbursement Program and is specifically exempted from the requirement found in 18 17 Del. C. § 521(a)(6) requiring that a street be accepted for perpetual maintenance by the Department to qualify for 19 the Snow Removal Reimbursement Program. The residents of the Delaware section of Beau Tree Lane must comply 20 with all other requirements of the Snow Removal Reimbursement Program as codified in 17 Del. C. § 521. 21 Section 116. Community Transportation Funds. Notwithstanding any provision of 29 Del. C. to the 22 contrary, the Department of Transportation is hereby authorized to use Community Transportation Funds for a one-23 time reimbursement to each of the following: 24 (1) American Legion Post 14 in an amount of up to $10,000 for the re-pavement of the parking lot. 25 (2)(1) Bergmont Woods Homeowners Association in an amount of up to $40,000 for capital 26 improvements in open space areas. 27 (3)(2) Bethel Cares in an amount of up to $100,000 for a sidewalk improvement project. 28 51 (4) Brandywine Hundred Fire Company in an amount of up to $75,000 for the purchase of a command 1 vehicle.2 (5)Christiana Fire Company in an amount of up to $75,000 for the reimbursement of a comma nd 3 vehicle.4 (6)(3) City of Delaware City in an amount of up to $350,000 for a flood mitigation and street paving 5 project. 6 (7)(4) City of Wilmington in an amount of up to $35,000 for park improvements at Canby Park. 7 (8)(5) CityFest in Wilmington in an amount of up to $50,000 for the creation of a Bob Marley mural. 8 (9)(6) Delaware Technical Community College in an amount of up to $150,000 to authorize a CDL 9 driving simulator/vehicle to expand capacity in the CDL training program. 10 (10)Developing Artist Collaboration in an amount of up to $10,000 for the repair of a mural located at11 Central Street in West Rehoboth.12 (11)Hastings Marine Construction in an amount of up to $32,000 for shoreline restoration of Mill P ond 13 in Laurel.14 (12)(7) Hilltop Lutheran Neighborhood Association in an amount of up to $100,000 for a sidewalk 15 improvement project. 16 (13)(8) H.P.S. Management Company in an amount of up to $14,999 for a community fencing project.17 (14)Kalmar Nyckel Foundation in an amount of up to $35,000 for drydock inspection.18 (15) Mulberry Knoll Bayshore Hills Association in an amount of up to $1,200 fo r the replacement of a 19 community sign.20 (16)(9) My Sister’s Keeper in an amount of up to $2 50,000 for a sidewalk improvement project. 21 (17)(10) N Little League in an amount of up to $250,000 for paving and facility improvements 22 related to drainage. 23 (18)(11) P 24 (19)Town of Laurel in an amount of up to $25,000 for se curity equipment and public safety needs, 25 including license plate readers.26 (20)(12) V 27 transport supplies. 28 52 (21) Wicksfield Homeowners Association in an amount of up to $20,000 for sign and capital 1 improvements. 2 Section 117. Laurel Redevelopment Corporation. Notwithstanding any other provision or law to the 3 contrary, the Department of Transportation may enter into contractual agreements with the Laurel Redevelopment 4 Corporation with respect to the use of Community Transportation Funds on those properties owned or managed by 5 the Corporation. Any use of such funds shall be limited to the support of projects and/or land uses that will be kept 6 open and available for public access. 7 Section 118. Bridge 1-424. Being aware that Bridge 1-424 on Old Corbitt Road does not qualify for 8 FEMA Flood Hazard Mitigation Grants, the General Assembly desires not to vacate Bridge 1- 424 or Old Corbitt 9 Road, New Castle County Road #424. 10 Section 119. South Market Street Redevelopment. The Delaware Department of Transportation is 11 authorized to enter into agreements with the City of Wilmington and/or the Riverfront Development Corporation with 12 respect to the use of Transportation Trust Funds related to the redevelopment of South Market Street in accordance 13 with the South Market Street Master Plan. Funds shall be expended only with the approval of the Co- Chairs of the 14 Bond Bill Committee. Funds shall only be utilized for public transportation initiatives related to the redevelopment. 15 Section 120. Beau Tree Drive. As it has been dedicated for public use by the residents, the section 16 of Beau Tree Drive located within the jurisdictional limits of the State of Delaware is eligible for minor temporary 17 road maintenance repairs and expenditures of Community Transportation Funds and is specifically exempted from 18 the requirement found in 17 Del. C. § 508 regarding the dedication of a new road for state maintenance. 19 Section 121. Chestnut Ridge. The Department of Transportation shall monitor the progress of the final 20 completion of roads in the Chestnut Ridge development located in Magnolia. 21 Section 122. Suburban Streets Paving Management System. Section 1 Addendum of this Act makes 22 an appropriation for Subdivision Street Pavement Management Fund (SSPMF). These funds shall be used by the 23 Department to accelerate the improvement and the quality of suburban streets by applying these funds toward direct 24 paving and rehabilitation of suburban streets. The D epartment will use the formula-based process established under 25 29 Del. C. § 8419(2) to determine the priority of maintenance and reconstruction projects for suburban streets. The 26 Department will provide an annual report to the Co- Chairs of the Joint Committee on Capital Improvements on the 27 progress of the SSPMF. It is the intent of the General Assembly that the SSPMF shall be funded at a minimum level 28 of $10,000,000 from the Transportation Trust Fund Ss ubject to availability, an annual appropriation of $30,000,000 is 29 53 projected to result in an outcome quality metric of 75 percent of suburban street mileage receiving a rating of good 1 condition by 2036. Additionally, an annual appropriation of $30,000,000 is projected to result in an outcome quality 2 metric of less than 15 percent of suburban street mileage receiving a rating of poor condition after 2041. 3 Section 123. Community Workforce Agreement – Department of Transportation. The Department of 4 Transportation (the Department) is authorized to engage in a Community Workforce Agreement for no more than two 5 large public works projects. The projects will be awarded in accordance with 29 Del. C. § 6962. The awarded 6 contractor for the projects will be required to enter into the Community Workforce Agreement with the Department 7 and a local labor organization(s). To assist the agency in evaluating the success of the pilot program, the agency shall 8 establish reporting requirements for the contractor on the projects to be included in the awarded contract. 9 For Community Workforce Agreement projects, the Community Workforce Agreement shall require the 10 prime contractor to become party to the Community Workforce Agreement and shall permit them to retain a 11 percentage of their current workforce. In addition, the Community Workforce Agreement may include a minority 12 and/or bona fide legal citizens of the State workforce requirement. 13 The Department of Transportation shall report annually on or before January 1st to the Joint Committee on 14 Capital Improvement their assessment of the pilot including, but not limited to, employee hiring statistics, cost 15 savings, project quality, and worker safety. 16 54 DEPARTMENT OF AGRICULTURE 1 Section 124. Farmland Preservation. For the current fiscal year $3,000,000 of the $10,000,000 allocated 2 for Farmland Preservation Funding may be utilized by the Agricultural Lands Preservation Foundation in accordance 3 with the rules and policies for the Delaware Young Farmer Program in accordance with 3 Del. C. c. 9 . An additional 4 $1,000,000 of the $10,000,000 allocated for Farmland Preservation Funding may be utilized by the Agricultural 5 Lands Preservation Foundation in accordance with the rules and policies for the Delaware Forestland Preservation 6 Program in accordance with 3 Del. C. c. 9. All remaining state -appropriated funds shall be utilized by the 7 Agricultural Lands Preservation Foundation to preserve eligible farms statewide through the traditional farmland 8 preservation program at its discretion in accordance with Agricultural Lands Foundation rules and policies. Local 9 jurisdiction funds committed to farmland preservation for the current fiscal year shall be spent to preserve farmland 10 only in the respective jurisdictions where the funds originate. Farms to be preserved shall be selected by the local 11 jurisdictions according to the jurisdiction’s selection criteria from eligible farms as listed by the Agricultural Lands 12 Preservation Foundation. Similarly, any funds provided by nongovernment organizations shall be spent according to 13 their selection criteria from eligible farms as listed by the Agricultural Lands Preservation Foundation. 14 Section 125. Farmland Preservation Report. The Department of Agriculture and the Agricultural Lands 15 Preservation Foundation shall provide a report to the Joint Committee on Capital Improvements . The report shall 16 review the current farmland preservation program and make suggestions on the property value variations throughout 17 the State and how those variations are affecting the Agricultural Lands Preservation program. Based on the findings, 18 the foundation shall make recommendations on program changes to the c ommittee that will address these issues. 19 Section 126. Cover Crop Investment. S ection 1 Addendum of this act makes an appropriation to the 20 Department of Agriculture for Cover Crop Investment. Of this appropriation up to $400,000 may be allocated to the 21 Delaware Nutrient Management Commission to fund alternative projects that seek to improve cover crop innovation, 22 implementation, and accessibility throughout the state. The remaining balance of the appropriation shall be divided 23 among the three conservation districts based on a formula agreed to by the Department and districts and administered 24 as part of their respective cost share programs for cover crops. The conservation districts are hereby authorized to use 25 an amount not to exceed 10 percent of the entire appropriation for direct and indirect expenses associated with 26 administering the cover crop program. 27 55 FIRE PREVENTION COMMISSION 1 Section 127. R escue Tools Replacement. It is the intent of the General Assembly that the funds authorized 2 in the Section 1 Addendum of this Act be used to reimburse the Delaware State Fire School and the Felton, Ellendale, 3 and Laurel Belvedere, Christiana, Farmington, Five Points, Frankford, Goodwill, Greenwood, Gumboro, Laurel, 4 Leipsic, Little Creek, Magnolia, Marydel, Newark, Port Penn, Roxana, Slaughter Beach (Memorial), and Wilmington 5 Manor fire companies. Upon submitting the receipt of sale, each company will be reimbursed up to $7,500 by the 6 Fire Prevention Commission, State Fire School (75- 02-01). 7 56 DELAWARE NATIONAL GUARD 1 Section 128. Delaware National Guard Dagsboro Property Land Exchange. The Office of 2 Management and Budget Division of Facilities Management has identified a small portion of land in parcel # 233-3 11.00-171.00 that is desirable to obtain in order to support facility expansion on the adjacent Delaware National 4 Guard property in Dagsboro. The Division of Facilities Management is hereby authorized to conduct negotiations for 5 a land exchange with the current parcel’s owner. The Division of Facilities Management and the Delaware National 6 Guard will convey a corresponding slice of land from parcel # 233-11.00- 212.00 to the neighbor to compensate them 7 for the property being donated to the Guard. Any agreed upon land exchange shall be approved by the co- Chairs of 8 the Joint Committee on Capital Improvements, the Director of the Office of Management and Budget, and the 9 Controller General. 10 Section 129. Bet hany Beach Training Site Barracks. The Section 1 Addendum of 84 Del. Laws. Ch. 297 11 appropriated $2,500,000 to the Delaware National Guard for Scannell Readiness Center Expansion/Renovations. 12 These funds, and up to $500,000 of available Minor Capital Improvements, may be used to fund the shortfall on the 13 Bethany Beach Training Site Barracks project. 14 57 DELAWARE STATE UNIVERSITY 1 Section 130. Convocation Center. The Joint Committee on Capital Improvements accepts the Delaware 2 Convocation Center Feasibility Study final report and recognizes the need for such a facility at Delaware State 3 University and in Central Delaware. The Committee will work towards exploring options for funding the building of 4 the facility in future fiscal years. In support of the continued development of the Convocation Center, D elaware State 5 University shall work with stakeholders comprised of local healthcare leaders in the planning of a Health Institute to 6 be incorporated within the Convocation Center. 7 58 DELAWARE TECHNICAL COMMUNITY COLLEGE 1 Section 131. Critical Capital Needs/Deferred Maintenance. Section 1 Addendum of this Act makes an 2 appropriation to Delaware Technical Community College for Critical Capital Needs/Deferred Maintenance. This 3 appropriation may be used for the acquisition of computer hardware and software. 4 59 DEPARTMENT OF EDUCATION 1 Section 132. School Building and Custodial Verification. By October 30 of each calendar year, each 2 school district shall notify the Department of Education (Department) of its intended use for each school building and 3 administrative office building. School districts shall notify the Department about changes in the use of such buildings 4 to include the sale of property, closing of a building, lease of property to another agency and additions and 5 renovations. The Department shall establish a standard reporting mechanism that school districts shall utilize to 6 gather and submit required information. 7 By February 1 of each calendar year, the Department shall verify and reissue custodial allocations to 8 each school district based on the information obtained annually. 9 Section 133. Land Donation for School Construction. Any land donated to a school district with an 10 approved major capital improvement program shall be required to return to the State one-half of the s tate share 11 amount originally budgeted for land purchase costs. In such case, the district shall be entitled to keep the remaining 12 one-half state share amount, as well as the full local share amount in accordance with the certificate of necessity. 13 Section 134. Minor Capital Improvements. It is the intent of the General Assembly that funds authorized 14 in the Section 1 Addendum of this Act be used for minor capital improvements to school buildings in the following 15 amounts: 16 Maximum M aximum 17 School District S t ate Share Local Share Total Cost 18 Appoquinimink $1,469, 171 $979,447 $2,448,618 19 Brandywine 1,143, 786 762,524 1,906,310 20 Special 51,450 51, 450 21 Caesar Rodney 859,145 572, 763 1,431,908 22 Special 47,856 47, 856 23 Cape Henlopen 697,529 465, 019 1,162,548 24 Special 83,417 83, 417 25 Capital 712,057 474, 705 1,186,762 26 Special 51,639 51, 639 27 Christina 1,439, 323 959,549 2,398,872 28 Special 110,088 110, 088 29 Colonial 986,484 657, 656 1,644,140 30 Special 16,267 16, 267 31 Delmar 164,679 109, 786 274,465 32 60 Indian River 1,188 ,275 792,183 1,980,458 1 Special 59,773 59, 773 2 Lake Forest 417,542 278, 361 695,903 3 Laurel 287,025 191, 350 478,375 4 Milford 521,502 347, 668 869,170 5 New Castle County VoTech 912,486 912, 486 6 Polytech 231,716 231, 716 7 Red Clay 1,637, 368 1,091,579 2,728,947 8 Special 22,510 22, 510 9 Seaford 397,000 264, 667 661,667 10 Smyrna 682,095 454, 730 1,136,825 11 Sussex County Technical 250,253 250, 253 12 Woodbridge 284,641 189, 761 474,402 13 Academia Antonia Alonso 152,270 152, 270 14 Academy of Dover Charter 78,500 78, 500 15 Campus Community 76,230 76, 230 16 Charter School of Wilmington 183,6 70 183,670 17 Delaware Military Academy 107,251 107, 251 18 Early College High School 19 at Delaware State University 100,820 100, 820 20 East Side Charter 84,363 84, 363 21 Charter School of New Castle 144,515 144, 515 22 First State Military Academy 78,689 78, 689 23 First State Montessori Academy 121,627 121, 627 24 Freire Charter School 77,743 77, 743 25 Gateway Charter School 36,129 36, 129 26 Great Oaks Charter School 27,428 27, 428 27 Kuumba Academy Charter 113,304 113, 304 28 Las Americas ASPIRA Academy 273,141 273, 141 29 M.O.T Charter 264,0 61 264,061 30 61 Newark Charter 576,3 57 576,357 1 Odyssey Charter 414,629 414, 629 2 Positive Outcomes Charter 23,079 23, 079 3 Providence Creek 4 Academy Charter 140,164 140, 164 5 Sussex Academy of Arts 6 and Sciences 219,042 219, 042 7 Sussex Montessori 83,03 9 83,039 8 Thomas A. Edison Charter 113,872 113, 872 9 Total to Schools $18,215, 000 $8,591,748 $26,806,748 10 Vocational Equipment 85,000 56, 667 141,667 11 TOTAL $18,300, 000 $8,648,415 $26,948,415 12 Maximum Maxi mum 13 School District S t ate Share Local Share Total Cost 14 Appoquinimink $2,390, 790 $1,593,860 $3,984,650 15 Brandywine 1,859, 688 1,239,792 3,099,480 16 Special 97,940 97, 940 17 Caesar Rodney 1,388, 278 925,519 2,313,797 18 Special 128,837 128, 837 19 Cape Henlopen 1,152, 109 768,073 1,920,182 20 Special 135,634 135, 634 21 Capital 1,152, 480 768,320 1,920,800 22 Special 84,655 84, 655 23 Christina 2,342, 221 1,561,481 3,903,702 24 Special 162,823 162, 823 25 Colonial 1,571, 985 1,047,990 2,619,975 26 Special 29,351 29, 351 27 Delmar 267,868 178, 579 446,447 28 Indian River 1,930, 317 1,286,878 3,217,195 29 Special 105,046 105, 046 30 Lake Forest 690,895 460, 597 1,151,492 31 Laurel 471,596 314, 397 785,993 32 Milford 838,454 558, 969 1,397,423 33 New Castle County VoTech 1,499, 380 1,499,380 34 62 Polytech 379,402 379,402 1 Red Clay 2,655 ,506 1,770,337 4,425,843 2 Special 36,76 6 36,766 3 Seaford 679,4 02 452,935 1,132,337 4 Smyrna 1,091 ,306 727,537 1,818,843 5 Sussex County Technical 414,3 15 414,315 6 Woodbridge 477,7 13 318,475 796,188 7 Academia Antonia Alonso 281,1 53 281,153 8 Academy of Dover Charter 136,8 69 136,869 9 Bryan Allen Stevenson 10 School of Excellence 64,39 2 64,392 11 Campus Community 126,3 64 126,364 12 Charter School of Wilmington 301,8 53 301,853 13 Delaware Military Academy 169,0 01 169,001 14 Early College High School 15 at Delaware State University 180,1 23 180,123 16 East Side Charter 134,0 88 134,088 17 Charter School of New Castle 243,4 60 243,460 18 First State Military Academy 133,7 79 133,779 19 First State Montessori Academy 202,9 86 202,986 20 Freire Charter School 125,4 38 125,438 21 Gateway Charter School 65,19 0 65,190 22 Great Oaks Charter School 46,03 5 46,035 23 Kuumba Academy Charter 183,5 22 183,522 24 Las Americas ASPIRA Academy 454,4 79 454,479 25 M.O.T Charter 434,7 06 434,706 26 Newark Charter 960, 555 960,555 27 Odyssey Charter 706,2 81 706,281 28 Positive Outcomes Charter 36,76 8 36,768 29 Providence Creek 30 Academy Charter 237,5 90 237,590 31 63 Sussex Academy of Arts 1 and Sciences 365,190 365, 190 2 Sussex Montessori 118,331 118, 331 3 Thomas A. Edison Charter 172,090 172, 090 4 Total to Schools $29,9 15,000 $13,973,739 $43,888,739 5 Vocational Equipment 85,000 56, 667 141,667 6 TOTAL $30,0 00,000 $14,030,406 $44,030,406 7 Section 135. Dic kinson High School. Funding provided to the Red Clay School District for Equalization as 8 provided for in the Fiscal Year 2025 2026 Annual Appropriations Act shall be contingent upon the following: 9 (a) The lighted football field at Dickinson High School may be used at night only for Dickinson home games10 a nd Dickinson band practice; and 11 (b) The district is required to maintain the fencing between Dickinson High School and the community of12 Montclare, keep the gate between the properties locked at all times (except by mutual agreement between the district 13 and the Montclare Civic Association), and provide, maintain and replace, if necessary, the Leland Cypress trees along 14 the fence line bordering the homes on Salem Drive. 15 Section 136. School Construction Fund Transfers. Notwithstanding any law or other provision to the 16 contrary, the Department, with the approval of the Director of the Office of Management and Budget and the 17 Controller General, may transfer funding between major capital construction projects within the respective school 18 districts. These transfers shall not authorize any changes in conditions or incur any obligations in excess of the 19 approved Certificate(s) of Necessity. 20 Section 137. S chool District Financial Reviews. It is the intent of the General Assembly that, for school 21 districts receiving funds appropriated in the Section 1 Addendum of this Act, should a school district financial 22 position report as required under 14 Del. C. § 1507 demonstrate less than one month of carryover, or if at any time 23 during the course of the fiscal year a school district is projected to not be able to satisfy its local payroll obligations, 24 the Director of the Office of Management and Budget , in coordination with the Secretary of Education and the 25 Controller General, is authorized to conduct a comprehensive review of the school district’s capital construction 26 program. 27 Section 138. Sc hool Construction Contractual Documents. Effective January 1, 2007, all school districts 28 that receive s tate funds for major capital construction projects shall use standard bid and contract documents 29 64 developed by the Office of Management and Budget, Facilities Management. School d istricts may enhance the 1 standard bid and contract documents with additional contractual or project- specific requirements, as long as the 2 enhancements do not diminish and are not in conflict with the provisions of the standard documents. The 3 Department, in consultation with the Office of Management and Budget , Facilities Management, shall approve any 4 modifications or changes to the provisions of the standard bid and contract documents before a school district may 5 use or enhance the modified documents. 6 Section 139. City of Wilmington Education Initiatives. (a) The funds appropriated in the Section 1 7 Addendums of 81 Del. Laws c. 303, 82 Del. Laws c. 86 and c. 244, 83 Del. Laws c. 56, 83 Del. Laws c. 3 40, and 84 8 Del. Laws c. 83 for City of Wilmington Education Initiatives, shall be used for the renovation of Bancroft Elementary 9 School, Bayard Middle School, Stubbs Elementary School, and the construction of a new City of Wilmington 10 elementary school as part of reconfiguring and consolidating City of Wilmington schools in the Christina School 11 District. Funding shall be allocated pending both a plan from the district for sufficient use of these capital funds, and 12 agreement from the Secretary of Education that the district is meeting the objectives set in the Memorandum of 13 Understanding (MOU), and sufficiently working with the parties of the MOU to support students, families, and 14 educators. The Secretary of Education, upon approval from the Director of the Office of Management and Budget and 15 the Controller General, may use a portion of said funding for a district-wide operational, capital and/or program 16 assessment of the Christina School District, to be submitted to the Governor and the General Assembly. The Secretary 17 of Education shall certify the overall renovation costs in which any remaining balances may be used to support 18 subsection (b) of this section. Notwithstanding the provisions of 29 Del. C. c. 75, the maximum local share for the 19 renovations shall be 20 percent of the full cost of the renovations. The Christina School District may elect, subject to 20 the approval of the Director of the Office of Management and Budget and the Controller General, to exercise its local 21 share of the renovation projects through the withholding of state funding earned through 14 Del. C. and/or the 22 provisions of the Annual Appropriations Act, for a period to be determined by the Christina School District, the 23 Director of the Office of Management and Budget, and the Controller General. 24 (b) The Section 1 Addendum of 83 Del. Laws c.56 appropriated $65,000,000 to the Office of Management25 and Budget (10- 02-11) for City of Wilmington Education Initiatives. These funds shall be used to build a new school 26 on the East Side of Wilmington and to build out swing space at Pulaski Elementary School. The funds shall only be 27 spent upon approval by the Director of the Office of Management and Budget and the Controller General. 28 (c) The Section 1 Addendum of 83 Del. Laws c. 340 appropriated $11,500,000 to the Office of Management29 65 and Budget (10- 02-11) for City of Wilmington Education Initiatives. These funds shall be used to build a new school 1 on the East Side of Wilmington. The funds shall only be spent upon approval by the Director of the Office of 2 Management and Budget and the Controller General. 3 (d) The Section 1 Addendum of 84 Del. Laws c. appropriated $12,666,401 to the Office of Management and 4 Budget (10-02-11) for City of Wilmington Education Initiatives. Of this amount, $9,666,401 shall be used to complete 5 the new school on the East Side of Wilmington. The funds shall only be spent upon approval by the Director of the 6 Office of Management and Budget and the Controller General. 7 Section 140. Appoquinimink School District. Notwithstanding any provision of 14 Del. C. § 1057 or any 8 other provision of Delaware law to the contrary, the Appoquinimink School District is authorized and empowered to 9 take all necessary actions to enter into a public-private initiative with a third-party for the design, construction, 10 operation, maintenance, and repair of an aquatics complex on a portion of the District’s Fairfield Campus, including 11 the granting a long- term ground lease to the third-party for a portion of the Fairfield Campus, under terms and 12 conditions satisfactory to the District, such third-party to be chosen by the District in its discretion after reviewing 13 and evaluating the responses to a publicly- noticed Request For Proposal soliciting responses. Such an aquatics 14 complex shall be made available to the District for its use in connection with the District’s aquatics programs at such 15 times and upon such terms and conditions as provided in an agreement between the District and the third- party 16 chosen by the District in its discretion. 17 Section 141. Voluntary School Assessments. Notwithstanding the provisions of 9 Del. C. § 2661, and 9 18 Del. C. § 6961, or any other state law to the contrary, upon receipt of an expenditure plan approved by the local 19 school board, the Co- Chairs of the Joint Committee on Capital Improvements, the Director of the Office of 20 Management and Budget, and the Controller General, the Department of Education is authorized to distribute the 21 balance of funds collected in the Voluntary School Assessment accounts for each respective school district, to be 22 used for minor capital improvements to school buildings in each respective district. Such funds shall not be used to 23 supplant existing state or local funds. 24 Section 142. School District MCI Projects. Notwithstanding any other statutory provision to the contrary, 25 local school districts may request a waiver of the standard minor capital threshold to complete projects funded by 26 solar grants funded by the Sustainable Energy Utility. For the purposes of this section, these projects shall be 27 designated as Minor Capital Improvement projects under 14 DE Admin. Code § 405 and exempt from requirements 28 of 14 Del. C. § 2306 and 14 DE Admin. Code § 401. Project waiver requests must be individually submitted to the 29 66 Department of Education for approval by the Director of the Office of Management and Budget, Controller General 1 and Secretary of Education. 2 Section 143. School Safety and Security. Section 1 Addendum of this Act makes an appropriation to the 3 Department of Education for the Delaware School Safety and Security Fund. Of this amount, the Department shall 4 provide a minimum amount of $138,000 to the Department of Safety and Homeland Security, Delaware Emergency 5 Management Agency, for school mapping, reporting application, and threat assessment tools. Of this amount, the 6 Department shall further provide up to $160,000 to the Department of Safety and Homeland Security, Delaware State 7 Police, Special Investigation, State Bureau of Identification, for the Real-Time Crime Center application to enhance 8 safety in and around schools. 9 Section 144. New Castle County Vo-Tech. Upon completion of a feasibility study of a new Howard High 10 School Athletic Field, it is the intent of the General Assembly to ensure funding is allocated toward construction of 11 the new athletic field. 12 Section 145. Water Bottle Refilling Stations. All newly constructed public-school buildings and 13 public-school buildings undergoing additions or major building renovations shall be equipped with water bottle 14 filling stations. Water bottle filling station means a water dispenser accessible to all people in compliance with the 15 Americans with Disabilities Act (42 U.S.C. § 12101 et seq.) that dispenses clean drinking water directly into a 16 bottle or other drinking container. Water bottle filling stations may be integrated into drinking fountains and shall 17 dispense cooled and filtered drinking water. Schools are encouraged to install touchless bottle filling stations for 18 sanitary reasons. 19 The Department of Education shall not approve the plans and specifications for a new public-school 20 building or for any addition or major building renovation of an existing public-school building unless the plans and 21 specifications provide for the following: 22 a) A minimum of one (1) water bottle filling station per two hundred (200) people projected to occupy 23 the building upon completion of the proposed construction or major renovation. 24 b) A minimum of one (1) water bottle filling station on each floor and wing of each school building. 25 c) A minimum of one (1) water bottle filling station in all school food service areas. 26 d) A minimum of one (1) water bottle filling station located in or near gymnasiums, outdoor recreation 27 spaces, and other high-traffic areas. 28 67 Section 146. School Construction Project Allowable Square Footage. The square footage of school 1 construction projects approved with a Certification of Necessity (CN) may not increase more than one percent of 2 total square footage as stated in the approved CN. Any increase over one percent of total square footage shall be 3 supported with local funds. The state share of the project shall be based on the square footage and funding split 4 established at the time of issuance of the CN, plus no more than a one percent increase. 5 Section 147. School Construction Market Pressure. Market pressure will not be allocated for projects 6 with a Certificate of Necessity (CN) approved in November 2023, or thereafter, for construction and/or renovation of 7 any public education facility. It is the responsibility of the school district to utilize local funding or adjust project 8 scope to account for increased costs during design, bid, or other phases of the project. 9 Section 148. HVAC School Energy Audit. All newly constructed public -school buildings and public-10 school buildings undergoing upgrades to school HVAC systems shall be required to perform an energy audit through 11 the Delaware Sustainable Energy Utility. 12 Section 149. Capital School District. Notwithstanding any provision of Delaware Code to the contrary, the 13 Capital School District is authorized to use the remaining funds associated with CN # 2013A (new dual 800 Student 14 Middle School), CN #2013B, to fund the renovation/conversion of Central Middle School to Central Elementary 15 School CN # 2013B.2. 16 Section 150. POLYTECH School District Property Title. At the time of its creation, the POLYTECH 17 School District was named Kent County Vocational Technical School District. Since 1991, it has been referred to as 18 “POLYTECH School District.” All rights, title, and interests of the Kent County Vocational Technical School 19 District, including any real property and the property situated at 823 Walnut Shade, Woodside, DE 19980 (parcel 20 number 7- 00-11100-01-2900-000), are vested in the Board of Education of the POLYTECH School District. 21 Section 151. W illiam Henry Middle School Projects. Capital School District shall submit a request for a 22 new Certificate of Necessity (CN) to the Department of Education for the Renovations and Additions to William 23 Henry Middle School. This project was previously funded under CN # 2113A, and underwent substantial changes to 24 the scope, timeline, and cost estimates. This new CN shall accurately reflect the new scope and cost of the project. 25 The Department of Education may approve this CN if adequate funds are available. Notwithstanding any provision of 26 Delaware Code or regulations to the contrary, and with concurrence of the school board, the Capital School District is 27 authorized to use funds appropriated for CN # 2113A for the design of renovations and additions to the former 28 68 William Henry Middle School to support new facilities for the Kent County Community School and Kent County 1 Secondary ILC. 2 Section 152. B ond Verification. All bonds issued, or herein before or herein authorized to be issued, by 3 the State are hereby determined to be within all debt and authorization limits of the State. 4 Section 153. Inconsistency. Insofar as the provisions of this Act are inconsistent with the provisions of any 5 general, special or local laws, or parts thereof, the provisions of this Act shall be controlling. 6 Section 154. Severability. If any section, part, phrase or provision of this Act or the application thereof be 7 held invalid by any court of competent jurisdiction, such judgment shall be confined in its operation to the section, 8 part, phrase, provision or application directly involved in the controversy in which such judgment shall have been 9 rendered and shall not affect or impair the validity of the remainder of this Act or the application thereof. 10 Section 155. Effective Date. This Act shall take effect in accordance with the provisions of state law. 11 SYNOPSIS This Bill is the Fiscal Year 2026 Bond and Capital Improvements Act. Author: Office of Management and Budget 69 Department of Transportation FY 2026 Capital Transportation Program Appendix A State Authorization Federal Authorization Other Funding FY 2026 Authorization ROAD SYSTEM Expressways I-95 and SR896 Interchange - 32,224,362 - 32,224,362 I-295 Northbound from SR141 to US 13 - 8,000,000 - 8,000,000 Bear Road and Reybold Drive Intersection Improvements - 143,000 - 143,000 Rehabilitation of I-95 from I-495 to North of Brandywine River Bridge - 8,645,863 - 8,645,863 Rehabilitation of I-95, GARVEE Debt Service - 18,593,250 - 18,593,250 Subtotal Expressways - 67,606,475 - 67,606,475 Arterials US13, US40 to Memorial Drive Pedestrian Improvements - 4,000,000 - 4,000,000 Walnut Street, 3rd Street to 16th Street - 3,000,000 - 3,000,000 HSIP NCC, Old Baltimore Pike and Salem Church Road - 800,000 - 800,000 US 40, Salem Church Road to Walther Road - 6,176,909 - 6,176,909 North Millsboro Bypass , US 113 to SR24 - 22,003,967 - 22,003,967 SR1 and Cave Neck Road Grade Separated Intersection 8,000,000 744,000 - 8,744,000 SR1 Fenwick Island Sidewalk from Lighthouse Rd. to Lewes St. 1,000,000 - - 1,000,000 SR1, Minos Conaway Road Grade Separated Intersection - 10,000,000 400,000 10,400,000 US 113 @ US 9 Grade Separated Intersection - 1,500,000 - 1,500,000 US113 @ SR18/SR404 (Georgetown) Grade Separated Intersection - 14,000,000 - 14,000,000 US 113 Widening, Dagsboro Road to Hardscrabble Road - 2,500,000 - 2,500,000 Corridor Capacity Preservation 1,000,000 - - 1,000,000 Subtotal Arterials 10,000,000 64,724,876 400,000 75,124,876 Collectors Duck Creek Parkway (Bassett St. To Main St.) 500,000 - - 500,000 East Camden Bypass - 12,860,477 513,273 13,373,750 West Camden Bypass - 12,700,000 - 12,700,000 North Main St. Smyrna - Shoulders (Duck Creek Parkway to Glenwood Ave.) 500,000 - - 500,000 Beaver Dam Rd. Widening (SR 1 to Dairy Farm Rd.) - 2,200,000 - 2,200,000 Park Avenue Relocation - 5,810,000 - 5,810,000 US9, Kings Highway, Dartmouth Drive to Freeman Highway - 3,500,000 - 3,500,000 Subtotal Collectors 1,000,000 37,070,477 513,273 38,583,750 Locals Maryland Ave. and Monroe St. (Maryland Ave./Monroe St./MLK Area) 800,000 - - 800,000 Realignment of Old Orchard Road at Wescoats Corner - 5,000,000 - 5,000,000 Recreational Trails - 905,680 226,420 1,132,100 Subtotal Locals 800,000 5,905,680 226,420 6,932,100 Bridges Bridge Program 10,092,985 71,710,492 200,000 82,003,477 Non-Bridge Structures Program 3,220,000 2,880,000 - 6,100,000 Subtotal Bridges 13,312,985 74,590,492 200,000 88,103,477 Other Transportation Alternatives 965,000 5,860,000 1,075,000 7,900,000 Pavement and Rehabilitation 36,000,000 40,500,000 - 76,500,000 Bicycle and Pedestrian Improvements 500,000 4,700,000 - 5,200,000 Carbon Reduction Program - 5,400,000 - 5,400,000 Signage and Pavement Markings 6,820,628 2,350,000 - 9,170,628 Materials and Minor Contracts 16,900,000 100,000 - 17,000,000 Rail Crossing Safety Program 5,050,000 2,981,000 - 8,031,000 Safety Improvement Program 1,032,445 6,405,654 - 7,438,099 Traffic Calming 500,000 - - 500,000 Engineering and Contingency 42,384,778 100,000 - 42,484,778 Intersection Improvements 10,125,000 3,500,000 600,000 14,225,000 Pedestrian ADA Improvements 4,500,000 - - 4,500,000 Highway Safety Improvement Program 9,000,000 11,200,000 - 20,200,000 Slope Stabilization & Drainage Improvement Program 3,000,000 - - 3,000,000 Resiliency and Sustainability Program 6,000,000 6,100,000 - 12,100,000 Electric Vehicle Program - 3,500,000 - 3,500,000 Subtotal Other 142,777,851 92,696,654 1,675,000 237,149,505 TOTAL ROAD SYSTEM 167,890,836 342,594,654 3,014,693 513,500,183 GRANTS AND ALLOCATIONS Municipal Street Aid 6,000,000 - - 6,000,000 Community Transportation Fund 17,680,000 - - 17,680,000 Subdivision Street Pavement Management Fund 10,000,000 - 10,000,000 20,000,000 Transportation Infrastructure Investment Fund 5,000,000 - 5,000,000 10,000,000 TOTAL GRANTS AND ALLOCATIONS 38,680,000 - 15,000,000 53,680,000 TRANSIT SYSTEM Transit Facilities 2,050,000 10,002,734 - 12,052,734 Transit Vehicles 200,000 26,097,365 4,623,270 30,920,635 Rail Preservation 4,028,400 - - 4,028,400 TOTAL TRANSIT SYSTEM 6,278,400 36,100,099 4,623,270 47,001,769 SUPPORT SYSTEM - Aeronautics 1,021,000 189,000 - 1,210,000 Planning 7,864,073 7,983,858 - 15,847,931 Information Technology 12,013,750 199,630 - 12,213,380 Heavy Equipment 7,000,000 - - 7,000,000 Transportation Facilities 12,975,000 - - 12,975,000 Transportation Management 1,498,700 8,284,000 96,000 9,878,700 Engineering and Contingency - 300,000 - 300,000 TOTAL SUPPORT SYSTEM 42,372,523 16,956,488 96,000 59,425,011 GRAND TOTAL 255,221,759 395,651,241 22,733,963 673,606,963 AP A-1 FISCAL YEAR 2026 CAPITAL BUDGET SUPPLEMENT SECTION 1 ADDENDUM AGENCY/PROJECT FY 2025 FY 2026 10-02OFFICE OF MANAGEMENT AND BUDGET 704 N King Street Renovations 18,200,000$ -$ Absalom Jones - Performing Arts Center 2,000,000 - Architectural Barrier Removal 150,000 150,000 Carvel State Office Building Maintenance and Restoration 6,000,000 8,000,000 Christiana Emergency Access Ramp 600,000 - Community Redevelopment/Reinvestment Fund 40,000,000 - Department of Labor - Sussex Facility - 7,000,000 Emily P. Bissell Renovation 18,000,000 30,000,000 Environmental Compliance (UST/Asbestos/Other) 1,500,000 1,500,000 ERP Cloud Migration 12,500,000 50,000,000 Legislative Hall A&E Renovation/Expansion/Parking Garage 10,000,000 50,000,000 Legislative Hall Minor Capital Improvements and Equipment 750,000 500,000 Leonard L. Williams Justice Center Improvements 20,000,000 1,800,000 Mental Health Resource Centers 50,000 - Minor Capital Improvement and Equipment 8,010,500 10,000,000 Old Family Courthouse Renovation Kent - 3,500,000 Old Family Courthouse Renovation Sussex - 3,500,000 Old Troop 4 - Georgetown Renovation - 4,000,000 Richardson and Robbins Building - Renovation Laboratory Space - 1,000,000 Roof Replacements 3,500,000 5,000,000 Statewide Deferred Maintenance 6,600,000 5,300,000 02JUDICIAL PROJECTS Combined Facility of JP Courts 8 Smyrna and 9 Middletown - 4,000,000 Customs House 10,000,000 5,000,000 Kent and Sussex Family Court Facilities 25,000,000 - Minor Capital Improvement and Equipment 911,062 911,062 Reconfiguration of JP Court 4 Seaford - 1,000,000 15LEGAL PROJECT Georgetown Renovations - 18 The Circle 3,000,000 3,500,000 20STATE PROJECT Minor Capital Improvement and Equipment 500,000 - 35HEALTH AND SOCIAL SERVICES PROJECTS Herman Holloway Campus Mitchell Building Security System Replacement - Phase II - 2,500,000 Minor Capital Improvement and Equipment 5,750,000 5,750,000 Roof Replacements - 4,500,000 37SERVICES FOR CHILDREN, YOUTH AND THEIR FAMILIES PROJECTS Ferris School Window Replacement 1,165,800 - Minor Capital Improvement and Equipment 1,000,000 1,000,000 Secure Care Roof Replacements 1,000,000 1,700,000 Stockley Building C-6 Renovation - 6,000,000 1 FISCAL YEAR 2026 CAPITAL BUDGET SUPPLEMENT SECTION 1 ADDENDUM AGENCY/PROJECT FY 2025 FY 2026 38CORRECTION PROJECTS Automatic Transfer Switch and Emergency Generator Replacements (HRYCI, BWCI, JTVCC, and SCI) 2,500,000 2,500,000 Baylor Women's Correctional Institution (BWCI) Infirmary Expansion - 8,600,000 HRYCI West Side, JTVCC Infirmary Roof Top and PCCC Administration Building HVAC Replacements - 5,886,560 James T. Vaughn Correctional Center (JTVCC) New Sally Port/Intake Facility 8,000,000 - JTVCC Building 13 Roof Replacement - 1,700,000 JTVCC Security Tunnel Repair and Weather Proofing - 1,200,000 Minor Capital Improvement and Equipment 3,200,000 5,000,000 40DNREC PROJECTS Minor Capital Improvement and Equipment 1,000,000 - Park Facility Rehab and Public Recreational Infrastructure 5,000,000 - 45SAFETY AND HOMELAND SECURITY PROJECTS 800 MHz Shelter and Tower Replacements 1,000,000 1,000,000 DEMA Facility Maintenance - 2,500,000 DivComm Radio Shop Renovations - 1,500,000 Division of Alcohol and Tobacco Enforcement Evidence Storage Building 1,200,000 - Local Law Enforcement Laptop Replacement 257,900 257,900 Minor Capital Improvement and Equipment 700,000 700,000 New Troop 4 - Georgetown 26,000,000 - 65AGRICULTURE PROJECT Minor Capital Improvement and Equipment - 200,000 75FIRE SCHOOL PROJECT Pole Barn - New Castle Division - 750,000 76DELAWARE NATIONAL GUARD PROJECT Minor Capital Improvement and Equipment 2,300,000 2,300,000 247,345,262$ 251,205,522$ 10-08DELAWARE STATE HOUSING AUTHORITY Delaware Workforce Housing Program -$ 8,000,000$ Housing Development Fund - Affordable Rental Housing Program 6,000,000 16,000,000 Strong Neighborhoods Housing Fund 4,000,000 4,000,000 Urban Redevelopment 5,500,000 12,500,000 15,500,000$ 40,500,000$ 11TECHNOLOGY AND INFORMATION State Core Network Infrastructure Upgrade 8,267,000$ -$ William Penn Data Center Modernization 10,300,000 - 18,567,000$ -$ 2 FISCAL YEAR 2026 CAPITAL BUDGET SUPPLEMENT SECTION 1 ADDENDUM AGENCY/PROJECT FY 2025 FY 2026 20STATE 1,000,000$ 1,000,000$ 280,000 - 10,420,000 5,000,000 23,000,000 - - 5,000,000 - 5,500,000 - 2,000,000 - 1,000,000 1,500,000 1,500,000 1,055,000 - 2,350,000 2,350,000 10,000,000 - 9,500,000 20,000,000 - 800,000 250,000 - - 150,000 850,000 - 2,000,000 2,000,000 5,000,000 4,700,000 250,000 - 57,867 118,729 838,550 622,855 500,000 500,000 300,000 - 5,000,000 5,000,000 6,500,000 200,000 9,500,000 9,750,000 15,000,000 - 698,266 - 10,000,000 10,000,000 1,000,000 - 24,000,000 10,000,000 1,000,000 - 5,000,000 5,000,000 550,000 125,000 Bioscience Center f or Advanced T echnology ( CAT) Bridgeville Public Library City of Dover/Downtown D over Partnership City of Wilmington Community Initiatives City of Wilmington - Land Bank City of Wilmington - K ingswood C ommunity C enter City of W ilmington - Workforce F acility City of Wilmington - Y outh Athletic a nd Recreation Delaware C linical an d Translational R esearch (CTR) Delaware C oastal A irport (Georgetown) Delaware Prosperity P artnership Delaware Sports T ou C apital Investment F und Delaware Strategic Fund Experimental P rogram t o Stimulate C ompetitive Research - R esearch Infrastructure I mprovement (EPSCOR-RII) Georgetown P ublic Library Glasgow L ibrary Harrington Public Library IDeA N etwork f or Biomedical R esearch Excellence ( INBRE) Laboratory Space LEEP - P roperty A cquisition and Renovation Lewes P ublic Library Milford Public Library Museum M aintenance Nanticoke I ndian A ssociation Community C enter National I nstitute f or Innovation in Manufacturing B iopharmaceuticals (NIIMBL) Newark F ree Library Riverfront D evelopment C orporation Securing American B iomanufacturing R esearch & Education ( SABRE) P roject Selbyville Public Library Site Readiness F und Small B usiness D evelopment C enter Subdivision Street P avement M anagement Town of D ewey B each - M unicipal B uilding Transportation I nfrastructure Investment F und Wilmington I nstitute Library Wilmington W orkforce D evelopment I nitiative 10,000,000 - 157,399,683$ 92,316,584$ 25FINANCE Volunteer Fire Service Revolving Loan Fund 5,000,000$ -$ 5,000,000$ -$ 35HEALTH AND SOCIAL SERVICES 13,000,000$ -$ 1,150,000 - 5,793,600 5,529,200 4,750,000 7,500,000 Delaware Clean Water Trust Delaware Medicaid Enterprise Sy stem (DMES) System Planning & Services Integrator Services Drinking Water State Revolving Fund Maintenance and Restoration Production and Non-production Storage Access Network (SANS) - 1,133,000 24,693,600$ 14,162,200$ 3 FISCAL YEAR 2026 CAPITAL BUDGET SUPPLEMENT SECTION 1 ADDENDUM AGENCY/PROJECT FY 2025 FY 2026 37SERVICES FOR CHILDREN, YOUTH AND THEIR FAMILIES Maintenance and Restoration 200,000$ 200,000$ 200,000$ 200,000$ 38CORRECTION Level IV and V Security Camera Equipment 500,000$ 6,158,160$ Maintenance and Restoration 3,500,000 5,000,000 4,000,000$ 11,158,160$ 40NATURAL RESOURCES AND ENVIRONMENTAL CONTROL Bellevue State Park - Sarah Brooks House 150,000$ -$ Cape Pier Replacement Planning and Construction 250,000 - Clean Water State Revolving Fund 9,000,000 7,634,400 Coastal Region Bathhouse Renovation and Dune Crossing 1,000,000 - Conservation Cost Share 3,200,000 3,200,000 Conservation Reserve Enhancement Program (CREP) 25,000 25,000 Debris Pits 1,000,000 1,000,000 Delaware Bay Beach Initiative 2,100,000 - Delaware Bayshore Initiative 500,000 500,000 Dikes/Dams 1,000,000 1,000,000 Fenwick Island State Park Renovations 1,000,000 - Killens Pond Water Park Improvements 3,000,000 - Lums Pond Outdoor Adventure Center 3,000,000 - Minor Capital Improvement and Equipment - 1,000,000 Park Facility Rehab and Public Recreational Infrastructure - 12,500,000 Redevelopment of Strategic Sites (Fort DuPont) 2,250,000 2,250,000 Resource, Conservation and Development 10,000,000 5,000,000 Shoreline and Waterway Management 5,000,000 10,000,000 Statewide Groundwater Monitoring Network - 250,000 Statewide Trails and Pathways 1,000,000 3,000,000 Tax Ditches 2,148,700 2,148,700 White Clay Creek State Park - Nature Center/Big Pond/Maxwell House 2,200,000 - 47,823,700$ 49,508,100$ 45SAFETY AND HOMELAND SECURITY DSP Cradlepoint 5G Upgrade 1,500,000$ -$ Social Equity Fund 2,000,000 - 3,500,000$ -$ 65AGRICULTURE Aquaculture - Hatchery Project 1,100,000$ -$ Cover Crop Investment 5,190,000 4,000,000 Critical Equipment for Operations - 250,000 Minor Capital Improvement and Equipment 200,000 - 6,490,000$ 4,250,000$ 75FIRE PREVENTION COMMISSION Hydraulic Rescue Tools Replacement 30,000$ 142,500$ 30,000$ 142,500$ 4 FISCAL YEAR 2026 CAPITAL BUDGET SUPPLEMENT SECTION 1 ADDENDUM AGENCY/PROJECT FY 2025 FY 2026 76DELAWARE NATIONAL GUARD Cheswold Readiness Center - Design/Site Prep/Construction 300,000$ 3,850,000$ Civil Support Team (CST) Expansion - 1,500,000 Dagsboro Readiness Center Design and Expansion 2,500,000 - Maintenance and Restoration 200,000 200,000 Scannell Readiness Center Expansion/Renovations 2,500,000 - 5,500,000$ 5,550,000$ 90-01UNIVERSITY OF DELAWARE -$ 20,000,000$ Biden Hall Deferred M aintenance / C ampus I mprovements 17,000,000 20,000,000 17,000,000$ 40,000,000$ 90-03DELAWARE STATE UNIVERSITY Campus Improvements / Deferred Maintenance 17,000,000$ 20,000,000$ 17,000,000$ 20,000,000$ 90-04DELAWARE TECHNICAL COMMUNITY COLLEGE Critical Capital Needs / Deferred Maintenance 17,000,000$ 20,000,000$ 17,000,000$ 20,000,000$ 95EDUCATION Appoquinimink, New MS/HS at Summit Campus -$ 18,438,958$ Architectural Barrier Removal 160,000 160,000 Christina, Delaware School for the Deaf Renovations (100% State) 3,795,593 1,708,016 Colonial, Eisenberg ES Renovations (60/40) 421,923 - Colonial, Gunning Bedford MS Renovations (60/40) 653,191 2,245,049 Colonial, McCullough MS Renovations (60/40) - 383,179 Colonial, New Castle ES Renovations (60/40) - 5,642,233 Colonial, New Leach School (100% State) 37,455,000 - Colonial, William Penn HS Renovations (60/40) 3,105,242 37,495,800 Colonial, Wilmington Manor ES Renovations (60/40) - 227,078 Enhanced Minor Capital Improvement 12,000,000 - Minor Capital Improvement and Equipment 18,300,000 30,000,000 NCCVT, Howard HS Stadium Planning and Design (60/40) 1,000,000 - NCCVT, Paul M. Hodgson Replacement (62/38) 33,600,682 16,777,572 Polytech, Polytech HS Roof Replacement (79/21) 2,499,224 - Polytech, Polytech HS Walkway Enclosure (79/21) 453,873 - Red Clay, AI duPont MS Renovations (60/40) 349,322 4,218,068 Red Clay, Brandywine Springs School Renovations (60/40) 465,607 5,622,207 Red Clay, Conrad Schools of Science Renovations (60/40) - 1,065,187 Red Clay, Dickinson HS Renovations (60/40) 668,677 8,074,280 Red Clay, Forest Oak ES Renovations (60/40) - 513,187 Red Clay, Heritage ES Renovations (60/40) 3,418,310 - Red Clay, Johnson ES Renovations (60/40) 309,447 3,736,569 Red Clay, Lewis ES Renovations (60/40) 440,718 5,321,668 Red Clay, Linden Hill ES Renovations (60/40) - 530,549 Red Clay, McKean HS Renovations (60/40) 1,080,144 13,042,741 Red Clay, Meadowood School Extended Renovations (60/40) 337,453 - Red Clay, Meadowood School Renovations (60/40) 158,830 1,917,874 Red Clay, Mote ES Renovations (60/40) 622,760 7,519,821 Red Clay, Richardson Park ES Renovations (60/40) - 581,468 5 FISCAL YEAR 2026 CAPITAL BUDGET SUPPLEMENT SECTION 1 ADDENDUM AGENCY/PROJECT FY 2025 FY 2026 EDUCATION (continued) Red Clay, Skyline MS Renovations (60/40) - 515,944 Red Clay, Stanton MS Renovations (60/40) 805,449 9,725,786 Red Clay, Warner ES Renovations (60/40) - 858,043 School Safety and Security 9,138,000 9,138,000 Smyrna, Clayton Intermediate Addition (77/23) 11,769,900 6,056,400 Smyrna, New 600 Student ES (77/23) 6,800,600 - Smyrna, North Smyrna ES Addition/Renovation (77/23) 16,359,500 8,411,200 Sussex Tech, New Sussex Tech HS (60/40) 34,236,300 10,698,900 200,405,745$ 210,625,777$ SUBTOTAL NON-TRANSPORTATION 787,454,990$ 759,618,843$ 55DEPARTMENT OF TRANSPORTATION Grants and Allocations 38,680,000$ 167,890,836$ Road System 221,136,082 38,680,000 Support System 60,180,175 42,372,523 Transit System 8,705,833 6,278,400 328,702,090$ 255,221,759$ GRAND TOTAL 1,116,157,080$ 1,014,840,602$ 6