ENROLLED Page 1 of 30 Regular Session, 2012 HOUSE BILL NO. 1059 BY REPRESENTATIVE FANNIN AN ACT1 To appropriate funds and to make certain reductions in appropriations from certain sources2 to be allocated to designated agencies and purposes in specific amounts for the3 making of supplemental appropriations and reductions for said agencies and4 purposes for Fiscal Year 2011-2012; to provide for an effective date; and to provide5 for related matters.6 Be it enacted by the Legislature of Louisiana:7 Section 1.A. The following sums are hereby appropriated from the sources specified8 and in the amounts specified for the purpose of making supplemental appropriations for9 Fiscal Year 2011-2012.10 Section 1.B. After the governor takes action on the appropriations contained in the11 Act in accordance with Article III, Section 18 or Article IV, Section 5(G) of the Louisiana12 Constitution, departments, agencies, and programs are authorized to expend monies prior13 to the effective date of any other Act of the 2012 Regular Session of the Legislature in14 preparation of carrying out the requirements of such Act by the effective date.15 EXECUTIVE DEPARTMENT16 01-107DIVISION OF ADMINISTRATION17 EXPENDITURES:18 Executive Administration Program19 For support and training related to the SAP System $ 550,30620 TOTAL EXPENDITURES $ 550,30621 MEANS OF FINANCE:22 State General Fund by:23 Interagency Transfers $ 79,11624 Fees & Self-generated Revenues $ 471,19025 TOTAL MEANS OF FINANCING $ 550,30626 ENROLLEDHB NO. 1059 Page 2 of 30 Payable out of the State General Fund (Direct)1 to the Executive Administration Program2 for litigation expenses to protect state revenues3 affected by the Department of Interior redrawing4 the 8g line of Louisiana's shore $ 150,0005 Payable out of the State General Fund (Direct)6 to the Executive Administration Program7 for administrative services for the University8 Medical Center Board $ 500,0009 Payable out of the State General Fund10 by Fees and Self-generated Revenues 11 to the Executive Administration Program12 for expenses related to the SAP System $ 114,30713 01-109OFFICE OF COASTAL PROTECTION AND RESTORATION14 Payable out of the State General Fund by 15 Fees & Self-generated Revenues to the16 Coastal Protection and Restoration 17 Authority Program $ 30,00018 Payable out of the State General Fund by 19 Fees & Self-generated Revenues to the20 Coastal Protection and Restoration Program $ 320,00021 01-111 HOMELAND SECURITY AND EMERGENCY PREPAREDNESS22 Payable out of the State General Fund (Direct)23 to the Administrative Program for24 payments for balances owed for four disasters/events $ 114,88625 Payable out of the State General Fund (Direct)26 to the Administrative Program for partial payment27 of the state's portion of mission assignment28 costs associated with Hurricanes Gustav29 and Ike $1,103,69230 Payable out of the State General Fund (Direct)31 to the Administrative Program for Host State32 Sheltering Program costs associated with33 Hurricane Gustav $1,781,42234 01-112 DEPARTMENT OF MILITARY AFFAIRS35 Payable out of Federal Funds to the Military36 Affairs Program for expenses related to force37 protection operations $1,160,00038 The commissioner is hereby authorized and directed to adjust the means of finance for the39 Military Affairs Program, as contained in Act 12 of the 2011 Regular Session of the40 Legislature, by reducing the appropriation out of the State General Fund (Direct) by41 $1,400,000. 42 Payable out of State General Fund 43 by Fees and Self-generated Revenues44 to the Military Affairs Program for maintenance 45 and overall readiness in preparation for facilities $ 120,00046 ENROLLEDHB NO. 1059 Page 3 of 30 The commissioner is hereby authorized and directed to adjust the means of finance for the1 Auxiliary Program, as contained in Act 12 of the 2011 Regular Session of the Legislature,2 by reducing the appropriation out of the State General Fund by fees and Self-generated3 Revenues by $120,000.4 01-116LOUISIANA PUBLIC DEFENDER BOARD5 Payable out of the State General Fund (Direct)6 to the Louisiana Public Defender Board for 7 projected litigation cost for Angola 5 case $ 197,0008 01-124 LOUISIANA STADIUM AND EXPOSITION DISTRICT9 Payable out of the State General Fund10 by Statutory Dedications out of the Overcollections11 Fund to the Administrative Program for the payoff12 of a loan obligation due to the Department of13 Economic Development $8,858,25014 Payable out of the State General Fund15 by Statutory Dedications out of the New Orleans Sports16 Franchise Fund to the Administrative Program for17 team contractual obligations $ 500,00018 01-133 OFFICE OF ELDERLY AFFAIRS19 Payable out of the State General Fund (Direct)20 to the Senior Centers Program for the Orleans21 Senior Center $ 400,00022 DEPARTMENT OF VETERANS AFFAIRS23 03-130DEPARTMENT OF VETERANS AFFAIRS24 Payable out of the State General Fund (Direct)25 to the Administrative Program for legal fees $ 50,00026 03-136SOUTHEAST LOUISIANA WAR VETERANS HOME27 Payable out of Federal Funds for28 reimbursements from the Federal Veterans29 Administration for expenses incurred in the homes $ 308,34230 ELECTED OFFICIALS31 04-141OFFICE OF THE ATTORNEY GENERAL32 Payable out of the State General Fund by33 Statutory Dedications out of the Medical 34 Assistance Program Fraud Detection Fund to the35 Criminal Law Program to draw down federal 36 matching funds for operating expenses $ 150,00037 Payable out of the State General Fund (Direct)38 to the Civil Law Program for expenses to aid in39 the Tobacco Master Settlement Agreement40 arbitration proceedings and enforcement of 41 future payments $ 77,17942 ENROLLEDHB NO. 1059 Page 4 of 30 Payable out of the State General Fund by1 Interagency Transfers from the Division of2 Administration to the Civil Law Program3 for litigation expenses to protect state revenues4 affected by the Department of Interior redrawing5 the 8g line of Louisiana's shore $ 150,0006 Payable out of State General Fund7 by Fees and Self-generated Revenues8 to the Civil Law Program for current and 9 prior fiscal year expenses related to Chinese10 Drywall $ 477,80411 DEPARTMENT OF AGRICULTURE12 04-160AGRICULTURE AND FORESTRY13 Payable out of the State General Fund by14 Interagency Transfers from the Governor's 15 Office of Homeland Security and Emergency16 Preparedness to the Animal Health and Food17 Safety Program to provide training, supplies,18 and equipment for emergency response to19 disasters or outbreaks of animal disease $ 149,40020 DEPARTMENT OF ECONOMIC DEVELOPMENT21 05-252OFFICE OF BUSINESS DEVELOPMENT22 Payable out of the State General Fund (Direct)23 to the Business Development Program for New24 Orleans Cold Storage to defray drayage $ 180,00025 DEPARTMENT OF CULTURE, RECREATION AND TOURISM26 06-264 OFFICE OF STATE PARKS27 Payable out of the State General Fund (Direct)28 to the Parks and Recreation Program for the Black29 Bear Golf Course $ 45,12530 DEPARTMENT OF TRANSPORTATION AND DEVELOPMENT31 07-276 ENGINEERING AND OPERATIONS32 Payable out of the State General Fund by33 Statutory Dedications out of the Transportation34 Trust Fund - Federal Receipts to the Operations Program for salaries35 in District Operations $14,000,00036 DEPARTMENT OF PUBLIC SAFETY AND CORRECTIONS37 CORRECTIONS SERVICES38 08-400CORRECTIONS ADMINISTRATION39 Payable out of the State General Fund (Direct)40 to the Adult Services Program for additional 41 funding for litigation costs for the Knapps trial $ 501,00042 ENROLLEDHB NO. 1059 Page 5 of 30 Payable out of the State General Fund (Direct)1 to the Office of Management and Finance Program2 for retirees group insurance $$2,394,9993 Payable out of the State General Fund (Direct)4 to the Office of the Secretary Program for salaries5 and related benefits $ 31,0006 08-414DAVID WADE CORRECTIONAL CENTER7 Payable out of the State General Fund (Direct)8 to the Incarceration Program for salaries9 and related benefits, including twenty (20) positions $ 135,22410 The commissioner of administration is hereby authorized and directed to adjust the means11 of finance and authorized positions for the Forcht-Wade Correctional Center Program, as12 contained in Act 12 of the 2011 Regular Session of the Legislature, by reducing the13 appropriation out of the State General Fund (Direct) by $135,224 and by reducing the14 number of authorized positions by twenty (20) positions.15 08-415ADULT PROBATION AND PAROLE16 Payable out of the State General Fund (Direct)17 to the Field Services Program for salaries18 and related benefits $1,052,79519 Payable out of the State General Fund20 by Fees and Self-generated Revenues to the 21 Field Services Program for salaries, related 22 benefits and supplies $ 300,00023 PUBLIC SAFETY SERVICES24 08-419OFFICE OF STATE POLICE25 Payable out of the State General Fund by26 Statutory Dedications out of the Transportation27 Trust Fund - Regular to the Traffic Enforcement Program28 for expenditures associated with personnel services29 and the purchase of 398 trooper vehicles $5,780,00030 The commissioner of administration is hereby authorized and directed to adjust the means31 of finance for the Traffic Enforcement Program, as contained in Act 12 of the 2011 Regular32 Session of the Legislature, by reducing the appropriation out of the State General Fund by33 Fees & Self-generated Revenues by $5,780,000.34 Payable out of the State General Fund by35 Fees & Self-generated Revenues to the 36 Operational Support Program for 800 37 bullet proof vests $ 380,00038 Payable out of the State General Fund by39 Statutory Dedications out of the Transportation40 Trust Fund - Regular to the Operational Support Program41 for increased fuel costs $3,197,21142 ENROLLEDHB NO. 1059 Page 6 of 30 DEPARTMENT OF HEALTH AND HOSPITALS1 09-302CAPITAL AREA HUMAN SERVICES DISTRICT2 Payable out of the State General Fund (Direct)3 to the Capital Area Human Services District for4 maintenance at the Human Services Center $ 408,8175 09-305MEDICAL VENDOR ADMINISTRATION6 The commissioner of administration is hereby authorized and directed to adjust the means7 of finance for the Medical Vendor Administration Program, as contained in Act 12 of the8 2011 Regular Session of the Legislature, by reducing the appropriation out of the State9 General Fund (Direct) by $204,409 and the appropriation out of Federal Funds by10 $204,408.11 Payable out of Federal Funds12 for Medicaid's portion of the 13 Modernization Project at the Department 14 of Children and Family Services $3,125,25515 09-306 MEDICAL VENDOR PAYMENTS16 Payable out of the State General Fund (Direct)17 to the Payments to Private Providers Program $138,798,44018 The commissioner of administration is hereby authorized and directed to adjust the means19 of finance for the Medical Vendor Payments Program, as contained in Act 12 of the 201120 Regular Session of the Legislature, by reducing the appropriation out of the State General21 Fund by Statutory Dedications out of the Louisiana Medical Assistance Trust Fund by22 $138,798,440.23 09-309SOUTH CENTRAL LOUISIANA HUMAN SERVICES DISTRICT24 Payable out of the State General Fund (Direct)25 to the South Central Louisiana Human Services26 Authority for the demolition of a dilapidated 27 mental health facility in Terrebonne Parish $ 143,39028 09-326OFFICE OF PUBLIC HEALTH29 The commissioner of administration is hereby authorized and directed to adjust the means30 of finance for the Personal Health Services Program, as contained in Act 12 of the 201131 Regular Session of the Legislature, by reducing the appropriation out of the State General32 Fund (Direct) by $1,200,000.33 Payable out of the State General Fund (Direct)34 to the Personal Health Services Program $1,300,00035 DEPARTMENT OF CHILDREN AND FAMILY SERVICES36 10-360OFFICE OF CHILDREN AND FAMILY SERVICES37 Payable out of the State General Fund by 38 Interagency Transfers from the Department39 of Public Safety to the Administrative and 40 Executive Support Program for expenditures 41 associated with the Deepwater Horizon Event $3,288,68442 ENROLLEDHB NO. 1059 Page 7 of 30 Payable out of the State General Fund1 by Interagency Transfers from the 2 Department of Health and Hospitals to the 3 Administrative and Executive Support Program 4 for Medicaid's portion of the Modernization Project $3,125,2555 Payable out of the State General Fund6 by Fees and Self-generated Revenues to the 7 Prevention and Intervention Program for Child8 Support Collections $ 700,0009 DEPARTMENT OF NATURAL RESOURCES10 11-431OFFICE OF THE SECRETARY11 Payable out of the State General Fund by 12 Interagency Transfers from the Department13 of Public Safety to the Management and Finance 14 Program for expenditures associated with the15 Deepwater Horizon Event $ 107,52216 11-435OFFICE OF COASTAL MANAGEMENT17 Payable out of the State General Fund by 18 Interagency Transfers from the Department19 of Public Safety to the Coastal Management Program for20 expenditures associated with the Deepwater Horizon Event $ 121,00021 DEPARTMENT OF ENVIRONMENTAL QUALITY22 13-850OFFICE OF THE SECRETARY23 Payable out of the State General Fund by 24 Interagency Transfers from the Department25 of Public Safety to the Administrative 26 Program for expenditures associated with the27 Deepwater Horizon Event $ 12,00028 Payable out of the State General Fund (Direct)29 to the Administrative Program for the Louisiana 30 Rural Water Association to provide technical31 assistance to rural water systems in areas32 with populations fewer than 10,000 $ 250,00033 13-851OFFICE OF ENVIRONMENTAL COMPLIANCE34 Payable out of the State General Fund by 35 Interagency Transfers from the Department36 of Public Safety to the Environmental Compliance 37 Program for expenditures associated with the38 Deepwater Horizon Event $1,533,63839 13-852OFFICE OF ENVIRONMENTAL SERVICES40 Payable out of the State General Fund by 41 Interagency Transfers from the Department42 of Public Safety to the Environmental Services43 Program for expenditures associated with the44 Deepwater Horizon Event $ 15,00045 ENROLLEDHB NO. 1059 Page 8 of 30 13-855OFFICE OF MANAGEMENT AND FINANCE1 Payable out of the State General Fund by 2 Interagency Transfers from the Department3 of Public Safety to the Support Services4 Program for expenditures associated with the5 Deepwater Horizon Event $ 27,5806 DEPARTMENT OF WILDLIFE AND FISHERIES7 16-511OFFICE OF MANAGEMENT AND FINANCE8 Payable out of the State General Fund by9 Statutory Dedications out of the Conservation Fund10 to the Management and Finance Program for 11 expenditures related to the Mississippi River Flood event$ 40,37512 Payable out of the State General Fund by 13 Interagency Transfers from the Governor's Office of Homeland14 Security and Emergency Preparedness to the Management and15 Finance Program for expenditures related to the Mississippi River16 Flood event $ 121,12517 Payable out of the State General Fund by18 Statutory Dedications out of the Conservation Fund19 to the Management and Finance Program due to a20 projected savings in a telecommunication initiative21 not being realized $ 249,39722 Payable out of the State General Fund by 23 Interagency Transfers from the Department24 of Public Safety to the Management and Finance25 Program for expenditures associated with the26 Deepwater Horizon Event $ 655,00027 16-512OFFICE OF THE SECRETARY28 Payable out of the State General Fund by29 by Fees & Self-generated Revenues to the30 Enforcement Program for a Port Security Grant $1,073,84131 The commissioner of administration is hereby authorized and directed to adjust the means32 of finance for the Enforcement Program, as contained in Act 12 of the 2011 Regular Session33 of the Legislature, by reducing the appropriation out of Federal Funds by $1,073,841.34 Payable out of Federal Funds to the35 Enforcement Program pursuant to a Joint36 Enforcement Agreement to continue 37 patrolling and enforcing compliance with38 federal fishing regulations $ 29,99739 Payable out of the State General Fund by40 Statutory Dedications out of the Oyster41 Sanitation Fund for the Enforcement Program42 to increase compliance patrol43 efforts within the commercial oyster fishery $ 30,00044 ENROLLEDHB NO. 1059 Page 9 of 30 Payable out of the State General Fund by 1 Interagency Transfers from the Governor's 2 Office of Homeland Security and Emergency3 Preparedness to the Enforcement Program 4 for expenditures associated with the5 Mississippi River Flood event $ 961,0006 16-513OFFICE OF WILDLIFE7 Payable out of the State General Fund by 8 Interagency Transfers from the Governor's 9 Office of Homeland Security and Emergency10 Preparedness to the Wildlife Program 11 for expenditures associated with the12 Mississippi River Flood event $ 37,25013 Payable out of the State General Fund by 14 Interagency Transfers from the Department15 of Public Safety to the Wildlife Program 16 for expenditures associated with the17 Deepwater Horizon Event $ 600,00018 16-514OFFICE OF FISHERIES19 Payable out of the State General Fund by 20 Interagency Transfers from the Governor's 21 Office of Homeland Security and Emergency22 Preparedness to the Fisheries Program 23 for expenditures associated with the24 Mississippi River Flood event $ 110,75025 Payable out of the State General Fund by 26 Interagency Transfers from the Department27 of Public Safety to the Fisheries Program 28 for expenditures associated with the29 Deepwater Horizon Event $1,588,00030 Payable out of the State General Fund by31 Interagency Transfers from the Office of32 Coastal Protection and Restoration to the 33 Fisheries Program for expenditures associated34 with Oyster Clutch Planting Initiatives $4,000,00035 HIGHER EDUCATION36 19-671BOARD OF REGENTS37 Payable out of the State General Fund (Direct)38 to the Board of Regents for distribution to 39 Higher Education institutions for the 40 Group Insurance reduction provided in Act41 12 of the 2011 Regular Session $8,000,00042 19-674 LOUISIANA UNIVERSITIES MARINE CONSORTIUM43 Payable out of the State General Fund44 by Fees and Self-generated Revenues 45 to the Louisiana Universities Marine46 Consortium for the Gulf of Mexico47 Research Initiative Grant (GoMRI) $2,000,00048 ENROLLEDHB NO. 1059 Page 10 of 30 SPECIAL SCHOOLS AND COMMISSIONS1 19-653 LOUISIANA SCHOOLS FOR THE DEAF AND VISUALLY IMPAIRED2 Payable out of the State General Fund3 by Statutory Dedications out of the 4 Education Excellence Fund to the5 Louisiana School for the Visually6 Impaired Program $ 2,3837 The commissioner is hereby authorized and directed to adjust the means of finance for the8 Louisiana School for the Deaf Program, as contained in Act 12 of the 2011 Regular Session9 of the Legislature, by reducing the appropriation out of the State General Fund by Statutory10 Dedications out of the Education Excellence Fund by $3,598.11 19-655LOUISIANA SPECIAL EDUCATION CENTER12 Payable out of the State General Fund by13 Interagency Transfers to the LSEC Education14 Program for maintenance shop replacement,15 roof replacement, and Interagency Agreement16 with the Louisiana Schools for the Deaf and 17 Visually Impaired for shared personnel services $2,051,98918 Payable out of the State General Fund19 by Statutory Dedications out of the 20 Education Excellence Fund to the 21 LSEC Education Program $ 71522 19-657 LOUISIANA SCHOOL FOR MATH, SCIENCE AND THE ARTS23 The commissioner is hereby authorized and directed to adjust the means of finance for the24 Living and Learning Community Program, as contained in Act 12 of the 2011 Regular25 Session of the Legislature, by reducing the appropriation out of the State General Fund by26 Statutory Dedications out of the Education Excellence Fund by $2,613.27 19-673 NEW ORLEANS CENTER FOR THE CREATIVE ARTS28 The commissioner is hereby authorized and directed to adjust the means of finance for the29 NOCCA Instruction Program, as contained in Act 12 of the 2011 Regular Session of the30 Legislature, by reducing the appropriation out of the State General Fund by Statutory31 Dedications out of the Education Excellence Fund by $3,313.32 DEPARTMENT OF EDUCATION33 19-678STATE ACTIVITIES34 Payable out of Federal Funds to 35 the Departmental Support Program for36 receipt of the Race to the Top Phase 337 grant award via the U.S. Department of38 Education for initial operating expenses $ 298,33439 Payable out of Federal Funds to 40 the Innovation Program for receipt of the41 Race to the Top Phase 3 grant award via42 the U.S. Department of Education for initial43 operating expenses $ 833,33344 ENROLLEDHB NO. 1059 Page 11 of 30 Payable out of Federal Funds to 1 the Student-Centered Goal Offices Program2 for receipt of the Race to the Top Phase 33 grant award via the U.S. Department of4 Education for initial operating expenses $ 129,0005 EXPENDITURES:6 Student-Centered Goal Offices Program7 To properly align expenditures $1,191,5688 TOTAL EXPENDITURES $1,191,5689 MEANS OF FINANCE:10 State General Fund by:11 Interagency Transfers $ 310,99012 Federal Funds $ 880,57813 TOTAL MEANS OF FINANCING $1,191,56814 19-681SUBGRANTEE ASSISTANCE15 The commissioner of administration is hereby authorized and directed to adjust the means16 of finance for the School & District Supports Program, as contained in Act 12 of the 201117 Regular Session of the Legislature, by reducing the appropriation out of Federal Funds by18 $880,578 to properly align expenditures.19 The commissioner of administration is hereby authorized and directed to adjust the means20 of finance for the School & District Innovations Program, as contained in Act 12 of the 201121 Regular Session of the Legislature, by reducing the appropriation out of the State General22 Fund by Interagency Transfers by $310,990 to properly align expenditures.23 The commissioner is hereby authorized and directed to adjust the means of finance for the24 School and District Supports Program, as contained in Act 12 of the 2011 Regular Session25 of the Legislature, by reducing the appropriation out of the State General Fund by Statutory26 Dedications out of the Education Excellence Fund by $5,035,212.27 19-682RECOVERY SCHOOL DISTRICT28 Payable out of the State General Fund by29 Statutory Dedications out of the Academic30 Improvement Fund to the Instructional Program31 for the Student Scholarships for Educational32 Excellence program for program continuation33 as set forth in Act 509 of the 2008 Regular Session $ 235,82434 19-695MINIMUM FOUNDATION PROGRAM35 The commissioner of administration is hereby authorized and directed to adjust the means36 of finance for the Minimum Foundation Program, as contained in Act 12 of the 2011 Regular37 Session of the Legislature, by reducing the appropriation out of the State General Fund38 (Direct) by $5,987,290.39 Payable out of the State General Fund (Direct)40 to the Minimum Foundation Program $5,055,36741 The commissioner of administration is hereby authorized and directed to adjust the means42 of finance for the Minimum Foundation Program, as contained in Act 12 of the 2011 Regular43 Session of the Legislature, by reducing the appropriation out of the State General Fund by44 Statutory Dedications out of the Support Education in Louisiana First Fund by $5,055,367.45 ENROLLEDHB NO. 1059 Page 12 of 30 LOUISIANA STATE UNIVERSITY HEALTH SCIENCE CENTER1 HEALTH CARE SERVICES DIVISION2 19-610LOUISIANA STATE UNIVERSITY HEALTH SCIENCE CENTER3 HEALTH CARE SERVICES DIVISION4 EXPENDITURES:5 Washington St. Tammany Medical Center $ 700,0006 Leonard J. Chabert Medical Center $3,100,0007 Earl K. Long Medical Center $4,500,0008 University Medical Center $4,500,0009 W.O. Moss Regional Medical Center $5,300,00010 TOTAL EXPENDITURES $18,100,00011 MEANS OF FINANCE:12 State General Fund by:13 Fees & Self-Generated Revenues $13,200,00014 Federal Funds $4,900,00015 TOTAL MEANS OF FINANCING $18,100,00016 OTHER REQUIREMENTS17 20-451 LOCAL HOUSING OF STATE ADULT OFFENDERS18 Payable out of the State General Fund (Direct)19 to the Local Housing of Adult Offenders Program20 for additional funding due to overprojections21 of a decline in the offender population $17,500,00022 Payable out of the State General Fund (Direct)23 to the Local Housing of Adult24 Offenders Program for the housing 25 of offenders $ 500,00026 The commissioner is hereby authorized and directed to adjust the means of finance for the27 Transitional Work Program, as contained in Act 12 of the 2011 Regular Session of the28 Legislature, by reducing the appropriation out of the State General Fund (Direct) by29 $500,000.30 20-901 SALES TAX DEDICATION31 Payable out of the State General Fund by32 Statutory Dedications out of the East Baton33 Rouge Enhancement Fund to the Baton Rouge34 Area Sports Foundation $ 20,00035 Payable out of the State General Fund by36 Statutory Dedications out of the Union37 Parish Visitor Enterprise Fund to the 38 Union Parish Tourist Commission $ 20,00039 20-930HIGHER EDUCATION DEBT SERVICE AND MAINTENANCE40 The commissioner of administration is hereby authorized and directed to adjust the means41 of finance for Higher Education Debt Service and Maintenance, as contained in Act 12 of42 the 2011 Regular Session of the Legislature, by reducing the appropriation out of the State43 General Fund (Direct) by $8,000,000.44 ENROLLEDHB NO. 1059 Page 13 of 30 20-931LOUISIANA ECONOMIC DEVELOPMENT - DEBT SERVICE & STATE1 COMMITMENTS2 Payable out of the State General Fund (Direct)3 to the Debt Service and State Commitments4 Program for Nucor interest payments and fees $ 886,5735 20-945STATE AID TO LOCAL GOVERNMENTS6 Payable out of the State General Fund by7 Statutory Dedications out of the St. Landry 8 Parish Excellence Fund to the St. Landry 9 Parish School Board for operating expenses $ 800,00010 Provided, however, that notwithstanding the provisions of R.S. 27:392(B)(3)(b)(i), the St.11 Landry Parish School Board may use such monies for the appropriation contained in this Act12 and in Act 12 of the 2011 Regular Session of the Legislature for purposes other than13 enhancements.14 20-966SUPPLEMENTAL PAYMENTS TO LAW ENFORCEMENT PERSONNEL15 Payable out of the State General Fund (Direct)16 to the Firefighters Program due to an increase in17 the number of eligible participants $ 815,00018 The commissioner of administration is hereby authorized and directed to adjust the means19 of finance for the Municipal Police Program, as contained in Act 12 of the 2011 Regular20 Session of the Legislature, by reducing the appropriation out of the State General Fund21 (Direct) by $815,000.22 The commissioner of administration is hereby authorized and directed to adjust the means23 of finance for the Municipal Police Supplemental Payments Program, as contained in Act24 12 of the 2011 Regular Session of the Legislature, by reducing the appropriation out of the25 State General Fund (Direct) by $70,000.26 The commissioner of administration is hereby authorized and directed to adjust the means27 of finance for the Constables and Justices of the Peace Supplemental Payments Program, as28 contained in Act 12 of the 2011 Regular Session of the Legislature, by reducing the29 appropriation out of the State General Fund (Direct) by $80,000.30 20-XXX FUNDS 31 Payable out of the Budget Stabilization Fund for32 deposit into the State General Fund (Direct) $204,700,00033 Section 2. The following sums are hereby appropriated from the sources specified and34 in the amounts specified for the purpose of making supplemental appropriations for Fiscal35 Year 2011-2012.36 ANCILLARY APPROPRIATIONS37 21-800 OFFICE OF GROUP BENEFITS38 Payable out of the State General Fund39 by Fees and Self-generated Revenues to the 40 State Group Benefits Program for timely41 payment of health and drug claims $109,000,00042 ENROLLEDHB NO. 1059 Page 14 of 30 21-806LOUISIANA PROPERTY ASSISTANCE AGENCY1 EXPENDITURES:2 Louisiana Property Assistance Agency $ 447,8873 TOTAL EXPENDITURES $ 447,8874 MEANS OF FINANCE:5 State General Fund by6 Interagency Transfers $ 71,6627 Fees & Self-generated Revenues $ 376,2258 TOTAL MEANS OF FINANCING $ 447,8879 Section 3. The appropriation contained in Act 12 of the 2011 Regular Session of the10 Legislature for 20-939 Prepaid Wireless 911 Service is amended and reenacted to read as11 follows:12 On page 254, line 24, after "Revenues" insert "from prior and current year collections13 (more or less estimated)"14 Section 4. The reduction of the appropriation contained in Act 22 of the 2011 Regular15 Session of the Legislature of the appropriation from the State General Fund by Statutory16 Dedications out of the Louisiana Economic Development Fund contained in Act 511 of the17 2008 Regular Session of the Legislature is amended and reenacted to read as follows:18 On page 134, line 5, delete "$6,245,515" and insert "$8,285,520" and on page 134, line19 7, delete "$2,040,005" and insert "$0"20 Section 5. The commissioner of administration is hereby authorized and directed to21 adjust the means of finance for the appropriations contained in Act 12 of the 2011 Regular22 Session of the Legislature for the following agencies in the specified amounts as a result of23 Executive Order No. BJ 2012-3, Executive Branch - Expenditure Freeze and Executive24 Order No. BJ 2011-12, Executive Department - Limited Hiring Freeze. Reductions are25 denoted in parentheses.26 SCHEDULE 0127 EXECUTIVE DEPARTMENT28 01-100 EXECUTIVE OFFICE29 EXPENDITURES:30 Administrative ($203,558)31 TOTAL EXPENDITURES ($203,558)32 MEANS OF FINANCE:33 State General Fund (Direct) ($203,558)34 TOTAL MEANS OF FINANCING ($203,558)35 ENROLLEDHB NO. 1059 Page 15 of 30 01-102 INSPECTOR GENERAL1 EXPENDITURES:2 Administrative ($113,844)3 TOTAL EXPENDITURES ($113,844)4 MEANS OF FINANCE:5 State General Fund (Direct) ($89,905)6 State General Fund by:7 Statutory Dedications:8 Overcollections Fund ($23,939)9 TOTAL MEANS OF FINANCING ($113,844)10 01-103 MENTAL HEALTH ADVOCACY SERVICE11 EXPENDITURES:12 Administrative ($38,114)13 TOTAL EXPENDITURES ($ 38,114)14 MEANS OF FINANCE:15 State General Fund (Direct) ($32,733)16 State General Fund by:17 Statutory Dedications:18 Louisiana Indigent Parent Representation Program Fund ($ 5,381)19 TOTAL MEANS OF FINANCING ($38,114)20 01-106 LOUISIANA TAX COMMISSION 21 EXPENDITURES:22 Property Taxation Regulatory/ Oversight ($ 20,000)23 TOTAL EXPENDITURES ($ 20,000)24 MEANS OF FINANCE:25 State General Fund (Direct) ($20,000)26 TOTAL MEANS OF FINANCING ($ 20,000)27 01-107 DIVISION OF ADMINISTRATION28 EXPENDITURES:29 Executive Administration ($113,137)30 TOTAL EXPENDITURES ($113,137)31 MEANS OF FINANCE:32 State General Fund (Direct) ($96,097)33 State General Fund by:34 Fees & Self-generated Revenues ($17,040)35 TOTAL MEANS OF FINANCING ($113,137)36 ENROLLEDHB NO. 1059 Page 16 of 30 01-111 HOMELAND SECURITY AND EMERGENCY PREPAREDNESS1 EXPENDITURES:2 Administrative ($184,719)3 TOTAL EXPENDITURES ($184,719)4 MEANS OF FINANCE:5 State General Fund (Direct) ($166,363)6 State General Fund by:7 Fees & Self-generated Revenues ($ 1,744)8 Statutory Dedications:9 LA Interoperability Communications Fund ($16,612)10 TOTAL MEANS OF FINANCING ($184,719)11 01-112 DEPARTMENT OF MILITARY AFFAIRS12 EXPENDITURES:13 Military Affairs ($696,362)14 TOTAL EXPENDITURES ($696,362)15 MEANS OF FINANCE:16 State General Fund (Direct) ($662,725)17 State General Fund by:18 Fees & Self-generated Revenues ($33,637)19 TOTAL MEANS OF FINANCING ($696,362)20 01-116 LOUISIANA PUBLIC DEFENDER BOARD21 EXPENDITURES:22 Administrative ($36,969)23 TOTAL EXPENDITURES ($36,969)24 MEANS OF FINANCE:25 State General Fund by:26 Statutory Dedications:27 Louisiana Public Defender Fund ($ 36,969)28 TOTAL MEANS OF FINANCING ($36,969)29 01-126BOARD OF TAX APPEALS30 EXPENDITURES:31 Administrative ($ 1,353)32 TOTAL EXPENDITURES: ($ 1,353)33 MEANS OF FINANCE:34 State General Fund (Direct) ($ 1,353)35 TOTAL MEANS OF FINANCING: ($ 1,353)36 ENROLLEDHB NO. 1059 Page 17 of 30 01-129 LOUISIANA COMMISSION ON LAW ENFORCEMENT AND THE1 ADMINISTRATION OF CRIMINAL JUSTICE2 EXPENDITURES:3 State ($110,000)4 TOTAL EXPENDITURES: ($110,000)5 MEANS OF FINANCE:6 State General Fund (Direct) ($10,000)7 State General Fund by:8 Statutory Dedications:9 Crime Victims Reparations Fund ($100,000)10 TOTAL MEANS OF FINANCING ($110,000)11 01-133 OFFICE OF ELDERLY AFFAIRS12 EXPENDITURES:13 Administrative ($221,070)14 Title III, V, VIII & NSIP ($84,637)15 TOTAL EXPENDITURES ($305,707)16 MEANS OF FINANCE:17 State General Fund (Direct) ($218,794)18 State General Fund by:19 Statutory Dedications:20 Overcollections Fund ($ 3,615)21 Federal Funds ($ 83,298)22 TOTAL MEANS OF FINANCING ($305,707)23 01-254 LOUISIANA STATE RACING COMMISSION24 EXPENDITURES:25 Louisiana State Racing Commission ($ 72,501)26 TOTAL EXPENDITURES ($ 72,501)27 MEANS OF FINANCE:28 State General Fund by:29 Fees & Self-generated Revenues ($62,501)30 Statutory Dedications:31 Pari-mutuel Live Racing Facility Gaming Control Fund ($ 10,000)32 TOTAL MEANS OF FINANCING ($ 72,501)33 01-255 OFFICE OF FINANCIAL INSTITUTIONS34 EXPENDITURES:35 Office of Financial Institutions ($820,681)36 TOTAL EXPENDITURES ($820,681)37 MEANS OF FINANCE:38 State General Fund by:39 Fees & Self-generated Revenues ($820,681)40 TOTAL MEANS OF FINANCING ($820,681)41 ENROLLEDHB NO. 1059 Page 18 of 30 SCHEDULE 031 DEPARTMENT OF VETERANS AFFAIRS 2 03-130 DEPARTMENT OF VETERANS AFFAIRS3 EXPENDITURES:4 Administrative ($111,579)5 TOTAL EXPENDITURES ($111,579)6 MEANS OF FINANCE:7 State General Fund (Direct) ($103,693)8 Federal Funds ($ 7,886)9 TOTAL MEANS OF FINANCING ($111,579)10 SCHEDULE 0411 ELECTED OFFICIALS12 04-141 OFFICE OF THE ATTORNEY GENERAL13 EXPENDITURES:14 Gaming Program ($238,439)15 TOTAL EXPENDITURES: ($238,439)16 MEANS OF FINANCE:17 State General Fund by:18 Statutory Dedications:19 Riverboat Gaming Enforcement Fund ($109,356)20 Video Draw Poker Device Fund ($90,742)21 Pari-mutuel Live Racing Facility Gaming Control Fund ($38,341)22 TOTAL MEANS OF FINANCING: ($238,439)23 04-146 LIEUTENANT GOVERNOR24 EXPENDITURES:25 Administrative ($42,813)26 TOTAL EXPENDITURES: ($42,813)27 MEANS OF FINANCE:28 State General Fund (Direct) ($42,813)29 TOTAL MEANS OF FINANCING: ($42,813)30 04-147 STATE TREASURER31 EXPENDITURES:32 Financial Accountability and Control ($80,243)33 TOTAL EXPENDITURES: ($80,243)34 MEANS OF FINANCE:35 State General Fund by:36 Fees & Self-generated Revenues ($80,243)37 TOTAL MEANS OF FINANCING: ($80,243)38 ENROLLEDHB NO. 1059 Page 19 of 30 04-158 PUBLIC SERVICE COMMISSION1 EXPENDITURES:2 District Offices Program ($35,322)3 TOTAL EXPENDITURES: ($35,322)4 MEANS OF FINANCE:5 State General Fund by:6 Statutory Dedications:7 Utility and Carrier Inspection and Supervision Fund ($35,322)8 TOTAL MEANS OF FINANCING: ($35,322)9 04-165 COMMISSIONER OF INSURANCE10 EXPENDITURES:11 Market Compliance ($512,319)12 TOTAL EXPENDITURES: ($512,319)13 MEANS OF FINANCE:14 State General Fund by:15 Fees & Self-generated Revenues ($512,319)16 TOTAL MEANS OF FINANCING: ($512,319)17 SCHEDULE 0618 DEPARTMENT OF CULTURE, RECREATION AND TOURISM19 06-263 OFFICE OF STATE MUSEUM20 EXPENDITURES:21 Museum Program ($58,424)22 TOTAL EXPENDITURES: ($58,424)23 MEANS OF FINANCE:24 State General Fund (Direct) ($58,424)25 TOTAL MEANS OF FINANCING: ($ 58,424)26 SCHEDULE 0827 DEPARTMENT OF PUBLIC SAFETY AND CORRECTIONS 28 CORRECTIONS SERVICES29 8-401 PHELPS CORRECTIONAL CENTER30 EXPENDITURES:31 Incarceration Program ($25,000)32 TOTAL EXPENDITURES ($ 25,000)33 MEANS OF FINANCE:34 State General Fund (Direct) ($ 25,000)35 TOTAL MEANS OF FINANCE ($ 25,000)36 ENROLLEDHB NO. 1059 Page 20 of 30 08-402 LOUISIANA STATE PENITENTIARY1 EXPENDITURES:2 Incarceration Program ($871,092)3 TOTAL EXPENDITURES ($871,092)4 MEANS OF FINANCE:5 State General Fund (Direct) ($871,092)6 TOTAL MEANS OF FINANCING ($871,092)7 08-405 AVOYELLES CORRECTIONAL CENTER 8 EXPENDITURES:9 Administrative ($ 2,089)10 Incarceration Program ($199,615)11 TOTAL EXPENDITURES ($ 201,704)12 MEANS OF FINANCE:13 State General Fund (Direct) ($ 201,704)14 TOTAL MEANS OF FINANCING ($ 201,704)15 08-406 LOUISIANA CORRECTIONAL INSTITUTE FOR WOMEN 16 EXPENDITURES:17 Administrative ($42,684)18 Incarceration Program ($90,000)19 TOTAL EXPENDITURES ($ 132,684)20 MEANS OF FINANCE:21 State General Fund (Direct) ($ 132,684)22 TOTAL MEANS OF FINANCING ($ 132,684)23 08-409 DIXON CORRECTIONAL INSTITUTE 24 EXPENDITURES:25 Administrative ($ 135,251)26 TOTAL EXPENDITURES ($$135,251)27 MEANS OF FINANCE:28 State General Fund (Direct) ($135,251)29 TOTAL MEANS OF FINANCING ($135,251)30 08-412 J. LEVY DABADIE CORRECTIONAL CENTER31 EXPENDITURES:32 Administration Program ($ 200,000)33 TOTAL EXPENDITURES ($ 200,000)34 MEANS OF FINANCE:35 State General Fund (Direct) ($ 200,000)36 37 TOTAL MEANS OF FINANCE ($ 200,000)38 ENROLLEDHB NO. 1059 Page 21 of 30 08-413 ELAYN HUNT CORRECTIONAL CENTER 1 EXPENDITURES:2 Incarceration Program ($ 300,000)3 TOTAL EXPENDITURES ($ 300,000)4 MEANS OF FINANCE:5 State General Fund (Direct) ($300,000)6 TOTAL MEANS OF FINANCING ($ 300,000)7 08-414 DAVID WADE CORRECTIONAL CENTER 8 EXPENDITURES:9 Incarceration Program ($ 50,000)10 Forcht-Wade Correctional Center Program ($ 411,268)11 TOTAL EXPENDITURES ($ 461,268)12 MEANS OF FINANCE:13 State General Fund (Direct) ($ 461,268)14 TOTAL MEANS OF FINANCING ($ 461,268)15 08-416 B.B. "SIXTY" RAYBURN CORRECTIONAL CENTER 16 EXPENDITURES:17 Administrative ($ 100,000)18 TOTAL EXPENDITURES ($ 100,000)19 MEANS OF FINANCE:20 State General Fund (Direct) ($ 100,000)21 TOTAL MEANS OF FINANCING ($ 100,000)22 PUBLIC SAFETY SERVICES 23 08-418 OFFICE OF MANAGEMENT AND FINANCE 24 EXPENDITURES:25 Management and Finance Program ($ 209,343)26 TOTAL EXPENDITURES ($ 209,343)27 ENROLLEDHB NO. 1059 Page 22 of 30 MEANS OF FINANCE:1 State General Fund by:2 Fees and Self-generated Revenues ($ 14,343)3 Statutory Dedications:4 Riverboat Gaming Enforcement Fund ($ 195,000)5 TOTAL MEANS OF FINANCING ($ 209,343)6 08-419 OFFICE OF STATE POLICE 7 EXPENDITURES:8 Traffic Enforcement Program ($ 40,000)9 TOTAL EXPENDITURES ($40,000)10 MEANS OF FINANCE:11 State General Fund by:12 Statutory Dedications:13 Riverboat Gaming Enforcement Fund ($40,000)14 TOTAL MEANS OF FINANCING ($40,000)15 08-422 OFFICE OF STATE FIRE MARSHAL 16 EXPENDITURES:17 Fire Prevention Program ($30,000)18 TOTAL EXPENDITURES ($30,000)19 MEANS OF FINANCE:20 State General Fund by:21 Statutory Dedications:22 Louisiana Manufactured Housing Commission Fund ($30,000)23 TOTAL MEANS OF FINANCING ($30,000)24 08-423 LOUISIANA GAMING CONTROL BOARD 25 EXPENDITURES:26 Louisiana Gaming Control Board ($ 8,500)27 TOTAL EXPENDITURES ($ 8,500)28 MEANS OF FINANCE:29 State General Fund by:30 Statutory Dedications:31 Riverboat Gaming Enforcement Fund ($ 8,500)32 TOTAL MEANS OF FINANCING ($ 8,500)33 YOUTH SERVICES34 08-403 OFFICE OF JUVENILE JUSTICE35 EXPENDITURES:36 Jetson Center for Youth ($100,000)37 Bridge City Center for Youth ($ 80,000)38 Field Services ($520,000)39 Contract Services ($300,000)40 TOTAL EXPENDITURES: ($1,000,000)41 ENROLLEDHB NO. 1059 Page 23 of 30 MEANS OF FINANCE:1 State General Fund (Direct) ($1,000,000)2 TOTAL MEANS OF FINANCING: ($1,000,000)3 SCHEDULE 094 DEPARTMENT OF HEALTH AND HOSPITALS5 09-306 MEDICAL VENDOR PAYMENTS6 EXPENDITURES:7 Public Providers Program ($4,116,445)8 TOTAL EXPENDITURES ($4,116,445)9 MEANS OF FINANCE:10 State General Fund (Direct) ($4,116,445)11 TOTAL MEANS OF FINANCING ($4,116,445)12 09-326 OFFICE OF PUBLIC HEALTH13 EXPENDITURES:14 Personal Health Services Program ($176,957)15 TOTAL EXPENDITURES ($176,957)16 MEANS OF FINANCE:17 State General Fund (Direct) ($176,957)18 TOTAL MEANS OF FINANCING ($176,957)19 SCHEDULE 1020 DEPARTMENT OF CHILDREN AND FAMILY SERVICES 21 10-360 OFFICE OF CHILDREN AND FAMILY SERVICES22 EXPENDITURES:23 Administration and Executive Support Program ($300,660)24 Prevention and Intervention Services Program ($50,000)25 TOTAL EXPENDITURES ($350,660)26 MEANS OF FINANCE:27 State General Fund (Direct) ($146,211)28 Federal Funds ($204,449)29 TOTAL MEANS OF FINANCING: ($350,660)30 SCHEDULE 1131 DEPARTMENT OF NATURAL RESOURCES32 11-431 OFFICE OF THE SECRETARY33 EXPENDITURES:34 Management and Finance Program $ 035 TOTAL EXPENDITURES $ 036 ENROLLEDHB NO. 1059 Page 24 of 30 MEANS OF FINANCE:1 State General Fund (Direct) ($283,085)2 State General Fund by:3 Interagency Transfers $ 283,0854 TOTAL MEANS OF FINANCING $ 05 SCHEDULE 176 DEPARTMENT OF CIVIL SERVICE7 17-560 STATE CIVIL SERVICE8 EXPENDITURES:9 Human Resources Management Program ($111,208)10 Administrative ($20,358)11 TOTAL EXPENDITURES ($131,566)12 MEANS OF FINANCE:13 State General Fund by:14 Fees & Self-generated Revenues ($18,051)15 Interagency Transfers ($113,515)16 TOTAL MEANS OF FINANCING ($131,566)17 17-562 ETHICS ADMINISTRATION18 EXPENDITURES:19 Administrative ($190,818)20 TOTAL EXPENDITURES ($190,818)21 MEANS OF FINANCE:22 State General Fund (Direct) ($186,105)23 State General Fund by:24 Fees & Self-generated Revenues ($ 4,713)25 TOTAL MEANS OF FINANCING ($190,818)26 17-563 STATE POLICE COMMISSION27 EXPENDITURES:28 Administrative ($59,439)29 TOTAL EXPENDITURES ($59,439)30 MEANS OF FINANCE:31 State General Fund (Direct) ($ 59,439)32 33 TOTAL MEANS OF FINANCING ($ 59,439)34 17-564 DIVISION OF ADMINISTRATIVE LAW35 EXPENDITURES:36 Administration ($26,427)37 TOTAL EXPENDITURES ($26,427)38 ENROLLEDHB NO. 1059 Page 25 of 30 MEANS OF FINANCE:1 State General Fund by:2 Interagency Transfers ($18,805)3 Fees & Self Generated Revenues ($ 7,622)4 TOTAL MEANS OF FINANCING ($26,427)5 SCHEDULE 196 HIGHER EDUCATION7 19-671 BOARD OF REGENTS8 EXPENDITURES:9 Board of Regents ($10,462,427)10 TOTAL EXPENDITURES ($10,462,427)11 MEANS OF FINANCE:12 State General Fund (Direct) ($25,000,000)13 State General Fund by14 Fees & Self-generated Revenues $14,537,57315 TOTAL MEANS OF FINANCING ($10,462,427)16 17 SPECIAL SCHOOLS AND COMMISSIONS18 19-653 LOUISIANA SCHOOLS FOR THE DEAF AND VISUALLY IMPAIRED 19 EXPENDITURES:20 Administrative and Shared Services ($106,913)21 Louisiana School for the Deaf Program ($53,734)22 TOTAL EXPENDITURES ($160,647)23 MEANS OF FINANCE:24 State General Fund (Direct) ($160,647)25 TOTAL MEANS OF FINANCING ($160,647)26 19-657 LOUISIANA SCHOOL FOR MATH, SCIENCE, AND THE ARTS 27 EXPENDITURES:28 Living and Learning Community Program ($ 3,100)29 TOTAL EXPENDITURES ($ 3,100)30 MEANS OF FINANCE:31 State General Fund (Direct) ($ 3,100)32 33 TOTAL MEANS OF FINANCING ($ 3,100)34 19-666 BOARD OF ELEMENTARY AND SECONDARY EDUCATION 35 EXPENDITURES:36 Administrative ($ 94,040)37 TOTAL EXPENDITURES ($ 94,040)38 ENROLLEDHB NO. 1059 Page 26 of 30 MEANS OF FINANCE:1 State General Fund (Direct) ($ 94,040)2 TOTAL MEANS OF FINANCING ($ 94,040)3 19-673 NEW ORLEANS CENTER FOR CREATIVE ARTS4 EXPENDITURES:5 NOCCA Instruction Program ($ 3,700)6 TOTAL EXPENDITURES ($ 3,700)7 MEANS OF FINANCE:8 State General Fund (Direct) ($ 3,700)9 TOTAL MEANS OF FINANCING ($ 3,700)10 DEPARTMENT OF EDUCATION11 19-699 SPECIAL SCHOOL DISTRICTS 12 EXPENDITURES:13 Instruction Program ($226,558)14 TOTAL EXPENDITURES ($226,558)15 MEANS OF FINANCE:16 State General Fund (Direct) ($226,558)17 TOTAL MEANS OF FINANCING ($226,558)18 SCHEDULE 2019 OTHER REQUIREMENTS20 20-452 LOCAL HOUSING OF JUVENILE OFFENDERS21 EXPENDITURES:22 Local Housing of Juvenile Offenders Program ($1,000,000)23 TOTAL EXPENDITURES ($1,000,000)24 MEANS OF FINANCE:25 State General Fund (Direct) ($1,000,000)26 TOTAL MEANS OF FINANCING ($1,000,000)27 20-933 GOVERNOR'S CONFERENCES AND INTERSTATE COMPACTS28 EXPENDITURES:29 Governor's Conferences and Interstate Compacts ($191,200)30 TOTAL EXPENDITURES ($191,200)31 MEANS OF FINANCE:32 State General Fund (Direct) ($191,200)33 TOTAL MEANS OF FINANCING ($191,200)34 Section 6A. The following revisions are hereby made to the referenced legislation for35 the purpose of making supplemental capital outlay appropriations for Fiscal Year 2011-2012.36 Provided, however, that the provisions of Sections 2 through 18, inclusive, of Act 22 of the37 ENROLLEDHB NO. 1059 Page 27 of 30 2011 Regular Session of the Legislature are adopted and incorporated by reference for the1 appropriations contained in these Sections 6A, 6B, and 6C.2 Section 6B. Notwithstanding any provisions of law to the contrary, including the3 provisions of the Capital Outlay Act, the following appropriations are hereby made out of4 the interest earnings from the investment of general obligation bond or note proceeds in the5 Comprehensive Capital Outlay Escrow Account:6 A.Supplemental Funding7 Southeast Louisiana State Cemetery8 Planning and Construction (St. Tammany)9 Project No. 03-130-11-01 $ 220,00010 B.Supplemental Funding11 Banks Springs Group Home12 Planning and Construction (Caldwell)13 Project No. 08-403-10-01 $ 500,00014 C.Supplemental Funding15 Human Development Center16 Planning and Construction (Orleans)17 Project No. 19-604N-98B-01 $ 500,00018 D.Supplemental Funding19 Alpha Hall Renovations20 Planning and Construction (Calcasieu)21 Project No. 19-627-05-03 $ 400,00022 E.Supplemental Funding23 Replacing Cooling Tower24 Planning and Construction (Tangipahoa)25 Project No. 09-344-11-02 $ 20,00026 The appropriation of monies in this Section shall be deemed to be and shall constitute27 approval by the Joint Legislative Committee on the Budget.28 Section 6C. The appropriations of $30,400,000 to 07/270 DEPARTMENT OF29 TRANSPORTATION AND DEVELOPMENT ADMINISTRATION for Non-Federal Aid30 Eligible Highway Program contained in Section 1 of Act 22 of the 2011 Regular Session of31 the Legislature is hereby amended and reenacted to read as follows:32 On page 18, delete lines 5 and 6 and insert the following:33 Payable from State Highway Improvement Fund $59,693,07534 TOTAL $60,693,07535 Section 6D. The appropriation of $9,000,000 to 01/107 DIVISION OF36 ADMINISTRATION for Rural Health Clinics contained in Section 3.A of Act 203 of the37 2007 Regular Session of the Legislature as amended and reenacted in Section 8.5 of Act 51138 of the 2008 Regular Session of the Legislature as amended and reenacted in Section 2.C of39 Act 122 of the 2009 Regular Session of the Legislature and as amended and reenacted in40 Section 5.C of Act 52 of the 2011 Regular Session of the Legislature is hereby amended and41 reenacted to read as follows: 42 On page 9, between lines 20 and 21, insert the following: 43 "Pursuant to approval received from the Department of Health and Hospitals, the44 approved project list is hereby modified to allow the project previously approved45 for a clinic located at 2026 Obrie Street in Zwolle to be located instead at 808 Main46 Street in Logansport."47 ENROLLEDHB NO. 1059 Page 28 of 30 Section 7A. The sum of One Million and No/100 ($1,000,000.00) Dollars is hereby1 appropriated out of the General Fund of the state of Louisiana for Fiscal Year 2011-20122 which shall be payable to the plaintiffs through Hancock Bank, as escrow agent, into escrow3 account number 1097000229 for partial payment of the judgment rendered in the class action4 suit entitled "Jean Boudreaux, et al v. State of Louisiana, Department of Transportation and5 Development, et al", bearing Number 71,408 on the docket of the Twenty-First Judicial6 District Court, parish of Tangipahoa, state of Louisiana, which payment shall be deemed to7 be the last payment until a signed settlement is agreed upon.8 Section 7B. The appropriation contained in 20-950 JUDGMENTS of Act 12 of the9 2011 Regular Session of the Legislature is hereby amended and reenacted to read as follows:10 On page 256, delete lines 40 through 45, and insert the following:11 "The sum of Four Million and No/100 ($4,000,000.00) Dollars is hereby12 appropriated out of the General Fund of the state of Louisiana for Fiscal Year13 2011-2012 which shall be payable to the plaintiffs through Hancock Bank, as14 escrow agent, into escrow account number 1097000229 for partial payment of the15 judgment rendered in the class action suit entitled "Jean Boudreaux, et al v. State16 of Louisiana, Department of Transportation and Development, et al", bearing17 Number 71,408 on the docket of the Twenty-First Judicial District Court, parish18 of Tangipahoa, state of Louisiana, which payment shall be deemed to be the last19 payment until a signed settlement is agreed upon."20 Section 8A. The appropriation contained in Act 27 of the 2006 Regular Session of the21 Legislature for 50/MJ1 MELVILLE for the Civic Center and Town Library is hereby22 amended and reenacted to read as follows:23 On page 91, line 1, insert the following: 24 "50/MJ1 MELVILLE25 ( )Civic Center and Town Library, Planning and26 Construction27 (St. Landry)28 Payable out of the State General Fund (Direct) $ 68,000"29 Section 8B. The appropriation contained in Act 22 of the 2011 Regular Session of the30 Legislature for 19/640 UNIVERSITY OF LOUISIANA-LAFAYETTE for Burke31 Hawthorne Hall Renovation and Expansion is hereby amended and reenacted to read as32 follows: 33 On page 40, line 42, after "Assumption);" delete the remainder of the line and on34 line 43, delete "and Construction (St. Landry);" 35 On page 40, line 46, change "435,839" to "367,839"36 On page 41, line 48, change "9,730,703" to "9,662,703"37 Section 9.A. Notwithstanding any provision of law to the contrary, any appropriation38 contained in Schedule 20-901, Sales Tax Dedications, or Schedule 20-945, Other39 Requirements, State Aid to Local Government Entities, in Act 12 of the 2011 Regular40 Session of the Legislature which has a valid cooperative endeavor agreement on June 30,41 2012, shall be deemed a bona fide obligation through December 31, 2012, and all other42 provisions of the cooperative endeavor agreements, including, but not limited to the43 reporting requirements, shall be performed as agreed.44 B.(1) Notwithstanding any provision of law to the contrary, the appropriation in45 Schedule 20-945 Other Requirements, State Aid to Local Government Entities in Act 18 of46 the 2007 Regular Session of the Legislature payable to Tensas Reunion, Inc., shall be47 deemed a bona fide obligation through June 30, 2013 and all provisions of the cooperative48 endeavor agreement executed by and between the Tensas Reunion, Inc. and the Department49 ENROLLEDHB NO. 1059 Page 29 of 30 of the Treasury, including but not limited to the reporting requirements, shall be performed1 as agreed.2 (2) Notwithstanding any provision of law to the contrary, the appropriation in Schedule3 20-945 Other Requirements, State Aid to Local Government Entities in Act 122 of the 20094 Regular Session of the Legislature payable to the city of Vidalia in the amount of $23,058,5 shall be deemed a bona fide obligation through June 30, 2013 and all provisions of the6 cooperative endeavor agreement executed by and between the city of Vidalia and the7 Department of the Treasury, including but not limited to the reporting requirements, shall8 be performed as agreed.9 (3) Notwithstanding any provision of law to the contrary, the appropriation in Schedule10 20-945 Other Requirements, State Aid to Local Government Entities in Act 41 of the 201011 Regular Session of the Legislature payable to city of Lake Charles in the amount of $50,000,12 shall be deemed a bona fide obligation through June 30, 2013 and all provisions of the13 cooperative endeavor agreement executed by and between the city of Lake Charles and the14 Department of the Treasury, including but not limited to the reporting requirements, shall15 be performed as agreed."16 (4) Notwithstanding any provision of law to the contrary, the two appropriations in17 Schedule 20-945 Other Requirements, State Aid to Local Government Entities in Act 41 of18 the 2010 Regular Session of the Legislature payable to the town of Iota, one in the amount19 of $10,000 and one in the amount of $3,250, shall be deemed bona fide obligations through20 June 30, 2013 and all provisions of the cooperative endeavor agreements executed by and21 between the town of Iota and the Department of the Treasury, including, but not limited to22 the reporting requirements, shall be performed as agreed.23 (5) Notwithstanding any provision of law to the contrary, the appropriations in Schedule24 20-945 Other Requirements, State Aid to Local Government Entities in Act 19 of the 200825 Regular Session of the Legislature payable to town of Delhi in the amount of $17,147, shall26 be deemed a bona fide obligation through June 30, 2013 and all provisions of the cooperative27 endeavor agreement executed by and between the town of Delhi and the Department of the28 Treasury, including, but not limited to the reporting requirements, shall be performed as29 agreed.30 (6) Notwithstanding any provision of law to the contrary, the appropriations in Schedule31 20-945 Other Requirements, State Aid to Local Government Entities in Act 122 of the 200932 Regular Session of the Legislature payable to town of Delhi in the amount of $4,087, shall33 be deemed a bona fide obligation through June 30, 2013 and all provisions of the cooperative34 endeavor agreement executed by and between the town of Delhi and the Department of the35 Treasury, including, but not limited to the reporting requirements, shall be performed as36 agreed.37 (7) Notwithstanding any provision of law to the contrary, the appropriations in Schedule38 20-945 Other Requirements, State Aid to Local Government Entities in Act 41 of the 201039 Regular Session of the Legislature payable to town of Delhi in the amount of $5,000, shall40 be deemed a bona fide obligation through June 30, 2013 and all provisions of the cooperative41 endeavor agreement executed by and between the town of Delhi and the Department of the42 Treasury, including, but not limited to the reporting requirements, shall be performed as43 agreed.44 (8) Notwithstanding any provision of law to the contrary, the appropriations in Schedule45 20-945 Other Requirements, State Aid to Local Government Entities in Act 41 of the 201046 Regular Session of the Legislature payable to town of Mamou in the amount of $7,390, shall47 be deemed a bona fide obligation through June 30, 2013 and all provisions of the cooperative48 endeavor agreement executed by and between the town of Mamou and the Department of49 the Treasury, including, but not limited to the reporting requirements, shall be performed as50 agreed.51 Section 10. The appropriation contained in Act 12 of the 2011 Regular Session of the52 Legislature for 09-306 MEDICAL VENDOR PAYMENTS is hereby amended and53 reenacted to read as follows: 54 ENROLLEDHB NO. 1059 Page 30 of 30 On page 116, between lines 35 and 36, insert the following: 1 "Provided, however, that the department is hereby authorized to reimburse the LSU2 public hospitals through uncompensated care costs for the unreimbursed Medicaid3 costs of all eligible Medicaid patients in accordance with provisions in the federal4 "DSH Audit and Reporting Rule." Provided, further, that full payment of these5 allowable uncompensated care costs is subject to the funding appropriated herein."6 Section 11. This Act shall become effective upon signature by the governor or, if not7 signed by the governor, upon expiration of the time for bills to become law without signature8 by the governor, as provided by Article III, Section 18 of the Constitution of Louisiana. If9 vetoed by the governor and subsequently approved by the legislature, this Act shall become10 effective on the day following such approval.11 SPEAKER OF THE HOUSE OF REPRESENTATI VES PRESIDENT OF THE SENATE GOVERNOR OF THE STATE OF LOUISIANA APPROVED: