Texas 2013 83rd Regular

Texas Senate Bill SB149 Comm Sub / Bill

                    83R27428 AED-D
 By: Nelson, et al. S.B. No. 149
 (Keffer, Thompson of Harris, S. Davis of Harris, Morrison,
 Martinez Fischer, et al.)


 A BILL TO BE ENTITLED
 AN ACT
 relating to the Cancer Prevention and Research Institute of Texas.
 BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF TEXAS:
 SECTION 1.  Section 102.001, Health and Safety Code, is
 amended by adding Subdivision (2-a) and amending Subdivision (3) to
 read as follows:
 (2-a)  "Program integration committee" means the
 Cancer Prevention and Research Institute of Texas Program
 Integration Committee.
 (3)  "Research and prevention programs committee"
 means a [the] Cancer Prevention and Research Institute of Texas
 Scientific Research and Prevention Programs committee [committees]
 appointed by the chief executive officer [director].
 SECTION 2.  Subchapter A, Chapter 102, Health and Safety
 Code, is amended by adding Section 102.004 to read as follows:
 Sec. 102.004.  STATE AUDITOR.  Nothing in this chapter
 limits the authority of the state auditor under Chapter 321,
 Government Code, or other law.
 SECTION 3.  Section 102.051, Health and Safety Code, is
 amended by amending Subsection (a) and adding Subsections (c) and
 (d) to read as follows:
 (a)  The institute [may]:
 (1)  may make grants to provide funds to public or
 private persons to implement the Texas Cancer Plan, and may make
 grants to institutions of learning and to advanced medical research
 facilities and collaborations in this state for:
 (A)  research into the causes of and cures for all
 types of cancer in humans;
 (B)  facilities for use in research into the
 causes of and cures for cancer;
 (C)  research, including translational research,
 to develop therapies, protocols, medical pharmaceuticals, or
 procedures for the cure or substantial mitigation of all types of
 cancer in humans; and
 (D)  cancer prevention and control programs in
 this state to mitigate the incidence of all types of cancer in
 humans;
 (2)  may support institutions of learning and advanced
 medical research facilities and collaborations in this state in all
 stages in the process of finding the causes of all types of cancer
 in humans and developing cures, from laboratory research to
 clinical trials and including programs to address the problem of
 access to advanced cancer treatment;
 (3)  may establish the appropriate standards and
 oversight bodies to ensure the proper use of funds authorized under
 this chapter for cancer research and facilities development;
 (4)  may [employ an executive director as determined by
 the oversight committee;
 [(5)]  employ necessary staff to provide
 administrative support; [and]
 (5)  shall continuously [(6)] monitor contracts and
 agreements authorized by this chapter and ensure that each grant
 recipient complies with the terms and conditions of the grant
 contract;
 (6)  shall ensure that all grant proposals comply with
 this chapter and rules adopted under this chapter before the
 proposals are submitted to the oversight committee for approval;
 and
 (7)  shall establish procedures to document that the
 institute, its employees, and its committee members appointed under
 this chapter comply with all laws and rules governing the peer
 review process and conflicts of interest.
 (c)  The institute shall employ a chief compliance officer to
 monitor and report to the oversight committee regarding compliance
 with this chapter and rules adopted under this chapter.
 (d)  The chief compliance officer shall:
 (1)  ensure that all grant proposals comply with this
 chapter and rules adopted under this chapter before the proposals
 are submitted to the oversight committee for approval; and
 (2)  attend and observe the meetings of the program
 integration committee to ensure compliance with this chapter and
 rules adopted under this chapter.
 SECTION 4.  Subchapter B, Chapter 102, Health and Safety
 Code, is amended by adding Section 102.0511 to read as follows:
 Sec. 102.0511.  CHIEF EXECUTIVE OFFICER; OTHER OFFICERS. (a)
 The oversight committee shall hire a chief executive officer. The
 chief executive officer shall perform the duties required by this
 chapter or designated by the oversight committee.
 (b)  The chief executive officer must have a demonstrated
 ability to lead and develop academic, commercial, and governmental
 partnerships and coalitions.
 (c)  The chief executive officer shall hire:
 (1)  one chief scientific officer;
 (2)  one chief operating officer;
 (3)  one chief product development officer; and
 (4)  one chief prevention officer.
 (d)  The officers described by Subsections (c)(1)-(4) shall
 report directly to the chief executive officer and assist the chief
 executive officer in collaborative outreach to further cancer
 research and prevention.
 SECTION 5.  Section 102.052(a), Health and Safety Code, is
 amended to read as follows:
 (a)  Not later than January 31 of each year, the institute
 shall submit to the lieutenant governor, the speaker of the house of
 representatives, the governor, and the standing committee of each
 house of the legislature with primary jurisdiction over institute
 matters and post on the institute's Internet website a report
 outlining [The institute shall issue an annual public report
 outlining] the institute's activities, grants awarded, grants in
 progress, research accomplishments, and future program
 directions.  The report must include:
 (1)  the number and dollar amounts of research and
 facilities grants;
 (2)  identification of the grant recipients for the
 reported year;
 (3)  the institute's administrative expenses;
 (4)  an assessment of the availability of funding for
 cancer research from sources other than the institute;
 (5)  a summary of findings of research funded by the
 institute, including promising new research areas;
 (6)  an assessment of the relationship between the
 institute's grants and the overall strategy of its research
 program;
 (7)  a statement of the institute's strategic research
 and financial plans; [and]
 (8)  an estimate of how much cancer has cost the state
 during the year, including the amounts spent by the state relating
 to cancer by the child health program, the Medicaid program, the
 Teacher Retirement System of Texas, and the Employees Retirement
 System of Texas;
 (9)  a statement of the institute's compliance program
 activities, including any proposed legislation or other
 recommendations identified through the activities; and
 (10)  a list of the waivers granted in the previous 12
 months through the process established in Section 102.1062.
 SECTION 6.  Subchapter B, Chapter 102, Health and Safety
 Code, is amended by adding Section 102.0535 to read as follows:
 Sec. 102.0535.  GRANT RECORDS. (a)  The institute shall
 maintain complete records of:
 (1)  the review of each grant application submitted to
 the institute, including the score assigned to each grant
 application reviewed by a research and prevention programs
 committee in accordance with rules adopted under Section
 102.251(a)(1), even if the grant application is not funded by the
 institute or is withdrawn after submission to the institute;
 (2)  each grant recipient's financial reports,
 including the amount of matching funds dedicated to the research
 specified for the grant award;
 (3)  each grant recipient's progress reports; and
 (4)  the institute's review of the grant recipient's
 financial reports and progress reports.
 (b)  The institute shall have periodic audits made of any
 electronic grant management system used to maintain records of
 grant applications and grant awards under this section.  The
 institute shall address in a timely manner each weakness identified
 in an audit of the system.
 SECTION 7.  Section 102.056, Health and Safety Code, is
 amended to read as follows:
 Sec. 102.056.  SALARY. (a)  The institute may not supplement
 the salary of any institute employee with a gift or grant received
 by the institute.
 (b)  The institute may supplement the salary of the chief
 scientific officer [executive director and other senior institute
 staff members].  Funding for a salary supplement for the chief
 scientific officer may only come from legislative [gifts, grants,
 donations, or] appropriations or bond proceeds.
 (c)  The institute may not supplement the salary of the chief
 executive officer.  The salary of the chief executive officer may
 only be paid from legislative appropriations.
 SECTION 8.  Subchapter B, Chapter 102, Health and Safety
 Code, is amended by adding Section 102.057 to read as follows:
 Sec. 102.057.  PROHIBITED OFFICE LOCATION. An institute
 employee may not have an office in a facility owned by an entity
 receiving or applying to receive money from the institute.
 SECTION 9.  Sections 102.101(b), (d), and (e), Health and
 Safety Code, are amended to read as follows:
 (b)  The oversight committee is composed of the following
 nine [11] members:
 (1)  three members appointed by the governor;
 (2)  three members appointed by the lieutenant
 governor; and
 (3)  three members appointed by the speaker of the
 house of representatives[;
 [(4)     the comptroller or the comptroller's designee;
 and
 [(5)     the attorney general or the attorney general's
 designee].
 (d)  In making appointments to the oversight committee, the
 governor, lieutenant governor, and speaker of the house of
 representatives:
 (1)  must each appoint at least one person who is a
 physician or a scientist with extensive experience in the field of
 oncology or public health; and
 (2)  should attempt to include cancer survivors and
 family members of cancer patients if possible.
 (e)  A person may not be a member of the oversight committee
 if the person or the person's spouse:
 (1)  is employed by or participates in the management
 of a business entity or other organization receiving money from the
 institute;
 (2)  owns or controls, directly or indirectly, an [more
 than a five percent] interest in a business entity or other
 organization receiving money from the institute; or
 (3)  uses or receives a substantial amount of tangible
 goods, services, or money from the institute, other than
 reimbursement authorized by this chapter for oversight committee
 membership, attendance, or expenses.
 SECTION 10.  Section 102.102(c), Health and Safety Code, is
 amended to read as follows:
 (c)  If the chief executive officer [director] has knowledge
 that a potential ground for removal exists, the chief executive
 officer [director] shall notify the presiding officer of the
 oversight committee of the potential ground.  The presiding officer
 shall then notify the appointing authority and the attorney general
 that a potential ground for removal exists.  If the potential ground
 for removal involves the presiding officer, the chief executive
 officer [director] shall notify the next highest ranking officer of
 the oversight committee, who shall then notify the appointing
 authority and the attorney general that a potential ground for
 removal exists.
 SECTION 11.  Section 102.103(a), Health and Safety Code, is
 amended to read as follows:
 (a)  Oversight committee members appointed by the governor,
 lieutenant governor, and speaker of the house serve at the pleasure
 of the appointing office for staggered six-year terms, with the
 terms of three members expiring on January 31 of each odd-numbered
 year.
 SECTION 12.  Section 102.104, Health and Safety Code, is
 amended to read as follows:
 Sec. 102.104.  OFFICERS.  (a)  The oversight committee shall
 elect [select] a presiding officer and assistant presiding officer
 from among its members every two years.  The oversight committee may
 elect additional officers from among its members.
 (b)  The presiding officer and assistant presiding officer
 may not serve in the position to which the officer was elected for
 two consecutive terms.
 (c)  The oversight committee shall:
 (1)  establish and approve duties and responsibilities
 for officers of the committee; and
 (2)  develop and implement policies that distinguish
 the responsibilities of the oversight committee and the committee's
 officers from the responsibilities of the chief executive officer
 and the employees of the institute.
 SECTION 13.  Section 102.106, Health and Safety Code, is
 amended to read as follows:
 Sec. 102.106.  CONFLICT OF INTEREST. (a) The oversight
 committee shall adopt conflict-of-interest rules, based on
 standards applicable to members of scientific review committees of
 the National Institutes of Health, to govern members of the
 oversight committee, the program integration committee, the
 research and prevention programs committees, and institute
 employees.
 (b)  An institute employee, oversight committee member,
 program integration committee member, or research and prevention
 programs committee member shall recuse himself or herself, as
 provided by Section 102.1061(a), (b), or (c) as applicable, if the
 employee or member, or a person who is related to the employee or
 member within the second degree of affinity or consanguinity, has a
 professional or financial interest in an entity receiving or
 applying to receive money from the institute.
 (c)  A person has a professional interest in an entity
 receiving or applying to receive money from the institute if the
 person:
 (1)  is a member of the board of directors, another
 governing board, or any committee of the entity, or of a foundation
 or similar organization affiliated with the entity, during the same
 grant cycle;
 (2)  serves as an elected or appointed officer of the
 entity or of a foundation or similar organization affiliated with
 the entity;
 (3)  is an employee of or is negotiating future
 employment with the entity or with a foundation or similar
 organization affiliated with the entity;
 (4)  represents the entity or a foundation or similar
 organization affiliated with the entity;
 (5)  is a professional associate of a primary member of
 the entity's research or prevention program team;
 (6)  is, or within the preceding six years has been, a
 student, postdoctoral associate, or part of a laboratory research
 group for a primary member of the entity's research or prevention
 program team;
 (7)  is engaged or is actively planning to be engaged in
 collaboration with a primary member of the entity's research or
 prevention program team; or
 (8)  has long-standing scientific differences or
 disagreements with a primary member of the entity's research or
 prevention program team, and those differences:
 (A)  are known to the professional community; and
 (B)  could be perceived as affecting objectivity.
 (d)  A person has a financial interest in an entity receiving
 or applying to receive money from the institute if the person:
 (1)  owns or controls, directly or indirectly, an
 ownership interest, including sharing in profits, proceeds, or
 capital gains, in an entity receiving or applying to receive money
 from the institute or in a foundation or similar organization
 affiliated with the entity; or
 (2)  could reasonably foresee that an action taken by
 the institute, a research and prevention programs committee, the
 program integration committee, or the oversight committee could
 result in a financial benefit to the person.
 (e)  Nothing in this chapter limits the authority of the
 oversight committee to adopt additional conflict-of-interest
 standards.
 SECTION 14.  Subchapter C, Chapter 102, Health and Safety
 Code, is amended by adding Sections 102.1061 through 102.1064 to
 read as follows:
 Sec. 102.1061.  DISCLOSURE OF CONFLICT OF INTEREST; RECUSAL.
 (a)  If an oversight committee member or program integration
 committee member has a conflict of interest as described by Section
 102.106 regarding an application that comes before the member for
 review or other action, the member shall:
 (1)  provide written notice to the chief executive
 officer and the presiding officer of the oversight committee or the
 next ranking member of the committee if the presiding officer has
 the conflict of interest;
 (2)  disclose the conflict of interest in an open
 meeting of the oversight committee; and
 (3)  recuse himself or herself from participating in
 the review, discussion, deliberation, and vote on the application
 and from accessing information regarding the matter to be decided.
 (b)  If an institute employee has a conflict of interest
 described by Section 102.106 regarding an application that comes
 before the employee for review or other action, the employee shall:
 (1)  provide written notice to the chief executive
 officer of the conflict of interest; and
 (2)  recuse himself or herself from participating in
 the review of the application and be prevented from accessing
 information regarding the matter to be decided.
 (c)  If a research and prevention programs committee member
 has a conflict of interest described by Section 102.106 regarding
 an application that comes before the member's committee for review
 or other action, the member shall:
 (1)  provide written notice to the chief executive
 officer of the conflict of interest; and
 (2)  recuse himself or herself from participating in
 the review, discussion, deliberation, and vote on the application
 and from accessing information regarding the matter to be decided.
 (d)  An oversight committee member, program integration
 committee member, research and prevention programs committee
 member, or institute employee with a conflict of interest may seek a
 waiver as provided by Section 102.1062.
 (e)  An oversight committee member, program integration
 committee member, research and prevention programs committee
 member, or institute employee who reports a potential conflict of
 interest or another impropriety or self-dealing of the member or
 employee and who fully complies with the recommendations of the
 general counsel and recusal requirements is considered in
 compliance with the conflict-of-interest provisions of this
 chapter.  The member or employee is subject to other applicable
 laws, rules, requirements, and prohibitions.
 (f)  An oversight committee member, program integration
 committee member, research and prevention programs committee
 member, or institute employee who intentionally violates this
 section is subject to removal from further participation in the
 institute's grant review process.
 Sec. 102.1062.  EXCEPTIONAL CIRCUMSTANCES REQUIRING
 PARTICIPATION.  The oversight committee shall adopt rules governing
 the waiver of the conflict-of-interest requirements of this chapter
 under exceptional circumstances for an oversight committee member,
 program integration committee member, research and prevention
 programs committee member, or institute employee.  The rules must:
 (1)  authorize the chief executive officer or an
 oversight committee member to propose the granting of a waiver by
 submitting to the presiding officer of the oversight committee a
 written statement about the conflict of interest, the exceptional
 circumstance requiring the waiver, and any proposed limitations to
 the waiver;
 (2)  require a proposed waiver to be publicly reported
 at a meeting of the oversight committee;
 (3)  require a majority vote of the oversight committee
 members present and voting to grant a waiver;
 (4)  require any waiver granted to be reported annually
 to the lieutenant governor, the speaker of the house of
 representatives, the governor, and the standing committee of each
 house of the legislature with primary jurisdiction over institute
 matters; and
 (5)  require the institute to retain documentation of
 each waiver granted.
 Sec. 102.1063.  INVESTIGATION OF UNREPORTED CONFLICTS OF
 INTEREST. (a)  An oversight committee member, a program
 integration committee member, a research and prevention programs
 committee member, or an institute employee who becomes aware of a
 potential conflict of interest described by Section 102.106 that
 has not been reported shall immediately notify the chief executive
 officer of the potential conflict of interest.  On notification,
 the chief executive officer shall notify the presiding officer of
 the oversight committee and the general counsel, who shall
 determine the nature and extent of any unreported conflict.
 (b)  A grant applicant seeking an investigation regarding
 whether a prohibited conflict of interest was not reported shall
 file a written request with the institute's chief executive
 officer. The applicant must:
 (1)  include in the request all facts regarding the
 alleged conflict of interest; and
 (2)  submit the request not later than the 30th day
 after the date the chief executive officer presents final funding
 recommendations for the affected grant cycle to the oversight
 committee.
 (c)  On notification of an alleged conflict of interest under
 Subsection (a) or (b), the institute's general counsel shall:
 (1)  investigate the matter; and
 (2)  provide to the chief executive officer and
 presiding officer of the oversight committee an opinion that
 includes:
 (A)  a statement of facts;
 (B)  a determination of whether a conflict of
 interest or another impropriety or self-dealing exists; and
 (C)  if the opinion provides that a conflict of
 interest or another impropriety or self-dealing exists,
 recommendations for an appropriate course of action.
 (d)  If the conflict of interest, impropriety, or
 self-dealing involves the presiding officer of the oversight
 committee, the institute's general counsel shall provide the
 opinion to the next ranking oversight committee member who is not
 involved with the conflict of interest, impropriety, or
 self-dealing.
 (e)  After receiving the opinion and consulting with the
 presiding officer of the oversight committee, the chief executive
 officer shall take action regarding the recusal of the individual
 from any discussion of or access to information related to the
 conflict of interest or other recommended action related to the
 impropriety or self-dealing.  If the alleged conflict of interest,
 impropriety, or self-dealing is held by, or is an act of, the chief
 executive officer, the presiding officer of the oversight committee
 shall take actions regarding the recusal or other action.
 Sec. 102.1064.  FINAL DETERMINATION OF UNREPORTED CONFLICT
 OF INTEREST. (a)  The chief executive officer or, if applicable,
 the presiding officer of the oversight committee shall make a
 determination regarding the existence of an unreported conflict of
 interest described by Section 102.1063 or other impropriety or
 self-dealing.  The determination must specify any actions to be
 taken to address the conflict of interest, impropriety, or
 self-dealing, including:
 (1)  reconsideration of the application; or
 (2)  referral of the application to another research
 and prevention programs committee for review.
 (b)  The determination made under Subsection (a) is
 considered final unless three or more oversight committee members
 request that the issue be added to the agenda of the oversight
 committee.
 (c)  The chief executive officer or, if applicable, the
 presiding officer of the oversight committee, shall provide written
 notice of the final determination, including any further actions to
 be taken, to the grant applicant requesting the investigation.
 (d)  Unless specifically determined by the chief executive
 officer or, if applicable, the presiding officer of the oversight
 committee, or the oversight committee, the validity of an action
 taken on a grant application is not affected by the fact that an
 individual who failed to report a conflict of interest participated
 in the action.
 SECTION 15.  Section 102.107, Health and Safety Code, is
 amended to read as follows:
 Sec. 102.107.  POWERS AND DUTIES. The oversight committee
 shall:
 (1)  hire a chief [an] executive officer;
 (2)  annually set priorities as prescribed by the
 legislature for each grant program that receives money under this
 chapter; and
 (3)  consider the priorities set under Subdivision (2)
 in awarding grants under this chapter [director].
 SECTION 16.  Subchapter C, Chapter 102, Health and Safety
 Code, is amended by adding Sections 102.109 and 102.110 to read as
 follows:
 Sec. 102.109.  CODE OF CONDUCT. (a)  The oversight committee
 shall adopt a code of conduct applicable to each oversight
 committee member, program integration committee member, and
 institute employee.
 (b)  The code of conduct at a minimum must include provisions
 prohibiting the member, the employee, or the member's or employee's
 spouse from:
 (1)  accepting or soliciting any gift, favor, or
 service that could reasonably influence the member or employee in
 the discharge of official duties or that the member, employee, or
 spouse of the member or employee knows or should know is being
 offered with the intent to influence the member's or employee's
 official conduct;
 (2)  accepting employment or engaging in any business
 or professional activity that would reasonably require or induce
 the member or employee to disclose confidential information
 acquired in the member's or employee's official position;
 (3)  accepting other employment or compensation that
 could reasonably impair the member's or employee's independent
 judgment in the performance of official duties;
 (4)  making personal investments or having a financial
 interest that could reasonably create a substantial conflict
 between the member's or employee's private interest and the member's
 or employee's official duties;
 (5)  intentionally or knowingly soliciting, accepting,
 or agreeing to accept any benefit for exercising the member's
 official powers or performing the member's or employee's official
 duties in favor of another;
 (6)  leasing, directly or indirectly, any property,
 capital equipment, employee, or service to any entity that receives
 a grant from the institute;
 (7)  submitting a grant application for funding by the
 institute;
 (8)  serving on the board of directors of an
 organization established with a grant from the institute; or
 (9)  serving on the board of directors of a grant
 recipient.
 Sec. 102.110.  FINANCIAL STATEMENT REQUIRED. Each member of
 the oversight committee shall file with the chief compliance
 officer a verified financial statement complying with Sections
 572.022 through 572.0252, Government Code, as required of a state
 officer by Section 572.021, Government Code.
 SECTION 17.  Section 102.151, Health and Safety Code, is
 amended by amending Subsections (a-1) and (b) and adding
 Subsections (c) and (e) to read as follows:
 (a-1)  The oversight committee shall establish research and
 prevention programs committees.  The chief executive officer
 [director], with approval by simple majority of the members of the
 oversight committee, shall appoint as members of [scientific]
 research and prevention programs committees experts in the field of
 cancer research and prevention, including qualified trained cancer
 patient advocates who meet the qualifications developed by rule as
 provided by Subsection (c).
 (b)  The institute shall adopt a written policy on in-state
 or out-of-state residency requirements for members of the research
 and prevention programs committees.  [Individuals appointed to the
 research and prevention programs committee may be residents of
 another state.]
 (c)  The oversight committee shall adopt rules regarding the
 qualifications required for an individual who will serve as a
 trained cancer patient advocate committee member for a research and
 prevention programs committee.  The rules must require a trained
 cancer patient advocate to receive science-based training.
 (e)  The chief executive officer, in consultation with the
 oversight committee, shall adopt a policy and document any change
 in the amount of honorarium paid to a member of a research and
 prevention programs committee, including information explaining
 the basis for changing the amount.
 SECTION 18.  Section 102.152, Health and Safety Code, is
 amended to read as follows:
 Sec. 102.152.  TERMS OF RESEARCH AND PREVENTION PROGRAMS
 COMMITTEE MEMBERS. Members of a research and prevention programs
 committee serve for terms as determined by the chief executive
 officer [director].
 SECTION 19.  Sections 102.156(a), (b), and (c), Health and
 Safety Code, are amended to read as follows:
 (a)  A member of a research and prevention programs
 committee[, the university advisory committee, or any ad hoc
 committee] appointed under this subchapter shall disclose in
 writing to the chief executive officer [director] if the member has
 a professional [an interest in a matter that comes before the
 member's committee] or [has a substantial] financial interest, as
 defined by Section 102.106, in an entity that has a direct interest
 in a [the] matter that comes before the member's committee.
 (b)  The member shall recuse himself or herself in the manner
 described by Section 102.1061 from the committee's deliberations
 and actions on the matter in Subsection (a) and may not participate
 in the committee's decision on the matter.
 (c)  A member of a research and prevention programs committee
 appointed under this chapter may not serve on the board of directors
 or other governing board of an entity receiving a grant from the
 institute or of a foundation or similar organization affiliated
 with the entity [A person has a substantial financial interest in an
 entity if the person:
 [(1)     is an employee, member, director, or officer of
 the entity; or
 [(2)     owns or controls, directly or indirectly, more
 than a five percent interest in the entity].
 SECTION 20.  Sections 102.201(b) and (c), Health and Safety
 Code, are amended to read as follows:
 (b)  The cancer prevention and research fund consists of:
 (1)  [patent, royalty, and license fees and other
 income received under a contract entered into as provided by
 Section 102.255;
 [(2)]  appropriations of money to the fund by the
 legislature, except that the appropriated money may not include the
 proceeds from the issuance of bonds authorized by Section 67,
 Article III, Texas Constitution;
 (2) [(3)]  gifts, grants, including grants from the
 federal government, and other donations received for the fund; and
 (3) [(4)]  interest earned on the investment of money
 in the fund.
 (c)  The fund may be used only to pay for:
 (1)  grants for cancer research and for cancer research
 facilities in this state to realize therapies, protocols, and
 medical procedures for the cure or substantial mitigation of all
 types of cancer in humans;
 (2)  the purchase, subject to approval by the
 institute, of laboratory facilities by or on behalf of a state
 agency or grant recipient;
 (3)  grants to public or private persons to implement
 the Texas Cancer Plan;
 (4)  the operation of the institute; [and]
 (5)  grants for cancer prevention and control programs
 in this state to mitigate the incidence of all types of cancer in
 humans; and
 (6)  debt service on bonds issued as authorized by
 Section 67, Article III, Texas Constitution.
 SECTION 21.  Section 102.251, Health and Safety Code, is
 amended by amending Subsection (a) and adding Subsections (c), (d),
 and (e) to read as follows:
 (a)  The oversight committee shall issue rules regarding the
 procedure for awarding grants to an applicant under this chapter.
 The rules must include the following procedures:
 (1)  a research and prevention programs committee shall
 score [review] grant applications and make recommendations to the
 program integration committee, established under Section 102.264,
 and the oversight committee [executive director] regarding the
 award of cancer research and prevention grants, including a
 prioritized list that:
 (A)  ranks the grant applications in the order the
 committee determines applications should be funded; and
 (B)  includes information explaining how each
 grant application on the list meets the research and prevention
 programs committee's standards for recommendation;
 (2)  the program integration committee [executive
 director] shall submit to the oversight committee a list of grant
 applications the program integration committee by majority vote
 approved for recommendation that:
 (A)  includes documentation on the factors the
 program integration committee considered in making the grant
 recommendations;
 (B)  [that] is substantially based on the list
 submitted by the research and prevention programs committee under
 Subdivision (1); and
 (C)  [,] to the extent possible, gives priority to
 proposals that:
 (i) [(A)]  could lead to immediate or
 long-term medical and scientific breakthroughs in the area of
 cancer prevention or cures for cancer;
 (ii) [(B)]  strengthen and enhance
 fundamental science in cancer research;
 (iii) [(C)]  ensure a comprehensive
 coordinated approach to cancer research;
 (iv) [(D)]  are interdisciplinary or
 interinstitutional;
 (v) [(E)]  address federal or other major
 research sponsors' priorities in emerging scientific or technology
 fields in the area of cancer prevention or cures for cancer;
 (vi) [(F)]  are matched with funds available
 by a private or nonprofit entity and institution or institutions of
 higher education;
 (vii) [(G)]  are collaborative between any
 combination of private and nonprofit entities, public or private
 agencies or institutions in this state, and public or private
 institutions outside this state;
 (viii) [(H)]  have a demonstrable economic
 development benefit to this state;
 (ix) [(I)]  enhance research superiority at
 institutions of higher education in this state by creating new
 research superiority, attracting existing research superiority
 from institutions not located in this state and other research
 entities, or enhancing existing research superiority by attracting
 from outside this state additional researchers and resources; [and]
 (x) [(J)]  expedite innovation and product
 development [commercialization], attract, create, or expand
 private sector entities that will drive a substantial increase in
 high-quality jobs, and increase higher education applied science or
 technology research capabilities; and
 (xi)  address the goals of the Texas Cancer
 Plan; and
 (3)  the institute's chief compliance officer shall
 compare each grant application submitted to the institute to a list
 of donors from any nonprofit organization established to provide
 support to the institute compiled from information made available
 under Section 102.262(c) before the application is submitted to a
 research and prevention programs committee for review and again
 before any grant is awarded to the applicant.
 (c)  The chief executive officer shall submit a written
 affidavit for each grant application recommendation included on the
 list submitted to the oversight committee under Subsection (a)(2).
 The affidavit must contain all relevant information on:
 (1)  the peer review process for the grant application;
 (2)  the application's peer review score assigned by
 the research and prevention programs committee; and
 (3)  if applicable, the intellectual property and other
 due diligence reviews of the application.
 (d)  A member of the program integration committee may not
 discuss a grant applicant recommendation with a member of the
 oversight committee unless the chief executive officer and the
 program integration committee have fulfilled the requirements of
 Subsections (a)(2) and (c), as applicable.
 (e)  The institute may not award a grant to an applicant who
 has made a gift or grant to the institute or a nonprofit
 organization established to provide support to the institute.
 SECTION 22.  Section 102.252, Health and Safety Code, is
 amended to read as follows:
 Sec. 102.252.  FUNDING [OVERRIDING] RECOMMENDATIONS.
 Two-thirds of the members of the [The] oversight committee present
 and voting must vote to approve each [follow the] funding
 recommendation [recommendations] of the program integration
 committee.  If the oversight committee does not approve a funding
 recommendation of the program integration committee, a statement
 explaining the reasons a funding recommendation was not followed
 must be included in the minutes of the meeting [executive director
 in the order the    executive director submits the applications to the
 oversight committee unless two-thirds of the members of the
 oversight committee vote to disregard a recommendation].
 SECTION 23.  Section 102.255, Health and Safety Code, is
 amended by amending Subsections (b), (c), and (d) and adding
 Subsection (e) to read as follows:
 (b)  Before awarding a grant under Subchapter E, the
 committee shall enter into a written contract with the grant
 recipient.  The contract may specify that:
 (1)  if all or any portion of the amount of the grant is
 used to build a capital improvement:
 (A)  the state retains a lien or other interest in
 the capital improvement in proportion to the percentage of the
 grant amount used to pay for the capital improvement; and
 (B)  the grant recipient shall, if the capital
 improvement is sold:
 (i)  repay to the state the grant money used
 to pay for the capital improvement, with interest at the rate and
 according to the other terms provided by the contract; and
 (ii)  share with the state a proportionate
 amount of any profit realized from the sale; [and]
 (2)  if[, as of a date specified in the contract,] the
 grant recipient has not used grant money awarded under Subchapter E
 for the purposes for which the grant was intended, the recipient
 shall repay that amount and any related interest applicable under
 the contract to the state at the agreed rate and on the agreed
 terms; and
 (3)  if the grant recipient fails to meet the terms and
 conditions of the contract, the institute may terminate the
 contract using the written process prescribed in the contract and
 require the recipient to repay the grant money awarded under
 Subchapter E and any related interest applicable under the contract
 to this state at the agreed rate and on the agreed terms.
 (c)  The contract must:
 (1)  include terms relating to intellectual property
 rights consistent with the standards developed by the oversight
 committee under Section 102.256;
 (2)  require, in accordance with Subsection (d), the
 grant recipient to dedicate an amount of matching funds equal to
 one-half of the amount of the research grant awarded; and
 (3)  specify:
 (A)  the amount of matching funds to be dedicated
 under Subdivision (2);
 (B)  the period in which the grant award must be
 spent;
 (C)  the name of the research project to which
 matching funds are to be dedicated; and
 (D)  the specific deliverables of the project that
 is the subject of the grant proposal.
 (d)  Before the oversight committee may make for cancer
 research any grant of any proceeds of the bonds issued under
 Subchapter E, the recipient of the grant must certify that the
 recipient has [have] an amount of funds equal to one-half of the
 grant and dedicate those funds [dedicated] to the research that is
 the subject of the grant request.  The institute shall adopt rules
 specifying how a grant recipient fulfills obligations under this
 subchapter.  At a minimum, the rules must:
 (1)  allow a grant recipient that is a public or private
 institution of higher education, as defined by Section 61.003,
 Education Code, to credit toward the recipient's matching funds the
 dollar amount equivalent to the difference between the indirect
 cost rate authorized by the federal government for research grants
 awarded to the recipient and the indirect cost rate authorized by
 Section 102.203(c);
 (2)  require that a grant recipient certify before the
 distribution of any money awarded under a grant for cancer
 research:
 (A)  that encumbered funds equal to one-half of
 the amount of the total grant award are available and not yet
 expended for research that is the subject of the grant; or
 (B)  if the grant recipient is a public or private
 institution of higher education, the indirect cost rate authorized
 by the federal research grants awarded to the recipient;
 (3)  specify that:
 (A)  a grant recipient receiving more than one
 grant award may provide matching funds certification at an
 institutional level;
 (B)  the recipient of a multiyear grant award may
 certify matching funds on a yearly basis; and
 (C)  grant funds may not be distributed to the
 grant recipient until the annual certification of the matching
 funds has been approved;
 (4)  specify that money used for purposes of
 certification may include:
 (A)  federal funds, including funds provided
 under the American Recovery and Reinvestment Act of 2009 (Pub. L.
 No. 111-5) and the fair market value of drug development support
 provided to the recipient by the National Cancer Institute or other
 similar programs;
 (B)  funds of this state;
 (C)  funds of other states; and
 (D)  nongovernmental funds, including private
 funds, foundation grants, gifts, and donations;
 (5)  specify that the following items do not qualify
 for purposes of the certification required by this subsection:
 (A)  in-kind costs;
 (B)  volunteer services furnished to a grant
 recipient;
 (C)  noncash contributions;
 (D)  income earned by the grant recipient that is
 not available at the time of the award;
 (E)  preexisting real estate of the grant
 recipient, including buildings, facilities, and land;
 (F)  deferred giving, including a charitable
 remainder annuity trust, a charitable remainder unitrust, or a
 pooled income fund; or
 (G)  other items as may be determined by the
 oversight committee;
 (6)  require a grant recipient and the institute to
 include the certification in the grant award contract;
 (7)  specify that a grant recipient's failure to
 provide certification shall serve as grounds for terminating the
 grant award contract;
 (8)  require a grant recipient to maintain adequate
 documentation supporting the source and use of the funds required
 by this subsection and to provide documentation to the institute
 upon request; and
 (9)  require that the institute establish a procedure
 to conduct an annual review of the documentation supporting the
 source and use of funds reported in the required certification.
 (e)  The institute shall adopt a policy on advance payments
 to grant recipients.
 SECTION 24.  Section 102.260, Health and Safety Code, is
 amended by amending Subsections (b) and (c) and adding Subsections
 (d), (e), and (f) to read as follows:
 (b)  The chief executive officer [director] shall determine
 the grant review process under this section.  The chief executive
 officer [director] may terminate grants that do not meet
 contractual obligations.
 (c)  The chief executive officer [director] shall report at
 least annually to the oversight committee on the progress and
 continued merit of each research program funded by the institute.
 (d)  The institute shall establish and implement reporting
 requirements to ensure that each grant recipient complies with the
 terms and conditions in the grant contract, including verification
 of the amounts of matching funds dedicated to the research that is
 the subject of the grant award to the grant recipient.
 (e)  The institute shall implement a system to:
 (1)  track the dates on which grant recipient reports
 are due and are received by the institute; and
 (2)  monitor the status of any required report that is
 not timely submitted to the institute by a grant recipient.
 (f)  The chief compliance officer shall monitor compliance
 with this section and at least annually shall inquire into and
 monitor the status of any required report that is not timely
 submitted to the institute by a grant recipient. The chief
 compliance officer shall notify the general counsel and the
 oversight committee of a grant recipient that has not maintained
 compliance with the reporting requirements or matching funds
 provisions of the grant contract to allow the institute to begin
 suspension or termination of the grant contract under Subsection
 (b). This subsection does not limit other remedies available under
 the grant contract.
 SECTION 25.  Section 102.262, Health and Safety Code, is
 amended by adding Subsections (c) and (d) to read as follows:
 (c)  The records of a nonprofit organization established to
 provide support to the institute are public information subject to
 Chapter 552, Government Code.
 (d)  The institute shall post on the institute's Internet
 website records that pertain specifically to any gift, grant, or
 other consideration provided to the institute, an institute
 employee, or a member of an institute committee. The posted
 information must include each donor's name and the amount and date
 of the donor's donation.
 SECTION 26.  Subchapter F, Chapter 102, Health and Safety
 Code, is amended by adding Sections 102.263, 102.2631, and 102.264
 to read as follows:
 Sec. 102.263.  COMPLIANCE PROGRAM.  (a)  In this section,
 "compliance program" means a process to assess and ensure
 compliance by the institute's committee members and employees with
 applicable laws, rules, and policies, including matters of:
 (1)  ethics and standards of conduct;
 (2)  financial reporting;
 (3)  internal accounting controls; and
 (4)  auditing.
 (b)  The institute shall establish a compliance program that
 operates under the direction of the institute's chief compliance
 officer.  The institute may establish procedures, such as a
 telephone hotline, to allow private access to the compliance
 program office and to preserve the confidentiality of
 communications and the anonymity of a person making a compliance
 report or participating in a compliance investigation.
 (c)  The following are confidential and are not subject to
 disclosure under Chapter 552, Government Code:
 (1)  information that directly or indirectly reveals
 the identity of an individual who made a report to the institute's
 compliance program office, sought guidance from the office, or
 participated in an investigation conducted under the compliance
 program;
 (2)  information that directly or indirectly reveals
 the identity of an individual who is alleged to have or may have
 planned, initiated, or participated in activities that are the
 subject of a report made to the office if, after completing an
 investigation, the office determines the report to be
 unsubstantiated or without merit; and
 (3)  other information that is collected or produced in
 a compliance program investigation if releasing the information
 would interfere with an ongoing compliance investigation.
 (d)  Subsection (c) does not apply to information related to
 an individual who consents to disclosure of the information.
 (e)  Information made confidential or excepted from public
 disclosure by this section may be made available to the following on
 request in compliance with applicable laws and procedures:
 (1)  a law enforcement agency or prosecutor;
 (2)  a governmental agency responsible for
 investigating the matter that is the subject of a compliance
 report, including the Texas Workforce Commission civil rights
 division or the federal Equal Employment Opportunity Commission; or
 (3)  a committee member or institute employee who is
 responsible under institutional policy for a compliance program
 investigation or for a review of a compliance program
 investigation.
 (f)  A disclosure under Subsection (e) is not a voluntary
 disclosure for purposes of Section 552.007, Government Code.
 Sec. 102.2631.  COMPLIANCE MATTERS; CLOSED MEETING.  The
 oversight committee may conduct a closed meeting under Chapter 551,
 Government Code, to discuss an ongoing compliance investigation
 into issues related to fraud, waste, or abuse of state resources.
 Sec. 102.264.  PROGRAM INTEGRATION COMMITTEE. (a)  The
 institute shall establish a program integration committee.  The
 committee is composed of the following five members:
 (1)  the chief executive officer;
 (2)  the chief scientific officer;
 (3)  the chief product development officer;
 (4)  the commissioner of state health services; and
 (5)  the chief prevention officer.
 (b)  The committee has the duties assigned under this
 chapter.
 (c)  The chief executive officer shall serve as the presiding
 officer of the program integration committee.
 SECTION 27.  Chapter 102, Health and Safety Code, is amended
 by adding Subchapter G to read as follows:
 SUBCHAPTER G. CANCER PREVENTION AND RESEARCH INTEREST AND SINKING
 FUND
 Sec. 102.270.  ESTABLISHMENT OF FUND. (a) The cancer
 prevention and research interest and sinking fund is a dedicated
 account in the general revenue fund.
 (b)  The fund consists of:
 (1)  patent, royalty, and license fees and other income
 received under a contract entered into as provided by Section
 102.255; and
 (2)  interest earned on the investment of money in the
 fund.
 (c)  The fund may be used only to pay for debt service on
 bonds issued as authorized by Section 67, Article III, Texas
 Constitution, at a time and in a manner to be determined by the
 legislature in the General Appropriations Act.
 SECTION 28.  (a) The terms of the members of the Cancer
 Prevention and Research Institute of Texas Oversight Committee
 serving immediately before the effective date of this Act expire on
 the effective date of this Act.
 (b)  As soon as practicable after the effective date of this
 Act, the governor, lieutenant governor, and speaker of the house of
 representatives shall each appoint members to the Cancer Prevention
 and Research Institute of Texas Oversight Committee as required by
 Section 102.101, Health and Safety Code, as amended by this Act. In
 making the initial appointments under that section, each appointing
 office shall designate one member for a term expiring January 31,
 2015, one member for a term expiring January 31, 2017, and one
 member for a term expiring January 31, 2019.
 SECTION 29.  (a)  As soon as practicable after the effective
 date of this Act, the Cancer Prevention and Research Institute of
 Texas Oversight Committee shall adopt the rules necessary to
 implement the changes in law made by this Act.
 (b)  The changes in law made by this Act apply only to a grant
 application submitted to the Cancer Prevention and Research
 Institute of Texas on or after the effective date of this Act.  A
 grant application submitted before the effective date of this Act
 is governed by the law in effect on the date the application was
 submitted, and that law is continued in effect for that purpose.
 (c)  Not later than January 1, 2014, employees, oversight
 committee members, and members of other committees of the Cancer
 Prevention and Research Institute of Texas must comply with the
 changes in law made by this Act regarding the qualifications of the
 employees and members.
 (d)  Not later than December 1, 2013, the Cancer Prevention
 and Research Institute of Texas Oversight Committee shall employ a
 chief compliance officer and a chief executive officer as required
 by Sections 102.051(c) and 102.0511, Health and Safety Code, as
 added by this Act.
 (e)  As soon as practicable after the effective date of this
 Act, the Cancer Prevention and Research Institute of Texas
 Oversight Committee shall establish a compliance program as
 required by Section 102.263, Health and Safety Code, as added by
 this Act.
 SECTION 30.  This Act takes effect immediately if it
 receives a vote of two-thirds of all the members elected to each
 house, as provided by Section 39, Article III, Texas Constitution.
 If this Act does not receive the vote necessary for immediate
 effect, this Act takes effect September 1, 2013.