emergency drought package

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AMENDED IN SENATE FEBRUARY 26, 2014 AMENDED IN SENATE FEBRUARY 24, 2014 AMENDED IN SENATE JUNE 12, 2013 california legislature201314 regular session ASSEMBLY BILL No. 79 Introduced by Committee on Budget (Skinner (Chair), Bloom, Campos, Chesbro, Dababneh, Daly, Dickinson, Gordon, Jones-Sawyer, Mitchell, Mullin, Muratsuchi, Nazarian, Rodriguez, Stone, Ting, and Weber) January 10, 2013 An act to amend the Budget Act of 2013 (Chapters 20 and 354 of the Statutes of 2013) by amending Items 0690-001-0001, 2240-101-0001, 2240-101-0890, 3340-001-0001, 3600-001-0001, 3600-001-0200, 3860-001-0001, 3860-001-6052, 3860-003-0001, 3860-101-6052, 3860-301-6052, 3940-001-0001, 3940-001-0193, 3940-001-0439, 3940-101-3147, 4265-111-0001, 5180-101-0001, 5180-141-0001, 5180-141-0890, 7100-001-0001, 7100-001-0870, and 8570-001-0001 of, and by adding Items 3860-001-3228, 3860-101-3228, 3860-301-3228, 3860-401, 3940-002-0679, and 8570-001-3228 to, Section 2.00 of, and by amending Section 39.00 of, that act, relating to the State Budget, and making an appropriation therefor, to take effect immediately, budget bill. legislative counsel s digest AB 79, as amended, Committee on Budget. Budget Act of 2013. The Budget Act of 2013 made appropriations for the support of state government for the 2013–14 fiscal year. 96

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It appears California lawmakers will vote Thursday on emergency legislation that would allocate hundreds of millions of dollars for drought relief.

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AMENDED IN SENATE FEBRUARY 26, 2014

AMENDED IN SENATE FEBRUARY 24, 2014

AMENDED IN SENATE JUNE 12, 2013

california legislature—2013–14 regular session

ASSEMBLY BILL No. 79

Introduced by Committee on Budget (Skinner (Chair), Bloom,Campos, Chesbro, Dababneh, Daly, Dickinson, Gordon,Jones-Sawyer, Mitchell, Mullin, Muratsuchi, Nazarian,Rodriguez, Stone, Ting, and Weber)

January 10, 2013

An act to amend the Budget Act of 2013 (Chapters 20 and 354 of theStatutes of 2013) by amending Items 0690-001-0001, 2240-101-0001,2240-101-0890, 3340-001-0001, 3600-001-0001, 3600-001-0200,3860-001-0001, 3860-001-6052, 3860-003-0001, 3860-101-6052,3860-301-6052, 3940-001-0001, 3940-001-0193, 3940-001-0439,3940-101-3147, 4265-111-0001, 5180-101-0001, 5180-141-0001,5180-141-0890, 7100-001-0001, 7100-001-0870, and 8570-001-0001of, and by adding Items 3860-001-3228, 3860-101-3228,3860-301-3228, 3860-401, 3940-002-0679, and 8570-001-3228 to,Section 2.00 of, and by amending Section 39.00 of, that act, relating tothe State Budget, and making an appropriation therefor, to take effectimmediately, budget bill.

legislative counsel’s digest

AB 79, as amended, Committee on Budget. Budget Act of 2013.The Budget Act of 2013 made appropriations for the support of state

government for the 2013–14 fiscal year.

96

This bill would amend the Budget Act of 2013 by revising items ofappropriation and making other changes for the purpose of addressingdrought conditions in the state.

This bill would become operative only if AB 80 or SB 104 of the2013–14 Regular Session is enacted and becomes operative.

This bill would declare that it is to take effect immediately as a BudgetBill.

Vote: majority. Appropriation: yes. Fiscal committee: yes.

State-mandated local program: no.

The people of the State of California do enact as follows:

line 1 SECTION 1. Item 0690-001-0001 of Section 2.00 of the Budget line 2 Act of 2013 is amended to read: line 3 line 4 line 5 36,829,000

0690-001-0001—For support of the Office of Emergency Ser-vices...................................................................................

line 6 Schedule: line 7 50,079,00020-Emergency Management Services....(1)

line 8 line 9 69,391,000

40-Special Programs and Grant Manage-ment......................................................

(2)

line 10 line 11 15,229,000

65.01-Administration and ExecutiveProgram................................................

(3)

line 12 line 13 −15,229,000

65.02-Distributed Administration andExecutive.............................................

(4)

line 14 74,100,00070-Public Safety Communications.....(4.5) line 15 −4,275,000Reimbursements...................................(5)

line 16 line 17 line 18 −2,453,000

Amount payable from the State Emergen-cy Telephone Number Account (Item0690-001-0022)....................................

(6)

line 19 line 20 −800,000

Amount payable from the Unified Pro-gram Account (Item 0690-001-0028)....

(7)

line 21 line 22 line 23 −1,174,000

Amount payable from the NuclearPlanning Assessment Special Account(Item 0690-001-0029)..........................

(8)

line 24 line 25 −19,000

Amount payable from the RestitutionFund (Item 0690-001-0214).................

(9)

line 26 line 27 −71,565,000

Amount payable from the FederalTrust Fund (Item 0690-001-0890).....

(10)

96

— 2 —AB 79

line 1 line 2 line 3 −83,000

Amount payable from the Local PublicProsecutors and Public DefendersTraining Fund (Item 0690-002-0241)....

(11)

line 4 line 5 line 6 −1,352,000

Amount payable from the Victim-Wit-ness Assistance Fund (Item 0690-002-0425)....................................................

(12)

line 7 line 8 line 9 −5,000

Amount payable from the Equality inPrevention and Services for DomesticAbuse Fund (Item 0690-001-3112).....

(13)

line 10 line 11 line 12 line 13 line 14 line 15 −2,650,000

Amount payable from the Transit Sys-tem Safety, Security, and Disaster Re-sponse Account, Highway Safety,Traffic Reduction, Air Quality, and PortSecurity Fund of 2006 (Item 0690-001-6061)....................................................

(14)

line 16 line 17 −718,000

Amount payable from the AntiterrorismFund (Item 0690-010-3034)................

(15)

line 18 line 19 line 20 −71,647,000

Amount payable from the TechnologyServices Revolving Fund (Item 0690-001-9730)...........................................

(16)

line 21 Provisions:

line 22 Funds appropriated in this item may be reduced by the line 23 Director of Finance, after giving notice to the Chair-

1.

line 24 person of the Joint Legislative Budget Committee, by line 25 the amount of federal funds made available for the line 26 purposes of this item in excess of the federal funds line 27 scheduled in Item 0690-001-0890.

line 28 Upon approval by the Department of Finance, the line 29 Controller shall transfer such funds as are necessary line 30 between this item and Item 0690-101-0890.

2.

line 31 Of the funds appropriated in this item, $1,800,000 line 32 shall be available for encumbrance until June 30, 2015,

3.

line 33 for the state operations center for providing assistance line 34 to local jurisdictions and local assistance centers that line 35 provide local communities with technical guidance line 36 and disaster recovery support.

line 37 line 38 SEC. 2. Item 2240-101-0001 of Section 2.00 of the Budget line 39 Act of 2013 is amended to read:

96

AB 79— 3 —

line 1 line 2 5,629,000

2240-101-0001—For local assistance, Department of Housingand Community Development...........................................

line 3 Schedule: line 4 138,625,00020-Financial Assistance Program.......(1)

line 5 line 6 −132,996,000

Amount payable from the FederalTrust Fund (Item 2240-101-0890).....

(2)

line 7 line 8 SEC. 3. Item 2240-101-0890 of Section 2.00 of the Budget line 9 Act of 2013 is amended to read:

line 10 line 11 line 12 line 13 132,996,000

2240-101-0890—For local assistance, Department of Housingand Community Development, for payment to Item 2240-101-0001, payable from the Federal Trust Fund................

line 14 Provisions:

line 15 Notwithstanding any other provision of law, federal line 16 funds appropriated by this item but not encumbered

1.

line 17 or expended by June 30, 2014, may be expended in line 18 the subsequent fiscal year.

line 19 line 20 SEC. 4. Item 3340-001-0001 of Section 2.00 of the Budget line 21 Act of 2013 is amended to read: line 22 line 23 line 24 44,091,000

3340-001-0001—For support of California ConservationCorps..................................................................................

line 25 Schedule: line 26 80,133,00010-Training and Work Program............(1) line 27 7,787,00020.01-Administration............................(2) line 28 −7,787,00020.02-Distributed Administration.........(3)

line 29 line 30 line 31 −321,000

Amount payable from the CaliforniaEnvironmental License Plate Fund (Item3340-001-0140)....................................

(5)

line 32 line 33 line 34 line 35 −29,202,000

Amount payable from the Collins-Dugan California Conservation CorpsReimbursement Account (Item 3340-001-0318)............................................

(6)

line 36 line 37 line 38 −1,514,000

Amount payable from the State Respon-sibility Area Fire Prevention Fund (Item3340-001-3063)....................................

(7)

96

— 4 —AB 79

line 1 line 2 line 3 line 4 −5,000,000

Amount payable from the CaliforniaClean Water, Clean Air, Safe Neighbor-hood Parks, and Coastal ProtectionFund (Item 3340-001-6029)................

(7.5)

line 5 line 6 line 7 line 8 −5,000

Amount payable from the Safe DrinkingWater, Water Quality and Supply, FloodControl, River and Coastal ProtectionFund of 2006 (Item 3340-001-6051).....

(8)

line 9 Provisions:

line 10 Of the funds appropriated in this item, $2,725,000 line 11 shall be available for use by the California Conserva-

1.

line 12 tion Corps to respond to natural disasters and other line 13 emergencies, including the fighting of forest fires.

line 14 To the extent that funds in excess of the amount iden- line 15 tified in Provision 1 are necessary in order for the

2.

line 16 California Conservation Corps to respond to one or line 17 more emergencies declared by the Governor, the De- line 18 partment of Finance shall transfer, from the funds line 19 available pursuant to Section 8690.6 of the Govern- line 20 ment Code, an amount not to exceed $1,500,000 as line 21 necessary to fund that response. If, after the Depart- line 22 ment of Finance has transferred funds pursuant to this line 23 provision, the California Conservation Corps receives line 24 reimbursements or other amounts in payment of its line 25 costs of response to one or more declared emergencies, line 26 those amounts shall be deposited in the General Fund.

line 27 Of the funds appropriated in this item, line 28 $13,000,000 shall be available to the California

(a)3.

line 29 Conservation Corps for encumbrance until June line 30 30, 2016, and shall be expended for water conser- line 31 vation and drought response projects, water effi- line 32 ciency education and outreach activities, and local line 33 assistance grants to certified community conser- line 34 vation corps, as identified in Section 14507.5 of line 35 the Public Resources Code. To the extent feasible, line 36 the California Conservation Corps and the local line 37 conservation corps shall employ veterans and line 38 unemployed young adults, including young adults line 39 reentering the workforce after incarceration, in

96

AB 79— 5 —

line 1 the corps member teams deployed to construct line 2 and implement these projects

line 3 For purposes of this provision, water conservation line 4 and drought response projects include all of the line 5 following:

(b)

line 6 $5,000,000 for program support to complete line 7 water-efficient landscaping, water-efficient

(1)

line 8 irrigation, and replacement of plumbing fix- line 9 tures for schools, public agencies, and com-

line 10 mercial properties; replacement and installa- line 11 tion of water-efficient plumbing fixtures, in- line 12 cluding low-flow toilets, water efficiency line 13 education, and outreach activities in disadvan- line 14 taged communities; and energy projects that line 15 contribute to energy and water conservation.

line 16 $5,000,000 for program support to complete line 17 projects to protect public safety and natural

(2)

line 18 resources, including regional and community line 19 fuel load reduction activities on public lands line 20 to avoid catastrophic fire.

line 21 $3,000,000 for grants to certified community line 22 conservation corps for the water conservation

(3)

line 23 and fuel reduction activities described in this line 24 provision in communities served by commu- line 25 nity conservation corps.

line 26 line 27 SEC. 5. Item 3600-001-0001 of Section 2.00 of the Budget line 28 Act of 2013 is amended to read: line 29 line 30 line 31 line 32 64,389,000

3600-001-0001—For support of Department of Fish andWildlife, for payment to Item 3600-001-0200, payablefrom the General Fund.......................................................

line 33 line 34 SEC. 6. Item 3600-001-0200 of Section 2.00 of the Budget line 35 Act of 2013 is amended to read: line 36 line 37 line 38 109,729,000

3600-001-0200—For support of Department of Fish andWildlife..............................................................................

96

— 6 —AB 79

line 1 Schedule:

line 2 line 3 132,645,000

20-Biodiversity Conservation Pro-gram....................................................

(1)

line 4 74,705,00025-Hunting, Fishing, and Public Use....(2)

line 5 line 6 54,853,000

30-Management of Department Landsand Facilities.........................................

(3)

line 7 71,622,00040-Enforcement....................................(4)

line 8 line 9 3,637,000

45-Communication, Education, andOutreach.............................................

(4.5)

line 10 35,194,00050-Spill Prevention and Response........(5) line 11 1,433,00061-Fish and Game Commission.........(5.5) line 12 45,369,00070.01-Administration............................(6) line 13 −45,369,00070.02-Distributed Administration.......(7) line 14 −30,100,000Reimbursements.................................(8)

line 15 line 16 −64,389,000

Amount payable from the GeneralFund (Item 3600-001-0001).............

(8.5)

line 17 line 18 line 19 line 20 line 21 −500,000

Amount payable from the Safe Neigh-borhood Parks, Clean Water, Clean Air,and Coastal Protection (Villaraigosa-Keeley Act) Bond Fund (Item 3600-001-0005).....................................................

(9)

line 22 line 23 line 24 −14,989,000

Amount payable from the CaliforniaEnvironmental License Plate Fund(Item 3600-001-0140)........................

(10)

line 25 line 26 line 27 −1,120,000

Amount payable from the Fish andWildlife Pollution Account (Item 3600-001-0207).............................................

(12)

line 28 line 29 line 30 line 31 −244,000

Amount payable from the CaliforniaWaterfowl Habitat Preservation Ac-count, Fish and Game PreservationFund (Item 3600-001-0211)................

(13)

line 32 line 33 line 34 −1,363,000

Amount payable from the Marine Inva-sive Species Control Fund (Item 3600-001-0212).............................................

(14)

line 35 line 36 line 37 line 38 −2,102,000

Amount payable from the Public Re-sources Account, Cigarette and TobaccoProducts Surtax Fund (Item 3600-001-0235)....................................................

(15)

96

AB 79— 7 —

line 1 line 2 line 3 −28,190,000

Amount payable from the Oil SpillPrevention and Administration Fund(Item 3600-001-0320)........................

(16)

line 4 line 5 line 6 −357,000

Amount payable from the Environmen-tal Enhancement Fund (Item 3600-001-0322)....................................................

(17)

line 7 line 8 line 9 −2,427,000

Amount payable from the Harborsand Watercraft Revolving Fund (Item3600-001-0516)................................

(18.5)

line 10 line 11 −42,000,000

Amount payable from the FederalTrust Fund (Item 3600-001-0890).....

(19)

line 12 line 13 −1,648,000

Amount payable from the Special De-posit Fund (Item 3600-001-0942)........

(20)

line 14 line 15 line 16 −21,480,000

Amount payable from the Hatcheryand Inland Fisheries Fund (Item 3600-001-3103)...........................................

(21)

line 17 line 18 line 19 −5,348,000

Amount payable from the TimberRegulation and Forest RestorationFund (Item 3600-001-3212).............

(21.5)

line 20 line 21 line 22 line 23 −545,000

Amount payable from the Interim WaterSupply and Water Quality Infrastructureand Management Subaccount (Item3600-001-6027)....................................

(22)

line 24 line 25 line 26 line 27 −7,216,000

Amount payable from the Water Securi-ty, Clean Drinking Water, Coastal andBeach Protection Fund of 2002 (Item3600-001-6031)....................................

(23)

line 28 line 29 line 30 line 31 line 32 −27,412,000

Amount payable from the Safe Drink-ing Water, Water Quality and Supply,Flood Control, River and Coastal Pro-tection Fund of 2006 (Item 3600-001-6051)..................................................

(26)

line 33 line 34 line 35 −12,795,000

Amount payable from the Salton SeaRestoration Fund (Item 3600-001-8018)..................................................

(27)

line 36 line 37 line 38 −135,000

Amount payable from the CaliforniaSea Otter Fund (Item 3600-001-8047)....................................................

(28)

96

— 8 —AB 79

line 1 Provisions:

line 2 The funds appropriated in this item may be increased line 3 with the approval of, and under the conditions set by,

1.

line 4 the Director of Finance to meet current obligations line 5 proposed to be funded in Schedules (8) and (19). The line 6 funds appropriated in this item shall not be increased line 7 until the Department of Fish and Wildlife has a valid line 8 contract, signed by the client agency, that provides line 9 sufficient funds to finance the increased authorization.

line 10 This increased authorization may not be used to ex- line 11 pand services or create new obligations. Reimburse- line 12 ments received under Schedules (8) and (19) shall be line 13 used in repayment of any funds used to meet current line 14 obligations pursuant to this provision.

line 15 The funds appropriated in this item for purposes of line 16 subdivision (n) of Section 75050 of the Public Re-

2.

line 17 sources Code shall continue only so long as the Bureau line 18 of Reclamation within the United States Department line 19 of the Interior continues to provide federal funds and line 20 continues to carry out federal actions to implement line 21 the settlement agreement in Natural Resources Defense line 22 Council v. Rodgers (2005) 381 F.Supp.2d 1212.

line 23 Of the funds appropriated in this item, $2,300,000 line 24 shall be available to the Department of Fish and

3.

line 25 Wildlife for addressing urgent fish, stream, and con- line 26 servation activities related to the extreme drought line 27 conditions.

line 28 line 29 SEC. 7. Item 3860-001-0001 of Section 2.00 of the Budget line 30 Act of 2013 is amended to read: line 31 line 32 line 33 51,353,000

3860-001-0001—For support of Department of Water Re-sources................................................................................

line 34 Schedule:

line 35 line 36 60,817,000

10-Continuing Formulation of the Cali-fornia Water Plan..................................

(1)

line 37 line 38 4,073,000

20-Implementation of the State WaterResources Development System..........

(2)

line 39 line 40 242,210,000

30-Public Safety and Prevention ofDamage...............................................

(3)

96

AB 79— 9 —

line 1 line 2 13,732,000

35-Central Valley Flood ProtectionBoard....................................................

(4)

line 3 7,454,00040-Services...........................................(5)

line 4 line 5 24,175,000

45-California Energy ResourcesScheduling (CERS)..............................

(6)

line 6 line 7 86,980,000

50.01-Management and Administra-tion........................................................

(7)

line 8 line 9 −86,980,000

50.02-Distributed Management andAdministration....................................

(8)

line 10 −41,069,000Reimbursements.................................(9)

line 11 line 12 line 13 −533,000

Amount payable from the CaliforniaEnvironmental License Plate Fund(Item 3860-001-0140)..........................

(10)

line 14 line 15 line 16 −86,000

Amount payable from the FeasibilityProjects Subaccount (Item 3860-001-0445)....................................................

(11)

line 17 line 18 line 19 −2,589,000

Amount payable from the Energy Re-sources Programs Account (Item 3860-001-0465).............................................

(12)

line 20 line 21 line 22 line 23 −26,000

Amount payable from the SacramentoValley Water Management and HabitatProtection Subaccount (Item 3860-001-0544)....................................................

(13)

line 24 line 25 line 26 −232,000

Amount payable from the CaliforniaSafe Drinking Water Fund of 1988(Item 3860-001-0793)..........................

(14)

line 27 line 28 −11,293,000

Amount payable from the FederalTrust Fund (Item 3860-001-0890).....

(15)

line 29 line 30 −11,639,000

Amount payable from the Dam SafetyFund (Item 3860-001-3057)...............

(16)

line 31 line 32 line 33 −24,175,000

Amount payable from the Departmentof Water Resources Electric PowerFund (Item 3860-001-3100)...............

(17)

line 34 line 35 line 36 −324,000

Amount payable from the Cost of Imple-mentation Account, Air Pollution Con-trol Fund (Item 3860-001-3237)..........

(18)

line 37 line 38 line 39 line 40 −1,027,000

Amount payable from the Safe DrinkingWater, Clean Water, Watershed Protec-tion, and Flood Protection Bond Fund(Item 3860-001-6001)..........................

(19)

96

— 10 —AB 79

line 1 line 2 line 3 −100,000

Amount payable from the Flood Protec-tion Corridor Subaccount (Item 3860-001-6005).............................................

(20)

line 4 line 5 line 6 −45,000

Amount payable from the Urban StreamRestoration Subaccount (Item 3860-001-6007).............................................

(21)

line 7 line 8 line 9 −407,000

Amount payable from the Yuba FeatherFlood Protection Subaccount (Item3860-001-6010)...................................

(22)

line 10 line 11 line 12 −198,000

Amount payable from the Water Con-servation Account (Item 3860-001-6023)....................................................

(23)

line 13 line 14 line 15 −50,000

Amount payable from the ConjunctiveUse Subaccount (Item 3860-001-6025)....................................................

(24)

line 16 line 17 line 18 −550,000

Amount payable from the Bay-DeltaMultipurpose Water Management Sub-account (Item 3860-001-6026)............

(25)

line 19 line 20 line 21 line 22 −5,835,000

Amount payable from the Water Secu-rity, Clean Drinking Water, Coastal andBeach Protection Fund of 2002 (Item3860-001-6031)...................................

(26)

line 23 line 24 line 25 line 26 line 27 −15,047,000

Amount payable from the Safe Drink-ing Water, Water Quality and Supply,Flood Control, River and Coastal Pro-tection Fund of 2006 (Item 3860-001-6051)..................................................

(27)

line 28 line 29 line 30 line 31 −184,883,000

Amount payable from the DisasterPreparedness and Flood PreventionBond Fund of 2006 (Item 3860-001-6052)................................................

(28)

line 32 line 33 line 34 −1,000,000

Amount payable from the GreenhouseGas Reduction Fund (Item 3860-001-3228)....................................................

(29)

line 35 Provisions:

line 36 The amounts appropriated in Items 3860-001-0001 to line 37 3860-001-6052, inclusive, shall be transferred to the

1.

line 38 Water Resources Revolving Fund (0691) for direct line 39 expenditure in such amounts as the Department of Fi-

96

AB 79— 11 —

line 1 nance may authorize, including cooperative work with line 2 other agencies.

line 3 The funds appropriated in this item for purposes of line 4 subdivision (n) of Section 75050 of the Public Re-

2.

line 5 sources Code may be expended only so long as the line 6 United States Bureau of Reclamation continues to line 7 provide federal funds and continues to carry out federal line 8 actions to implement the settlement agreement in line 9 Natural Resources Defense Council v. Rodgers (E.D.

line 10 Cal. 2005) 381 F.Supp.2d 1212.

line 11 Of the funds appropriated in Schedule (28), line 12 $33,000,000 $500,000 shall be available for encum-

3.

line 13 brance until June 30, 2016, and shall be expended for line 14 flood management projects consistent with the Central line 15 Valley Flood Protection Plan, adopted pursuant to line 16 Section 9612 of the Water Code, that, in addition to line 17 flood management benefits, provide other public ben- line 18 efits, including water supply, transient water storage, line 19 water quality improvements, and ecosystem benefits.

line 20 Of the funds appropriated in this item, $1,000,000 line 21 shall be expended to improve groundwater monitoring

4.

line 22 and reporting efforts, including, but not limited to, a line 23 new well completion report system.

line 24 line 25 SEC. 8. Item 3860-001-3228 is added to Section 2.00 of the line 26 Budget Act of 2013, to read: line 27 line 28 line 29 line 30 1,000,000

3860-001-3228—For support of Department of Water Resources,for payment to Item 3860-001-0001, payable from theGreenhouse Gas Reduction Fund ......................................

line 31 Provisions:

line 32 The amount appropriated in this item shall be available line 33 for encumbrance or expenditure until June 30, 2016, line 34 and available for liquidation until June 30, 2018.

1.

line 35 The funds appropriated in this item shall be expended line 36 to administer a grant program for local agencies, joint

2.

line 37 powers authorities, or nonprofit organizations to im- line 38 plement residential, commercial, or institutional water line 39 efficiency programs or projects that reduce greenhouse line 40 gas emissions, and also reduce water and energy use.

96

— 12 —AB 79

line 1 line 2 SEC. 9. Item 3860-001-6052 of Section 2.00 of the Budget line 3 Act of 2013 is amended to read: line 4 line 5 line 6 line 7 line 8 184,883,000

3860-001-6052—For support of Department of Water Resources,for payment to Item 3860-001-0001, payable from theDisaster Preparedness and Flood Prevention Bond Fundof 2006...............................................................................

line 9 line 10 SEC. 10. Item 3860-003-0001 of Section 2.00 of the Budget line 11 Act of 2013 is amended to read: line 12 line 13 line 14 1,000,000

3860-003-0001—For support of Department of Water Re-sources................................................................................

line 15 Provisions:

line 16 The Department of Water Resources shall notify the line 17 Joint Legislative Budget Committee within 30 days

1.

line 18 of expending funds from this item for flood emergency line 19 response.

line 20 The Department of Water Resources is authorized to line 21 use funds from this item only for emergency response

2.

line 22 if they are spent on activities to respond to a flood line 23 emergency event pursuant to the criteria identified in line 24 the Water Resources Engineering Memorandum Pro- line 25 cess. These criteria will specify conditions where an line 26 imminent threat of system failure has been identified line 27 based on (a) forecasts of riverflows to exceed flood line 28 stage or overtop levees or banks, (b) water flowing line 29 through a levee carrying sediment, or (c) the determi- line 30 nation by a geotechnical engineer or flood-fight spe- line 31 cialist that there is a need for immediate levee or flood line 32 control structure repair or stabilization to prevent line 33 failure. The department shall notify the Chairperson line 34 of the Joint Legislative Budget Committee of the flood line 35 emergency criteria developed by the department and line 36 provide a copy of the final Water Resources Engineer- line 37 ing Memorandum to the chairperson of the joint line 38 committee 30 days prior to adoption.

line 39 The Department of Water Resources may access funds line 40 from this item only for a period of seven days for each

3.

96

AB 79— 13 —

line 1 event following the identification of a flood emergency line 2 event.

line 3 If additional funds are needed beyond the amount ap- line 4 propriated in this item, the Department of Finance is

4.

line 5 authorized to transfer funds from Item 9840-001-0001 line 6 to this item, pursuant to Provision 5 of Item 9840-001- line 7 0001.

line 8 The Department of Water Resources may transfer line 9 funds from this item back to the original source, either

5.

line 10 Item 3860-001-0001 or 9840-001-0001, if the depart- line 11 ment has determined that the funds are not ultimately line 12 needed for emergency response activities.

line 13 Notwithstanding any other provision of this item, line 14 $1,000,000 of the funds appropriated in this item shall

6.

line 15 be available to augment the Save Our Water Cam- line 16 paign. The Save Our Water Campaign shall expand line 17 its education and outreach activities, including coordi- line 18 nating local actions to assist all Californians.

line 19 line 20 SEC. 11. Item 3860-101-3228 is added to Section 2.00 of the line 21 Budget Act of 2013, to read: line 22 line 23 line 24 line 25 19,000,000

3860-101-3228—For local assistance, Department of WaterResources, payable from the Greenhouse Gas ReductionFund ..................................................................................

line 26 Provisions:

line 27 The amount appropriated in this item shall be available line 28 for encumbrance or expenditure until June 30, 2016, line 29 and available for liquidation until June 30, 2018.

1.

line 30 The funds appropriated in this item shall be available line 31 for local assistance to establish, on or before July 1,

2.

line 32 2014, a grant program for local agencies, joint powers line 33 authorities, or nonprofit organizations to implement line 34 residential, commercial, or institutional water efficien- line 35 cy programs or projects that reduce greenhouse gas line 36 emissions, and also reduce water and energy use.

line 37 The funds appropriated in this item shall be available line 38 for expenditure not sooner than 30 days after notifica-

3.

line 39 tion in writing to the chairpersons of the committees line 40 in each house of the Legislature that consider the State

96

— 14 —AB 79

line 1 Budget, and the Chairperson of the Joint Legislative line 2 Budget Committee, or his or her designee. The notifi- line 3 cation shall include a description of proposed expendi- line 4 tures, how the expenditures will further the regulatory line 5 purposes of the California Global Warming Solutions line 6 Act of 2006 (Division 25.5 (commencing with Section line 7 38500) of the Health and Safety Code), how the expen- line 8 ditures will achieve specified greenhouse gas emission line 9 reductions, how the agency considered other objectives

line 10 of that act, and how the agency will document expen- line 11 diture results, pursuant to Section 16428.9 of the line 12 Government Code.

line 13 line 14 SEC. 12. Item 3860-101-6052 of Section 2.00 of the Budget line 15 Act of 2013 is amended to read: line 16 line 17 line 18 line 19 222,100,000

3860-101-6052—For local assistance, Department of WaterResources, payable from the Disaster Preparedness andFlood Prevention Bond Fund of 2006................................

line 20 Provisions:

line 21 Of the funds appropriated in this item, $5,000,000 line 22 shall be available for encumbrance until June 30, 2016,

1.

line 23 and shall be expended for flood management projects line 24 consistent with the Central Valley Flood Protection line 25 Plan, adopted pursuant to Section 9612 of the Water line 26 Code, that, in addition to flood management benefits, line 27 provide other public benefits, including water supply, line 28 transient water storage, water quality improvements, line 29 and ecosystem benefits.

line 30 line 31 SEC. 13. Item 3860-301-3228 is added to Section 2.00 of the line 32 Budget Act of 2013, to read: line 33 line 34 line 35 line 36 10,000,000

3860-301-3228—For capital outlay, Department of Water Re-sources, payable from the Greenhouse Gas Reduction Fund............................................................................................

line 37 Schedule:

line 38 line 39 10,000,000

20.20.212-Water-Energy EfficiencyProjects..................................................

(1)

96

AB 79— 15 —

line 1 Provisions:

line 2 The funds appropriated in this item shall be available line 3 for encumbrance until June 30, 2017, and shall be ex-

1.

line 4 pended to improve water use efficiency, save energy, line 5 and reduce greenhouse gas emissions from state water line 6 management systems.

line 7 The funds appropriated in this item shall be available line 8 for expenditure not sooner than 30 days after notifica-

2.

line 9 tion in writing to the chairpersons of the committees line 10 in each house of the Legislature that consider the State line 11 Budget, and the Chairperson of the Joint Legislative line 12 Budget Committee, or his or her designee. The notifi- line 13 cation shall include a description of proposed expendi- line 14 tures, how the expenditures will further the regulatory line 15 purposes of the California Global Warming Solutions line 16 Act of 2006 (Division 25.5 (commencing with Section line 17 38500) of the Health and Safety Code), how the expen- line 18 ditures will achieve specified greenhouse gas emission line 19 reductions, how the agency considered other objectives line 20 of that act, and how the agency will document expen- line 21 diture results, pursuant to Section 16428.9 of the line 22 Government Code.

line 23 line 24 SEC. 14. Item 3860-301-6052 of Section 2.00 of the Budget line 25 Act of 2013 is amended to read: line 26 line 27 line 28 line 29 150,842,000

3860-301-6052—For capital outlay, Department of Water Re-sources, payable from the Disaster Preparedness and FloodPrevention Bond Fund of 2006..........................................

line 30 Schedule:

line 31 line 32 76,720,000

30.95.022-Feather River Urban RiskReduction Project.................................

(1)

line 33 line 34 1,357,000

30.95.135-West Sacramento Project(GRR)...................................................

(2)

line 35 line 36 line 37 12,000,000

30.95.140-Delta Flood EmergencyPreparedness, Response, and RecoveryProject.................................................

(2.5)

line 38 645,00030.95.250-Yuba River Basin Project.....(3)

line 39 line 40 12,423,000

30.95.251-Marysville Ring Levee Recon-struction Project....................................

(4)

96

— 16 —AB 79

line 1 line 2 1,364,000

30.95.302-Sutter Basin FeasibilityStudy.....................................................

(5)

line 3 line 4 1,294,000

30.95.310-Lower Cache Creek, YoloCounty, Woodland Area Project...........

(6)

line 5 line 6 66,758,000

30.95.311-Folsom Dam ModificationsProject...................................................

(7)

line 7 813,00030.95.320-Lower San Joaquin River.....(8)

line 8 line 9 333,000

30.95.327-Sacramento River FloodControl System Evaluation...................

(9)

line 10 line 11 3,350,000

30.95.328-American River Watershed,Folsom Dam Raise Project..................

(10)

line 12 line 13 −500,000

Reimbursements-West SacramentoProject (GRR)......................................

(11)

line 14 line 15 −494,000

Reimbursements-Sutter County Feasi-bility Study...........................................

(12)

line 16 line 17 line 18 −353,000

Reimbursements-Lower Cache Creek,Yolo County, Woodland AreaProject..................................................

(13)

line 19 line 20 −19,814,000

Reimbursements-Folsom Dam Modifi-cations Project....................................

(14)

line 21 line 22 −322,000

Reimbursements-Yuba River BasinProject..................................................

(15)

line 23 line 24 −3,727,000

Reimbursements-Marysville Ring Lev-ee Reconstruction Project....................

(16)

line 25 line 26 −1,005,000

Reimbursements-American River Wa-tershed, Folsom Dam Raise Project.....

(17)

line 27 Provisions:

line 28 The funds appropriated in this item may be expended line 29 for relocations and acquisition of land, easements, and

1.

line 30 rights-of-way, including, but not limited to, borrow line 31 pits, spoil areas, and easements for levees, clearing, line 32 flood control works, and flowage, and for appraisals, line 33 surveys, and engineering studies necessary for the line 34 completion or operation of the projects in the Sacra- line 35 mento and San Joaquin watersheds as authorized by line 36 Section 8617.1 and Chapters 1 (commencing with line 37 Section 12570), 2 (commencing with Section 12639), line 38 3 (commencing with Section 12800), 3.5 (commencing line 39 with Section 12840), and 4 (commencing with Section line 40 12850) of Part 6 of Division 6 of the Water Code.

96

AB 79— 17 —

line 1 Notwithstanding paragraph (1) of subdivision (a) of line 2 Section 12582.7 and Section 12585.5 of the Water line 3 Code, prior to state and federal authorization of the line 4 project and appropriation of federal construction funds line 5 by Congress and subsequent to submittal of a report line 6 to the Legislature pursuant to Section 12582.7 of the line 7 Water Code. The amounts appropriated in this item line 8 may be expended for state costs associated with pre- line 9 construction design and engineering work conducted

line 10 by the federal government and others.

line 11 Funds appropriated in this item may also be expended line 12 for the evaluation, repair, rehabilitation, reconstruction,

2.

line 13 or replacement of flood protection facilities consistent line 14 with subdivision (a) of Section 5096.821 of the Public line 15 Resources Code; for study, evaluation, improvement, line 16 and addition of facilities to provide enhanced levels line 17 of flood protection consistent with subdivision (b) of line 18 Section 5096.821 of the Public Resources Code; or line 19 for the protection, creation, and enhancement of flood line 20 protection corridors and bypasses consistent with line 21 Section 5096.825 of the Public Resources Code.

line 22 Funds appropriated in this item may also be used for line 23 any of the following:

3.

line 24 Advances to the federal government, or payments line 25 to the federal government or others for incidental

(a)

line 26 construction or reconstruction items that are an line 27 obligation of the state in connection with the line 28 completion or operation of the projects and for line 29 materials.

line 30 Flood protection-related activities of the state as- line 31 sociated with construction, reconstruction, reloca-

(b)

line 32 tion, or alterations to levees, other flood control line 33 works, highways, railroads, bridges, power lines, line 34 communication lines, pipelines, irrigation works, line 35 and other structures and facilities, and for ap- line 36 praisals, surveys, mitigation and engineering line 37 studies incidental thereto.

line 38 Flood protection-related planning studies, surveys, line 39 preliminary plans, drawings, acquisitions, reloca-

(c)

line 40 tions, rights-of-way, construction, construction

96

— 18 —AB 79

line 1 supervision, contract administration, and other line 2 work activities to be performed by Department line 3 of Water Resources personnel and contractors for line 4 completion of the projects.

line 5 Funds appropriated in this item may be used to imple- line 6 ment the projects identified in this item without ar-

4.

line 7 rangements with the federal government while making line 8 reasonable efforts to obtain funding from the federal line 9 government in advance or by arranging to perform

line 10 work which is a federal responsibility prior to the line 11 availability of federal appropriations with the intention line 12 that the costs will be reimbursed or eligible for credit line 13 by the federal government as provided in Public Law line 14 99-662, Section 104, November 17, 1986; Public Law line 15 90-483, Section 215, August 13, 1968; or other appli- line 16 cable law.

line 17 Notwithstanding Section 26.00, funds may be trans- line 18 ferred, with the approval of the Department of Finance,

5.

line 19 among projects specified in this item and other Depart- line 20 ment of Water Resources flood protection-related line 21 major capital outlay projects with an active appropria- line 22 tion. The Director of Finance shall notify, in writing, line 23 the chairpersons of the committees in each house of line 24 the Legislature that consider appropriations and the line 25 Chairperson of the Joint Legislative Budget Commit- line 26 tee, within 30 days or such lesser time as the chairper- line 27 son of the joint committee, or his or her designee, may line 28 determine, prior to any transfer.

line 29 Payments from a local sponsor may be received by line 30 the Department of Water Resources and may be ad- line 31 vanced to the federal government.

6.

line 32 Funds appropriated for the Lower Cache Creek, line 33 Lower San Joaquin River, West Sacramento, and

7.

line 34 Sutter Basin feasibility studies and reevaluation reports line 35 shall be available for encumbrance until June 30, 2015.

line 36 Funds appropriated for the Delta Flood Emergency line 37 Preparedness, Response, and Recovery Project and

8.

line 38 the Folsom Dam Modifications Project shall be avail- line 39 able for encumbrance until June 30, 2017.

line 40

96

AB 79— 19 —

line 1 SEC. 15. Item 3860-401 is added to Section 2.00 of the Budget line 2 Act of 2013, to read:

line 3 line 4 3860-401—The amount of $32,500,000 from The Safe Drinking line 5 Water, Water Quality and Supply, Flood Control, River line 6 and Coastal Protection Bond Act of 2006 (Division 43 line 7 (commencing with Section 75001) of the Public Resources line 8 Code) shall be expended for support of flood management line 9 projects consistent with the Central Valley Flood Protection

line 10 Plan, adopted pursuant to Section 9612 of the Water Code, line 11 that, in addition to flood management benefits, provide line 12 other public benefits, including water supply, transient line 13 water storage, water quality improvements, and ecosystem line 14 benefits.

line 15 line 16 SEC. 16. Item 3940-001-0001 of Section 2.00 of the Budget line 17 Act of 2013 is amended to read: line 18 line 19 line 20 line 21 18,026,000

3940-001-0001—For support of State Water Resources ControlBoard, for payment to Item 3940-001-0439, payable fromthe General Fund................................................................

line 22 Provisions:

line 23 Of the amount appropriated in this item, $800,000 line 24 shall be available to the State Water Resources Control

1.

line 25 Board to protect and ensure the sustainability of line 26 groundwater resources in critical basins.

line 27 Of the amount appropriated in this item, $2,500,000 line 28 shall be available to the State Water Resources Control

2.

line 29 Board for drought-related water right and water con- line 30 servation actions, including establishing and enforcing line 31 requirements to prevent the waste or unreasonable use line 32 of water and to promote water recycling, establishing line 33 and enforcing curtailments in diversion based on un- line 34 availability of water under the diverters priority of line 35 right, and enforcing terms and conditions of water line 36 right permits and licenses.

line 37 line 38 SEC. 17. Item 3940-001-0193 of Section 2.00 of the Budget line 39 Act of 2013 is amended to read:

96

— 20 —AB 79

line 1 line 2 line 3 107,151,000

3940-001-0193—For support of State Water Resources ControlBoard, for payment to Item 3940-001-0439, payable fromthe Waste Discharge Permit Fund......................................

line 4 Provisions:

line 5 Of the amount appropriated in this item, and notwith- line 6 standing subdivision (k) of Section 13350 of the Water

1.

line 7 Code, up to $700,000 shall be from the balance of line 8 penalty revenues generated by the imposition of liabil- line 9 ities pursuant to Section 13350 of the Water Code.

line 10 The funds specified in this provision are hereby appro- line 11 priated to support the development of uniform water line 12 recycling criteria for indirect potable water reuse for line 13 groundwater recharge pursuant to Chapter 700 of the line 14 Statutes of 2010.

line 15 Of the amount appropriated in this item, $1,200,000 line 16 shall be available to the State Water Resources Control

2.

line 17 Board for the Groundwater Ambient Monitoring As- line 18 sessment Program. These funds shall be available for line 19 encumbrance or expenditure until June 30, 2015.

line 20 line 21 SEC. 18. Item 3940-001-0439 of Section 2.00 of the Budget line 22 Act of 2013 is amended to read: line 23 line 24 line 25 line 26 280,982,000

3940-001-0439—For support of State Water Resources ControlBoard, payable from the Underground Storage TankCleanup Fund.....................................................................

line 27 Schedule: line 28 485,843,00010-Water Quality.................................(1) line 29 17,274,00020-Water Rights....................................(2)

line 30 line 31 1,217,000

25-Department of Justice Legal Ser-vices......................................................

(3)

line 32 21,245,00030.01-Administration............................(4) line 33 −21,245,00030.02-Distributed Administration.......(5) line 34 −9,203,000Reimbursements...................................(6)

line 35 line 36 −18,026,000

Amount payable from the GeneralFund (Item 3940-001-0001)...............

(7)

line 37 line 38 −601,000

Amount payable from the Unified Pro-gram Account (Item 3940-001-0028)....

(8)

96

AB 79— 21 —

line 1 line 2 line 3 −107,151,000

Amount payable from the WasteDischarge Permit Fund (Item 3940-001-0193).........................................

(9)

line 4 line 5 line 6 −100,000

Amount payable from the Marine Inva-sive Species Control Fund (Item 3940-001-0212).............................................

(10)

line 7 line 8 line 9

line 10 −720,000

Amount payable from the Public Re-sources Account, Cigarette and TobaccoProducts Surtax Fund (Item 3940-001-0235)....................................................

(11)

line 11 line 12 line 13 line 14 −4,640,000

Amount payable from the IntegratedWaste Management Account, IntegratedWaste Management Fund (Item 3940-001-0387).............................................

(12)

line 15 line 16 line 17 −1,160,000

Amount payable from the Water Recy-cling Subaccount (Item 3940-001-0419)....................................................

(13)

line 18 line 19 line 20 −528,000

Amount payable from the DrainageManagement Subaccount (Item 3940-001-0422).............................................

(14)

line 21 line 22 line 23 −228,000

Amount payable from the Seawater In-trusion Control Subaccount (Item 3940-001-0424).............................................

(15)

line 24 line 25 line 26 −64,000

Amount payable from the UndergroundStorage Tank Tester Account (Item3940-001-0436)...................................

(16)

line 27 line 28 line 29 −314,000

Amount payable from the 1984 StateClean Water Bond Fund (Item 3940-001-0740).............................................

(17)

line 30 line 31 −48,713,000

Amount payable from the FederalTrust Fund (Item 3940-001-0890).....

(18)

line 32 line 33 −13,000,000

Amount payable from the WaterRights Fund (Item 3940-001-3058)....

(19)

line 34 line 35 line 36 −1,276,000

Amount payable from the WastewaterOperator Certification Fund (Item 3940-001-3160).............................................

(20)

line 37 line 38 line 39 −2,495,000

Amount payable from the Timber Reg-ulation and Forest Restoration Fund(Item 3940-001-3212)..........................

(21)

96

— 22 —AB 79

line 1 line 2 line 3 −578,000

Amount payable from the Cost of Imple-mentation Account, Air Pollution Con-trol Fund (Item 3940-001-3237)..........

(22)

line 4 line 5 line 6 −200,000

Amount payable from the WatershedProtection Subaccount (Item 3940-001-6013)....................................................

(23)

line 7 line 8 line 9 −250,000

Amount payable from the Santa AnaRiver Watershed Subaccount (Item3940-001-6016)...................................

(24)

line 10 line 11 line 12 −133,000

Amount payable from the Lake Elsinoreand San Jacinto Watershed Subaccount(Item 3940-001-6017)..........................

(25)

line 13 line 14 line 15 −204,000

Amount payable from the NonpointSource Pollution Control Subaccount(Item 3940-001-6019)..........................

(26)

line 16 line 17 line 18 −629,000

Amount payable from the State Revolv-ing Fund Loan Subaccount (Item 3940-001-6020).............................................

(27)

line 19 line 20 line 21 −932,000

Amount payable from the WastewaterConstruction Grant Subaccount (Item3940-001-6021)...................................

(28)

line 22 line 23 line 24 −136,000

Amount payable from the CoastalNonpoint Source Control Subaccount(Item 3940-001-6022)..........................

(29)

line 25 line 26 line 27 line 28 −1,092,000

Amount payable from the Water Secu-rity, Clean Drinking Water, Coastal andBeach Protection Fund of 2002 (Item3940-001-6031)...................................

(30)

line 29 line 30 line 31 line 32 line 33 −1,903,000

Amount payable from the Safe DrinkingWater, Water Quality and Supply,Flood Control, River and Coastal Pro-tection Fund of 2006 (Item 3940-001-6051)....................................................

(31)

line 34 line 35 line 36 −609,000

Amount payable from the PetroleumUnderground Storage Tank FinancingAccount (Item 3940-001-8026)...........

(32)

line 37 line 38 line 39 line 40 −8,467,000

Amount payable from the State WaterPollution Control Revolving Fund Ad-ministration Fund (Item 3940-001-9739)....................................................

(33)

96

AB 79— 23 —

line 1 Provisions:

line 2 Notwithstanding any other provision of law, upon ap- line 3 proval and order of the Director of Finance, the State

1.

line 4 Water Resources Control Board may borrow sufficient line 5 funds for cash purposes from special funds that other- line 6 wise provide support for the board. Any such loans line 7 are to be repaid with interest at the rate earned in the line 8 Pooled Money Investment Account.

line 9 The amount appropriated in Program (25) shall be line 10 used to reimburse the Department of Justice for legal

2.

line 11 services. In addition to the amount in Program (25), line 12 upon order of the Director of Finance, any non-General line 13 Fund Budget Act item for support of the State Water line 14 Resources Control Board may be augmented to reim- line 15 burse the Department of Justice for legal services. No line 16 augmentation shall be made sooner than 30 days after line 17 the Joint Legislative Budget Committee has been noti- line 18 fied in writing.

line 19 line 20 SEC. 19. Item 3940-002-0679 is added to Section 2.00 of the line 21 Budget Act of 2013, to read: line 22 line 23 line 24 4,000,000

3940-002-0679—For support of State Water Resources ControlBoard..................................................................................

line 25 Provisions:

line 26 The funds appropriated in this item are appropriated line 27 from the State Water Pollution Cleanup and Abatement

1.

line 28 Account, created pursuant to Section 13440 of the line 29 Water Code, to the State Water Resources Control line 30 Board to provide interim emergency drinking water line 31 to disadvantaged communities with contaminated line 32 drinking water supplies, without regard to the source line 33 of contamination, including those contaminated line 34 drinking water supplies exacerbated by drought condi- line 35 tions. These funds shall be available for expenditure line 36 until June 30, 2015.

line 37 line 38 SEC. 20. Item 3940-101-3147 of Section 2.00 of the Budget line 39 Act of 2013 is amended to read:

96

— 24 —AB 79

line 1 line 2 line 3 line 4 line 5 15,000,000

3940-101-3147—For local assistance, State Water ResourcesControl Board, for Program 10-Water Quality, payablefrom the State Water Pollution Control Revolving FundSmall Community Grant Fund, to be available for expendi-ture until June 30, 2017......................................................

line 6 line 7 SEC. 21. Item 4265-111-0001 of Section 2.00 of the Budget line 8 Act of 2013 is amended to read: line 9

line 10 line 11 46,957,000

4265-111-0001—For local assistance, Department of PublicHealth.................................................................................

line 12 Schedule: line 13 60,724,00010.10-Emergency Preparedness............(1)

line 14 line 15 193,242,000

20.10-Chronic Disease Prevention andHealth Promotion................................

(2)

line 16 271,121,00020.20-Infectious Disease.....................(3) line 17 1,628,722,00020.30-Family Health.......................(4)

line 18 line 19 510,000

20.40-Health Information and StrategicPlanning................................................

(5)

line 20 14,181,00020.50-County Health Services..............(6) line 21 128,000,00020.60-Environmental Health...............(7) line 22 −227,101,000Reimbursements...............................(8)

line 23 line 24 line 25 −11,000,000

Amount payable from the ChildhoodLead Poisoning Prevention Fund (Item4265-111-0080)..................................

(9)

line 26 line 27 line 28 −510,000

Amount payable from the HealthStatistics Special Fund (Item 4265-111-0099)....................................................

(10)

line 29 line 30 line 31 −240,000

Amount payable from the CaliforniaHealth Data and Planning Fund (Item4265-111-0143)...................................

(11)

line 32 line 33 line 34 −87,747,000

Amount payable from the GeneticDisease Testing Fund (Item 4265-111-0203)..................................................

(12)

line 35 line 36 line 37 line 38 −35,185,000

Amount payable from the Health Edu-cation Account, Cigarette and TobaccoProducts Surtax Fund (Item 4265-111-0231)..................................................

(13)

96

AB 79— 25 —

line 1 line 2 line 3 −469,000

Amount payable from the Child Healthand Safety Fund (Item 4265-111-0279)....................................................

(14)

line 4 line 5 line 6 −4,000,000

Amount payable from the Indian Gam-ing Special Distribution Fund (Item4265-111-0367)...................................

(15)

line 7 line 8 line 9 −235,000

Amount payable from the DomesticViolence Training and Education Fund(Item 4265-111-0642)..........................

(16)

line 10 line 11 line 12 −1,509,879,000

Amount payable from the FederalTrust Fund (Item 4265-111-0890)............................................

(17)

line 13 line 14 line 15 −260,000,000

Amount payable from the WICManufacturer Rebate Fund (Item4265-111-3023)...............................

(18)

line 16 line 17 line 18 line 19 −65,000,000

Amount payable from the Water Secu-rity, Clean Drinking Water, Coastaland Beach Protection Fund of 2002(Item 4265-111-6031)........................

(19)

line 20 line 21 line 22 line 23 line 24 −48,000,000

Amount payable from the Safe Drink-ing Water, Water Quality and Supply,Flood Control, River and Coastal Pro-tection Fund of 2006 (Item 4265-111-6051)..................................................

(20)

line 25 line 26 line 27 −177,000

Amount payable from the ALS/LouGehrig’s Disease Research Fund (Item4265-111-8053)...................................

(21)

line 28 Provisions:

line 29 The Office of AIDS in the State Department of Public line 30 Health, in allocating and processing contracts and

1.

line 31 grants, shall comply with the same requirements that line 32 are established for contracts and grants for other public line 33 health programs. Notwithstanding any other provision line 34 of law, the contracts or grants administered by the line 35 Office of AIDS shall be exempt from the Public Con- line 36 tract Code and shall be exempt from approval by the line 37 Department of General Services prior to their execu- line 38 tion.

line 39 The appropriation in this item for the Alzheimer’s line 40 Research Centers shall be used for direct services, in-

2.

96

— 26 —AB 79

line 1 cluding, but not limited to, diagnostic screening, case line 2 management, disease management, support for care- line 3 givers, and related services necessary for positive line 4 client outcomes.

line 5 Of the amount appropriated in Schedule (7), line 6 $15,000,000 shall be available for encumbrance until

3.

line 7 June 30, 2016, for purposes consistent with subdivi- line 8 sions (a) and (c) of Section 75021 of the Public Re- line 9 sources Code for grants of up to $500,000 per project

line 10 for public water systems to address drought-related line 11 drinking water emergencies or threatened emergencies. line 12 The State Department of Public Health shall develop line 13 new guidelines for the allocation and administration line 14 of these moneys, including guidelines that dictate the line 15 circumstances under which the per-project limit of line 16 $500,000 may be exceeded. These guidelines shall not line 17 be subject to Chapter 3.5 (commencing with Section line 18 11340) of Part 1 of Division 3 of Title 2 of the Govern- line 19 ment Code. The department shall make every effort line 20 to use other funds available to address drinking water line 21 emergencies, including federal funds made available line 22 for the drought, prior to using the funds specified in line 23 this provision.

line 24 line 25 SEC. 22. Item 5180-101-0001 of Section 2.00 of the Budget line 26 Act of 2013 is amended to read: line 27 line 28 line 29 1,287,588,000

5180-101-0001—For local assistance, Department of SocialServices..........................................................................

line 30 Schedule: line 31 4,462,802,00016.30-CalWORKs...........................(1) line 32 843,264,00016.65-Other Assistance Payments......(2) line 33 −944,000Reimbursements...................................(3)

line 34 line 35 line 36 −618,000

Amount payable from the EmergencyFood Assistance Program Fund (Item5180-101-0122)....................................

(4)

line 37 line 38 line 39 −4,008,897,000

Amount payable from the FederalTrust Fund (Item 5180-101-0890).............................................

(5)

96

AB 79— 27 —

line 1 line 2 line 3 −8,019,000

Amount payable from the Child SupportCollections Recovery Fund (Item 5180-101-8004).............................................

(6)

line 4 Provisions:

line 5 No funds appropriated in this item shall be encum- line 6 bered unless every rule or regulation adopted and

(a)1.

line 7 every all-county letter issued by the State Depart- line 8 ment of Social Services that adds to the costs of line 9 any program is approved by the Department of

line 10 Finance as to the availability of funds before it line 11 becomes effective. In making the determination line 12 as to availability of funds to meet the expenditures line 13 of a rule, regulation, or all-county letter that would line 14 increase the costs of a program, the Department line 15 of Finance shall consider the amount of the pro- line 16 posed increase on an annualized basis, the effect line 17 the change would have on the expenditure limita- line 18 tions for the program set forth in this act, the ex- line 19 tent to which the rule, regulation, or all-county line 20 letter constitutes a deviation from the premises line 21 under which the expenditure limitations were line 22 prepared, and any additional factors relating to line 23 the fiscal integrity of the program or the state’s line 24 fiscal situation.

line 25 Notwithstanding Sections 28.00 and 28.50, the line 26 availability of funds contained in this item for

(b)

line 27 rules, regulations, or all-county letters that add to line 28 program costs funded from the General Fund in line 29 excess of $500,000 on an annual basis, including line 30 those that are the result of a federal regulation, line 31 but excluding those that are (a) specifically re- line 32 quired as a result of the enactment of a federal or line 33 state law or (b) included in the appropriation made line 34 by this act, shall not be approved by the Depart- line 35 ment of Finance sooner than 30 days after notifi- line 36 cation in writing to the chairpersons of the com- line 37 mittees in each house of the Legislature that con- line 38 sider appropriations and the Chairperson of the line 39 Joint Legislative Budget Committee, or sooner line 40 than such lesser time after notification as the

96

— 28 —AB 79

line 1 chairperson of the joint committee, or his or her line 2 designee, may in each instance determine.

line 3 Notwithstanding Chapter 1 (commencing with Section line 4 18000) of Part 6 of Division 9 of the Welfare and In-

2.

line 5 stitutions Code, a loan not to exceed $500,000,000 line 6 shall be made available from the General Fund, from line 7 funds not otherwise appropriated, to cover the federal line 8 share of costs of a program or programs when the line 9 federal funds have not been received by this state prior

line 10 to the usual time for transmitting that federal share to line 11 the counties of this state. This loan from the General line 12 Fund shall be repaid when the federal share of costs line 13 for the program or programs becomes available.

line 14 The Department of Finance may authorize the transfer line 15 of amounts from this item to Item 5180-001-0001 in

3.

line 16 order to fund the costs of the administrative hearing line 17 process associated with the CalWORKs program.

line 18 The Department of Finance is authorized to ap- line 19 prove expenditures in those amounts made neces-

(a)4.

line 20 sary by changes in either caseload or payments, line 21 including, but not limited to, the timing of federal line 22 payments, or any rule or regulation adopted and line 23 any all-county letter issued as a result of the enact- line 24 ment of a federal or state law, the adoption of a line 25 federal regulation, or a court action, during the line 26 2013–14 fiscal year that are within or in excess line 27 of amounts appropriated in this act for that year.

line 28 If the Department of Finance determines that the line 29 estimate of expenditures will exceed the expendi-

(b)

line 30 tures authorized for this item, the department shall line 31 so report to the Legislature. At the time the report line 32 is made, the amount of the appropriation made in line 33 this item shall be increased by the amount of the line 34 excess unless and until otherwise provided by line 35 law.

line 36 Nonfederal funds appropriated in this item which have line 37 been budgeted to meet the state’s Temporary Assis-

5.

line 38 tance for Needy Families maintenance-of-effort require- line 39 ment established pursuant to the federal Personal Re- line 40 sponsibility and Work Opportunity Reconciliation Act

96

AB 79— 29 —

line 1 of 1996 (P.L. 104-193) may not be expended in any line 2 way that would cause their disqualification as a feder- line 3 ally allowable maintenance-of-effort expenditure.

line 4 In the event of declared disaster and upon county re- line 5 quest, the State Department of Social Services may

6.

line 6 act in the place of any county and assume direct respon- line 7 sibility for the administration of eligibility and grant line 8 determination. Upon recommendation of the Director line 9 of Social Services, the Department of Finance may

line 10 authorize the transfer of funds from this item and Item line 11 5180-101-0890, to Items 5180-001-0001 and 5180- line 12 001-0890, for this purpose.

line 13 Pursuant to the Electronic Benefit Transfer (EBT) Act line 14 (Chapter 3 (commencing with Section 10065) of Part

7.

line 15 1 of Division 9 of the Welfare and Institutions Code) line 16 and in accordance with the EBT System regulations line 17 (Manual of Policies and Procedures Section 16- line 18 401.15), in the event a county fails to reimburse the line 19 EBT contractor for settlement of EBT transactions line 20 made against the county’s cash assistance programs, line 21 the state is required to pay the contractor. The State line 22 Department of Social Services may use funds from line 23 this item to reimburse the EBT contractor for settle- line 24 ment on behalf of the county. The county shall be re- line 25 quired to reimburse the department for the county’s line 26 settlement via direct payment or administrative offset.

line 27 The Department of Finance is authorized to approve line 28 expenditures for the California Food Assistance Pro-

8.

line 29 gram in those amounts made necessary by changes in line 30 the CalFresh Program Standard Utility Allowance, line 31 including those that result from midyear Standard line 32 Utility Allowance adjustments requested by the state. line 33 If the Department of Finance determines that the esti- line 34 mate of expenditures will exceed the expenditure au- line 35 thority of this item, the department shall so report to line 36 the Legislature. At the time the report is made, the line 37 amount of the appropriation made in this item shall line 38 be increased by the amount of the excess unless and line 39 until otherwise provided by law.

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— 30 —AB 79

line 1 Upon request of the State Department of Social Ser- line 2 vices, the Department of Finance may increase expen-

9.

line 3 diture authority in this item by up to $25,300,000 for line 4 food assistance programs associated with persons af- line 5 fected by the drought. Notwithstanding any other line 6 provision of law, these funds shall be available for line 7 encumbrance by the State Department of Social Ser- line 8 vices through December 31, 2014, for commodity line 9 purchases and state and local agency administrative

line 10 costs incurred on or before June 30, 2014, to provide line 11 food assistance associated with the drought through line 12 existing partnerships. The Department of Finance shall line 13 provide notification of the adjustment to the Joint line 14 Legislative Budget Committee within 10 working days line 15 from the date of Department of Finance approval of line 16 the adjustment.

line 17 line 18 SEC. 23. Item 5180-141-0001 of Section 2.00 of the Budget line 19 Act of 2013 is amended to read: line 20 line 21 line 22 742,457,000

5180-141-0001—For local assistance, Department of SocialServices..............................................................................

line 23 Schedule:

line 24 line 25 2,031,473,000

16.75-County Administration andAutomation Projects........................

(1)

line 26 −221,534,000Reimbursements...............................(2)

line 27 line 28 line 29 −1,067,482,000

Amount payable from the FederalTrust Fund (Item 5180-141-0890).............................................

(3)

line 30 Provisions:

line 31 Notwithstanding Chapter 1 (commencing with Section line 32 18000) of Part 6 of Division 9 of the Welfare and In-

1.

line 33 stitutions Code, a loan not to exceed $140,000,000 line 34 shall be made available from the General Fund, from line 35 funds not otherwise appropriated, to cover the federal line 36 or reimbursable share, or both, of costs of a program line 37 or programs when the federal funds or reimbursements line 38 have not been received by this state prior to the usual line 39 time for transmitting state payments for the federal or line 40 reimbursable share of costs. This loan from the General

96

AB 79— 31 —

line 1 Fund shall be repaid when the federal share of costs line 2 or the reimbursements for the program or programs line 3 becomes available.

line 4 In the event of declared disaster and upon county re- line 5 quest, the State Department of Social Services may

2.

line 6 act in the place of any county and assume direct respon- line 7 sibility for the administration of eligibility and grant line 8 determination. Upon recommendation of the Director line 9 of Social Services, the Department of Finance may

line 10 authorize the transfer of funds from this item and Item line 11 5180-141-0890, to Items 5180-001-0001 and 5180- line 12 001-0890, for this purpose.

line 13 Provision 1 of Item 5180-101-0001 also applies to this line 14 item.

3.

line 15 Pursuant to public assistance caseload estimates reflect- line 16 ed in the annual Governor’s Budget, the Department

4.

line 17 of Finance may approve expenditures in those amounts line 18 made necessary by a court action or changes in line 19 caseload that are in excess of amounts appropriated line 20 in this act. If the Department of Finance determines line 21 that the estimate of expenditures will exceed the ex- line 22 penditures authorized for this item, the department line 23 shall so report to the Legislature. At the time the report line 24 is made, the amount of the appropriation made by this line 25 item shall be increased by the amount of the excess line 26 unless and until otherwise provided by law.

line 27 Nonfederal funds appropriated in this item which have line 28 been budgeted to meet the state’s Temporary Assis-

5.

line 29 tance for Needy Families maintenance-of-effort require- line 30 ment established pursuant to the federal Personal Re- line 31 sponsibility and Work Opportunity Reconciliation Act line 32 of 1996 (P.L. 104-193) may not be expended in any line 33 way that would cause their disqualification as a feder- line 34 ally allowable maintenance-of-effort expenditure.

line 35 This item may be increased by order of the Director line 36 of Finance to address system changes necessary to

6.

line 37 implement the requirements of the federal Patient line 38 Protection and Affordable Care Act (P.L. 111-148). line 39 The Director of Finance shall provide notification in line 40 writing to the Joint Legislative Budget Committee of

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— 32 —AB 79

line 1 any expenditure approved under this provision not less line 2 than 30 days prior to the effective date of the approval.

line 3 In the event of a declaration of a major disaster by the line 4 President of the United States, and upon request of the

7.

line 5 State Department of Social Services following ap- line 6 proval by the United States Department of Food and line 7 Agriculture’s Food and Nutrition Service, the Depart- line 8 ment of Finance may increase expenditure authority line 9 in this item in order to fund the administrative costs

line 10 of a Disaster Supplemental Nutrition Assistance Pro- line 11 gram food assistance program.

line 12 line 13 SEC. 24. Item 5180-141-0890 of Section 2.00 of the Budget line 14 Act of 2013 is amended to read: line 15 line 16 line 17 line 18 1,067,482,000

5180-141-0890—For local assistance, Department of SocialServices, for payment to Item 5180-141-0001, payablefrom the Federal Trust Fund...........................................

line 19 Provisions:

line 20 Provisions 2, 3, 4, 6, and 7 of Item 5180-141-0001 line 21 also apply to this item.

1.

line 22 Upon request by the Department of Finance, the Con- line 23 troller shall transfer funds between this item and Item

2.

line 24 5180-153-0890 as needed to reflect the estimated ex- line 25 penditure amounts for each county that opts into the line 26 Title IV-E Child Welfare Waiver Demonstration line 27 Project pursuant to Section 18260 of the Welfare and line 28 Institutions Code. The Department of Finance shall line 29 report to the Legislature the amount to be transferred line 30 pursuant to this provision. The transfer shall be autho- line 31 rized at the time the report is made.

line 32 line 33 SEC. 25. Item 7100-001-0001 of Section 2.00 of the Budget line 34 Act of 2013 is amended to read: line 35 line 36 line 37 24,070,000

7100-001-0001—For support of Employment DevelopmentDepartment, for payment to Item 7100-001-0870.............

line 38 Provisions:

line 39 Of the funds appropriated in this item, $2,000,000 line 40 shall be available for encumbrance until June 30, 2015,

1.

96

AB 79— 33 —

line 1 for the purposes of providing flexible training-related line 2 services to workers and employers in localities desig- line 3 nated by the Governor for drought or other disaster line 4 relief.

line 5 line 6 SEC. 26. Item 7100-001-0870 of Section 2.00 of the Budget line 7 Act of 2013 is amended to read: line 8 line 9

line 10 line 11 659,728,000

7100-001-0870—For support of Employment DevelopmentDepartment, payable from the Unemployment Administra-tion Fund—Federal............................................................

line 12 Schedule:

line 13 line 14 179,688,000

10-Employment and Employment-Re-lated Services......................................

(1)

line 15 line 16 801,927,000

21-Tax Collections and Benefit Pay-ments...................................................

(2)

line 17 line 18 78,900,000

22-California Unemployment InsuranceAppeals Board......................................

(3)

line 19 53,380,00030.01-General Administration..............(4)

line 20 line 21 −51,004,000

30.02-Distributed General Administra-tion......................................................

(5)

line 22 51,109,00050-Employment Training Panel............(6) line 23 −25,847,000Reimbursements.................................(7)

line 24 line 25 −24,070,000

Amount payable from the GeneralFund (Item 7100-001-0001)...............

(8)

line 26 line 27 line 28 −15,805,000

Amount payable from the EmploymentDevelopment Department Benefit Au-dit Fund (Item 7100-001-0184)..........

(9)

line 29 line 30 line 31 −82,190,000

Amount payable from the EmploymentDevelopment Department ContingentFund (Item 7100-001-0185)...............

(10)

line 32 line 33 line 34 −51,589,000

Amount payable from the EmploymentTraining Fund (Item 7100-001-0514)..................................................

(11)

line 35 line 36 line 37 −253,778,000

Amount payable from the Unemploy-ment Compensation Disability Fund(Item 7100-001-0588).....................

(12)

line 38 line 39 −993,000

Amount payable from the School Em-ployees Fund (Item 7100-001-0908)....

(13)

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— 34 —AB 79

line 1 Provisions:

line 2 Funds appropriated in this item are in lieu of the line 3 amounts that otherwise would have been appropriated

1.

line 4 pursuant to Section 1555 of the Unemployment Insur- line 5 ance Code.

line 6 Provision 1 of Item 7100-001-0588 also applies to line 7 funds appropriated in this item for the Unemployment line 8 Insurance Program.

2.

line 9 line 10 SEC. 27. Item 8570-001-0001 of Section 2.00 of the Budget line 11 Act of 2013 is amended to read: line 12 line 13 line 14 55,612,000

8570-001-0001—For support of Department of Food andAgriculture.........................................................................

line 15 Schedule:

line 16 line 17 line 18 168,719,000

11-Agricultural Plant and AnimalHealth, Pest Prevention, Food SafetyServices...............................................

(1)

line 19 line 20 21,908,000

21-Marketing, Commodities, and Agri-cultural Services...................................

(2)

line 21 line 22 1,343,000

31-Assistance to Fairs and CountyAgricultural Activities..........................

(3)

line 23 line 24 20,624,000

41.01-Executive, Management, andAdministrative Services........................

(4)

line 25 line 26 −20,493,000

41.02-Distributed Executive, Manage-ment, and Administrative Services.....

(5)

line 27 35,323,00051-General Agricultural Activities........(6) line 28 −16,537,000Reimbursements.................................(7)

line 29 line 30 line 31 −6,674,000

Amount payable from the Motor VehicleAccount, State Transportation Fund(Item 8570-001-0044)..........................

(8)

line 32 line 33 line 34 line 35 −37,977,000

Amount payable from the Departmentof Agriculture Account, Departmentof Food and Agriculture Fund (Item8570-001-0111)..................................

(9)

line 36 line 37 −1,343,000

Amount payable from the Fair and Ex-position Fund (Item 8570-001-0191)....

(11)

line 38 line 39 line 40 −4,294,000

Amount payable from the Harbors andWatercraft Revolving Fund (Item 8570-001-0516).............................................

(12)

96

AB 79— 35 —

line 1 line 2 line 3 −1,963,000

Amount payable from the Departmentof Agriculture Building Fund (Item8570-001-0601)...................................

(13)

line 4 line 5 −91,496,000

Amount payable from the FederalTrust Fund (Item 8570-001-0890).....

(14)

line 6 line 7 −541,000

Amount payable from the AntiterrorismFund (Item 8570-001-3034)................

(15)

line 8 line 9

line 10 line 11 −500,000

Amount payable from the AnalyticalLaboratory Account, Department ofFood and Agriculture Fund (Item 8570-001-3101).............................................

(16)

line 12 line 13 line 14 −477,000

Amount payable from the SpecializedLicense Plate Fund (Item 8570-001-3139)....................................................

(17)

line 15 line 16 line 17 −10,000,000

Amount payable from the Green-house Gas Reduction Fund (Item8570-001-3228)..............................

(17.5)

line 18 line 19 line 20 −10,000

Amount payable from the MunicipalShelter Spay-Neuter Fund (Item 8570-001-8055).............................................

(18)

line 21 Provisions:

line 22 The Secretary of Food and Agriculture shall furnish line 23 to the Director of Finance and the Chairperson of the

1.

line 24 Joint Legislative Budget Committee annual reports on line 25 all expenditures from all fund sources for emergency line 26 detection and eradication activities relating to agricul- line 27 tural plant or animal pests or diseases for which no line 28 other program funds are available to be used to detect line 29 or eradicate such pest or disease if the pest or disease line 30 is not considered established in California and the pest line 31 or disease infests or infects plants or animals of com- line 32 mercial or noncommercial agriculture, ornamental line 33 horticultural, or habitat of significance. The report line 34 shall specify the amount expended by funding source, line 35 the activities performed, the pest or disease, the loca- line 36 tion where the pest was detected, the location where line 37 the eradication efforts were performed, and the animal line 38 or plant affected for each emergency detection or line 39 eradication.

96

— 36 —AB 79

line 1 The Department of Food and Agriculture shall require line 2 full public participation, including public meetings,

2.

line 3 from all major regions of the state for each notification line 4 of proposed actions within the Light Brown Apple line 5 Moth program.

line 6 line 7 SEC. 28. Item 8570-001-3228 is added to Section 2.00 of the line 8 Budget Act of 2013, to read: line 9

line 10 line 11 line 12 10,000,000

8570-001-3228—For support of Department of Food andAgriculture, for payment to Item 8570-001-0001, payablefrom the Greenhouse Gas Reduction Fund .......................

line 13 Provisions:

line 14 The funds appropriated in this item shall be available line 15 for encumbrance until June 30, 2015, to establish and

1.

line 16 implement a program, in consultation and coordination line 17 with the Department of Water Resources and the State line 18 Water Resources Control Board, on or before July 1, line 19 2014, to provide financial incentives to agricultural line 20 operations to invest in water irrigation treatment and line 21 distribution systems that will reduce greenhouse gas line 22 emissions, and will also reduce water and energy use, line 23 augment supply, and increase water and energy effi- line 24 ciency in agricultural applications. Incentives shall be line 25 ranked and distributed based on financial need, imme- line 26 diacy of water supply increased and efficiency gained line 27 to address water shortages, and reduction in water line 28 pumping or treatment that uses energy causing green- line 29 house gas emissions.

line 30 The funds appropriated in this item shall be available line 31 for expenditure not sooner than 30 days after notifica-

2.

line 32 tion in writing to the chairpersons of the committees line 33 in each house of the Legislature that consider the State line 34 Budget, and the Chairperson of the Joint Legislative line 35 Budget Committee, or his or her designee. The notifi- line 36 cation shall include a description of proposed expendi- line 37 tures, how the expenditures will further the regulatory line 38 purposes of the California Global Warming Solutions line 39 Act of 2006 (Division 25.5 (commencing with Section line 40 38500) of the Health and Safety Code), how the expen-

96

AB 79— 37 —

line 1 ditures will achieve specified greenhouse gas emission line 2 reductions, how the agency considered other objectives line 3 of that act, and how the agency will document expen- line 4 diture results, pursuant to Section 16428.9 of the line 5 Government Code.

line 6 line 7 SEC. 29. Section 39.00 of the Budget Act of 2013 is amended line 8 to read: line 9 Sec. 39.00. The Legislature hereby finds and declares that the

line 10 following bills are other bills providing for appropriations related line 11 to the Budget Bill within the meaning of subdivision (e) of Section line 12 12 of Article IV of the California Constitution: AB 74, AB 75, AB line 13 76, AB 77, AB 78, AB 79, AB 80 as amended on February 24, 26, line 14 2014, AB 81, AB 82, AB 83, AB 84, AB 85, AB 86, AB 87, AB line 15 89, AB 90, AB 91, AB 92, AB 93, AB 94, AB 95, AB 96, AB 97, line 16 AB 98, AB 99, AB 100, AB 102, AB 103, AB 104, AB 105, AB line 17 106, AB 107, AB 108, AB 109, SB 66, SB 70, SB 71, SB 72, SB line 18 73, SB 74, SB 75, SB 76, SB 77, SB 79, SB 80, SB 81, SB 82, SB line 19 83, SB 84, SB 85, SB 86, SB 87, SB 88, SB 89, SB 90, SB 91, SB line 20 92, SB 93, SB 94, SB 96, SB 97, SB 98, SB 99, SB 100, SB 101, line 21 SB 102, SB 103, SB 104 as amended on February 24, 26, 2014, line 22 and SB 105. line 23 SEC. 30. This act shall become operative only if Assembly line 24 Bill 80 or Senate Bill 104 of the 2013–14 Regular Session is line 25 enacted, amending the Budget Act of 2013 and becomes operative. line 26 SEC. 31. This act is a Budget Bill within the meaning of line 27 subdivision (e) of Section 12 of Article IV of the California line 28 Constitution and shall take effect immediately.

O

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— 38 —AB 79