SPECIAL SERVICES PROGRAM Special Revenue Funds - Federal NONPERSONAL SERVICE April 1, 1985) . 591,000 DEPARTMENT OF MOTOR VEHICLES OPERATIONS PROGRAM General Fund State Purposes Account DIVISION OF PAROLE FIELD SERVICES PROGRAM Special Revenue Funds - Federal first, nineteen hundred eighty-four and ending March NONPERSONAL SERVICE available for nonpersonal service (for liabilities incurred prior to April 1, 1985) RACING AND WAGERING BOARD REGULATIONS OF RACING AND OFF-TRACK BETTING PROGRAM General Fund State Purposes Account PERSONAL SERVICE Temporary service (for liabilities incurred prior to April 1, 1985) STATE UNIVERSITY OF NEW YORK .. 106,300 STATE UNIVERSITY HOSPITAL AT DOWNSTATE General Fund - State Purposes Account DEPARTMENT OF TRANSPORTATION 323, 200 MAINTENANCE UNDISTRIBUTED For services and expenses related to the snow emergency in western New York pursuant to executive orders fifty-nine and sixty-one. Notwithstanding the provisions of section fifty-one of the state finance law or any other law to the contrary, the director of the budget is hereby authorized to transfer the amount herein specified to any program within the department of transportation deemed necessary for emergency operations (for liabilities incurred prior to April 1, 1985) Amount availablé for maintenance undistributed as MISCELLANEOUS TEMPORARY STATE COMMISSION ON TUG HILL 39,000 This appropriation replaces the heretofore authorized transfer from the special emergency appropriation contained in section two of chapter fifty of the laws of nineteen hundred eighty-four 39,000 § 2. Section of chapter fifty of the laws of nineteen hundred eighty-four,, as amended by chapters two hundred fifty-seven and seven hundred ,eighty of the laws of nineteen hundred eighty-four, is amended by repealing the items hereinbelow set forth in brackets and' by adding to such section the other items italicized in this section. . one STATE OPERATIONS BUDGET EDUCATION DEPARTMENT Maintenance undistributed cluding travel outside the state, in accordance with the following schedule General Fund (85,924,800] Special Revenue Funds - Federal 111,390,500 All funds [199, 114,000 ADMINISTRATION OF THE DEPARTMENT PROGRAM. .....[33, 194,900] General Fund State Purposes Account 91,233, 100 113,268,300 206, 300, 100 34,199,300 EXPLANATIONMatter in italics is new; matter in brackets [ ] is old law to be omitted. NONPERSONAL SERVICE Contractual services Program account sub-total [233, 100 ] 262,400 4,004,600 ELEMENTARY, SECONDARY AND CONTINUING EDUCATION PROGRAM [33,370,400] General Fund State Purposes Account 35,775,700 PERSONAL SERVICE . 10,444,000 35,775, 700 . 2,447,700 Personal service regular [33,370,400] first, nineteen hundred eighty-three and ending June count beginning October first, nineteen hundred [871,700) Amount available for nonpersonal service (excluding fringe benefits) [158,100] 1,704,100 695,900 11,420,300 PROFESSIONAL EDUCATION SERVICES PROGRAM .... [10,043, 200] [7,020,600] Amount available for educational testing services [10,043,200) Maintenance undistributed travel outside the state, pursuant to the state public donations, and 'the terms of various federal grants. Notwithstanding any other provision of law, the commissioner of health shall not enter into any contracts with utilization review agents without the approval of the director of the budget. General Fund [147,748,370 151,178,370 Special Revenue Funds Federal (34,553, 700 35,150, 300 Special Revenue funds Other t82,956,800 79,556,800 All funds [265,544, 870 266, 171, 470 CENTER FOR HEALTH PROMOTION PROGRAM [58, 289,900] 58,886,500 Special Revenue Funds - Federal Federal Health and Human Services Fund 265 after May first, nineteen hundred eighty-four, in ac- MAINTENANCE UNDISTRIBUTED For services and expenses of the department from federal funds received or otherwise available for for expenditure, for various health prevention, diagnostic, detection and treatment services [2,521,575] 3,118,175 Program fund sub-total (2,521,575] 3,118,175 EXPLANATION-Matter in italics is new; matter in brackets [ ] is old law to be omitted. CENTER FOR LABORATORIES AND RESEARCH PROGRAM.. [27,874,600) 27,904,600 MAINTENANCE UNDISTRIBUTED For services and expenses of a hemophilia research project operated by the Department of Health in collaboration with the New York State Chapter of the National Hemophilia Foundation Program account sub-total [18,942,200] INSTITUTIONAL MANAGEMENT PROGRAM. ...88,508, 279 Roswell Park Memorial Institute 30,000 18,972, 200 . as an or General Fund State Purposes Account cial revenue funds • other - miscellaneous special reve- [28,255,400 Program account sub-total .. [32, 179, 253] Special Revenue Funds - Federal Miscellaneous Special Revenue Fund 339 Health Services Account Amount appropriated offset to the general fund state purposes account. The comptroller is hereby authorized and directed to loan money by transfer to this fund from the general fund any other fund, which loans shall be limited to the amounts immediately required to meet disbursements, made in pursuance of an appropriation by law and authorized by a certificate of approval issued by the director of the budget with copies thereof filed with the comptroller and the chairmen of the senate finance committee and the assembly ways and means committee... The director of the budget shall not issue such a certificate unless he shall have determined that the amounts to be so transferred are receivable on account or are otherwise readily available for payment. When making loans, the comptroller shall establish appropriate accounts and if the loan is not repaid by the end of the month, provide on or before the fifteenth day of the following month to the director of the budget and the chairmen of the senate finance committee and the assembly ways and means committee, an accurate accounting and reporting of the financial resources of each such fund at the end of such month. Within ten days of the receipt of such accounting and reporting, the director of the budget shall provide to the chairmen of the senate finance committee and the assembly ways and means committee an expected schedule of repayment by fund and by source for each outstanding loan. Repayment shall be made by the comptroller by transfer of the first cash receipts of this fund [28, 255,400] Program account sub-total [28,355,400] cial revenue funds • other miscellaneous special reve- [18,064,7001 Program account sub-total .. [1,591, 9001 26,612,300 16,448,600 |