Bill
Social Services Base Budget
- Number
- H.B. 7 First Substitute (2016GS)
- Sponsor
- Rep. Ray, P.
- Final action
- Governor Signed 2/16/2016
- Outcome
- Became law — signed by Gov. Gary R. Herbert
Summary
This bill supplements or reduces appropriations previously provided for the use and operation of state government for the fiscal year beginning July 1, 2015 and ending June 30, 2016; and appropriates funds for the support and operation of state government for the fiscal year beginning July 1, 2016 and ending June 30, 2017.
What it does
- This bill:
- provides appropriations for the use and support of certain state agencies;
- provides appropriations for other purposes as described.
Every vote on this bill
2/5/2016House/ circled
House 3rd Reading Calendar for House bills
Voice votenot eligible / no record2/8/2016House/ uncircled
House 3rd Reading Calendar for House bills
Voice votenot eligible / no record2/8/2016House/ substituted from # 0 to # 1
House 3rd Reading Calendar for House bills
Voice votenot eligible / no record2/8/2016House/ passed 3rd reading
Senate Secretary
73 0 2YEA2/9/2016Senate/ passed 2nd & 3rd readings/ suspension
Senate President
27 0 2not eligible / no recordBill text
enrolled version · official source
SOCIAL SERVICES BASE BUDGET 2016 GENERAL SESSION STATE OF UTAH Chief Sponsor: Paul Ray Senate Sponsor: Allen M. Christensen ===================================================================== LONG TITLE General Description: This bill supplements or reduces appropriations previously provided for the use and operation of state government for the fiscal year beginning July 1, 2015 and ending June 30, 2016; and appropriates funds for the support and operation of state government for the fiscal year beginning July 1, 2016 and ending June 30, 2017. Highlighted Provisions: This bill: ▸ provides appropriations for the use and support of certain state agencies; ▸ provides appropriations for other purposes as described. Money Appropriated in this Bill: This bill appropriates $53,173,800 in operating and capital budgets for fiscal year 2016, including: ▸ ($6,666,700) from the General Fund; ▸ $59,840,500 from various sources as detailed in this bill. This bill appropriates $4,132,800 in transfers to unrestricted funds for fiscal year 2016. This bill appropriates $4,311,016,000 in operating and capital budgets for fiscal year 2017, including: ▸ $841,893,400 from the General Fund; ▸ $21,111,400 from the Education Fund; ▸ $3,448,011,200 from various sources as detailed in this bill. This bill appropriates $156,336,900 in expendable funds and accounts for fiscal year 2017, including: ▸ $2,442,900 from the General Fund; ▸ $153,894,000 from various sources as detailed in this bill. This bill appropriates $304,552,300 in business-like activities for fiscal year 2017. This bill appropriates $2,506,100 in restricted fund and account transfers for fiscal year 2017, including: ▸ $1,017,400 from the General Fund; ▸ $1,488,700 from various sources as detailed in this bill. This bill appropriates $150,000 in transfers to unrestricted funds for fiscal year 2017. This bill appropriates $215,288,700 in fiduciary funds for fiscal year 2017. Other Special Clauses: Section 1 of this bill takes effect immediately. Section 2 of this bill takes effect on July 1, 2016. Utah Code Sections Affected: ENACTS UNCODIFIED MATERIAL ===================================================================== Be it enacted by the Legislature of the state of Utah: Section 1. FY 2016 Appropriations. The following sums of money are appropriated for the fiscal year beginning July 1, 2015 and ending June 30, 2016. These are additions to amounts previously appropriated for fiscal year 2016. Subsection 1(a). Operating and Capital Budgets. Under the terms and conditions of Utah Code Title 63J, the Legislature appropriates the following sums of money from the funds or fund accounts indicated for the use and support of the government of the State of Utah. Department of Health Item 1 To Department of Health - Executive Director's Operations From Federal Funds, One-Time (740,500) Schedule of Programs: Program Operations (740,500) The Legislature intends the Departments of Health, Human Services, and Workforce Services and the Utah State Office of Rehabilitation report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on maintenance of effort (MOE) requirements for all major federal grants over $500,000 annually. The report shall include at a minimum a five year history (2011 to 2015) of: (1) maintenance of effort payments for each grant, including showing how much was paid above the minimum required levels, (2) the appropriate federal references with key language regarding each grant's MOE requirements, (3) how much state funding has been replaced, if any, with third party expenditures for maintenance of effort and how that state funding was used, (4) what is the minimum federally-required MOE for each grant, (5) options for how to reduce MOE annual amounts while continuing to comply with federal MOE requirements, and (6) how MOE requirements have changed and the impacts of those changes. The Legislature intends that the Departments of Health, Human Services, Workforce Services, and the Utah State Office of Rehabilitation provide a report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on the following for all major federal grants over $500,000 annually a five year history (2011 to 2015): (1) a list and dollar value of all expenditures by a third party used to count as its state match to access federal funds (2) under what scenarios could third party match become unavailable (3) any federal proposals to disallow counting third party match (4) what the agency would change in the future for its spending if third party match is no longer available Item 2 To Department of Health - Family Health and Preparedness From Federal Funds, One-Time 2,958,100 Schedule of Programs: Maternal and Child Health 2,958,100 Item 3 To Department of Health - Disease Control and Prevention From Federal Funds, One-Time (24,135,900) Schedule of Programs: Health Promotion 541,200 Vaccine Commodities (26,000,000) Epidemiology 1,322,900 The Legislature intends that the Department of Health shall report to the Office of the Legislative Fiscal Analyst by April 30, 2016 on the total amount of opioid pain medications dispensed per capita, as morphine equivalent dosages, and may include other measures of risky opioid prescribing that the Department determines to be useful for understanding the influence of opioid prescribing on overdose deaths in Utah. Data shall be shared as far as is readily available back through 2000. Item 4 To Department of Health - Vaccine Commodities From Federal Funds, One-Time 26,000,000 Schedule of Programs: Vaccine Commodities 26,000,000 Item 5 To Department of Health - Workforce Financial Assistance From General Fund, One-Time (300,000) From Dedicated Credits Revenue, One-Time (300,000) Schedule of Programs: Workforce Financial Assistance (600,000) Item 6 To Department of Health - Rural Physicians Loan Repayment Assistance From General Fund, One-Time 300,000 From Dedicated Credits Revenue, One-Time 300,000 Schedule of Programs: Rural Physicians Loan Repayment Program 600,000 Item 7 To Department of Health - Medicaid and Health Financing From General Fund, One-Time (161,100) From Federal Funds, One-Time (84,200) From Federal Funds - American Recovery and Reinvestment Act, One-Time 367,000 From General Fund Restricted - Nursing Care Facilities Account, One-Time 77,000 Schedule of Programs: Managed Health Care (166,600) Medicaid Operations 365,300 The Legislature intends that the Department of Health report to the Office of the Legislative Fiscal Analyst by April 1, 2016 on the following regarding its plan to allow a three month supply of some Medicaid medications: (1) the Departments proposed plan, (2) proposed timeline of important action items, (3) how the agency will measure the financial impact to the State from making this change, and (4) the date on which the Department intends to report back on having finished the implementation. Item 8 To Department of Health - Children's Health Insurance Program From Federal Funds, One-Time 15,700,000 From Beginning Nonlapsing Balances (4,132,800) Schedule of Programs: Children's Health Insurance Program 11,567,200 Item 9 To Department of Health - Medicaid Mandatory Services From General Fund, One-Time (3,975,900) From Federal Funds, One-Time (180,000) From General Fund Restricted - Medicaid Restricted Account, One-Time 3,975,900 From General Fund Restricted - Nursing Care Facilities Account, One-Time (77,000) Schedule of Programs: Nursing Home (257,000) Item 10 To Department of Health - Medicaid Optional Services From Federal Funds, One-Time 22,389,500 Schedule of Programs: Other Optional Services 22,389,500 Department of Workforce Services Item 11 To Department of Workforce Services - Administration From General Fund, One-Time (6,300) From General Fund Restricted - Mineral Lease, One-Time (2,200) From Permanent Community Impact Loan Fund, One-Time 2,200 From Unemployment Compensation Fund, One-Time 58,400 Schedule of Programs: Executive Director's Office (6,300) Administrative Support 58,400 The Legislature intends the Departments of Health, Human Services, and Workforce Services and the Utah State Office of Rehabilitation report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on maintenance of effort (MOE) requirements for all major federal grants over $500,000 annually. The report shall include at a minimum a five year history (2011 to 2015) of: (1) maintenance of effort payments for each grant, including showing how much was paid above the minimum required levels, (2) the appropriate federal references with key language regarding each grant's MOE requirements, (3) how much state funding has been replaced, if any, with third party expenditures for maintenance of effort and how that state funding was used, (4) what is the minimum federally-required MOE for each grant, (5) options for how to reduce MOE annual amounts while continuing to comply with federal MOE requirements, and (6) how MOE requirements have changed and the impacts of those changes. The Legislature intends that the American Recovery and Reinvestment Act appropriation provided for the Administration line item is limited to one-time projects associated with Unemployment Insurance modernization. The Legislature intends that the Department of Workforce Services report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on the following regarding all of its restricted funds not subject to annual Legislative appropriations for expenditures: (1) size of the fund, (2) uses of the fund, (3) how the uses of the fund comply with the funds' governing statute, (4) how the funds' uses are coordinated with other state programs working on similar issues, and (5) any recommendations to increase the coordination of resources. The Legislature intends that the Departments of Health, Human Services, Workforce Services, and the Utah State Office of Rehabilitation provide a report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on the following for all major federal grants over $500,000 annually a five year history (2011 to 2015): (1) a list and dollar value of all expenditures by a third party used to count as its state match to access federal funds (2) under what scenarios could third party match become unavailable (3) any federal proposals to disallow counting third party match (4) what the agency would change in the future for its spending if third party match is no longer available All General Funds appropriated to the Department of Workforce Services - Administration line item are contingent upon expenditures from Federal Funds - American Recovery and Reinvestment Act (H.R. 1, 111th United States Congress) not exceeding amounts appropriated from Federal Funds - American Recovery and Reinvestment Act in all appropriation bills passed for Fiscal Year 2016. If expenditures in the Administration line item from Federal Funds - American Recovery and Reinvestment Act exceed amounts appropriated to the Administration line item from Federal Funds - American Recovery and Reinvestment Act in Fiscal Year 2016, the Division of Finance shall reduce the General Fund allocations to the Administration line item by one dollar for every one dollar in Federal Funds - American Recovery and Reinvestment Act expenditures that exceed Federal Funds - American Recovery and Reinvestment Act appropriations. Item 12 To Department of Workforce Services - Operations and Policy From General Fund, One-Time (1,876,400) From Federal Funds, One-Time (408,782,000) From Dedicated Credits Revenue, One-Time (500,000) From General Fund Restricted - Special Admin. Expense Account, One-Time 500,000 From Unemployment Compensation Fund, One-Time 1,237,300 Schedule of Programs: Workforce Research and Analysis 5,600 Eligibility Services (664,000) Nutrition Assistance (410,000,000) Information Technology 1,237,300 The Legislature intends that the American Recovery and Reinvestment Act appropriation provided for the Operations and Policy line item is limited to one-time projects associated with Unemployment Insurance modernization. All General Funds appropriated to the Department of Workforce Services - Operations and Policy line item are contingent upon expenditures from Federal Funds - American Recovery and Reinvestment Act (H.R. 1, 111th United States Congress) not exceeding amounts appropriated from Federal Funds - American Recovery and Reinvestment Act in all appropriation bills passed for Fiscal Year 2016. If expenditures in the Operations and Policy line item from Federal Funds - American Recovery and Reinvestment Act exceed amounts appropriated to the Operations and Policy line item from Federal Funds - American Recovery and Reinvestment Act in Fiscal Year 2016, the Division of Finance shall reduce the General Fund allocations to the Operations and Policy line item by one dollar for every one dollar in Federal Funds - American Recovery and Reinvestment Act expenditures that exceed Federal Funds - American Recovery and Reinvestment Act appropriations. Item 13 To Department of Workforce Services - Nutrition Assistance From Federal Funds, One-Time 410,000,000 Schedule of Programs: Nutrition Assistance 410,000,000 Item 14 To Department of Workforce Services - Unemployment Insurance From General Fund, One-Time 700 From Dedicated Credits Revenue, One-Time 500,000 From Unemployment Compensation Fund, One-Time 304,300 Schedule of Programs: Unemployment Insurance Administration 805,000 The Legislature intends that the American Recovery and Reinvestment Act appropriation provided for the Unemployment Insurance line item is limited to one-time projects associated with Unemployment Insurance modernization. All General Funds appropriated to the Department of Workforce Services - Unemployment Insurance line item are contingent upon expenditures from Federal Funds - American Recovery and Reinvestment Act (H.R. 1, 111th United States Congress) not exceeding amounts appropriated from Federal Funds - American Recovery and Reinvestment Act in all appropriation bills passed for Fiscal Year 2016. If expenditures in the Unemployment Insurance line item from Federal Funds - American Recovery and Reinvestment Act exceed amounts appropriated to the Unemployment Insurance line item from Federal Funds - American Recovery and Reinvestment Act in Fiscal Year 2016, the Division of Finance shall reduce the General Fund allocations to the Unemployment Insurance line item by one dollar for every one dollar in Federal Funds - American Recovery and Reinvestment Act expenditures that exceed Federal Funds - American Recovery and Reinvestment Act appropriations. Item 15 To Department of Workforce Services - Housing and Community Development From General Fund Restricted - Mineral Lease, One-Time (2,400) From General Fund Restricted - Methamphetamine Housing Reconstruction and Rehabilitation Account, One-Time (8,600) From Permanent Community Impact Loan Fund, One-Time 2,400 Schedule of Programs: Community Services (8,600) The Legislature intends that if any money is allocated from the National Housing Trust Fund to the State of Utah, the Department of Workforce Services is authorized to receive this money and this money shall be allocated to the Division of Housing and Community Development for use by the division in increasing and preserving the supply of rental housing, and increasing homeownership and housing opportunities, for low income households in accordance with federal requirements. Department of Human Services Item 16 To Department of Human Services - Executive Director Operations From General Fund, One-Time 161,300 From Federal Funds, One-Time 1,947,900 From Dedicated Credits Revenue, One-Time 35,000 Schedule of Programs: Executive Director's Office 161,300 Fiscal Operations 1,947,900 Office of Licensing 35,000 The Legislature intends the Departments of Health, Human Services, and Workforce Services and the Utah State Office of Rehabilitation report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on maintenance of effort (MOE) requirements for all major federal grants over $500,000 annually. The report shall include at a minimum a five year history (2011 to 2015) of: (1) maintenance of effort payments for each grant, including showing how much was paid above the minimum required levels, (2) the appropriate federal references with key language regarding each grant's MOE requirements, (3) how much state funding has been replaced, if any, with third party expenditures for maintenance of effort and how that state funding was used, (4) what is the minimum federally-required MOE for each grant, (5) options for how to reduce MOE annual amounts while continuing to comply with federal MOE requirements, and (6) how MOE requirements have changed and the impacts of those changes. The Legislature intends that the Departments of Health, Human Services, Workforce Services, and the Utah State Office of Rehabilitation provide a report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on the following for all major federal grants over $500,000 annually a five year history (2011 to 2015): (1) a list and dollar value of all expenditures by a third party used to count as its state match to access federal funds (2) under what scenarios could third party match become unavailable (3) any federal proposals to disallow counting third party match (4) what the agency would change in the future for its spending if third party match is no longer available Item 17 To Department of Human Services - Division of Substance Abuse and Mental Health From General Fund, One-Time (161,300) From Federal Funds, One-Time 4,127,600 Schedule of Programs: Administration - DSAMH (161,300) Community Mental Health Services 4,127,600 The Legislature intends to increase the number of vehicles for the Department of Human Services, Utah State Hospital by two cars to enable staff to perform competency restoration services in county jails. Item 18 To Department of Human Services - Division of Services for People with Disabilities From General Fund, One-Time (647,700) Schedule of Programs: Community Supports Waiver (647,700) Item 19 To Department of Human Services - Office of Recovery Services From Federal Funds, One-Time 2,794,400 Schedule of Programs: Child Support Services 2,794,400 Item 20 To Department of Human Services - Division of Child and Family Services From Federal Funds, One-Time 1,755,200 Schedule of Programs: Minor Grants 1,755,200 Item 21 To Department of Human Services - Division of Aging and Adult Services From Federal Funds, One-Time 593,800 Schedule of Programs: Local Government Grants - Formula Funds 593,800 State Board of Education Item 22 To State Board of Education - State Office of Rehabilitation From Federal Funds, One-Time 3,160,100 Schedule of Programs: Rehabilitation Services 3,160,100 The Legislature intends the Departments of Health, Human Services, and Workforce Services and the Utah State Office of Rehabilitation report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on maintenance of effort (MOE) requirements for all major federal grants over $500,000 annually. The report shall include at a minimum a five year history (2011 to 2015) of: (1) maintenance of effort payments for each grant, including showing how much was paid above the minimum required levels, (2) the appropriate federal references with key language regarding each grant's MOE requirements, (3) how much state funding has been replaced, if any, with third party expenditures for maintenance of effort and how that state funding was used, (4) what is the minimum federally-required MOE for each grant, (5) options for how to reduce MOE annual amounts while continuing to comply with federal MOE requirements, and (6) how MOE requirements have changed and the impacts of those changes. The Legislature intends that the Departments of Health, Human Services, Workforce Services, and the Utah State Office of Rehabilitation provide a report to the Office of the Legislative Fiscal Analyst by June 1, 2016 on the following for all major federal grants over $500,000 annually a five year history (2011 to 2015): (1) a list and dollar value of all expenditures by a third party used to count as its state match to access federal funds (2) under what scenarios could third party match become unavailable (3) any federal proposals to disallow counting third party match (4) what the agency would change in the future for its spending if third party match is no longer available Subsection 1(b). Transfers to Unrestricted Funds. The Legislature authorizes the State Division of Finance to transfer the following amounts to the unrestricted General, Education, or Uniform School Fund as indicated from the restricted funds or accounts indicated. Expenditures and outlays from the General, Education, or Uniform School Fund must be authorized elsewhere in an appropriations act. Transfers to Unrestricted Funds Item 23 To General Fund From Nonlapsing Balances 4,132,800 Schedule of Programs: General Fund, One-time 4,132,800 The nonlapsing balances in this item come from the following action taken by the Social Services Appropriations Subcommittee: "CHIP Nonlapsing Balance - The Children's Health Insurance Program (CHIP) ended FY 2015 with nonlapsing balances of $7.4 million. The program will not need any state funding until October 1, 2019. The federal government is paying 100% of the costs from FFY 2015 through FFY 2019. This takes all but $983,200 in tobacco restricted money to cover potential shortfalls matching FY 2015 actual collections and $2,300,000 agency estimate of needed funds to complete the state costs for July 1 2015 through September 30, 2015." Section 2. FY 2017 Appropriations. The following sums of money are appropriated for the fiscal year beginning July 1, 2016 and ending June 30, 2017. Subsection 2(a). Operating and Capital Budgets. Under the terms and conditions of Utah Code Title 63J, the Legislature appropriates the following sums of money from the funds or fund accounts indicated for the use and support of the government of the State of Utah. Department of Health Item 24 To Department of Health - Executive Director's Operations From General Fund 6,319,500 From Federal Funds 6,735,200 From Dedicated Credits Revenue 2,504,100 From General Fund Restricted - Tobacco Settlement Account 200 From Revenue Transfers 899,500 Schedule of Programs: Executive Director 2,972,200 Center for Health Data and Informatics 7,074,200 Program Operations 5,599,500 Office of Internal Audit 746,600 Adoption Records Access 66,000 The Legislature intends that the Department of Health report on the following performance measures for the Executive Director's Operations line item: (1) conduct risk assessments for each information system in operation (Target = 111 information systems), (2) Births occurring in a hospital are entered accurately by hospital staff into the electronic birth registration system within 10 calendar days (Target = 99%), and (3) percentage of all deaths registered using the electronic death registration system (Target = 75% or more) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 25 To Department of Health - Family Health and Preparedness From General Fund 18,469,000 From Federal Funds 76,216,500 From Dedicated Credits Revenue 15,650,200 From General Fund Restricted - Autism Treatment Account 101,100 From General Fund Restricted - Children's Hearing Aid Pilot Program Account 102,000 From General Fund Restricted - Kurt Oscarson Children's Organ Transplant 101,300 From Revenue Transfers 3,780,000 From Pass-through 78,000 From Beginning Nonlapsing Balances 1,659,300 Schedule of Programs: Director's Office 2,283,900 Maternal and Child Health 61,007,200 Child Development 21,798,400 Children with Special Health Care Needs 8,694,700 Public Health and Health Care Preparedness 8,476,100 Health Facility Licensing and Certification 5,851,100 Emergency Medical Services and Preparedness 4,639,200 Primary Care 3,406,800 The Legislature intends that the Department of Health report to the Office of the Legislative Fiscal Analyst by December 1, 2016 the financial impacts to ambulance providers due to the implementation of S.B. 172, Emergency Medical Services Amendments, from the 2015 General Session. The report shall address (1) current and projected future impact to the reimbursement rates for ambulance providers set by the State and (2) the impact to the financial viability of ambulance providers in the State. The Legislature intends that the Department of Health report on the following performance measures for the Family Health and Preparedness line item: (1) the percent of children who demonstrated improvement in social-emotional skills, including social relationships (Goal = 70% or more), (2) the percent of children who demonstrated improvement in their rate of growth in acquisition and use of knowledge and skills, including early language/communication and early literacy (Goal = 72.5% or more), and (3) the percent of children who demonstrated improvement in their rate of growth in the use of appropriate behaviors to meet their needs (Goal = 73.5% or more) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 26 To Department of Health - Disease Control and Prevention From General Fund 13,350,900 From General Fund, One-Time (71,300) From Federal Funds 33,362,700 From Dedicated Credits Revenue 10,444,800 From Dedicated Credits Revenue, One-Time 100,700 From General Fund Restricted - Cancer Research Account 20,000 From General Fund Restricted - Cigarette Tax Restricted Account 3,159,700 From General Fund Restricted - Prostate Cancer Support Account 26,600 From General Fund Restricted - State Lab Drug Testing Account 696,100 From General Fund Restricted - Tobacco Settlement Account 3,949,300 From Department of Public Safety Restricted Account 100,000 From Revenue Transfers 2,523,900 Schedule of Programs: General Administration 2,165,700 Health Promotion 27,476,800 Epidemiology 22,289,600 Laboratory Operations and Testing 11,029,400 Office of the Medical Examiner 4,307,600 Clinical and Environmental Laboratory Certification Programs 394,300 The Legislature intends that the Department of Health report on the following performance measures for the Disease Control and Prevention line item: (1) gonorrhea cases per 100,000 population (Target = 42.7 people or less), (2) percentage of adults who are current smokers (Target = 9%), and (3) percentage of toxicology cases completed within 14 day goal (Target = 100%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 27 To Department of Health - Vaccine Commodities From Federal Funds 27,154,000 Schedule of Programs: Vaccine Commodities 27,154,000 Item 28 To Department of Health - Local Health Departments From General Fund 2,137,500 Schedule of Programs: Local Health Department Funding 2,137,500 The Legislature intends that the Department of Health report on the following performance measures for the Local Health Departments line item: (1) number of local health departments that maintain a board of health that annually adopts a budget, appoints a local health officer, conducts an annual performance review for the local health officer, and reports to county commissioners on health issues (Target = 13 or 100%), (2) number of local health departments that provide communicable disease epidemiology and control services including disease reporting, response to outbreaks, and measures to control tuberculosis (Target = 13 or 100%), (3) number of local health departments that maintain a program of environmental sanitation which provides oversight of restaurants food safety, swimming pools, and the indoor clean air act (Target = 13 or 100%), (4) achieve and maintain an effective coverage rate for universally recommended vaccinations among young children up to 35 months of age (Target = 90%), (5) reduce the number of cases of pertussis among children under 1 year of age, and among adolescents aged 11 to 18 years (Target = 73 or less for infants and 322 cases or less for youth), and (6) local health departments will increase the number of health and safety related school buildings and premises inspections by 10% (from 80% to 90%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 29 To Department of Health - Workforce Financial Assistance From Beginning Nonlapsing Balances 427,200 Schedule of Programs: Workforce Financial Assistance 427,200 The Legislature intends that the Department of Health report on the following performance measures for the Workforce Financial Assistance line item: (1) the number of applications received for this program (Target = 4), (2) the number of awards given (Target = 4), and (3) the average time to process applications through time of award (Target = 15 work days) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 30 To Department of Health - Rural Physicians Loan Repayment Assistance From General Fund 300,000 From Dedicated Credits Revenue 300,000 Schedule of Programs: Rural Physicians Loan Repayment Program 600,000 The Legislature intends that the Department of Health report on the following performance measures for the Rural Physicians Loan Repayment Assistance line item: (1) health care professionals serving rural areas (Target = 15) and (2) rural physicians serving rural areas (Target = 15) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 31 To Department of Health - Medicaid and Health Financing From General Fund 4,821,200 From Federal Funds 66,478,100 From Federal Funds, One-Time (1,200,000) From Federal Funds - American Recovery and Reinvestment Act, One-Time 1,200,000 From Dedicated Credits Revenue 9,154,400 From General Fund Restricted - Nursing Care Facilities Account 783,600 From Revenue Transfers 24,511,600 Schedule of Programs: Director's Office 2,071,800 Financial Services 13,479,300 Managed Health Care 2,703,800 Medicaid Operations 4,176,000 Coverage and Reimbursement 2,853,800 Authorization and Community Based Services 3,559,700 Eligibility Policy 2,748,700 Contracts 1,187,400 Department of Workforce Services' Seeded Services 37,561,400 Other Seeded Services 35,407,000 The Legislature intends that the Department of Health report on the following performance measures for the Medicaid and Health Financing line item: (1) average decision time on pharmacy prior authorizations (Target = 24 hours or less), (2) percent of clean claims adjudicated within 30 days of submission (Target = 98%), and (3) total count of Medicaid and CHIP clients educated on proper benefit use and plan selection (Target = 115,000 or more) by October 15, 2016 to the Social Services Appropriations Subcommittee. All General Funds appropriated to the Department of Health - Medicaid and Health Financing line item are contingent upon expenditures from Federal Funds - American Recovery and Reinvestment Act (H.R. 1, 111th United States Congress) not exceeding amounts appropriated from Federal Funds - American Recovery and Reinvestment Act in all appropriation bills passed for fiscal year 2017. If expenditures in the Medicaid and Health Financing line item from Federal Funds - American Recovery and Reinvestment Act exceed amounts appropriated to the Medicaid and Health Financing line item from Federal Funds - American Recovery and Reinvestment Act in fiscal year 2017, the Division of Finance shall reduce the General Fund allocations to the Medicaid and Health Financing line item by one dollar for every one dollar in Federal Funds - American Recovery and Reinvestment Act expenditures that exceed Federal Funds - American Recovery and Reinvestment Act appropriations. Item 32 To Department of Health - Medicaid Sanctions From Beginning Nonlapsing Balances 982,900 From Closing Nonlapsing Balances (982,900) The Legislature intends that the Department of Health report on how expenditures from the Medicaid Sanctions line item met federal requirements which constrain its use by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 33 To Department of Health - Children's Health Insurance Program From General Fund 5,678,700 From General Fund, One-Time (5,678,700) From Federal Funds 82,846,600 From Federal Funds, One-Time 16,090,200 From Dedicated Credits Revenue 1,708,500 From General Fund Restricted - Tobacco Settlement Account 11,494,700 From General Fund Restricted - Tobacco Settlement Account, One-Time (10,411,500) From Revenue Transfers 63,000 Schedule of Programs: Children's Health Insurance Program 101,791,500 The Legislature intends that the Department of Health report on the following performance measures for the Children's Health Insurance Program line item: (1) percent of children less than 15 months old that received at least six or more well-child visits (Target = 70% or more), (2) percent of members (12 - 21 years of age) who had at least one comprehensive well-care visit (Target = 39% or more), and (3) percent of children 5-11 years of age with persistent asthma who were appropriately prescribed medication (Target = 94% or more) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 34 To Department of Health - Medicaid Mandatory Services From General Fund 305,633,200 From General Fund, One-Time (10,418,500) From Federal Funds 882,528,900 From Federal Funds, One-Time 13,630,000 From Dedicated Credits Revenue 28,104,300 From General Fund Restricted - Autism Treatment Account, One-Time 7,000 From General Fund Restricted - Nursing Care Facilities Account 24,987,300 From General Fund Restricted - Tobacco Settlement Account, One-Time 10,411,500 From Revenue Transfers 4,872,900 From Pass-through 13,707,800 From Beginning Nonlapsing Balances 5,693,700 Schedule of Programs: Managed Health Care 685,976,500 Nursing Home 195,142,900 Inpatient Hospital 162,311,500 Physician Services 71,032,200 Outpatient Hospital 59,896,900 Medicaid Management Information System Replacement 19,421,100 Crossover Services 14,282,900 Medical Supplies 10,257,400 Other Mandatory Services 60,836,700 The Legislature intends that the Department of Health report on the following performance measures for the Medicaid Mandatory Services line item: (1) percent of adults age 45-64 with ambulatory or preventive care visits (Target = 88% or more), (2) percent of deliveries that had a post partum visit between 21 and 56 days after delivery (Target = 60% or more), and (3) percent of customers satisfied with their managed care plan (Target = 85% or more) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 35 To Department of Health - Medicaid Optional Services From General Fund 118,854,100 From General Fund, One-Time 503,000 From Federal Funds 592,780,500 From Federal Funds, One-Time (1,402,100) From Federal Funds - American Recovery and Reinvestment Act, One-Time 10,775,000 From Dedicated Credits Revenue 159,831,900 From General Fund Restricted - Nursing Care Facilities Account 3,480,100 From Revenue Transfers 97,827,100 From Pass-through 5,902,400 From Beginning Nonlapsing Balances 2,456,000 Schedule of Programs: Home and Community Based Waiver Services 245,535,300 Pharmacy 107,323,700 Capitated Mental Health Services 147,182,200 Intermediate Care Facilities for Intellectually Disabled 87,613,800 Non-service Expenses 77,806,000 Dental Services 52,985,600 Buy-in/Buy-out 44,257,200 Disproportionate Hospital Payments 31,412,700 Clawback Payments 31,008,500 Hospice Care Services 16,781,500 Vision Care 1,552,900 Other Optional Services 147,548,600 The Legislature intends that the Department of Health report on the following performance measures for the Medicaid Optional Services line item: (1) annual state general funds saved through preferred drug list (Target = $14.0 million general fund or more), (2) count of new choices waiver clients coming out of nursing homes into community based care (Target = 390 or more), and (3) emergency dental program savings (Target = $850,000 General Fund savings or more) by October 15, 2016 to the Social Services Appropriations Subcommittee. Department of Workforce Services Item 36 To Department of Workforce Services - Administration From General Fund 3,111,200 From Federal Funds 6,521,300 From Dedicated Credits Revenue 168,700 From Permanent Community Impact Loan Fund 136,000 From Unemployment Compensation Fund, One-Time 76,000 From Revenue Transfers 1,717,800 Schedule of Programs: Executive Director's Office 853,000 Communications 1,350,000 Human Resources 1,259,100 Administrative Support 7,687,000 Internal Audit 581,900 The Legislature intends that the American Recovery and Reinvestment Act appropriation provided for the Administration line item is limited to one-time projects associated with Unemployment Insurance modernization. The Legislature intends that the Department of Workforce Services report on the following performance measure for the Administration line item: provide accurate and timely department-wide fiscal administration. Target: manage, account and reconcile all funds within state finance close out time lines and with zero audit findings by October 15, 2016 to the Social Services Appropriations Subcommittee. All General Fund appropriated to the Department of Workforce Services - Administration line item are contingent upon expenditures from Federal Funds - American Recovery and Reinvestment Act (H.R. 1, 111th United States Congress) not exceeding amounts appropriated from Federal Funds - American Recovery and Reinvestment Act in all appropriation bills passed for Fiscal Year 2017. If expenditures in the Administration line item from Federal Funds - American Recovery and Reinvestment Act exceed amounts appropriated to the Administration line item from Federal Funds - American Recovery and Reinvestment Act in Fiscal Year 2017, the Division of Finance shall reduce the General Fund allocations to the Administration line item by one dollar for every one dollar in Federal Funds - American Recovery and Reinvestment Act expenditures that exceed Federal Funds - American Recovery and Reinvestment Act appropriations. Item 37 To Department of Workforce Services - Operations and Policy From General Fund 46,187,900 From General Fund, One-Time (2,000,000) From Federal Funds 210,907,800 From Dedicated Credits Revenue 1,539,200 From Unemployment Compensation Fund, One-Time 3,406,700 From Revenue Transfers 39,006,500 Schedule of Programs: Facilities and Pass-Through 8,770,600 Workforce Development 67,611,400 Temporary Assistance for Needy Families 60,000,000 Refugee Assistance 7,259,000 Workforce Research and Analysis 2,246,700 Trade Adjustment Act Assistance 750,000 Eligibility Services 57,678,200 Child Care Assistance 43,620,500 Nutrition Assistance 79,000 Workforce Investment Act Assistance 6,543,500 Other Assistance 182,100 Information Technology 44,307,100 The Legislature intends that the American Recovery and Reinvestment Act appropriation provided for the Operations and Policy line item is limited to one-time projects associated with Unemployment Insurance modernization. All General Funds appropriated to the Department of Workforce Services - Operations and Policy line item are contingent upon expenditures from Federal Funds - American Recovery and Reinvestment Act (H.R. 1, 111th United States Congress) not exceeding amounts appropriated from Federal Funds - American Recovery and Reinvestment Act in all appropriation bills passed for Fiscal Year 2017. If expenditures in the Operations and Policy line item from Federal Funds - American Recovery and Reinvestment Act exceed amounts appropriated to the Operations and Policy line item from Federal Funds - American Recovery and Reinvestment Act in Fiscal Year 2017, the Division of Finance shall reduce the General Fund allocations to the Operations and Policy line item by one dollar for every one dollar in Federal Funds - American Recovery and Reinvestment Act expenditures that exceed Federal Funds - American Recovery and Reinvestment Act appropriations. The Legislature intends that the Department of Workforce Services report on the following performance measures for the Operations and Policy line item: (1) labor exchange - total job placements (Target = 45,000 placements per calendar quarter), (2) TANF recipients - positive closure rate (Target = 70% per calendar month), and (3) Eligibility Services - internal review compliance accuracy (Target = 95%) by October 15, 2016 to the Social Services Appropriations Subcommittee. The Legislature intends that the Department of Workforce Services report to the Office of the Legislative Fiscal Analyst by August 15, 2016 what it has done in response to each of the recommendations in "A Performance Audit of Data Analytics Techniques to Detect SNAP Abuse." The report shall further include what the impacts current and projected, financial and otherwise of the changes have been and will be. The Legislature intends the Department of Workforce Services (DWS) provide to the Office of the Legislative Fiscal Analyst no later than September 1, 2016 a detailed report on its Temporary Assistance for Needy Families (TANF) reserve amount including the current balance and any uses of the reserve since the 2016 General Session or planned and projected uses of the reserve in the future. Item 38 To Department of Workforce Services - Nutrition Assistance From Federal Funds 311,096,000 Schedule of Programs: Nutrition Assistance 311,096,000 Item 39 To Department of Workforce Services - General Assistance From General Fund 4,875,500 From Dedicated Credits Revenue 250,000 Schedule of Programs: General Assistance 5,125,500 The Legislature intends that the Department of Workforce Services report on the following performance measures for the General Assistance line item: (1) positive closure rate (SSI achievement or closed with earnings) (Target = 45%), (2) General Assistance average monthly customers served (Target = 950), and (3) internal review compliance accuracy (Target = 80%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 40 To Department of Workforce Services - Unemployment Insurance From General Fund 568,500 From Federal Funds 19,356,000 From Dedicated Credits Revenue 1,010,800 From Unemployment Compensation Fund, One-Time 517,300 From Revenue Transfers 752,100 Schedule of Programs: Unemployment Insurance Administration 18,954,800 Adjudication 3,249,900 The Legislature intends that the American Recovery and Reinvestment Act appropriation provided for the Unemployment Insurance line item is limited to one-time projects associated with Unemployment Insurance modernization. The Legislature intends that the Department of Workforce Services report on the following performance measures for the Unemployment Insurance line item: (1) percentage of new employer status determinations made within 90 days of the last day in the quarter in which the business became liable (Target => 95.5%), (2) percentage of Unemployment Insurance separation determinations with quality scores equal to or greater than 95 points, based on the evaluation results of quarterly samples selected from all determinations (Target => 90%), and (3) percentage of Unemployment Insurance benefits payments made within 14 days after the week ending date of the first compensable week in the benefit year (Target => 95%) by October 15, 2016 to the Social Services Appropriations Subcommittee. All General Funds appropriated to the Department of Workforce Services - Unemployment Insurance line item are contingent upon expenditures from Federal Funds - American Recovery and Reinvestment Act (H.R. 1, 111th United States Congress) not exceeding amounts appropriated from Federal Funds - American Recovery and Reinvestment Act in all appropriation bills passed for Fiscal Year 2017. If expenditures in the Unemployment Insurance line item from Federal Funds - American Recovery and Reinvestment Act exceed amounts appropriated to the Unemployment Insurance line item from Federal Funds - American Recovery and Reinvestment Act in Fiscal Year 2017, the Division of Finance shall reduce the General Fund allocations to the Unemployment Insurance line item by one dollar for every one dollar in Federal Funds - American Recovery and Reinvestment Act expenditures that exceed Federal Funds - American Recovery and Reinvestment Act appropriations. Item 41 To Department of Workforce Services - Community Development Capital Budget From Permanent Community Impact Loan Fund 119,610,000 Schedule of Programs: Community Impact Board 119,610,000 Item 42 To Department of Workforce Services - Housing and Community Development From General Fund 2,651,400 From Federal Funds 62,530,800 From Dedicated Credits Revenue 3,121,500 From General Fund Restricted - Pamela Atkinson Homeless Account 1,087,400 From Permanent Community Impact Loan Fund 1,245,500 Schedule of Programs: Community Development Administration 588,200 HEAT 23,713,400 Housing Development 21,130,900 Weatherization Assistance 9,646,200 Community Development 7,162,000 Homeless Committee 4,466,600 Community Services 3,488,300 Emergency Food Network 296,000 Special Housing 145,000 The Legislature intends that the Department of Workforce Services report on the following performance measures for the Housing and Community Development line item: (1) ending chronic homelessness - offer housing to all chronically homeless individuals who want to be housed (Target = 9% reduction per year), (2) utilities assistance for low-income households - number of eligible households assisted with home energy costs (Target = 35,000 households), and (3) Weatherization Assistance - number of low income households assisted by installing permanent energy conservation measures in their homes (Target = 800 homes) by October 15, 2016 to the Social Services Appropriations Subcommittee. The Legislature intends that if any money is allocated from the National Housing Trust Fund to the State of Utah, the Department of Workforce Services is authorized to receive this money and this money shall be allocated to the Division of Housing and Community Development for use by the division in increasing and preserving the supply of rental housing, and increasing homeownership and housing opportunities, for low income households in accordance with federal requirements. Item 43 To Department of Workforce Services - Special Service Districts From General Fund Restricted - Mineral Lease 5,316,900 Schedule of Programs: Special Service Districts 5,316,900 The Legislature intends that the Department of Workforce Services report on the following performance measure for the Special Service Districts line item: the total pass through of funds to qualifying special service districts in counties of the 5th, 6th and 7th class (this is completed quarterly) by October 15, 2016 to the Social Services Appropriations Subcommittee. Department of Human Services Item 44 To Department of Human Services - Executive Director Operations From General Fund 7,499,300 From Federal Funds 7,176,300 From Dedicated Credits Revenue 36,000 From Revenue Transfers 2,316,600 Schedule of Programs: Executive Director's Office 5,198,700 Legal Affairs 729,700 Information Technology 1,510,800 Fiscal Operations 3,235,800 Human Resources 35,600 Local Discretionary Pass-Through 1,140,700 Office of Services Review 1,485,600 Office of Licensing 2,858,400 Utah Developmental Disabilities Council 832,900 The Legislature intends that the Department of Human Services report on the following performance measures for the Executive Director Operations line item: (1) Corrected department-wide reported fiscal issues -- per reporting process and June 30 quarterly report involving Bureaus of Finance and Internal Review and Audit (Target = 70%), (2) Percentage of initial foster care homes licensed within 3 months of training completion (Target 60%), and (3) double-read (reviewed) Case Process Reviews will be accurate in The Office of Service Review (Target = 90%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 45 To Department of Human Services - Division of Substance Abuse and Mental Health From General Fund 96,000,600 From Federal Funds 26,812,700 From Dedicated Credits Revenue 3,002,500 From General Fund Restricted - Intoxicated Driver Rehabilitation Account 1,500,000 From General Fund Restricted - Tobacco Settlement Account 2,325,400 From Revenue Transfers 16,152,400 Schedule of Programs: Administration - DSAMH 3,176,500 Community Mental Health Services 12,182,500 Mental Health Centers 28,721,000 Residential Mental Health Services 221,900 State Hospital 58,779,800 State Substance Abuse Services 8,928,800 Local Substance Abuse Services 22,548,000 Driving Under the Influence (DUI) Fines 1,500,000 Drug Offender Reform Act (DORA) 2,747,100 Drug Courts 6,988,000 The Legislature intends to increase the number of vehicles for the Department of Human Services, Utah State Hospital by two cars to enable staff to perform competency restoration services in county jails. The Legislature intends that the Department of Human Services report on the following performance measures for the Substance Abuse and Mental Health line item: (1) Local Substance Abuse Services - Successful completion rate (Target = 40%), (2) Mental Health Services - Adult Outcomes Questionnaire - Percent of clients stable, improved, or in recovery while in current treatment (Target = 80%), and (3) Mental Health Centers - Youth Outcomes Questionnaire - Percent of clients stable, improved, or in recovery while in current treatment (Target = 80%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 46 To Department of Human Services - Division of Services for People with Disabilities From General Fund 81,081,500 From Federal Funds 1,327,100 From Dedicated Credits Revenue 2,310,000 From Revenue Transfers 188,438,100 Schedule of Programs: Administration - DSPD 4,814,200 Service Delivery 5,575,800 Utah State Developmental Center 37,696,900 Community Supports Waiver 216,871,800 Acquired Brain Injury Waiver 4,313,300 Physical Disabilities Waiver 2,206,200 Non-waiver Services 1,678,500 The Legislature intends that the Division of Services for People with Disabilities (DSPD) use Fiscal Year 2017 beginning non-lapsing funds to provide services for individuals needing emergency services, individuals needing additional waiver services, individuals who turn 18 years old and leave state custody from the Divisions of Child and Family services and Juvenile Justice Services, individuals court ordered into DSPD services and to provide increases to providers for direct care staff salaries. The Legislature further intends DSPD report to the Office of Legislative Fiscal Analyst by October 15, 2017 on the use of these non-lapsing funds. The Legislature intends that the Department of Human Services report on the following performance measures for the Services for People w/ Disabilities line item: (1) Community Supports, Brain Injury, Physical Disability Waivers, Non-waiver Services - % providers meeting fiscal requirements of contract (Target = 100%), (2) Community Supports, Brain Injury, Physical Disability Waivers, Non-waiver Services - % providers meeting non-fiscal requirements of contracts (Target = 100%), and (3) People receive supports in employment settings rather than day programs (National ranking) (Target = #1 nationally) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 47 To Department of Human Services - Office of Recovery Services From General Fund 13,360,700 From Federal Funds 19,929,100 From Dedicated Credits Revenue 8,684,100 From Revenue Transfers 2,631,200 Schedule of Programs: Administration - ORS 987,100 Financial Services 2,207,000 Electronic Technology 8,534,300 Child Support Services 24,442,200 Children in Care Collections 730,500 Attorney General Contract 4,600,700 Medical Collections 3,103,300 The Legislature intends that the Department of Human Services report on the following performance measures for the Office of Recovery Services line item: (1) ORS Total Collections (Target = $265 million), (2) Child Support Services Collections (Target = $225 million), and (3) Ratio: ORS Collections to Cost (Target = > 6.25 to 1) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 48 To Department of Human Services - Division of Child and Family Services From General Fund 114,458,100 From Federal Funds 58,108,000 From Dedicated Credits Revenue 2,636,400 From General Fund Restricted - Choose Life Adoption Support Account 1,000 From General Fund Restricted - Children's Account 450,000 From General Fund Restricted - Victims of Domestic Violence Services Account 983,600 From General Fund Restricted - National Professional Men's Basketball Team Support of Women and Children Issues 12,500 From Revenue Transfers (7,012,300) From Beginning Nonlapsing Balances 200,000 Schedule of Programs: Administration - DCFS 4,496,800 Service Delivery 78,465,300 In-Home Services 3,029,400 Out-of-Home Care 40,363,600 Facility-based Services 3,934,200 Minor Grants 6,425,000 Selected Programs 3,624,800 Special Needs 1,876,000 Domestic Violence 5,843,700 Children's Account 450,000 Adoption Assistance 15,741,300 Child Welfare Management Information System 5,587,200 The Legislature intends to increase by 25 the number of vehicles assigned to the Division of Child and Family Services. Approval of this increase in vehicles will reduce the divisions dependency on caseworkers use of personal vehicles to accomplish division responsibilities in child welfare. The division is requesting 16 sedan models a size bigger than the Standard State Fleet Vehicle, 5 passenger vans and 4 SUV's for the rural and remote areas of the State. The additional room is needed to add car seats and carry clothing and supplies when a child is removed from the home. The Legislature intends that the Department of Human Services report on the following performance measures for the Child and Family Services line item: (1) Administrative Performance: Percent satisfactory outcomes on qualitative case reviews/system performance (Target = 85%/85%), (2) Child Protective Services: Absence of maltreatment recurrence within 6 months (Target = 94.6%), and (3) Out of home services: Percent of children reunified within in 12 months (Target = 74.2%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 49 To Department of Human Services - Division of Aging and Adult Services From General Fund 13,507,100 From Federal Funds 10,802,500 From Dedicated Credits Revenue 100 From Revenue Transfers (841,500) Schedule of Programs: Administration - DAAS 1,531,300 Local Government Grants - Formula Funds 12,565,300 Non-Formula Funds 1,204,400 Adult Protective Services 3,181,900 Aging Waiver Services 1,011,200 Aging Alternatives 3,974,100 The Legislature intends that the Department of Human Services report on the following performance measures for the Aging and Adult Services line item: (1) Medicaid Aging Waiver: Average Cost of Client at 15% or less of Nursing Home Cost (Target = 15%), (2) Adult Protective Services: Protective needs resolved positively (Target = 95%), and (3) Meals on Wheels: Total meals served (Target = 10,115) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 50 To Department of Human Services - Office of Public Guardian From General Fund 419,300 From Federal Funds 40,000 From Revenue Transfers 303,700 Schedule of Programs: Office of Public Guardian 763,000 State Board of Education Item 51 To State Board of Education - State Office of Rehabilitation From General Fund 273,700 From Education Fund 21,111,400 From Federal Funds 62,656,000 From Dedicated Credits Revenue 985,600 From Revenue Transfers (1,736,100) Schedule of Programs: Executive Director 2,965,300 Blind and Visually Impaired 6,109,700 Rehabilitation Services 44,725,700 Disability Determination 15,655,600 Deaf and Hard of Hearing 2,988,600 Aspire Grant 10,845,700 The Legislature intends that the Utah State Office of Rehabilitation report on the following performance measures for its line item: (1) Vocational Rehabilitation - Increase the percentage of clients served who are youth (age 14 to 24 years) by 3% over the 2015 rate of 25.3% (Target 28.3%), (2) Vocational Rehabilitation - maintain or increase a successful rehabilitation closure rate (Target =55%), and (3) Deaf and Hard of Hearing - Increase in the number of individuals served by DSDHH programs (Target = 7,144) by October 15, 2016 to the Social Services Appropriations Subcommittee. Subsection 2(b). Expendable Funds and Accounts. The Legislature has reviewed the following expendable funds. Where applicable, the Legislature authorizes the State Division of Finance to transfer amounts among funds and accounts as indicated. Outlays and expenditures from the recipient funds or accounts may be made without further legislative action according to a fund or account's applicable authorizing statute. Department of Health Item 52 To Department of Health - Ambulance Service Provider Assessment Fund From Dedicated Credits Revenue 3,217,400 Schedule of Programs: Ambulance Service Provider Assessment Fund 3,217,400 The Legislature intends that the Department of Health report on the following performance measures for the Ambulance Service Provider Assessment Fund: (1) percentage of providers invoiced (Target = 100%), (2) percentage of providers who have paid by the due date (Target = 85%), and (3) percentage of providers who have paid within 15 days after the due date (Target = 99%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 53 To Department of Health - Traumatic Brain Injury Fund From General Fund 200,000 From Beginning Nonlapsing Balances 146,900 From Closing Nonlapsing Balances (119,000) Schedule of Programs: Traumatic Brain Injury Fund 227,900 The Legislature intends that the Department of Health report on the following performance measures for the Traumatic Brain Injury Fund: (1) number of individuals with TBI that received resource facilitation services through the TBI Fund contractors (Target = 300), (2) number of TBI Fund clients in need of a neuro-psych exam that receive an exam (Target = 40), and (3) number of community and professional education presentations and trainings (Target = 50) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 54 To Department of Health - Traumatic Head and Spinal Cord Injury Rehabilitation Fund From Dedicated Credits Revenue 170,400 From Beginning Nonlapsing Balances 383,500 From Closing Nonlapsing Balances (354,700) Schedule of Programs: Traumatic Head and Spinal Cord Injury Rehabilitation Fund 199,200 The Legislature intends that the Department of Health report on the following performance measures for the Traumatic Head and Spinal Cord Injury Rehabilitation Fund: (1) number of clients that received an intake assessment (Target = 101), (2) number of physical, speech or occupational therapy services provided (Target = 1,200), and (3) percent of clients that returned to work and/or school (Target = 50%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 55 To Department of Health - Organ Donation Contribution Fund From Dedicated Credits Revenue 90,400 From Interest Income 500 From Beginning Nonlapsing Balances 263,300 From Closing Nonlapsing Balances (354,200) The Legislature intends that the Department of Health report on the following performance measures for the Organ Donation Contribution Fund: (1) increase Division of Motor Vehicles/Drivers License Division donations from a base of $90,000 (Target = 3%), (2) increase donor registrants from a base of 1.5 million (Target = 2%), and (3) increase donor awareness education by obtaining one new audience (Target = 1) by October 15, 2016 to the Social Services Appropriations Subcommittee. Department of Workforce Services Item 56 To Department of Workforce Services - Permanent Community Impact Fund From Dedicated Credits Revenue 126,000 From Interest Income 813,000 From General Fund Restricted - Mineral Lease 41,295,400 From General Fund Restricted - Land Exchange Distribution Account 61,600 From Repayments 45,906,800 From Beginning Nonlapsing Balances 303,625,600 From Closing Nonlapsing Balances (275,836,900) Schedule of Programs: Permanent Community Impact Fund 115,991,500 The Legislature intends that the Department of Workforce Services report on the following performance measures for the Permanent Community Impact Fund: (1) new receipts invested in communities annually (Target = 100%), (2) support the Rural Planning Group (Target = completing 10 community plans), and (3) staff and board will meet with representatives of each partnering sector (Target = at least three times per year) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 57 To Department of Workforce Services - Permanent Community Impact Bonus Fund From Dedicated Credits Revenue 2,000 From Interest Income 7,000,100 From General Fund Restricted - Land Exchange Distribution Account 700 From General Fund Restricted - Mineral Bonus 3,758,800 From Repayments 5,000,000 From Beginning Nonlapsing Balances 352,895,000 From Closing Nonlapsing Balances (363,617,700) Schedule of Programs: Permanent Community Impact Bonus Fund 5,038,900 Item 58 To Department of Workforce Services - Intermountain Weatherization Training Fund From Dedicated Credits Revenue 10,000 From Beginning Nonlapsing Balances 1,800 From Closing Nonlapsing Balances (1,800) Schedule of Programs: Intermountain Weatherization Training Fund 10,000 The Legislature intends that the Department of Workforce Services report on the following performance measures for the Intermountain Weatherization Training Fund: (1) number of private individuals trained each year (Target => 20), (2) number of private individuals receiving training certifications (Target => 20) and (3) number of subgrantees trained each year (Target => 40) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 59 To Department of Workforce Services - Navajo Revitalization Fund From Interest Income 67,800 From Restricted Revenue 2,703,400 From Beginning Nonlapsing Balances 12,066,400 From Closing Nonlapsing Balances (12,229,300) Schedule of Programs: Navajo Revitalization Fund 2,608,300 The Legislature intends that the Department of Workforce Services report on the following performance measure for the Navajo Revitalization Fund: provide support to Navajo Revitalization Board with resources and data to enable allocation of new and re-allocated funds to improve quality of life for those living on the Utah portion of the Navajo Reservation (Target = allocate annual allocation from tax revenues within one year) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 60 To Department of Workforce Services - Olene Walker Housing Loan Fund From General Fund 2,242,900 From Federal Funds 5,202,400 From Dedicated Credits Revenue 2,411,500 From Interest Income 1,914,000 From Revenue Transfers 12,545,900 From Beginning Nonlapsing Balances 143,625,700 From Closing Nonlapsing Balances (146,653,500) Schedule of Programs: Olene Walker Housing Loan Fund 21,288,900 The Legislature intends that the Department of Workforce Services report on the following performance measures for the Olene Walker Housing Loan Fund: (1) housing units preserved or created (Target = 800), (2) construction jobs preserved or created (Target = 1,200), and (3) leveraging of other funds in each project to Olene Walker Housing Loan Fund monies (Target = 9:1) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 61 To Department of Workforce Services - Qualified Emergency Food Agencies Fund From Designated Sales Tax 915,000 From Beginning Nonlapsing Balances 246,700 From Closing Nonlapsing Balances (333,000) Schedule of Programs: Emergency Food Agencies Fund 828,700 The Legislature intends that the Department of Workforce Services report on the following performance measure for the Qualified Emergency Food Agencies Fund: Distribute, on a first come, first served basis, the sales tax rebates to qualifying food pantries (Target = 100%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 62 To Department of Workforce Services - Uintah Basin Revitalization Fund From Interest Income 143,900 From Restricted Revenue 6,517,200 From Beginning Nonlapsing Balances 26,012,000 From Closing Nonlapsing Balances (26,255,500) Schedule of Programs: Uintah Basin Revitalization Fund 6,417,600 The Legislature intends that the Department of Workforce Services report on the following performance measure for the Uintah Basin Revitalization Fund: provide Revitalization Board with support, resources and data to allocate new and re-allocated funds to improve the quality of life for those living in the Uintah Basin (Target = allocate annual allocation from tax revenues within one year) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 63 To Department of Workforce Services - Child Care Fund From Dedicated Credits Revenue 100 From Beginning Nonlapsing Balances 24,000 From Closing Nonlapsing Balances (24,100) The Legislature intends that the Department of Workforce Services report on the following performance measures for the Child Care Fund: report on activities or projects paid for by the fund in the prior fiscal year by October 15, 2016 to the Social Services Appropriations Subcommittee. Department of Human Services Item 64 To Department of Human Services - Out and About Homebound Transportation Assistance Fund From Dedicated Credits Revenue 32,800 From Beginning Nonlapsing Balances 181,000 From Closing Nonlapsing Balances (213,800) Item 65 To Department of Human Services - State Development Center Miscellaneous Donation Fund From Dedicated Credits Revenue 280,000 From Beginning Nonlapsing Balances 561,800 From Closing Nonlapsing Balances (561,800) Schedule of Programs: State Development Center Miscellaneous Donation Fund 280,000 Item 66 To Department of Human Services - State Development Center Workshop Fund From Dedicated Credits Revenue 138,100 From Beginning Nonlapsing Balances 9,900 From Closing Nonlapsing Balances (9,900) Schedule of Programs: State Development Center Workshop Fund 138,100 Item 67 To Department of Human Services - State Hospital Unit Fund From Dedicated Credits Revenue 34,900 From Beginning Nonlapsing Balances 211,400 From Closing Nonlapsing Balances (211,400) Schedule of Programs: State Hospital Unit Fund 34,900 Item 68 To Department of Human Services - Utah State Developmental Center Land Fund From Revenue Transfers 38,700 From Other Financing Sources 2,000 From Beginning Nonlapsing Balances 611,200 From Closing Nonlapsing Balances (611,200) Schedule of Programs: Utah State Developmental Center Land Fund 40,700 State Board of Education Item 69 To State Board of Education - Individuals with Visual Impairment Fund From Trust and Agency Funds 13,000 From Beginning Nonlapsing Balances 520,600 From Closing Nonlapsing Balances (526,600) Schedule of Programs: Individuals with Visual Impairment Fund 7,000 The Legislature intends that the Utah State Office of Rehabilitation report on the following performance measures for the Visual Impairment Fund: (1) the total of funds expended compiled by category of use, (2) the year end Fund balance, and (3) the yearly results/profit from the investment of the fund by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 70 To State Board of Education - Utah Community Center for the Deaf Fund From Trust and Agency Funds 6,800 From Beginning Nonlapsing Balances 17,400 From Closing Nonlapsing Balances (16,400) Schedule of Programs: Utah Community Center for the Deaf Fund 7,800 Subsection 2(c). Business-like Activities. The Legislature has reviewed the following proprietary funds. Under the terms and conditions of Utah Code 63J-1-410, for any included Internal Service Fund the Legislature approves budgets, full-time permanent positions, and capital acquisition amounts as indicated, and appropriates to the funds as indicated estimated revenue from rates, fees, and other charges. Where applicable, the Legislature authorizes the State Division of Finance to transfer amounts among funds and accounts as indicated. Department of Workforce Services Item 71 To Department of Workforce Services - Unemployment Compensation Fund From Federal Funds 139,000 From Dedicated Credits Revenue 23,694,000 From Other Financing Sources 279,369,000 From Beginning Nonlapsing Balances 959,317,100 From Closing Nonlapsing Balances (959,317,100) Schedule of Programs: Unemployment Compensation Fund 303,202,000 The Legislature intends that the Department of Workforce Services report on the following performance measures for the Unemployment Compensation Fund: (1) Unemployment Insurance Trust Fund balance is greater than the minimum adequate reserve amount and less than the maximum adequate reserve amount (Target = $639 million to $853 million), (2) the average high cost multiple is the Unemployment Insurance Trust Fund balance as a percentage of total Unemployment Insurance wages divided by the average high cost rate (Target => 1), and (3) contributory employers Unemployment Insurance contributions due paid timely (Target => 95%) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 72 To Department of Workforce Services - State Small Business Credit Initiative Program Fund From Federal Funds 4,350,200 From Dedicated Credits Revenue 65,200 From Restricted Revenue 28,900 From Beginning Nonlapsing Balances 9,320,400 From Closing Nonlapsing Balances (12,414,400) Schedule of Programs: State Small Business Credit Initiative Program Fund 1,350,300 Subsection 2(d). Restricted Fund and Account Transfers. The Legislature authorizes the State Division of Finance to transfer the following amounts among the following funds or accounts as indicated. Expenditures and outlays from the recipient funds must be authorized elsewhere in an appropriations act. Fund and Account Transfers Item 73 To Fund and Account Transfers - Children's Hearing Aid Program Account From General Fund 100,000 Schedule of Programs: GFR - Children's Hearing Aid Program Account 100,000 Item 74 To Fund and Account Transfers - GFR - Homeless Account From General Fund 917,400 Schedule of Programs: General Fund Restricted - Pamela Atkinson Homeless Account 917,400 The Legislature intends that the Department of Workforce Services report on the following performance measures for the Fund and Account Transfers to the Pamela Atkinson Homeless Account: (1) homeless providers funded by the State (except domestic violence shelter providers) will utilize the Centralized Client Intake and Coordinated Assessment System (Target => 80%) and (2) complete on-time the statewide report of homeless demographics and conditions by county (Target = November 1) by October 15, 2016 to the Social Services Appropriations Subcommittee. Item 75 To Fund and Account Transfers - State Endowment Fund From General Fund Restricted - Tobacco Settlement Account 1,488,700 Schedule of Programs: State Endowment Fund 1,488,700 Subsection 2(e). Transfers to Unrestricted Funds. The Legislature authorizes the State Division of Finance to transfer the following amounts to the unrestricted General, Education, or Uniform School Fund as indicated from the restricted funds or accounts indicated. Expenditures and outlays from the General, Education, or Uniform School Fund must be authorized elsewhere in an appropriations act. Transfers to Unrestricted Funds Item 76 To General Fund From Dedicated Credits Revenue 300,000 From Dedicated Credits Revenue, One-Time (150,000) Schedule of Programs: General Fund, One-time 150,000 The dedicated credits in this item come from the following action taken by the Social Services Appropriations Subcommittee: "Recommendations from Audit on Food Stamp/SNAP Fraud - The Utah State Auditor provided via its "A Performance Audit of Data Analytics Techniques to Detect Supplemental Nutrition Assistance Program (SNAP) Abuse" 18 recommendations to potentially improve fraud prevention and collections. This reduction assumes that the Department of Workforce Services can double its current fraud collection efforts starting in FY 2018 with a 50% increase in collections in FY 2017. Current efforts from 2010 to 2014 have ranged from collections of a low of $1.2 million total funds ($0.2 million General Fund) in 2010 to a high of $2.0 million total funds ($0.3 million General Fund). Benefits received in 2014 were $317 million for 90,570 households for a fraud collection rate of 0.6 (less than one) percent. Any collections higher/lower than anticipated would impact the General Fund where the collections are deposited. See http://financialreports.utah.gov/saoreports/2015/PA15-04Data AnalyticsforSNAPAbuseWorkforceServices,Departmentof.pdf for more information." Subsection 2(f). Fiduciary Funds. The Legislature has reviewed proposed revenues, expenditures, fund balances and changes in fund balances for the following fiduciary funds. Department of Human Services Item 77 To Department of Human Services - Human Services Client Trust Fund From Trust and Agency Funds 4,682,300 From Beginning Nonlapsing Balances 1,287,100 From Closing Nonlapsing Balances (1,287,100) Schedule of Programs: Human Services Client Trust Fund 4,682,300 Item 78 To Department of Human Services - Maurice N. Warshaw Trust Fund From Trust and Agency Funds 700 From Beginning Nonlapsing Balances 149,600 From Closing Nonlapsing Balances (149,600) Schedule of Programs: Maurice N. Warshaw Trust Fund 700 Item 79 To Department of Human Services - State Developmental Center Patient Account From Trust and Agency Funds 1,765,300 From Other Financing Sources 700 From Beginning Nonlapsing Balances 717,700 From Closing Nonlapsing Balances (717,700) Schedule of Programs: State Developmental Center Patient Account 1,766,000 Item 80 To Department of Human Services - State Hospital Patient Trust Fund From Trust and Agency Funds 1,105,700 From Beginning Nonlapsing Balances 84,500 From Closing Nonlapsing Balances (84,500) Schedule of Programs: State Hospital Patient Trust Fund 1,105,700 Item 81 To Department of Human Services - Human Services ORS Support Collections From Trust and Agency Funds 207,583,500 Schedule of Programs: Human Services ORS Support Collections 207,583,500 State Board of Education Item 82 To State Board of Education - Individuals with Visual Impairment Vendor Fund From Trust and Agency Funds 129,000 From Beginning Nonlapsing Balances 65,700 From Closing Nonlapsing Balances (44,200) Schedule of Programs: Individuals with Visual Disabilities Vendor Fund 150,500 The Legislature intends that the Utah State Office of Rehabilitation report on the following performance measures for the Individuals with Visual Impairment Vendor Fund: (1) Fund will be used to assist different business locations with purchasing upgraded equipment (Target = 8), (2) Fund will be used to assist different business locations with repairing and maintaining of equipment (Target = 25 ), and (3) Maintain or increase total yearly contributions to the Business Enterprise Program Owner Set Aside Fund (part of the Visual Impairment Vendor fund) (Target = $53,900 yearly contribution amount) by October 15, 2016 to the Social Services Appropriations Subcommittee. Section 3. Effective Date. If approved by two-thirds of all the members elected to each house, Section 1 of this bill takes effect upon approval by the Governor, or the day following the constitutional time limit of Utah Constitution Article VII, Section 8 without the Governor's signature, or in the case of a veto, the date of override. Section 2 of this bill takes effect on July 1, 2016.