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HCS CSSB 192(FIN): "An Act making and amending appropriations and reappropriations; making appropriations under art. IX, sec. 17(c), Constitution of the State of Alaska, from the constitutional budget reserve fund; and providing for an effective date."

00HOUSE CS FOR CS FOR SENATE BILL NO. 192(FIN) 01 "An Act making and amending appropriations and reappropriations; making 02 appropriations under art. IX, sec. 17(c), Constitution of the State of Alaska, from 03 the constitutional budget reserve fund; and providing for an effective date." 04 BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF ALASKA: 05 (SECTION 1 OF THIS ACT BEGINS ON PAGE 2) 06 * Sec. 3. ALASKA CLEAN WATER FUND. The sum of $9,650,400 is appropriated to 07 the Alaska clean water fund (AS 46.03.032) for the Alaska clean water loan program from the 08 following sources: 09 Alaska clean water fund revenue bond receipts $1,608,400 10 Federal receipts 8,042,000 11 * Sec. 4. ALASKA DRINKING WATER FUND. (a) The sum of $9,308,400 is 12 appropriated to the Alaska drinking water fund (AS 46.03.036) for the Alaska drinking water 13 loan program from the following sources: 14 General fund match $1,551,400

01 Federal receipts 7,757,000 02 (b) Contingent upon the passage by the Twenty-First Alaska State Legislature and the 03 enactment into law of HB 304, or a substantially similar bill relating to the issuance and sale 04 of revenue bonds for drinking water projects, (a) of this section is amended read: 05  (a) The sum of $9,308,400 is appropriated to the Alaska drinking water fund 06 (AS 46.03.036) for the Alaska drinking water loan program from the following 07 sources: 08 General fund match $951,400 [$1,551,400] 09 Alaska drinking water fund 600,000 10 revenue bond receipts 11 Federal receipts 7,757,000 12 * Sec. 5. ALASKA INDUSTRIAL DEVELOPMENT AND EXPORT AUTHORITY 13 DIVIDEND. The sum of $18,500,000 that was declared available by the Alaska Industrial 14 Development and Export Authority Board of Directors for appropriation as the fiscal year 15 2001 dividend from the unrestricted balance in the Alaska Industrial Development and Export 16 Authority revolving fund (AS 44.88.060), is appropriated in secs. 1 and 6 of this Act. 17 * Sec. 6. CAPITAL PROJECT MATCHING GRANT PROGRAMS. (a) The sum of 18 $15,000,000 is appropriated from the Alaska Industrial Development and Export Authority 19 revolving fund (AS 44.88.060) to the following funds in the Department of Community and 20 Economic Development, in the amounts stated, to provide capital project matching grants: 21 Municipal capital project matching grant $13,175,000 22 fund (AS 37.06.010(b)) 23 Unincorporated community capital project 1,825,000 24 matching grant fund (AS 37.06.020(b)) 25 (b) An amount equal to the interest earned on money in the individual grant accounts 26 in the municipal capital project matching grant fund (AS 37.06.010(b)) and the unincorporated 27 community capital project matching grant fund (AS 37.06.020(b)) is appropriated from the 28 general fund to the respective funds. The interest is calculated using the average percentage 29 interest rate received by other accounts in the state's general investment fund that received 30 interest during fiscal year 2000. The appropriations made by this subsection are allocated pro 31 rata to each individual grant account based on the balance of the account on the close of

01 business on June 30, 2000. 02 * Sec. 7. DEPARTMENT OF PUBLIC SAFETY. (a) An amount equal to the proceeds 03 from the sale of seven patrol vessels, including parts inventory, by the Department of Public 04 Safety is appropriated from the general fund to the Department of Public Safety for the 05 purchase of replacement vessels. 06 (b) An amount equal to the proceeds from the sale of three aircraft, including parts 07 inventory, by the Department of Public Safety is appropriated from the general fund to the 08 Department of Public Safety for the purchase of replacement aircraft. 09 * Sec. 8. FEDERAL AND OTHER PROGRAM RECEIPTS. (a) Federal or other program 10 receipts as defined in AS 37.05.146 that exceed the amounts appropriated by this Act are 11 appropriated conditioned upon compliance with the program review provisions of 12 AS 37.07.080(h). 13 (b) If federal or other program receipts as defined in AS 37.05.146 exceed the 14 estimates appropriated by this Act, the appropriations from state funds for the affected 15 program may be reduced by the excess if the reductions are consistent with applicable federal 16 statutes. 17 (c) If federal or other program receipts as defined in AS 37.05.146 fall short of the 18 estimates appropriated by this Act, the affected appropriation is reduced by the amount of the 19 shortfall in receipts. 20 * Sec. 9. RURAL ELECTRIFICATION REVOLVING LOAN FUND. Notwithstanding 21 AS 42.45.020(g), the balance of the rural electrification revolving loan fund (AS 42.45.020) 22 on June 30, 2000, is appropriated to the Department of Community and Economic 23 Development for the electrical emergencies program. 24 * Sec. 10. TRANS-ALASKA PIPELINE LIABILITY FUND. The sum of $18,501,298.75, 25 available from the state's rebate share of the federal Trans-Alaska Pipeline Liability Fund and 26 all investment earnings on this sum while in the custody of the state until fully expended are 27 appropriated to the Alaska Energy Authority for petroleum remediation at rural Alaska bulk 28 fuel facilities in accordance with federal law (P.L. 101-380, sec. 8102(a)(2)(B)(i)), requiring 29 that the rebate be used for the remediation of above-ground storage tanks. 30 * Sec. 11. ELECTION DISTRICT 24. Section 38(a), ch. 2, FSSLA 1999, is amended to 31 read:

01  (a) The sum of $15,000 of the unexpended and unobligated balance of the 02 appropriation made in sec. 62(a)(3), ch. 139, SLA 1998 (Boys & Girls Club for 03 Muldoon Clubhouse - $39,531) is reappropriated to the Department of Community and 04 Economic Development [REGIONAL AFFAIRS] for payment as a grant under 05 AS 37.05.315 [AS 37.05.316] to the Municipality of Anchorage for South Fork Fire 06 Department [FOR] equipment and land acquisition. 07 * Sec. 12. FISH AND GAME FUND. The amount of revenue received from the sale of 08 Chitina dip net fishing permits (AS 16.05.340(a)(22)) during the period January 1 through 09 June 30, 2000, and for the fiscal year ending June 30, 2001, is appropriated to the fish and 10 game fund (AS 16.05.100). 11 * Sec. 13. ALASKA COLLEAGUES IN CARING PROGRAM. Notwithstanding any 12 other appropriation of FY 2001 program receipts of the Department of Community and 13 Economic Development, division of occupational licensing, the sum of $140,000 is 14 appropriated from nursing license fees received by the Department of Community and 15 Economic Development during FY 2001 to the Department of Community and Economic 16 Development, division of occupational licensing, Board of Nursing, for the Alaska Colleagues 17 in Caring program for the fiscal year ending June 30, 2001. 18 * Sec. 14. CAPITAL PROJECT MATCHING GRANTS FOR MUNICIPALITIES. (a) 19 Subject to the conditions set out in (b) of this section, the sum of $1,359,990 is appropriated 20 from the appropriate individual grant accounts in the municipal capital project matching grant 21 fund (AS 37.06.010) to the Department of Community and Economic Development for 22 payment as grants under AS 37.06.010 to the following municipalities in the amounts and for 23 the purposes stated: 24 Akhiok Community Facilities and Equipment $ 56,196 25 Akiak Community Facilities and Equipment 26,425 26 Anvik Community Facilities and Equipment 25,005 27 Atka Community Facilities and Equipment 25,000 28 Atqasuk Community Facilities and Equipment 144,039 29 Buckland Community Facilities and Equipment 30,071 30 Eek Community Facilities and Equipment 133,747 31 Gambell Community Facilities and Equipment 25,000

01 Goodnews Bay Community Facilities and Equipment 25,000 02 Grayling Community Facilities and Equipment 55,976 03 Hoonah Community Facilities and Equipment 26,820 04 Hooper Bay Community Facilities and Equipment 89,565 05 Hughes Community Facilities and Equipment 50,000 06 Marshall Community Facilities and Equipment 25,029 07 Mekoryuk Community Facilities and Equipment 52,079 08 Mountain Village Community Facilities and Equipment 25,000 09 Napakiak Community Facilities and Equipment 25,000 10 Newhalen Community Facilities and Equipment 25,015 11 Nightmute Community Facilities and Equipment 26,696 12 North Slope Borough Community Facilities and Equipment 184,766 13 Northwest Arctic Community Facilities and Equipment 26,883 14 Borough 15 Pilot Station Community Facilities and Equipment 53,569 16 Port Heiden Community Facilities and Equipment 25,000 17 Port Lions Community Facilities and Equipment 25,099 18 Ruby Community Facilities and Equipment 28,000 19 Savoonga Community Facilities and Equipment 25,000 20 Selawick Community Facilities and Equipment 25,000 21 Stebbins Community Facilities and Equipment 25,010 22 Unalakleet Community Facilities and Equipment 25,000 23 Wales Community Facilities and Equipment 25,000 24 (b) The appropriations made by (a) of this section are made contingent on the 25 grantee's complying before July 1, 2001, with the requirements, other than deadlines, set out 26 in AS 37.06. 27 * Sec. 15. CAPITAL PROJECT MATCHING GRANTS FOR UNINCORPORATED 28 COMMUNITIES. (a) Subject to the conditions set out in (b) of this section, the sum of 29 $920,537 is appropriated from the appropriate individual grant accounts in the unincorporated 30 community capital project matching grant fund (AS 37.06.020) to the Department of 31 Community and Economic Development for payment as grants under AS 37.06.020 to the

01 following unincorporated communities in the amounts and for the purposes stated: 02 Birch Creek Community Facilities and Equipment $ 26,421 03 Chistochina Community Facilities and Equipment 25,000 04 Deltana Community Facilities and Equipment 25,039 05 Four Mile Road Community Facilities and Equipment 25,653 06 Gakona Community Facilities and Equipment 29,311 07 Healy Lake Community Facilities and Equipment 25,014 08 Klukwan Community Facilities and Equipment 51,615 09 Kongiganak Community Facilities and Equipment 28,069 10 Lake Minchumina Community Facilities and Equipment 56,360 11 Mentasta Lake Community Facilities and Equipment 25,056 12 Nelchina/Mendeltna Community Facilities and Equipment 25,069 13 Nikolski Community Facilities and Equipment 57,315 14 Oscarville Community Facilities and Equipment 55,879 15 Pitka's Point Community Facilities and Equipment 25,002 16 Port Protection Community Facilities and Equipment 25,001 17 Rampart Community Facilities and Equipment 25,026 18 Red Devil Community Facilities and Equipment 25,001 19 Silver Springs Community Facilities and Equipment 25,663 20 Takotna Community Facilities and Equipment 56,180 21 Tatitlek Community Facilities and Equipment 25,036 22 Tazlina Community Facilities and Equipment 26,311 23 Tununak Community Facilities and Equipment 25,021 24 Tuntutuliak Community Facilities and Equipment 25,074 25 Twin Hills Community Facilities and Equipment 25,003 26 Whale Pass Community Facilities and Equipment 25,186 27 Central Community Facilities and Equipment 56,170 28 Gulkana Community Facilities and Equipment 25,000 29 Slana Community Community Facilities and Equipment 25,005 30 Arctic Village Community Facilities and Equipment 25,057 31 (b) The appropriations made by (a) of this section are made contingent on the

01 grantee's complying before July 1, 2001, with the requirements, other than deadlines, set out 02 in AS 37.06. 03 * Sec. 16. AIR SHOW. The sum of $10,000 is appropriated from the general fund to the 04 Department of Military and Veterans' Affairs for payment as a grant under AS 37.05.316 to 05 the Air Force Association for fuel at the Elmendorf Air Force Base in June 2000, for the 80th 06 anniversary of the Third Wing. 07 * Sec. 17. DEPARTMENT OF LAW. The unexpended and unobligated general fund 08 balance, not to exceed $250,000, of the appropriation made in sec. 43, ch. 84, SLA 1999, page 09 37, lines 29 - 30 (Oil and Gas Litigation and Legal Services - $5,658,100) is reappropriated 10 to the Department of Law for costs of oil and gas litigation and legal services for the fiscal 11 year ending June 30, 2001. 12 * Sec. 18. CONSTITUTIONAL BUDGET RESERVE FUND. (a) Amounts equal to the 13 deposits in the budget reserve fund (art. IX, sec. 17, Constitution of the State of Alaska) for 14 fiscal year 2000 that were made from subfunds and accounts other than the operating general 15 fund (state accounting system fund number 11100) by operation of art. IX, sec. 17(d), 16 Constitution of the State of Alaska, to repay appropriations from the budget reserve fund are 17 appropriated from the budget reserve fund to the subfunds and accounts from which they were 18 transferred. 19 (b) If the unrestricted state revenue available for appropriation in fiscal year 2001 is 20 insufficient to cover the general fund appropriations made for fiscal year 2001, the amount 21 necessary to balance revenue and general fund appropriations is appropriated to the general 22 fund from the budget reserve fund (art. IX, sec. 17, Constitution of the State of Alaska). 23 (c) The appropriations in (a) and (b) of this section are made under art. IX, sec. 17(c), 24 Constitution of the State of Alaska. 25 * Sec. 19. MEDICAID SERVICES. (a) Section 43, ch. 84, SLA 1999, page 42, lines 17 - 26 18, is amended to read: 27 APPROPRIATION GENERAL OTHER 28 ITEMS FUND FUNDS 29 Council on Domestic Violence and 9,832,800 3,729,100 6,103,700 30 Sexual Assault [8,832,800] [5,103,700] 31 (b) Section 43, ch. 84, SLA 1999, page 31, line 23, is amended to read:

01 APPROPRIATION GENERAL OTHER 02 ITEMS FUND FUNDS 03 Purchased Services 39,138,400 25,831,800 13,306,600 04 [38,138,400] [12,306,600] 05 (c) Section 43, ch. 84, SLA 1999, page 33, line 33, is amended to read: 06 APPROPRIATION GENERAL OTHER 07 ITEMS FUND FUNDS 08 State Health Services 72,530,500 22,133,600 50,396,900 09 [71,990,500] [49,856,900] 10 (d) Section 3, ch. 85, SLA 1999, page 5, line 27, is amended to read: 11 APPROPRIATION GENERAL OTHER 12 ITEMS FUND FUNDS 13 State Health Services 4,979,700 4,419,700 560,000 14 [4,519,700] [100,000] 15 (e) Section 43, ch. 84, SLA 1999, page 31, lines 3 - 5, is amended to read: 16 APPROPRIATION GENERAL OTHER 17 ALLOCATIONS ITEMS FUND FUNDS 18 Public Assistance 89,846,600 25,272,100 64,574,500 19 Administration [86,846,600] [61,574,500] 20 Public Assistance 4,525,000 21 Administration [1,525,000] 22 (f) The sum of $1,000,000 is reappropriated from the unexpended and unobligated 23 balance of general funds appropriated by sec. 43, ch. 84, SLA 1999, page 42, lines 17 - 18, 24 as amended by (a) of this section (Council on Domestic Violence and Sexual Assault - 25 $9,832,800) to the Department of Health and Social Services for medicaid services for the 26 fiscal year ending June 30, 2001. The amount of general funds appropriated by sec. 43, 27 ch. 84, SLA 1999, page 42, lines 17 - 18, as amended by (a) of this section, is reduced by the 28 amount reappropriated by this subsection. 29 (g) The sum of $1,000,000 is reappropriated from the unexpended and unobligated 30 balance of general funds appropriated by sec. 43, ch. 84, SLA 1999, page 31, line 23, as 31 amended by (b) of this section (Purchased Services - $39,138,400) to the Department of

01 Health and Social Services for medicaid services for the fiscal year ending June 30, 2001. 02 The amount of general funds appropriated by sec. 43, ch. 84, SLA 1999, page 31, line 23, as 03 amended by (b) of this section, is reduced by the amount reappropriated by this subsection. 04 (h) The sum of $540,000 is reappropriated from the unexpended and unobligated 05 balance of general funds appropriated by sec. 43, ch. 84, SLA 1999, page 33, line 33, as 06 amended by (c) of this section (State Health Services - $72,530,500) to the Department of 07 Health and Social Services for medicaid services for the fiscal year ending June 30, 2001. 08 The amount of general funds appropriated by sec. 43, ch. 84, SLA 1999, page 33, line 33, as 09 amended by (c) of this section, is reduced by the amount reappropriated by this subsection. 10 (i) The sum of $460,000 is reappropriated from the unexpended and unobligated 11 balance of general funds/mental health appropriated by sec. 3, ch. 85, SLA 1999, page 5, line 12 27, as amended by (d) of this section (State Health Services - $4,979,700) to the Department 13 of Health and Social Services for medicaid services for the fiscal year ending June 30, 2001. 14 The amount of general funds/mental health appropriated by sec. 3, ch. 85, SLA 1999, page 5, 15 line 27, as amended by (d) of this section, is reduced by the amount reappropriated by this 16 subsection. 17 * Sec. 20. DEPARTMENT OF ADMINISTRATION. (a) The sum of $706,300 is 18 appropriated from the general fund to the Department of Administration for the leasing 19 program for the fiscal year ending June 30, 2000. 20 (b) The sum of $747,800 is appropriated from benefit systems receipts to the 21 Department of Administration, division of retirement and benefits, group health, for retiree and 22 long-term care plan costs for the fiscal year ending June 30, 2000. 23 (c) The sum of $100,000 is appropriated from the public employees retirement trust 24 fund (AS 39.35.020(6)) to the Department of Administration, division of retirement and 25 benefits, for costs associated with an unexpected Public Employees' Retirement Board election 26 for the fiscal year ending June 30, 2000. 27 (d) Section 85(a), ch. 2, FSSLA 1999, is amended to read: 28  (a) The unexpended and unobligated balance on June 30, 1999, not to exceed 29 $250,000, of the appropriation from the general fund made in sec. 31, ch. 137, SLA 30 1998, page 26, lines 6 - 14, as amended by sec. 9(b), ch. 2, SLA 1999 (K-12 support - 31 $726,760,700), is reappropriated to the Department of Administration for the following

01 purposes in the amounts listed: 02 Satellite interconnection project management, $150,000 03 equipment replacement , and repair 04 Pioneers' Homes health and safety repairs 100,000 05 (e) Section 43, ch. 84, SLA 1999, page 18, line 18, is amended to read: 06 APPROPRIATION GENERAL OTHER 07 ITEMS FUND FUNDS 08 Public Communications 4,584,900 4,111,200 473,700 09 Services [4,011,200] [573,700] 10 (f) The sum of $508,800 is appropriated from the general fund to the Department of 11 Administration, office of public advocacy, for operating costs for the fiscal year ending 12 June 30, 2000. 13 (g) The sum of $223,500 is appropriated from the general fund to the Department of 14 Administration, public defender agency, for operating costs for the fiscal year ending June 30, 15 2000. 16 (h) The sum of $100,000 is appropriated from designated program receipts to the 17 Department of Administration, office of public advocacy, for operating costs for the fiscal year 18 ending June 30, 2000. 19 * Sec. 21. ALASKA CHILDREN'S TRUST. (a) The amount received from the issuance 20 of heirloom birth certificates during the fiscal year ending June 30, 2001, is appropriated from 21 program receipts to the Alaska children's trust (AS 37.14.200). 22 (b) The amount received from the issuance of special request Alaska children's trust 23 plates during the fiscal years ending June 30, 2000, and June 30, 2001, is appropriated from 24 program receipts to the Alaska children's trust (AS 37.14.200). 25 * Sec. 22. ALASKA COURT SYSTEM. The sum of $19,000 is appropriated from the 26 general fund to the Alaska Court System, Commission on Judicial Conduct, for attorney fees 27 for the fiscal year ending June 30, 2000. 28 * Sec. 23. ALASKA PERMANENT FUND CORPORATION. The sum of $4,000,000 is 29 appropriated from Alaska Permanent Fund Corporation receipts to the Alaska Permanent Fund 30 Corporation for investment management costs, including management fees and safekeeping 31 and custody, for the fiscal year ending June 30, 2000.

01 * Sec. 24. MATANUSKA-SUSITNA BOROUGH AND ALASKA RAILROAD 02 CORPORATION. (a) The unexpended and unobligated balance of the appropriation made 03 by sec. 145(a), ch. 208, SLA 1990, as amended by sec. 55, ch. 100, SLA 1997 (Alaska 04 Railroad Corporation - $9,000,000), is reappropriated 05 (1) one-half to the Department of Community and Economic Development for 06 payment as a grant under AS 37.05.315 to the Matanuska-Susitna Borough for Point 07 MacKenzie port development and associated rail line improvements within the borough; and 08 (2) one-half to the Alaska Railroad Corporation for the purchase of 09 locomotives, rolling stock, and associated equipment and rail line improvements in the 10 Matanuska-Susitna Borough, to facilitate the development of coal deposits in the 11 Matanuska-Susitna Valley. 12 (b) The unexpended and unobligated balance of the appropriation made by sec. 145(b), 13 ch. 208, SLA 1990, added by sec. 56, ch. 100, SLA 1997, as amended by sec. 40(b), ch. 2, 14 FSSLA 1999 (Alaska Railroad Corporation), is reappropriated 15 (1) one-half to the Department of Community and Economic Development for 16 payment as a grant under AS 37.05.315 to the Matanuska-Susitna Borough for Point 17 MacKenzie port development and associated rail line improvements within the borough; and 18 (2) one-half to the Alaska Railroad Corporation for the purchase of 19 locomotives, rolling stock, and associated equipment and rail line improvements in the 20 Matanuska-Susitna Borough, to facilitate the development of coal deposits in the 21 Matanuska-Susitna Valley. 22 (c) The interest and income earned by the Alaska Railroad Corporation from the 23 investment or deposit of the amounts appropriated under (a)(2) and (b)(2) of this section shall 24 be deposited into the general fund on July 1 of each fiscal year. 25 * Sec. 25. DISASTER RELIEF FUND. The sum of $23,713,349 is appropriated to the 26 disaster relief fund (AS 26.23.300(a)) for the declared Central Gulf Coast storm systems 27 disaster and to capitalize the fund from the following sources: 28 General fund $ 6,640,800 29 Federal receipts 17,072,549 30 * Sec. 26. DEPARTMENT OF HEALTH AND SOCIAL SERVICES. (a) The sum of 31 $440,500 is appropriated from the general fund to the Department of Health and Social

01 Services for adult public assistance payments for the fiscal year ending June 30, 2000. 02 (b) The sum of $292,200 is appropriated from the general fund to the Department of 03 Health and Social Services for the old age assistance - Alaska longevity bonus hold harmless 04 program for the fiscal year ending June 30, 2000. 05 (c) The sum of $3,219,200 is appropriated to the Department of Health and Social 06 Services for costs of the foster care program for the fiscal year ending June 30, 2000, from 07 the following sources: 08 General fund $2,175,800 09 Federal receipts 1,043,400 10 (d) The sum of $408,900 is appropriated from federal receipts to the Department of 11 Health and Social Services to subsidize adoption and guardianship costs for the fiscal year 12 ending June 30, 2000. 13 (e) The sum of $261,800 is appropriated from federal receipts to the Department of 14 Health and Social Services for operating costs of front-line social workers for the fiscal year 15 ending June 30, 2000. 16 (f) The sum of $70,000 is appropriated from the general fund to the Department of 17 Health and Social Services for operating costs of the McLaughlin Youth Center for the fiscal 18 year ending June 30, 2000. 19 (g) The sum of $22,122,000 is appropriated to the Department of Health and Social 20 Services, Medicaid Services, for operating costs for the fiscal year ending June 30, 2000, from 21 the following sources: 22 Designated program receipts $12,005,200 23 Federal receipts 10,116,800 24 (h) The sum of $70,000 is appropriated from designated program receipts to the 25 Department of Health and Social Services, division of juvenile justice, for operating costs 26 associated with the Star Schools program for the fiscal year ending June 30, 2000. 27 (i) The sum of $57,000 is appropriated from the general fund to the Department of 28 Health and Social Services for operating costs of the Bethel Youth Facility for the fiscal year 29 ending June 30, 2000. 30 (j) The federal receipts, not to exceed $72,500, due to the Department of Corrections 31 as of June 30, 2000, that exceed the authorization for federal receipts from housing federal

01 prisoners in sec. 43, ch. 84, SLA 1999, page 21, line 32, and allocated on page 22, line 20, 02 are appropriated to the Department of Health and Social Services for operation of the 03 Ketchikan Regional Youth Facility for the fiscal year ending June 30, 2001. 04 * Sec. 27. JUDGMENTS AND CLAIMS. (a) The sum of $1,471,200 is appropriated to 05 the Department of Law to pay judgments and claims against the state for the fiscal year ending 06 June 30, 2000, from the following sources: 07 General fund $ 1,455,300 08 Permanent fund dividend fund 4,400 09 Public employees retirement trust fund (AS 39.35.020(6)) 11,500 10 (b) The sum of $1,786,100 is appropriated from the general fund to the University of 11 Alaska to pay a judgment against the university for the fiscal year ending June 30, 2000. 12 * Sec. 28. DEPARTMENT OF LAW. Section 73(a), ch. 2, FSSLA 1999, is amended to 13 read: 14  (a) The sum of $575,000 is appropriated to the Department of Law, 15 governmental affairs, to investigate and prosecute the claims of state and municipal 16 agencies against the Bank of America and certain other affiliated banks for the fiscal 17 years ending June 30, 1999, [AND] June 30, 2000, and June 30, 2001, from the 18 following sources: 19 General fund $250,000 20 Statutory designated program receipts 325,000 21 * Sec. 29. DEPARTMENT OF MILITARY AND VETERANS' AFFAIRS. (a) The sum 22 of $212,400 is appropriated from federal receipts to the Department of Military and Veterans' 23 Affairs, air guard facilities maintenance, for operating costs for the fiscal year ending June 30, 24 2000. 25 (b) Section 53, ch. 100, SLA 1997, as amended by sec. 7, ch. 139, SLA 1998, and 26 sec. 22(a), ch. 2, FSSLA 1999, is amended to read: 27  Sec. 53. AMERICAN RED CROSS GRANT LAPSE EXTENSION. That 28 portion of the appropriation made in sec. 30, ch. 117, SLA 1996, page 39, line 8 29 (Department of Military and Veterans' Affairs for disaster planning and control - 30 $3,161,000) that was awarded by the department as a grant to the American Red Cross 31 lapses into the funds from which appropriated on June 30, 2001 [2000].

01 (c) Section 8, ch. 139, SLA 1998, as amended by sec. 22(b), ch. 2, FSSLA 1999, is 02 amended to read: 03  Sec. 8. LAPSE EXTENSION OF FY 1998 AMERICAN RED CROSS 04 GRANT. That portion of the appropriation made in sec. 39, ch. 98, SLA 1997, page 05 41, line 17 (Department of Military and Veterans' Affairs for disaster planning and 06 control - $3,341,600) that was awarded by the department as a grant to the American 07 Red Cross lapses into the funds from which appropriated on June 30, 2001 [2000]. 08 * Sec. 30. DEPARTMENT OF NATURAL RESOURCES. Section 12, ch. 2, FSSLA 09 1999, is amended to read: 10  Sec. 12. DEPARTMENT OF NATURAL RESOURCES. The unexpended and 11 unobligated balance of the appropriation made in sec. 9, ch. 139, SLA 1998 (DNR 12 appraisal of public school lands - $432,525) is reappropriated for the fiscal years 13 [YEAR] ending June 30, 2000, and June 30, 2001, to the Department of Natural 14 Resources for an appraisal of public school lands to determine the fair market value 15 of the public school trust land where the land was redesignated as general grant land 16 in 1978. 17 * Sec. 31. DEPARTMENT OF PUBLIC SAFETY. Section 9(b), ch. 84, SLA 1999, is 18 amended to read: 19  (b) Appropriations totaling the estimated amount of the deposits described in 20 (a) of this section and remaining unappropriated balances from prior-year 21 transfers for these purposes are made in sec. 43 of this Act to the Department of 22 Public Safety and the Department of Law for increased enforcement, investigation, and 23 prosecution of state fish and game laws. If the receipts appropriated to the fish and 24 game fund (AS 16.05.100) from the sources described in (a) of this section during 25 fiscal year 2000 and remaining unappropriated balances from prior-year transfers 26 for these purposes fall short of the estimates appropriated by this Act, each 27 department's appropriation set out in sec. 43 of this Act is reduced proportionately. 28 * Sec. 32. DEPARTMENT OF REVENUE. The sum of $150,000 is appropriated from 29 the general fund to the Department of Revenue, oil and gas audit, for a one-time challenged 30 property tax valuation for the fiscal years ending June 30, 2000, and June 30, 2001. 31 * Sec. 33. DEPARTMENT OF TRANSPORTATION AND PUBLIC FACILITIES. (a)

01 The sum of $80,000 is appropriated from designated program receipts to the Department of 02 Transportation and Public Facilities, central region design and engineering, for additional right- 03 of-way permitting activities for the fiscal year ending June 30, 2000. 04 (b) The sum of $1,377,000 is appropriated from the general fund to the Department 05 of Transportation and Public Facilities, marine highway system, for increased fuel costs for 06 the fiscal year ending June 30, 2000. 07 (c) The sum of $900,000 is appropriated from the international airports revenue fund 08 (AS 37.15.430) to the Department of Transportation and Public Facilities, Anchorage 09 International Airport, for additional capital costs of airport renovation. 10 (d) The unexpended and unobligated balance of the appropriation made by sec. 13(c), 11 ch. 8, SLA 2000 (Department of Transportation and Public Facilities - snow removal and road 12 opening - $248,900) is reappropriated to the Department of Transportation and Public 13 Facilities for the fiscal year ending June 30, 2000, for the costs of snow removal on, and 14 opening of, the Denali Highway and the Copper River Highway as far north as the Million 15 Dollar Bridge. It is the intent of the legislature that, if there is not sufficient money available 16 under this appropriation to fully fund snow removal on and opening of both highways, the 17 department use the available money to first open the Denali Highway. 18 (e) The sum of $820,000 is appropriated from the general fund to the Department of 19 Transportation and Public Facilities for the fiscal year ending June 30, 2000, and is allocated 20 for the following purposes in the amounts stated: 21 PURPOSE ALLOCATION 22 Central Region Facilities $ 31,700 23 Northern Region Facilities 89,000 24 Southeast Region Facilities 64,600 25 Central Region Highways and Aviation 189,000 26 Northern Region Highways and Aviation 298,000 27 Southeast Region Highways and Aviation 147,700 28 (f) Section 82, ch. 100, SLA 1997, page 67, lines 20 - 22, is amended to read: 29 ALLOCATIONS 30 Anchorage International 2,400,000 31 Airport - North and

01 South Terminal Ramp 02 Reconstruction (ED 10 - 25) 03 * Sec. 34. UNIVERSITY OF ALASKA. The sum of $1,000,000 is appropriated to the 04 University of Alaska for planning and design of a university museum from the following 05 sources: 06 University receipts $500,000 07 Federal receipts 500,000 08 * Sec. 35. MISCELLANEOUS CLAIMS. (a) The following amounts are appropriated 09 from the general fund to the following agencies to pay miscellaneous claims and stale-dated 10 warrants for the fiscal year ending June 30, 2000: 11 DEPARTMENT APPROPRIATION 12 Administration $36,528.11 13 Corrections 3,073.30 14 Education and Early Development 2,939.83 15 Environmental Conservation 5,351.13 16 Fish and Game 944.00 17 Health and Social Services 29,690.08 18 Law 7,245.65 19 Natural Resources 2,506.40 20 Public Safety 6,869.97 21 Transportation and Public Facilities 63.22 22 (b) The sum of $3,744.02 is appropriated from the Alaska marine highway system 23 fund (AS 19.65.060) to the Department of Transportation and Public Facilities to pay 24 miscellaneous claims and stale-dated warrants for the fiscal year ending June 30, 2000. 25 * Sec. 36. RATIFICATIONS. (a) The following departmental expenditures made in fiscal 26 years 1998 and 1999 are ratified to reverse the negative account balances in the Alaska state 27 accounting system in the amounts listed for each AR number. The appropriations from which 28 these expenditures were actually paid are amended by increasing them by the amount listed 29 as follows: 30 (1) Department of Administration 31 AR7688-98 RS 0270267 Personnel $ 2,379.50

01 (2) Former Department of Community and 02 Regional Affairs 03 (A) AR52902-98 AHFC/St Energy Prg-Ib 3,324.50 04 (B) AR52925-98 HSS/Admn Child Trust 24.19 05 (C) AR52926-98 JTPO/Peer Outreach 20.00 06 (D) AR52936-98 Rural Gov Commission 342.00 07 (3) Department of Health and Social Services 08 AR22520-99 Medicaid Services 3,271,600.00 09 (b) The expenditures by the Department of Natural Resources for fire suppression, in 10 the amount of $3,863,700, for the fiscal year ending June 30, 1999 (AR37931-99 Fire 11 Suppression) are ratified. 12 * Sec. 37. DEPARTMENT OF TRANSPORTATION AND PUBLIC FACILITIES. (a) 13 Section 58(d), ch. 2, FSSLA 1999, is amended to read: 14  (d) The [SUBJECT TO (e) OF THIS SECTION, THE] sum of $300,000 15 [$200,000] is appropriated to the Department of Transportation and Public Facilities 16 for installation of a sound barrier along the Muldoon Road curve from the following 17 sources: 18 General fund $175,000 19 Investment loss trust fund $100,000 20 (AS 37.14.300(a)) 21 Designated program receipts 25,000 22 (b) The sum of $100,000 is appropriated from the investment loss trust fund 23 (AS 37.14.300(a)) to the Department of Transportation and Public Facilities for payment as 24 a grant under AS 37.05.316 to the Basher local road service area for road maintenance and 25 repair. 26 * Sec. 38. PUBLIC SAFETY VESSEL REPLACEMENT. (a) The unexpended and 27 unobligated balance of the appropriation made in sec. 19, ch. 79, SLA 1993, page 20, line 21 28 (vessel seizure costs - $150,000) is reappropriated to the Department of Public Safety for fish 29 and wildlife protection vessel replacement. 30 (b) The unexpended and unobligated balance of the appropriation made in sec. 43, ch. 31 84, SLA 1999, page 41, line 33, to page 42, line 3 (village public safety officer program -

01 $7,498,000) is reappropriated to the Department of Public Safety for replacement patrol 02 vessels. 03 * Sec. 39. DEPARTMENT OF NATURAL RESOURCES. The sum of $200,000 is 04 appropriated from the special state land disposal income account (AS 38.04.022) to the 05 Department of Natural Resources for access to and development of state land for disposal, 06 including construction of a bridge, at Kenny Lake. 07 * Sec. 40. DEPARTMENT OF ENVIRONMENTAL CONSERVATION. Contingent upon 08 the passage by the Twenty-First Alaska State Legislature and the enactment into law of 09 HB 418, or a substantially similar bill designating certain receipts as program receipts, 10 appropriations of which are not made from the unrestricted general fund, the sum of $166,300 11 is appropriated from designated program receipts to the Department of Environmental 12 Conservation for costs associated with the food safety and sanitation program for inspection 13 of seafood processors for the fiscal year ending June 30, 2001. 14 * Sec. 41. REPAYMENT OF ALASKA DRINKING WATER FUND REVENUE BONDS. 15 Contingent upon the passage by the Twenty-First Alaska State Legislature and the enactment 16 into law of HB 304, or a substantially similar bill relating to the issuance and sale of revenue 17 bonds for drinking water projects, the sum of $650,000 is appropriated from interest earnings 18 of the Alaska drinking water fund (AS 46.03.036) to the Alaska drinking water fund revenue 19 bond redemption fund (AS 37.15.565) for payment of principal and interest, redemption 20 premium, and costs of issuance on bonds issued by the Alaska drinking water fund under 21 AS 37.15.560. 22 * Sec. 42. MARINE TRAINING PROGRAM LAPSE EXTENSIONS. (a) Section 31(a), 23 ch. 100, SLA 1997, as amended by sec. 50(a), ch. 2, FSSLA 1999, is amended to read: 24  (a) The unexpended and unobligated balance of the appropriation made in 25 sec. 76, ch. 123, SLA 1996 (marine training program based on simulation - $400,000) 26 lapses June 30, 2001 [2000]. 27 (b) Section 31(b), ch. 100, SLA 1997, as amended by sec. 50(b), ch. 2, FSSLA 1999, 28 is amended to read: 29  (b) The unexpended and unobligated balance, after the reappropriations made 30 by sec. 76, ch. 123, SLA 1996 (marine training program based on simulation - 31 $400,000), by sec. 96, ch. 103, SLA 1995 (facilities for long-term environmental

01 programs - $300,000), and by sec. 10, ch. 8, FSSLA 1994 (restoration and replacement 02 of natural resources - $1,750,000) of the appropriation made in sec. 12, ch. 79, SLA 03 1993 (research programs - $5,000,000) lapses June 30, 2001 [2000]. 04 * Sec. 43. PUPIL TRANSPORTATION. (a) The sum of $4,400,000 is appropriated from 05 Alaska Industrial Development and Export Authority corporate receipts for fiscal year 2000 06 to the Department of Education and Early Development for pupil transportation for the fiscal 07 year ending June 30, 2001. 08 (b) The sum of $200,000 is appropriated from the general fund to the Department of 09 Education and Early Development for pupil transportation for the fiscal year ending June 30, 10 2001. 11 * Sec. 44. DEPARTMENT OF CORRECTIONS. (a) The unexpended and unobligated 12 general fund balances on June 30, 2000, not to exceed $160,000, of the appropriations made 13 by sec. 43, ch. 84, SLA 1999, page 21, line 32 (Administration & Operations - $124,733,300), 14 sec. 43, ch. 84, SLA 1999, page 23, line 14 (Community Residential Centers - $15,681,800), 15 sec. 43, ch. 84, SLA 1999, page 23, line 21 (Out-of-State Contracts - $19,847,100), sec. 43, 16 ch. 84, SLA 1999, page 23, lines 22 - 23 (Point MacKenzie Rehabilitation Program - 17 $2,122,900), and sec. 43, ch. 84, SLA 1999, page 23, line 24 (Alternative Institutional Housing 18 - $200,000) are appropriated to the Department of Corrections for the offender trust account 19 HOFA. 20 (b) The unexpended and unobligated general fund balances on June 30, 2000, of the 21 appropriations made by sec. 43, ch. 84, SLA 1999, page 21, line 32 (Administration & 22 Operations - $124,733,300), sec. 43, ch. 84, SLA 1999, page 23, line 14 (Community 23 Residential Centers - $15,681,800), sec. 43, ch. 84, SLA 1999, page 23, line 21 (Out-of-State 24 Contracts - $19,847,100), sec. 43, ch. 84, SLA 1999, page 23, lines 22 - 23 (Point MacKenzie 25 Rehabilitation Program - $2,122,900), and sec. 43, ch. 84, SLA 1999, page 23, line 24 26 (Alternative Institutional Housing - $200,000) that remain after the appropriation made by (a) 27 of this section are appropriated to the Department of Corrections for operations of the 28 department during the fiscal year ending June 30, 2001. 29 * Sec. 45. OFFICE OF THE GOVERNOR. The unexpended and unobligated balances on 30 June 30, 2000, of the appropriations from the general fund made in sec. 43, ch. 84, SLA 1999, 31 page 29, line 30 (Commissions/Special Offices - $1,858,600), sec. 43, ch. 84, SLA 1999, page

01 30, line 3 (Executive Operations - $8,499,300), sec. 43, ch. 84, SLA 1999, page 30, line 9 02 (Office of Management & Budget - $6,378,300), and sec. 43, ch. 84, SLA 1999, page 30, line 03 13 (Elective Operations - $2,039,600) are reappropriated to the Office of the Governor for a 04 contingency fund for the fiscal year ending June 30, 2001. 05 * Sec. 46. ALASKA NATIONAL GUARD. The sum of $100,000 is appropriated as a 06 return of capital from corporate receipts of the student loan fund (AS 14.42.210) to the Alaska 07 Commission on Postsecondary Education for payment in fiscal year 2001 to the Alaska 08 National Guard to pay the University of Alaska for course credits for continuing educational 09 benefits to members of the Alaska National Guard. 10 * Sec. 47. LAPSE REAPPROPRIATIONS. (a) The unexpended and unobligated balances, 11 after the reappropriations made by (b) - (i) of this section, of the appropriations made in 12 sec. 43, ch. 84, SLA 1999, page 50, line 19 (Budget and Audit Committee - $6,196,100), and 13 sec. 43, ch. 84, SLA 1999, page 50, line 24 (Legislative Council - $19,710,100) are 14 reappropriated to the Legislative Council for administrative services for the fiscal year ending 15 June 30, 2001. 16 (b) The unexpended and unobligated balances, not to exceed a total of $250,000, of 17 the appropriation made in sec. 43, ch. 84, SLA 1999, page 50, line 19, and allocated on page 18 50, line 20 (Legislative Audit - $2,602,000) and of the appropriation made in sec. 43, ch. 84, 19 SLA 1999, page 50, line 24, and allocated on page 50, line 25 (Salaries and Allowances - 20 $4,162,100) are reappropriated to the Legislative Budget and Audit Committee for a 21 comprehensive study conducted by or for the Legislative Budget and Audit Committee to 22 evaluate in-state residential educational alternatives. The study is to be delivered to the 23 legislature on or before January 15, 2001. 24 (c) The unexpended and unobligated balances of the appropriation made in sec. 43, 25 ch. 84, SLA 1999, page 50, line 19, and allocated on page 50, line 20 (Legislative Audit - 26 $2,602,000) and of the appropriation made in sec. 43, ch. 84, SLA 1999, page 50, line 24, and 27 allocated on page 50, line 25 (Salaries and Allowances - $4,162,100) that are not 28 reappropriated by (b) of this section, are reappropriated to the Legislative Budget and Audit 29 Committee for operating costs for the Legislative Budget and Audit Committee for the fiscal 30 year ending June 30, 2001. 31 (d) The unexpended and unobligated balance of that portion of the appropriation made

01 in sec. 43, ch. 84, SLA 1999, page 50, line 19, and allocated on page 50, line 21 (Legislative 02 Finance - $2,959,100) that was directed by the Legislative Budget and Audit Committee to the 03 accounts in the Legislative Affairs Agency for the House Finance Committee and the Senate 04 Finance Committee is reappropriated to the Legislative Budget and Audit Committee for those 05 accounts, respectively, for operating costs for the fiscal year ending June 30, 2001. 06 (e) Section 64(e), ch. 2, FSSLA 1999, is amended to read: 07  (e) The unexpended and unobligated balance of the appropriation made in sec. 08 90, ch. 139, SLA 1998, (House Special Committee on World Trade and State/Federal 09 Relations, Legislative Council, Council on State Governments) is reappropriated to the 10 Legislative Council for the Council of State Governments annual meeting, for the 11 House Special Committee on World Trade and State/Federal Relations, and for the 12 Legislative Council for the fiscal years [YEAR] ending June 30, 2000 , and June 30, 13 2001 . 14 (f) Section 64(f), ch. 2, FSSLA 1999, is amended to read: 15  (f) Contingent upon the passage of a concurrent resolution by the First Regular 16 Session of the Twenty-First Alaska State Legislature establishing a long-term care task 17 force, the unexpended and unobligated balance of the appropriation made by sec. 32, 18 ch. 137, SLA 1998, page 71, lines 19 - 20 (SCR 11 - Long-Term Care Task Force - 19 $20,700) is reappropriated to the Legislative Council for the operation of a long-term 20 care task force for the fiscal years [YEAR] ending June 30, 2000 , and June 30, 2001 . 21 (g) The unexpended and unobligated balance of the appropriation made by sec. 44, 22 ch. 84, SLA 1999, page 51, lines 24 - 25 (SB 33 Task Force on Privatization - $26,000) is 23 reappropriated to the Legislative Council for operating costs for the fiscal year ending June 30, 24 2001. 25 (h) The unexpended and unobligated balances of those portions of the appropriation 26 made in sec. 43, ch. 84, SLA 1999, page 50, line 24, and allocated on page 50, line 28 27 (Council and Subcommittees - $574,200) that were directed by the Legislative Council to the 28 accounts in the Legislative Affairs Agency for Legislative Council, Administrative Regulation 29 Review, and Joint Armed Services are reappropriated to the Legislative Council for operating 30 costs for the fiscal year ending June 30, 2001. 31 (i) The unexpended and unobligated balances of the appropriation made in sec. 43, ch.

01 84, SLA 1999, page 50, line 19, and allocated on page 50, line 23 (Committee Expenses - 02 $143,200), of the appropriation made in sec. 43, ch. 84, SLA 1999, page 50, line 24, and 03 allocated on page 50, line 27 (Session Expenses - $5,947,000), and of the appropriation made 04 in sec. 43, ch. 84, SLA 1999, page 50, line 31 (Legislative Operating Budget - $5,720,100) 05 are reappropriated to Senate and House Leadership for Senate and House leadership expenses 06 for the fiscal year ending June 30, 2001. 07 * Sec. 48. UNIVERSITY OF ALASKA MUSEUM. The sum of $15,500,000 is 08 appropriated to the University of Alaska for planning, design, and construction of a university 09 museum from the following sources: 10 University receipts $10,500,000 11 Federal receipts 5,000,000 12 * Sec. 49. DEPARTMENT OF ENVIRONMENTAL CONSERVATION. (a) Section 100, 13 ch. 2, FSSLA 1999, page 47, lines 11 - 12, is amended to read: 14 ALLOCATIONS 15 Unalaska Water and 63,400 16 Sewer Improvements 17 and Water Quality 18 Enhancement 19 Projects [WASTEWATER 20 TREATMENT PLANT 21 UPGRADE] (ED 40) 22 (b) Section 19, ch. 79, SLA 1993, page 41, lines 28 - 29, as amended by sec. 64, 23 ch. 8, FSSLA 1994, by sec. 31(f), ch. 123, SLA 1996, and by sec. 35(d), ch. 100, SLA 1997, 24 is amended to read: 25 ALLOCATIONS 26 Unalaska - Icy Creek 2,850,000 27 Dam Design and 28 Construction, Municipal 29 Landfill, Water Storage 30 Tank, [AND] Wastewater 31 Treatment Upgrades , Water

01 and Sewer Improvements, 02 and Water Quality 03 Enhancement Projects (ED 40) 04 (c) Section 10, ch. 4, FSSLA 1994, page 30, lines 7 - 8, is amended to read: 05 ALLOCATIONS 06 Bethel - Piped Water 150,000 07 and Sewer Project 08 [ORIGINAL TOWNSITE 09 DESIGN] (ED 39) 10 (d) Section 135, ch. 103, SLA 1995, page 58, lines 21 - 22, is amended to read: 11 ALLOCATIONS 12 Bethel - [ORIGINAL 1,200,000 13 TOWNSITE] Piped 14 Water and Sewer 15 Project (ED 39) 16 (e) Section 100, ch. 2, FSSLA 1999, page 46, lines 21 - 22, is amended to read: 17 ALLOCATIONS 18 Klawock Solid Waste 135,000 19 [INCINERATOR] 20 Design and 21 Improvements (ED 5) 22 * Sec. 50. MEDICAID MANAGEMENT INFORMATION SYSTEM. The unexpended 23 and unobligated balance of general funds in the appropriation made in sec. 135, ch. 103, SLA 24 1995, page 37, lines 31 - 34 (Eligibility Information System (EIS) Enhancement/Electronic 25 Benefit Transfer Feasibility Study - $1,050,000) and the unexpended and unobligated balance, 26 not to exceed $323,500, of general funds in the appropriation made in sec. 135, ch. 103, SLA 27 1995, page 37, lines 29 - 30 (Medicaid Management Information System Reprocurement - 28 $8,069,600) are reappropriated to the Department of Health and Social Services for Medicaid 29 management information system reprocurement. 30 * Sec. 51. ANCHORAGE INTERNATIONAL AIRPORT CONSTRUCTION. (a) Subject 31 to (b) of this section, the amount earned by the investments authorized by AS 37.15.410 and

01 37.15.420 of the International Airports Construction Fund (AS 37.15.420) for the period 02 February 8, 1999, to June 30, 2001, after any payment required under 26 U.S.C. 148, not to 03 exceed $18,140,000, is appropriated from the International Airports Construction Fund 04 (AS 37.15.420) to the Department of Transportation and Public Facilities for construction costs 05 of the Anchorage International Airport Terminal Redevelopment Project. 06 (b) The appropriation in (a) of this section is contingent upon approval of the 07 expenditure authorized in (a) of this section by the signatory airlines in accordance with the 08 Anchorage International Airport operating agreement. 09 * Sec. 52. ELECTION DISTRICT 1. The unexpended and unobligated balance of the 10 appropriation made in sec. 10, ch. 4, FSSLA 1994, page 32, lines 21 - 23 (Saxman, upgrade 11 water/sewer system - Eagle and Killer Whale Avenues - $25,000) is reappropriated to the 12 Department of Community and Economic Development for payment as a grant under 13 AS 37.06.010 to the City of Saxman for the Saxman Carving Center. 14 * Sec. 53. ELECTION DISTRICT 2. The unexpended and unobligated balance of the 15 appropriation made in sec. 82, ch. 100, SLA 1997, page 84, lines 30 - 32 (Petersburg Second 16 Street Improvement Project Petersburg Hospital - $39,243) is reappropriated to the Department 17 of Community and Economic Development for payment as a grant under AS 37.06.010 to the 18 City of Petersburg for purchasing surfacing material for recreational ball fields. 19 * Sec. 54. (a) ELECTION DISTRICT 3. Section 135, ch. 103, SLA 1995, page 62, 20 lines 23 - 25, is amended to read: 21 APPROPRIATION OTHER 22 ITEMS FUNDS 23 Juneau, City and Borough Fire: Biohazard Cleanup/ 105,000 105,000 24 Decontamination System and Repairs and 25 Upgrades to the City's Fire Hall (ED 3) 26 (b) The unexpended and unobligated balance of the appropriation made in sec. 135, 27 ch. 103, SLA 1995, page 63, lines 4 - 6 (City and Borough of Juneau, Mt. Jumbo fire safety 28 improvements - $21,000) is reappropriated to the Department of Community and Economic 29 Development for payment as a grant under AS 37.06.010 to the City and Borough of Juneau 30 for parks and recreation: safety issues at the Mt. Jumbo Building. 31 * Sec. 55. ELECTION DISTRICT 6. The unexpended and unobligated balances of the

01 appropriations made in sec. 131, ch. 139, SLA 1998, page 46, lines 22 - 23 (Kodiak Monashka 02 Bay water and sewer planning and design - $156,500) and in sec. 100, ch. 2, FSSLA 1999, 03 page 46, lines 23 - 24 (Kodiak Monashka Bay water and sewer design, phase II - $186,300) 04 are reappropriated to the Department of Community and Economic Development for payment 05 as a grant under AS 37.06.010 to the City of Kodiak for Kodiak 2000 water and sewer 06 improvements. 07 * Sec. 56. ELECTION DISTRICT 7. (a) The unexpended and unobligated balance of the 08 appropriation made in sec. 135, ch. 103, SLA 1995, page 64, line 31 (Kachemak beach access 09 park - $25,000) is reappropriated to the Department of Community and Economic 10 Development for payment as a grant under AS 37.06.010 to the City of Kachemak for 11 recreational facilities reconstruction. 12 (b) Section 100, ch. 123, SLA 1996, page 76, lines 8 - 10, is amended to read: 13 APPROPRIATION OTHER 14 ITEMS FUNDS 15 Kachemak Homer Public Library [CITY OF HOMER/ 23,000 23,000 16 UNIVERSITY OF ALASKA ANCHORAGE 17 CONSORTIUM LIBRARY] (ED 7) 18 (c) Section 82, ch. 100, SLA 1997, page 80, line 17, is amended to read: 19 APPROPRIATION OTHER 20 ITEMS FUNDS 21 Kachemak - Recreational Facilities Reconstruction 55,472 55,472 22 [BASEBALL FIELD] (ED 7) 23 (d) Section 34(b), ch. 139, SLA 1998, is amended to read: 24  (b) Subject to the conditions set out in (c) of this section, the sum of $821,181 25 is appropriated from the appropriate individual grant accounts in the municipal capital 26 project matching grant fund (AS 37.06.010) to the Department of Administration for 27 payment as grants under AS 37.06.010 to the following municipalities in the amounts 28 and for the purposes stated: 29 Atqasuk Community facilities and equipment $85,537 30 Buckland Community facilities and equipment 26,325 31 Clark's Point Community facilities and equipment 25,470

01 Eek Community facilities and equipment 76,345 02 Fort Yukon Community facilities and equipment 25,006 03 Holy Cross Community facilities and equipment 76,345 04 Hoonah Community facilities and equipment 35,555 05 Kachemak Recreational [COMMUNITY] facilities 26,640 06 reconstruction [AND EQUIPMENT] 07 Koyuk Community facilities and equipment 25,000 08 Manokotak Community facilities and equipment 25,000 09 North Slope Borough Community facilities and equipment 64,669 10 Northwest Arctic Borough Community facilities and equipment 50,000 11 Nuiqsut Community facilities and equipment 104,110 12 Seldovia Community facilities and equipment 25,000 13 Shaktoolik Community facilities and equipment 50,000 14 Shishmaref Community facilities and equipment 25,000 15 Shungnak Community facilities and equipment 50,000 16 White Mountain Community facilities and equipment 25,179 17 * Sec. 57. ELECTION DISTRICT 8. The purpose of that portion of the appropriation 18 made in sec. 14, ch. 79, SLA 1993, and allocated under sec. 4(b), ch. 80, SLA 1993, to the 19 account in the municipal capital project matching grant fund that the Department of 20 Community and Economic Development holds in custody for the City of Seward under 21 AS 37.06.010(b), which was awarded as grant number 94/668-8-003 by the Department of 22 Administration for high school bike path extension, is amended to delete high school bike path 23 extension and to add community bike path extension. 24 * Sec. 58. ELECTION DISTRICT 24. (a) Section 38(a), ch. 2, FSSLA 1999, is amended 25 to read: 26  (a) The sum of $15,000 of the unexpended and unobligated balance of the 27 appropriation made in sec. 62(a)(3), ch. 139, SLA 1998 (Boys & Girls Club for 28 Muldoon Clubhouse - $39,531) is reappropriated to the Department of Community and 29 Economic Development [REGIONAL AFFAIRS] for payment as a grant under 30 AS 37.05.315 [AS 37.05.316] to the Municipality of Anchorage for South Fork Fire 31 Department [FOR] equipment and land acquisition.

01 (b) The unexpended and obligated balance of that portion of the appropriation made 02 by sec. 62(a), ch. 139, SLA 1998, that was awarded as a grant to the Anchorage Neighborhood 03 Health Center ($50,000) is reappropriated 04 (1) one-half to the Department of Community and Economic Development for 05 payment as a grant under AS 37.05.315 to the Municipality of Anchorage for a grant to the 06 Northeast Community Council to develop an area park master plan; and 07 (2) one-half to the Department of Health and Social Services for payment as 08 a grant under AS 37.05.316 to the Anchorage Boys and Girls Club, Eagle River facility for 09 tenant improvements, program development, and the purchase of equipment and supplies. 10 * Sec. 59. ELECTION DISTRICT 27. (a) The unexpended and unobligated balance of 11 the appropriation made in sec. 21, ch. 79, SLA 1993, page 101, lines 20 - 21 (City of Palmer 12 pedestrian safety corridors - $10,000) is reappropriated to the Department of Community and 13 Economic Development for payment as a grant under AS 37.05.315 to the City of Palmer for 14 purchase of an automatic external defibrillator for the Palmer police department. 15 (b) The unexpended and unobligated balance of the appropriation made in sec. 21, 16 ch. 79, SLA 1993, page 101, lines 9 - 10 (City of Palmer discretionary improvements - 17 $95,000) is reappropriated to the Department of Community and Economic Development for 18 payment as a grant under AS 37.05.315 to the City of Wasilla for purchase of an automatic 19 external defibrillator for the Wasilla police department. 20 (c) The unexpended and unobligated balance, not to exceed $10,000, of the 21 appropriation made in sec. 21, ch. 79, SLA 1993, page 101, lines 34 - 36, as amended by 22 sec. 40(a), ch. 2, FSSLA 1999 (Matanuska-Susitna Borough general purpose trails and 23 associated recreational developments and upgrades - $70,000) is reappropriated to the 24 Department of Community and Economic Development for payment as a grant under 25 AS 37.05.315 to the Matanuska-Susitna Borough for relocation and improvements to the 26 Wolverine Trail. 27 * Sec. 60. ELECTION DISTRICTS 29 - 34. (a) The unexpended and unobligated balance 28 of the appropriation made in sec. 82, ch. 100, SLA 1997, page 78, lines 14 - 16 (Fairbanks 29 North Star Borough - Tanana Middle School replace sewer line - $52,500) is reappropriated 30 to the Department of Community and Economic Development for payment as a grant under 31 AS 37.06.010 to the Fairbanks North Star Borough for North Pole High School sewer line

01 repairs. 02 (b) The unexpended and unobligated balances of the appropriations made in sec. 82, 03 ch. 100, SLA 1997, page 77, lines 26 - 28 (Fairbanks North Star Borough - North Pole 04 multipurpose ice arena - $210,000) and sec. 21(b), ch. 100, SLA 1997 (Fairbanks North Star 05 Borough - North Pole High School ice arena construction and improvements) are 06 reappropriated to the Department of Community and Economic Development for payment as 07 grants under AS 37.06.010 to the Fairbanks North Star Borough, for the following projects in 08 the amounts set out: 09 PROJECT AMOUNT 10 (1) FNSB Animal Shelter - remodel and expansion $ 83,183 11 of kennels 12 (2) North Star Volunteer Fire Department - 227,500 13 replace Engine #2 14 (3) Noel Wien Library - upgrade lighting in entry 24,500 15 and check-out areas 16 (4) Chena River Park - development of urban greenbelt 13,621 17 * Sec. 61. ELECTION DISTRICT 35. (a) The unexpended and unobligated balances of 18 the appropriations made in sec. 100, ch. 123, SLA 1996, page 84, lines 34 - 35 (Paxson 19 residential telephone service - $25,000) and page 84, line 38 (Paxson TV station - $10,000); 20 sec. 82, ch. 100, SLA 1997, page 90, lines 28 - 29 (Paxson multi-use trail system - $10,000) 21 and page 90, lines 30 - 31 (Paxson recreational area/playground - $15,000); and sec. 131, 22 ch. 139, SLA 1998, page 105, lines 29 - 30 (Paxson computer literacy education system - 23 $25,000) are reappropriated to the Department of Community and Economic Development for 24 deposit into the individual grant account maintained by the department for the unincorporated 25 community of Paxson. 26 (b) The unexpended and unobligated balance of the appropriation made in sec. 10, 27 ch. 4, FSSLA 1994, page 45, lines 33 - 34 (Deltana processing plant construction - $26,300) 28 is repealed and reappropriated to the Department of Community and Economic Development 29 for payment as a grant under AS 37.06.020 to the unincorporated community of Deltana for 30 road reconstruction. 31 (c) The unexpended and unobligated balance of the appropriation made in sec. 135,

01 ch. 103, SLA 1995, page 74, lines 27 - 28 (Deltana processing plant phase III - $25,060) is 02 repealed and reappropriated to the Department of Community and Economic Development for 03 payment as a grant under AS 37.06.020 to the unincorporated community of Deltana for a 04 television and radio repeater project. 05 (d) Section 135, ch. 103, SLA 1995, page 74, lines 35 - 37, is amended to read: 06 APPROPRIATION OTHER 07 ITEMS FUNDS 08 Tazlina - Purchase of Fire Fighting Equipment 10,000 10,000 09 [DISTANCE LEARNING/MEDICAL LINK 10 EQUIPMENT AND INSTALLATION] (ED 35) 11 (e) Section 100, ch. 2, FSSLA 1999, page 93, lines 32 - 33, is amended to read: 12 APPROPRIATION OTHER 13 ITEMS FUNDS 14 Nelchina/Mendeltna Community Hall and 26,368 26,368 15 Solid Waste Project (ED 26-28) 16 * Sec. 62. ELECTION DISTRICT 36. (a) Section 100, ch. 2, FSSLA 1999, page 95, lines 17 4 - 5, is amended to read: 18 APPROPRIATION OTHER 19 ITEMS FUNDS 20 Tuluksak, Heavy Equipment Repair 31,230 31,230 21 and Electrical Upgrade (ED 36) 22 (b) The unexpended and unobligated balances of the appropriations made in sec. 6, 23 ch. 2, FSSLA 1999, page 4, line 9 (Arctic Village community facilities and equipment - 24 $24,967) and sec. 100, ch. 123, SLA 1996, page 82, lines 12 - 13 (Arctic Village bulk fuel 25 tank farm phase II - $24,083) are reappropriated to the Department of Community and 26 Economic Development for payment as a grant under AS 37.05.317 to the unincorporated 27 community of Arctic Village for payment of accrued costs related to fuel acquisition and 28 transport. 29 (c) The unexpended and unobligated balance of the appropriation made in sec. 154, 30 ch. 5, FSSLA 1992, page 116, line 4, as amended by sec. 23(a), ch. 100, SLA 1997 (Tok road 31 and parking lot) is reappropriated to the Department of Community and Economic

01 Development for payment as a grant under AS 37.05.317 to the Tok Umbrella Corporation for 02 civic center building improvements. 03 (d) Section 133, ch. 139, SLA 1998, page 116, lines 9 - 11, is amended to read: 04 APPROPRIATION OTHER 05 ITEMS FUNDS 06 Alaska Gateway Schools - Northway Soil 3,618,265 3,618,265 07 Remediation Project and Northway 08 Mechanical Upgrade Project (ED 36) 09 (e) The unexpended and unobligated balance of the appropriation made in sec. 49, ch. 10 103, SLA 1995 (bulk fuel tank system repairs and upgrades in Aniak) is reappropriated to the 11 Department of Community and Economic Development for payment as a grant under 12 AS 37.05.316 to Interior Rivers Resource Conservation and Development Council, Inc., for 13 design and construction of the Aniak Training Center. 14 * Sec. 63. ELECTION DISTRICT 37. (a) The unexpended and unobligated balance of 15 the appropriation made in sec. 154, ch. 5, FSSLA 1992, page 109, line 15 (North Slope 16 Borough coal project - $150,000) is reappropriated to the Department of Community and 17 Economic Development for payment as a grant under AS 37.05.315 to the North Slope 18 Borough for the Nuiqsut natural gas project. 19 (b) The unexpended and unobligated balance of the appropriation made in sec. 100, 20 ch. 2, FSSLA 1999, page 79, line 22 (Ambler new health clinic - $14,323) is reappropriated 21 to the Department of Community and Economic Development for payment as a grant under 22 AS 37.06.010 to the City of Ambler for water and sewer upgrade and water source 23 development. 24 (c) The unexpended and unobligated balance of the appropriation made in sec. 131, 25 ch. 139, SLA 1998, page 96, lines 7 - 8 (Kiana gravel site selection and excavation - $15,000) 26 is reappropriated to the Department of Community and Economic Development for payment 27 as a grant under AS 37.06.010 to the City of Kiana for public safety building renovation. 28 (d) Section 133, ch. 139, SLA 1998, page 116, line 32, through page 117, line 1, is 29 amended to read: 30 APPROPRIATION OTHER 31 ITEMS FUNDS

01 Northwest Arctic Borough Schools - Noorvik 2,319,598 2,319,598 02 [HIGH] School [RENOVATION PROJECT] 03 (ED 37) 04 * Sec. 64. ELECTION DISTRICT 38. (a) The unexpended and unobligated balance of 05 the appropriation made in sec. 82, ch. 100, SLA 1997, page 86, lines 20 - 22, as amended by 06 sec. 84, ch. 139, SLA 1998 (Teller completion of reindeer processing plant and tractor repair - 07 $25,000) is reappropriated to the Department of Community and Economic Development for 08 payment as a grant under AS 37.06.010 to the City of Teller for heavy equipment and office 09 automation upgrade. 10 (b) The unexpended and unobligated balance of the appropriation made in sec. 131, 11 ch. 139, SLA 1998, page 102, lines 7 - 8 (Teller snow fencing project - $25,000) is 12 reappropriated to the Department of Community and Economic Development for payment as 13 a grant under AS 37.06.010 to the City of Teller for cable TV buyout phase I. 14 (c) Section 100, ch. 123, SLA 1996, page 85, lines 4 - 7, is amended to read: 15 APPROPRIATION OTHER 16 ITEMS FUNDS 17 Pitka's Point Purchase of Community Vehicle 25,000 25,000 18 [VILLAGE OFFICE/HALL UPGRADE] (ED 38) 19 Pitka's Point Upgrading Village Roads and 25,000 25,000 20 Boardwalks [CLINIC WATER/SEWER HOOK-UP] 21 (ED 38) 22 * Sec. 65. ELECTION DISTRICT 39. (a) The unexpended and unobligated balances of 23 the appropriations made in sec. 82, ch. 100, SLA 1997, page 72, lines 9 - 11 (Aleknagik steel 24 two-lane bridge with concrete foundation - $12,437) and sec. 131, ch. 139, SLA 1998, page 25 89, lines 7 - 8 (Aleknagik Wood River bridge design and construction - $25,000) are 26 reappropriated to the Department of Community and Economic Development for payment as 27 a grant under AS 37.06.010 to the City of Aleknagik for road improvements, barge loading 28 ramp, and purchase of a mustang jetter. 29 (b) Section 135, ch. 103, SLA 1995, page 77, line 19, is amended to read: 30 APPROPRIATION OTHER 31 ITEMS FUNDS

01 Tuntutuliak Purchase of Snow Machine and 25,917 25,917 02 Four-Wheeler and Accessories [TRACTOR] 03 (ED 39) 04 (c) Section 100, ch. 123, SLA 1996, page 86, lines 10 - 11, is amended to read: 05 APPROPRIATION OTHER 06 ITEMS FUNDS 07 Tuntutuliak Erosion Control Project 24,083 24,083 08 [TRACTOR PURCHASE] (ED 39) 09 (d) Section 82, ch. 100, SLA 1997, page 92, lines 8 - 9, is amended to read: 10 APPROPRIATION OTHER 11 ITEMS FUNDS 12 Tuntutuliak Erosion Control Project 25,000 25,000 13 [TRACTOR PURCHASE] (ED 39) 14 (e) The unexpended and unobligated balance of the appropriation made in sec. 2, ch. 15 83, SLA 1993, page 3, line 22 (Lower Kuskokwim Schools, new Bethel middle school design 16 - $926,700) is reappropriated to the Department of Education and Early Development for 17 payment as a grant under AS 14.11.005 to the Lower Kuskokwim Schools for Bethel 18 Elementary School design. 19 * Sec. 66. ELECTION DISTRICT 40. The unexpended and unobligated balances of the 20 appropriations made in sec. 10, ch. 4, FSSLA 1994, page 43, lines 21 - 23 (Bristol Bay 21 Borough, Naknek road improvements/design/reconstruction - $56,000) and in sec. 82, ch. 100, 22 SLA 1997, page 74, lines 20 - 22 (Bristol Bay Borough, King Salmon Village Road 23 improvements - $38,056) are reappropriated to the Department of Community and Economic 24 Development for payment as a grant under AS 37.06.010 to the Bristol Bay Borough for 25 fishermen's dock and industrial park development. 26 * Sec. 67. REPEALER. Section 58(e), ch. 2, FSSLA 1999, is repealed. 27 * Sec. 68. LAPSE PROVISIONS. (a) The appropriations made by secs. 3, 4, 6, 12, 21, 28 25, and 44(a) of this Act are for capitalization of funds and do not lapse. 29 (b) The appropriations made by secs. 1, 7, 9, 10, 24(a)(2), 24(b)(2), 33(c), 34, 37(b), 30 38, 39, 48, 50, 51, 62(c), and 62(e) of this Act are for capital projects and lapse under 31 AS 37.25.020.

01 (c) The appropriation made by sec. 62(b) of this Act lapses June 30, 2001. 02 * Sec. 69. (a) Sections 16, 19 - 36, 37(a), 42, 43(a), 44, 45, 47, 49, and 51 - 66 of this 03 Act take effect immediately under AS 01.10.070(c). 04 (b) The appropriation made in sec. 1 of this Act to the Department of Administration 05 for the Anchorage Pioneers' Home ventilation and humidification system emergency repair and 06 upgrade takes effect immediately under AS 01.10.070(c). 07 * Sec. 70. Except as provided in sec. 69 of this Act, this Act takes effect July 1, 2000.