ADOPTED HOUSE AMENDMENTS

 

WEDNESDAY, MARCH 03, 2010

 

HB0001JC01/AA

Adopt the following House amendments:

 

HB0001H2006/A

HB0001H2007/A

HB0001H2008/A

HB0001H2035/A

HB0001H2050/AC

HB0001H3002/A

HB0001H3010/A

HB0001H3017/AC

HB0001H3018/A

HB0001H3024/A

HB0001H3035/A

 

Adopt the following Senate amendments:

 

SF0001S2002/A

SF0001S2005/A

SF0001S2009/A

SF0001S2014/A

SF0001S2016/A

SF0001S2018/A

SF0001S2024/A

SF0001S2031/A

SF0001S2039/A

SF0001S2045/A

SF0001S3003/A

SF0001S3004/A

SF0001S3008/A

SF0001S3022/A

SF0001S3023/A

SF0001S3024/A

SF0001S3025/A

SF0001S3026/A

SF0001S3027/A

SF0001S3028/A

SF0001S3029/A


 

Delete the following House amendments:

 

HB0001H2001/A

HB0001H2002/A

HB0001H2004/A

HB0001H2009/AC

HB0001H2010/A

HB0001H2011/A

HB0001H2012/A

HB0001H2017/A

HB0001H2018/A

HB0001H2020/A

HB0001H2021/A

HB0001H2023/A

HB0001H2024/A

HB0001H2034/A

HB0001H2041.01/AC

HB0001H2042/A

HB0001H2047/A

HB0001H2048/A

HB0001H3004/A

HB0001H3005/A

HB0001H3006/AC

HB0001H3008/A

HB0001H3012/A

HB0001H3013/A

HB0001H3016/A

HB0001H3019/A

HB0001H3020/A

HB0001H3022/A

HB0001H3028/A

HB0001H3029/AC

HB0001H3030/A

HB0001H3032/AC

HB0001H3033/A

HB0001H3034/A


 

Delete the following Senate amendments:

 

SF0001S2006/A

SF0001S2027/A

SF0001S2046/A

SF0001S3009/A

SF0001S3011/A

SF0001S3013/A

SF0001S3015/A

SF0001S3016/A

SF0001S3017/A

SF0001S3021/AC

SF0001S3032/A

 

Further amend as follows:

 

Page 10-line 18    After "CIO" insert "3.".

 

Page 11-After line 5    Insert:

 

"3.  The chief information officer shall continue work toward completion and implementation of the Wyoming public finance website authorized under W.S. 9‑2‑1035 through 9‑2‑1037.".

 

Page 27-line 8     After "Health" insert "12."; Under OTHER FUNDS increase amount by "27,500TT".

 

Page 27-line 10    Under GENERAL FUND increase amount by "1,500,000".

 

Page 28-line 14    Delete "four million one hundred thousand dollars ($4,100,000.00)" insert "five million six hundred thousand dollars ($5,600,000.00)".

 

Page 29-After line 24   Insert:

 

"12.  (a)  Of this TT other funds appropriation, twenty-seven thousand five hundred dollars ($27,500.00) shall only be used by the department to contract for or provide support network services for persons with epilepsy.  The support network services for persons with epilepsy shall:

 

(i)  Provide professional education on epilepsy for nurses, physicians, public schools, public school nurses and the general public;

 

(ii)  Provide for support groups focused on epilepsy;

 

(iii)  Increase awareness of epilepsy in Wyoming;

 

(iv)  Provide educational programs for persons with epilepsy; and

 

(v)  Provide better access to care for persons with epilepsy within Wyoming.".

 

Page 31-line 24    Delete "stray" insert "estray".

 

Page 34-line 2     After "rules." Insert "This footnote is effective immediately.".

 

Page 37-line 31    After "legislation." insert "This footnote is effective immediately.".

 

Page 65-line 15    Delete "3."; under OTHER FUNDS delete "SO" insert "S3".

 

Page 66-lines 1 through 9    Delete.

 

Page 80-line 29    Before "No" insert "(a)".

 

Page 81-After line 13   Insert:

 

"(b)  The governor shall convene a committee to initiate planning for the transformation and consolidation of state information technology programs.  The committee shall include representatives from state agency information technology staff, and shall examine consolidation measures which may improve services, eliminate redundant activities, and leverage state resources in the delivery of improved technology solutions for state operations.  The committee shall be directed by the office of the governor and staffed by the chief information officer and others, as appointed by the governor.  The committee shall offer initial recommendations to the governor prior to July 1, 2010, and shall submit final recommendations to the governor and the joint appropriations interim committee no later than October 1, 2010.  The report shall include recommendations to provide more effective and efficient information technology services including, but not limited to, use of shared services, facilities and personnel, and recommendations to provide better accountability and management.  Agencies shall participate in the consolidation program and provide assistance and support to the committee as required by the committee.  This subsection is effective immediately.".

 

Page 88-line 14    After "subsection (c)" insert "or (f)".

 

Page 88-After line 23   Insert:

 

"(f)  One hundred twenty thousand dollars ($120,000.00) is appropriated from AML funds available to the department of environmental quality to be used by the department to contract for a qualified engineer to assess damages to houses or other residential structures located in Sweetwater County alleged to be caused by dynamic compaction.  These assessments shall be completed within sixty (60) days after the effective date of this subsection, or within such time as the engineer may reasonably require.  In making any settlement offer for damages assessed under this subsection the attorney general shall consider the opinions of the qualified engineer as to whether the damages were caused by dynamic compaction, and the amount of damages so caused if the engineer assesses the amount of damages, and shall make all settlement offers within one hundred twenty (120) days of completion of the assessment.  All settlements subject to this subsection may be funded from AML funds available to the department.  This subsection is effective immediately.".

 

 


Page 103-lines 22 through 31 Delete.

 

Pages 104-line 1 through Page 112-line 26  Delete and insert:

 

"(a)  From amounts previously appropriated from the school capital construction account before the effective date of this section, the school facilities commission shall prior to July 1, 2010, expend or encumber up to eleven million seven hundred fifteen thousand nine hundred twelve dollars ($11,715,912.00) for the following projects at the prescribed maximum amounts:

 

Planning Projects for the 2009-10 Biennium


Needs    
Index     School                               Maximum
Priority  District    Project                  Amount

14        Laramie #1  Elementary School        $ 50,000

19        Laramie #1  Elementary School        $ 50,000

22        Fremont #1  Elementary School        $ 50,000

24        Crook #1    Elementary School        $ 50,000

37        Uinta #1    Middle School            $ 50,000

160       Carbon #2   Elementary School        $ 50,000

Total                                          $300,000

 

Design Projects for the 2009-10 Biennium


Needs    
Index     School                               Maximum
Priority  District     Project                 Amount

1         Uinta #4     Middle School           $  750,551

8         Campbell #1  Alternative High School $  410,000

14        Laramie #1   Elementary School       $1,019,146

19        Laramie #1   Elementary School       $  680,799

22        Fremont #1   Elementary School       $  153,009

24        Crook #1     Elementary School       $1,000,000

27        Sheridan #2  Elementary School       $  773,183

Total                                          $4,786,688

 

Component Level Projects for the 2009-10 Biennium            


Needs
Index     School                                          Maximum
Priority  District      Project                 Description          Amount

43        Sweetwater #2 Elementary School       Demolition            $  180,000

72        Big Horn #2   High School             Paving                $  350,000

72        Big Horn #2   High School             Mechanical work          $1,500,000

92        Lincoln #2    Middle School           Bus drop off          $  120,000

102       Goshen #1     High School             Fire Marshall issues          $3,300,000

113       Fremont #25   Administration Building Partial demolition    $  121,224

113       Fremont #25   Administration Building Site work             $  150,000

134       Fremont #25   Elementary School       Bus drop off          $  150,000

Total                                                                      $5,871,224

    

Land Acquisitions for the 2009-10 Biennium          


Needs    
Index     School                                          Maximum
Priority  District      Project                           Amount

324       Johnson #1    Future Elementary School          $  428,000

N/A       Campbell #1   Future Elementary School          $  330,000

Total                                                     $  758,000

 

(b)  The following amounts are appropriated from the school capital construction account to the school facilities commission for the 2011‑2012 fiscal biennium and for the purposes specified:

 

(i)  Up to one hundred thirty-three million one hundred eighty-one thousand seven hundred seven dollars ($133,181,707.00) for the following school capital construction projects, subject to the prescribed maximum amounts:

 

Needs    
Index     School                                              Maximum
Priority  District      Project                              Amount

1         Uinta #4      Middle School                        $ 24,597,284

3         Uinta #1      Alternative High School              $  4,758,000

9         Sublette #9   Elementary School                    $ 10,431,000

12        Natrona #1    Elementary School                    $  9,857,444

14        Laramie #1    Elementary School                    $ 15,028,875

19        Laramie #1    Elementary School                    $ 10,568,250

21        Lincoln #1    Phase 1 of 3 phases for a High School $  5,490,000

22        Fremont #1    Elementary School                    $ 15,910,854

25        Natrona #1    Phase 1 of 3 phases for a High School $  7,320,000

25        Natrona #1    Phase 1 of 3 phases for a High School $  7,320,000

27        Sheridan #2   Elementary School                    $ 11,490,790

30        Park #1       Westside Elementary School           $ 11,411,355

Total                                                         $134,183,852

 

(ii)  Up to eighteen million dollars ($18,000,000.00) for school component level projects, to include the following projects subject to the prescribed maximum amounts:

 

Needs    
Index     School                                         Maximum
Priority  District     Project                 Description          Amount

8         Campbell #1  Alternative High School Building improvements          $     8,197

45        Park #16     K-12 School             Renovation                $ 5,300,000

47        Campbell #1  Elementary School       Media center, KG classroom,

                                               & HVAC upgrade            $ 1,643,000

50        Fremont #2   High School             HS gym wall repair        $   200,000

121       Park #1      Middle School           Kitchen & MS Cafeteria

                                               Addition                  $ 3,848,281

138       Campbell #1  Elementary School       KG classroom & HVAC upgrade   $   810,000

151       Campbell #1  Elementary School       KG classroom & HVAC upgrade   $ 1,350,000

171       Uinta #1     High School             Roof replacement          $ 1,800,000

211       Albany #1    Elementary School       Classroom addition        $   644,531

224       Fremont #2   Elementary/Middle School Roof and HVAC          $ 1,310,000

Total                                                                     $16,914,009

 

(c)  If the maximum amounts appropriated under subsection (b) of this section are not sufficient to complete a specified project:

 

(i)  Any appropriation for a lower priority project under paragraph (b)(i) of this section and any excess amount for a completed higher priority project under that paragraph may be expended by the school facilities commission as necessary to complete the underfunded project, and likewise for projects authorized under paragraph (b)(ii) of this section within amounts appropriated under that paragraph;

 

(ii)  Any funds appropriated under paragraph (b)(i) of this section may be used to complete any project under that paragraph as long as no higher priority project has been identified, based upon estimates, as being underfunded, and likewise for projects authorized under paragraph (b)(ii) of this section for amounts appropriated under that paragraph;

 

(iii)  The school facilities commission may expend amounts reappropriated to the capital construction account under paragraph (g)(ii) of this section to the extent necessary to fund those projects authorized under subsection (b) of this section;

 

(iv)  Except as otherwise specified in this section, expenditures under this section shall be in the order of priority as specified in the July 2009 facility needs assessment conducted by the commission under W.S. 21‑15‑115(b).

 

(d)  The school facilities commission may obligate and encumber amounts reappropriated under paragraph (g)(ii) of this section to fund capital construction projects which are in addition to and for which funds are not appropriated under subsection (b) of this section.  Expenditures under this subsection shall be for the 2011‑2012 fiscal biennium and are subject to the following:

 

(i)  An expenditure shall not be made under this subsection if any capital construction or component level project authorized under subsection (b) of this section has been identified, based upon estimates, as underfunded;

 

(ii)  The total amount expended under this subsection and paragraph (c)(iii) of this section, including amounts appropriated under subsection (b) of this section, shall not exceed one hundred eighty-one million four hundred thirty-eight thousand ninety-three dollars ($181,438,093.00), as computed by applying an eight and five-tenths percent (8.5%) reduction to the total cost estimated by the commission for each project included in its 2009 annual report to the governor and select school facilities committee submitted pursuant to W.S. 21‑15‑121 on September 1, 2009;

 

(iii)  Expenditures shall be prioritized in accordance with paragraph (c)(iv) of this section and include the following capital construction projects in addition to those projects authorized under paragraph (b)(i) of this section:

 

Needs    
Index     School                                          Maximum
Priority  District      Project                           Amount

35        Sweetwater #1 New 5-6 Elementary School         $ 14,311,039

40        Campbell #1   Lakeview Elementary School        $ 14,943,202

Total                                                     $ 29,254,241

 

(iv)  If, after conditions specified under paragraph (i) of this subsection have been met, the amount reappropriated under paragraph (g)(ii) of this section is not sufficient to complete a project as estimated subsequent to encumbrances for that project under this subsection, the authority to reallocate funds under paragraphs (c)(i) and (ii) shall apply subject to the expenditure threshold prescribed under paragraph (ii) of this subsection.

 

(e)  Subject to paragraph (d)(ii) of this section, expenditures may fund any unanticipated and emergency need of any district building, as determined by the commission and for which district major maintenance funds are insufficient.  Expenditures under this subsection shall be reported by the commission to the select school facilities committee within the monthly report required under subsection (h) of this section.

 

(f)  This section shall not prohibit the commission from obligating and otherwise encumbering funds for any project authorized under subsection (b) of this section prior to obligating and encumbering funds for a higher priority project if funds are capable of being obligated to that lower priority project in advance of commitment of funds to the higher priority project, provided the obligation of funds does not reduce or otherwise expend any amounts appropriated to the higher priority project except as provided under subsection (c) of this section.  This subsection also applies to the extent funds are obligated and otherwise encumbered for any project under subsection (d) of this section.

 

(g)  Notwithstanding W.S. 21‑15‑122(a), amounts that were to be deposited into the common school permanent land fund on June 30, 2010 pursuant to that subsection, shall not be deposited in accordance with W.S. 21‑15‑122(a).  Those funds and other funds within the school capital construction account shall be subject to the following from the effective date of this section through June 30, 2012:

 

(i)  An amount necessary to restore the balance within the school foundation program account to an amount equal to forty million dollars ($40,000,000.00) on June 30, 2012, shall be deposited into the school foundation program account;

 

(ii)  Notwithstanding W.S. 9‑2‑1008, 9‑2‑1012(e) and 9‑4‑207(a), any unexpended, unobligated previously appropriated funds remaining within the school capital construction account as of June 30, 2010, shall not revert on June 30, 2010, and any other amounts which would revert to the school capital construction account pursuant to law during the 2011‑2012 fiscal biennium, are hereby reappropriated for purposes of subsections (b) through (d) of this section for the period commencing July 1, 2010, and ending June 30, 2012;

 

(iii)  Any unappropriated, unexpended, unobligated funds within the school capital construction account, following reduction for the amounts appropriated from the account pursuant to this section and amounts deposited into the school foundation program account under paragraph (i) of this subsection, shall be continuously deposited into a common school permanent land fund holding account from the effective date of this section through the period ending June 30, 2012.  Amounts within the holding account shall on June 30, 2012, be transferred to the common school permanent land fund as provided for funds within the school capital construction account under W.S. 21‑15‑122(a)(ii).

 

(h)  The school facilities commission shall report monthly to the select school facilities committee in a matrix format depicting all capital construction projects and component level projects which have encumbered funds pursuant to this section.  For each project, the monthly matrix report shall provide the total amount encumbered, the total amount expended, the total amount unexpended and the total unexpended amount for that project which are expended for other projects.

 

(j)  In addition to subsection (h) of this section and on or before May 1, 2010, the school facilities commission shall hold a public hearing in Big Horn, Wyoming, for purposes of addressing maintenance and construction options for the Sheridan county school district no. 1 elementary school facility at Big Horn, Wyoming.  The commission shall report to the select school facilities committee and the joint appropriations committee on recommendations for remedial action necessary to address the adequacy needs of this facility.

 

(k)  In addition to amounts appropriated under subsection (a) of this section, three million six hundred eleven thousand seven hundred fifty-five dollars ($3,611,755.00) is appropriated to the school facilities commission from amounts previously appropriated to the commission from the school capital construction account before the effective date of this section.  Following completion of the public hearing and reporting to the select school facilities committee and the joint appropriations committee as required under subsection (j) of this section, and upon approval by the governor, the appropriation under this subsection shall be expended by the commission to correct the state's incomplete remediation of the Big Horn middle and high school facilities in Sheridan county school district no. 1, in order to avoid jeopardizing the occupancy of the newly constructed portion of this facility.  This appropriation shall be combined with five million one hundred twenty-eight thousand nine hundred thirty-two dollars ($5,128,932.00), as estimated by the commission on February 22, 2010, to be unexpended and unencumbered from allocated amounts for this remedy following completion of prior phases of this project, to fund completion of the facility remedy correction as directed by this subsection.

 

(m)  This section is effective immediately.".


 

Page 114–line 6    After "skills." delete balance of line and insert:

 

"In conducting its work, the select committee shall encourage the active participation of parents, educators, district school board members, businesses, taxpayers and foundations, members of the state board of education and state agency personnel.  The department of education, school districts and the school data advisory committee established under W.S. 21-2-203 shall collect and provide the information requested by the committee.  The recalibration study shall include, but is not limited to, the following activities:

 

(i)  Review the components of the educational model, using demonstrated results or research-based studies, to assess the effectiveness of the components in supporting quality education and determine if any component should be eliminated, added, modified or maintained;

 

(ii)  Evaluate school districts' divergence from the educational model and assess the effects of the divergence on a cost-based quality education;

 

(iii)  Review recommendations from teachers and administrators regarding effective instruction and the ability of teachers to convey effective instruction given their clerical, testing and administrative duties;

 

(iv)  Determine:

 

(A)  The costs of model components;

 

(B)  Whether the present level of funding is adequate and appropriate in meeting intended goals; and

 

(C)  The best means of providing funds to school districts to provide quality education.

 

(v)  Consider the extent that federal funds may be applied towards the state’s funding obligations;

 

(vi)  Review methods of assessment of student achievement under the current model and recommend student assessment policies and procedures in the recalibrated system of education.

 

(c)  The select committee shall report its recommendations and any associated legislation to the legislature in time for consideration during the 2011 general session.  The select committee may introduce legislation as other committees of the legislature.".

 

Page 114–lines 7 through 31  Delete.

 

Page 115–lines 1 through 5   Delete.

 

Page 115-line 7    Delete "subsection" insert "section".

 

Page 116-line 20   Delete entirely and insert "sixty-seven million four hundred fifty-six thousand five hundred sixty dollars ($67,456,560.00)".

 

Page 125-After line 13  Insert the following new sections and renumber as necessary:

 

"[OUT OF STATE TRAVEL AND PUBLICATIONS RESTRICTIONS]

 

Section 336.

 

(a)  For the period beginning July 1, 2010 and ending March 31, 2011, no expenditure of funds in excess of the amounts provided in this section, appropriated under this act, shall be made for out of state travel, publications or advertising without the approval of the director of the agency making the expenditure, in accordance with requirements set forth in an executive order to be issued by the governor no later than July 1, 2010.  Each month this limitation is in place, each director shall furnish to the budget division of the department of administration and information, the amount of each expenditure for out of state travel, publications and for advertising, along with a statement of the director’s reasons for approving each expenditure.  The budget division shall compile all agency expenditure reports monthly and submit the compilation to the legislative service office for distribution to the joint appropriations interim committee.

 

(b)  All agencies shall submit a report to the department of administration and information by December 1, 2010, setting out all anticipated publications, advertising and out of state travel expenditures for the period beginning April 1, 2011 and ending June 30, 2012.  Except as approved in the 2011 supplemental budget bill, no expenditures of funds in excess of the amounts provided in this section, appropriated under this act, shall be made by any agency for publications, advertising or out of state travel after April 1, 2011.  Transfers of funding through the B-11 process as authorized by W.S. 9‑2‑1005(b)(ii) for these purposes are not subject to this section.

 

(c)  As used in this section:

 

(i)  "Agency" means the state of Wyoming or any of its executive branch agencies, authorities, departments, boards, commissions, councils, instrumentalities, offices, separate operating agencies or units, or institutions, including the university and community colleges;

 

(ii)  "Director" means the director of the agency or the administrative head of the agency for those agencies with no director;

 

(iii)  Expenditure of funds subject to this section shall include only:

 

(A)  For out of state travel, those expenditures in excess of one thousand dollars ($1,000.00) as payment or reimbursement for any one (1) individual employee for any single out of state trip;

 

(B)  For publications, those expenditures in excess of five thousand dollars ($5,000.00) for any single issue of a publication;

 

(C)  For advertising, those expenditures in excess of five thousand dollars ($5,000.00) paid to any single vendor for advertising services.

 

(d)  The governor may by executive order exempt any agency from the requirements of this section, increase or decrease the amounts specified in paragraph (c)(iii) of this section or modify any of the reporting requirements of this section if he finds the data which would be provided would not be meaningful or the requirement is unduly burdensome.  If the governor exempts an agency or modifies any amount or reporting requirement he shall report to the joint appropriations interim committee the exemption or modification and an explanation for the exemption or modification.

 

[SCHOOL FACILITIES COMMISSION-POST-AUDIT ACCOUNTING]

 

Section 337.

 

(a)  Based upon findings and recommendations contained in the independent audit of the school facilities commission undertaken pursuant to 2009 Wyoming Session Laws, Chapter 207, Section 2, the department of audit shall conduct an accurate accounting of total costs of all projects receiving funds from the school capital construction account for the preceding four (4) fiscal biennial periods ending with the 2009-2010 biennium, including transfers of funds between projects during those periods.  The accounting shall include independent consultations with commission field representatives responsible for total project costs and with the governor's legislative liaison for school facilities.  The accounting shall be undertaken in sufficient time to report findings to the select committee on school facilities by September 1, 2010.

 

(b)  For the period beginning on the effective date of this section and ending December 31, 2010, and for purposes of conducting the accounting required under this section, the department of audit is authorized an additional two (2) part-time, time limited positions.  Seventy thousand dollars ($70,000.00) is appropriated to the department of audit from the school capital construction account for purposes of this section.

 

(c)  This section is effective immediately.

 

[STATE AGENCY CONTRACTUAL SERVICES]

 

Section 338.

 

(a)  For the period beginning July 1, 2010 and ending March 31, 2011, no contract for services shall be entered into without the approval of the director of the agency making the expenditure, in accordance with requirements set forth in an executive order to be issued by the governor no later than July 1, 2010.  Each month this limitation is in place, each director shall furnish to the budget division of the department of administration and information, the amount of each contract for services, along with a statement of the director’s reasons for approving each expenditure.  The budget division shall compile all agency reports on contracts under this section monthly and submit the compilation to the legislative service office for distribution to the joint appropriations interim committee.

 

(b)  All agencies shall submit a report to the department of administration and information by December 31, 2010, setting out all anticipated contractual services expenditures for the period beginning April 1, 2011 and ending June 30, 2012.  Except as approved in the 2011 supplemental budget bill, no expenditures of general funds appropriated under this act shall be made by any agency for contractual services after April 1, 2011.  Transfers of funding through the B-11 process as authorized by W.S. 9‑2‑1005(b)(ii) for these purposes are not subject to this section.

 

(c)  As used in this section:

 

(i)  "Agency" means the state of Wyoming or any of its executive branch agencies, authorities, departments, boards, commissions, councils, instrumentalities, offices, separate operating agencies or units, or institutions, including the university and community colleges;

 

(ii)  "Contract for services" means those contracts for services funded from 900 series appropriations;

 

(iii)  "Director" means the director of the agency or the administrative head of the agency for those agencies with no director.

 

(d)  The governor may by executive order exempt any agency from the requirements of this section or otherwise modify any of the reporting requirements of this section if he finds the data which would be provided would not be meaningful or the requirement is unduly burdensome.  If the governor exempts an agency or modifies any reporting requirement he shall report to the joint appropriations interim committee the exemption or modification and an explanation for the exemption or modification.".


 

To the extent required:  adjust totals; and renumber as necessary.

 

NICHOLAS, MASSIE, MEIER, PETERSON, BERGER, BUCHANAN, COHEE, HAMMONS, PEDERSEN

 

 

HB0026JC01/AA

HB0026JC01/

TO ENGROSSED COPY

 

 

Delete the following Senate amendments:

HB0026SS001/AE

 

Further amend the ENGROSSED COPY as follows:

 

Page 1-line 11     Delete "through (e)" insert "and (d)".

 

Page 2-line 19     Before "shall" insert "and incorporated into the decision of the panel".

 

BROWN, BONNER, MILLIN, SCOTT, HASTERT, HUNNICUTT

 

 

SF0007H3001/AE

 

 

[TO ENGROSSED COPY]

 

Page 1-line 5      After "appropriation;" insert "requiring reporting;".

 

Page 7-After line 20    Insert:

 

"Section 4.  No later than January 1, 2012, the department of agriculture shall report to the joint agriculture, public lands and water resources interim committee and joint appropriations interim committee regarding all amounts expended to implement this act as well as the department's progress in implementing this act.".

 

Page 7-line 22     Delete "4" insert "5".  SEMLEK, MADDEN

 

 

SF0013H3001/AE

 

 

[TO ENGROSSED COPY]

 

Page 1-line 5      After "appropriation;" insert "requiring reporting;".

 

Page 4-After line 5 Insert:

 

"Section 3.  No later than January 1, 2012, the department of administration and information shall report to the joint agriculture, public lands and water resources interim committee and joint appropriations interim committee regarding all amounts expended to implement this act as well as the department's progress in implementing this act.".

 

Page 4-line 7      Delete "3" insert "4".  SEMLEK, MADDEN

 

 

SF0013H3002/AE

 

 

[TO ENGROSSED COPY]

 

Page 3-line 3      After "conducted" insert "by the division".  SIMPSON, QUARBERG

 

 

SF0031H3002/AE

 

 

[TO ENGROSSED COPY]

 

Page 2-After line 12    In the Simpson second reading amendment (SF0031H2001/AE) to this line, in subparagraph (ii)(D) created by this amendment, delete "state or".

 

Page 2-line 21     Delete the Simpson second reading amendment (SF0031H2001/AE) to this line entirely.  SIMPSON, CHILDERS